<SEC-DOCUMENT>0001513162-14-000156.txt : 20140317
<SEC-HEADER>0001513162-14-000156.hdr.sgml : 20140317
<ACCEPTANCE-DATETIME>20140317170147
ACCESSION NUMBER:		0001513162-14-000156
CONFORMED SUBMISSION TYPE:	10-Q
PUBLIC DOCUMENT COUNT:		12
CONFORMED PERIOD OF REPORT:	20140131
FILED AS OF DATE:		20140317
DATE AS OF CHANGE:		20140317

FILER:

	COMPANY DATA:	
		COMPANY CONFORMED NAME:			COPYTELE INC
		CENTRAL INDEX KEY:			0000715446
		STANDARD INDUSTRIAL CLASSIFICATION:	PATENT OWNERS & LESSORS [6794]
		IRS NUMBER:				112622630
		STATE OF INCORPORATION:			DE
		FISCAL YEAR END:			1031

	FILING VALUES:
		FORM TYPE:		10-Q
		SEC ACT:		1934 Act
		SEC FILE NUMBER:	000-11254
		FILM NUMBER:		14698258

	BUSINESS ADDRESS:	
		STREET 1:		900 WALT WHITMAN RD
		CITY:			MELVILLE
		STATE:			NY
		ZIP:			11747
		BUSINESS PHONE:		5165495900

	MAIL ADDRESS:	
		STREET 1:		900 WALT WHITMAN ROAD
		CITY:			MELVILLE
		STATE:			NY
		ZIP:			11747
</SEC-HEADER>
<DOCUMENT>
<TYPE>10-Q
<SEQUENCE>1
<FILENAME>form_10q.htm
<DESCRIPTION>FORM 10-Q
<TEXT>
<HTML>
<head><title>copy_10Q1_2014</title> </head> <body bgcolor=#ffffff>&nbsp;<a name=page_1> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"><a name=_aciHeader1> <div> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></div> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><b><font style=FONT-SIZE:14pt face="Times New Roman" lang=EN-US>UNITED STATES</font></b></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><b><font style=FONT-SIZE:14pt face="Times New Roman" lang=EN-US>SECURITIES AND EXCHANGE COMMISSION</font></b></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:14pt face="Times New Roman" lang=EN-US>Washington, D.C.&nbsp; 20549</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><b><font style=FONT-SIZE:14pt face="Times New Roman" lang=EN-US>FORM 10-Q</font></b></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>QUARTERLY REPORT PURSUANT TO SECTION 13 OR 15(d)</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>OF THE SECURITIES EXCHANGE ACT OF 1934</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>For the quarterly period ended January 31, 2014</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Commission file number 0-11254</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p> <div style="BORDER-TOP:0px; BORDER-RIGHT:0px; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:1pt; PADDING-TOP:0in; PADDING-LEFT:0in; BORDER-LEFT:0px; PADDING-RIGHT:0in"> <p style="BORDER-TOP:0px; BORDER-RIGHT:0px; BORDER-BOTTOM:0px; PADDING-BOTTOM:0in; TEXT-ALIGN:center; PADDING-TOP:0in; PADDING-LEFT:0in; MARGIN:0in 0in 0pt; BORDER-LEFT:0px; PADDING-RIGHT:0in" align=center><b><font style=FONT-SIZE:19pt face="Times New Roman" lang=EN-US>COPYTELE, INC.</font></b></p></div> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:9pt face="Times New Roman" lang=EN-US>(Exact name of registrant as specified in its charter)</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</font></p> <div align=center> <table style=WIDTH:60% cellpadding=0 cellspacing=0> <tr style=HEIGHT:15.25pt> <td width=20% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; FONT-FAMILY:times new roman; LINE-HEIGHT:normal" color=#000000>Delaware</font></p></td> <td width=30% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=30% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=20% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; FONT-FAMILY:times new roman; LINE-HEIGHT:normal" color=#000000>11-2622630</font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=20% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" align=center valign=bottom> <p style="MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; FONT-FAMILY:times new roman; LINE-HEIGHT:normal" color=#000000>(State or other jurisdiction of </font></p></td> <td width=30% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=30% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=20% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; FONT-FAMILY:times new roman; LINE-HEIGHT:normal" color=#000000>(I.R.S. Employer</font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=20% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" align=center valign=top> <p style="MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; FONT-FAMILY:times new roman; LINE-HEIGHT:normal" color=#000000>incorporation or organization) </font></p></td> <td width=30% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=30% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=20% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; FONT-FAMILY:times new roman; LINE-HEIGHT:normal" color=#000000>Identification No.)</font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=20% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=30% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=30% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=20% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:14.5pt> <td width=20% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=30% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=30% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=20% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:15.25pt> <td width=20% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; FONT-FAMILY:times new roman; LINE-HEIGHT:normal" color=#000000>900 Walt Whitman Road</font></p></td> <td width=30% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=30% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=20% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:15.25pt> <td width=20% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; FONT-FAMILY:times new roman; LINE-HEIGHT:normal" color=#000000>Melville, NY </font></p></td> <td width=30% style="BORDER-BOTTOM:#000000 1px solid" valign=bottom><font style="FONT-SIZE:10pt; FONT-FAMILY:times new roman">&nbsp;</font></td> <td width=30% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=20% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; FONT-FAMILY:times new roman; LINE-HEIGHT:normal" color=#000000>11747</font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=20% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; FONT-FAMILY:times new roman; LINE-HEIGHT:normal" color=#000000>(Address of principal executive offices) </font></p></td> <td width=30% valign=bottom><font style="FONT-SIZE:10pt; FONT-FAMILY:times new roman">&nbsp;</font></td> <td width=30% valign=bottom><font style="FONT-SIZE:10pt; FONT-FAMILY:times new roman">&nbsp;</font></td> <td width=20% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; FONT-FAMILY:times new roman; LINE-HEIGHT:normal" color=#000000>(Zip Code)</font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=20% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=30% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=30% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=20% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr></table></div> <p style="MARGIN:0in 0in 10pt">&nbsp;</p> <div style="BORDER-TOP:0px; BORDER-RIGHT:0px; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:1pt; PADDING-TOP:0in; PADDING-LEFT:0in; BORDER-LEFT:0px; PADDING-RIGHT:0in"> <p style="BORDER-TOP:0px; BORDER-RIGHT:0px; BORDER-BOTTOM:0px; PADDING-BOTTOM:0in; TEXT-ALIGN:center; PADDING-TOP:0in; PADDING-LEFT:0in; MARGIN:0in 0in 0pt; BORDER-LEFT:0px; PADDING-RIGHT:0in" align=center><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>(631) 549-5900</font></p></div> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:9pt face="Times New Roman" lang=EN-US>(Registrant's telephone number, including area code)</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font style=FONT-SIZE:10pt face="Times New Roman" lang=EN-US>Indicate by check mark whether the registrant: (1) has filed all reports required to be filed by Section 13 or 15(d) of the Securities Exchange Act of 1934 during the preceding 12 months (or for such shorter period that the registrant was required to file such reports), and (2) has been subject to such filing requirements for the past 90 days.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font size=2>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; </font><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Yes </font><u><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>&nbsp;&nbsp;X&nbsp; &nbsp;</font></u><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; No ___</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font style=FONT-SIZE:10pt face="Times New Roman" lang=EN-US>Indicate by check mark whether the registrant has submitted electronically and posted on its corporate Web site, if any, every Interactive Data File required to be submitted and posted pursuant to Rule 405 of Regulation S-T (&#167;232.405 of this chapter) during the preceding 12 months (or for such shorter period that the registrant was required to submit and post such files).&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; </font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font size=2>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; </font><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Yes </font><u><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>&nbsp;&nbsp;X&nbsp; &nbsp;</font></u><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; No ___</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font style=FONT-SIZE:10pt face="Times New Roman" lang=EN-US>Indicate by check mark whether the registrant is a large accelerated filer, an accelerated filer, a non-accelerated filer, or a smaller reporting company. See the definitions of &#147;large accelerated filer,&#148; &#147;accelerated filer&#148; and &#147;smaller reporting company&#148; in Rule 12b-2 of the Exchange Act.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 19.35pt 0pt 0in; TEXT-INDENT:0.25in">&nbsp;</p> <div align=left> <table style="WIDTH:60%; BORDER-COLLAPSE:collapse" cellpadding=0 cellspacing=0> <tr style=HEIGHT:14.5pt> <td width=20% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Large accelerated filer [&nbsp;&nbsp;]</font></p></td> <td width=40% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=40% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Accelerated filer&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;[&nbsp;&nbsp;]</font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=20% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Non-accelerated filer&nbsp;&nbsp; [&nbsp;&nbsp;] </font></p></td> <td width=40% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face=Calibri,sans-serif color=#000000>(Do not check if a smaller reporting company)</font></p></td> <td width=40% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Smaller reporting company&nbsp; [X]</font></p></td></tr></table></div> <p style="MARGIN:0in 0in 10pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font style=FONT-SIZE:10pt face="Times New Roman" lang=EN-US>Indicate by check mark whether the registrant is a shell company (as defined in Rule 12b-2 of the Exchange Act).</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font style=FONT-SIZE:10pt face="Times New Roman" lang=EN-US>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; </font><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Yes ____&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; No </font><u><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>&nbsp;&nbsp;X &nbsp;</font></u><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>&nbsp;&nbsp;</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font style=FONT-SIZE:10pt face="Times New Roman" lang=EN-US>Indicate the number of shares outstanding of each of the issuer's classes of common stock, as of the latest practicable date.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font style=FONT-SIZE:10pt face="Times New Roman" lang=EN-US>On March 12, 2014, the registrant had outstanding 212,957,900 shares of Common Stock, par value $.01 per share, which is the registrant&#146;s only class of common stock.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; </font></p><a name=_aciFooter1> <div> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></div></div> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div><a name=page_2> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"><a name=_aciHeader2> <div> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></div> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <div align=center> <table style="WIDTH:70%; BORDER-COLLAPSE:collapse" cellpadding=0 cellspacing=0> <tr style=HEIGHT:15.25pt> <td width=100% colspan=3 style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom><font style=FONT-SIZE:11pt> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right></font> <p style="MARGIN:0in 0in 0pt" align=center><b><u><font style=FONT-SIZE:11pt><font style=LINE-HEIGHT:normal face="times new roman"><a name=TABLE>TABLE OF CONTENTS</font></font></u></b></p></a></td></tr> <tr style=HEIGHT:15.25pt> <td width=9% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=80% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:15.25pt> <td width=9% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=80% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:15.25pt> <td width=9% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=80% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:15.25pt> <td width=9% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style=LINE-HEIGHT:normal face=Calibri,sans-serif color=#000000><a href=#1><font style=FONT-SIZE:11pt>PART I.</font></a><font style=FONT-SIZE:11pt> </font></font></p></td> <td width=80% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style=LINE-HEIGHT:normal face="times new roman" color=#000000><a href=#1><font style=FONT-SIZE:11pt>FINANCIAL INFORMATION</font></a><font style=FONT-SIZE:11pt> </font></font></p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:15.25pt> <td width=9% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=80% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:15.25pt> <td width=9% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style=LINE-HEIGHT:normal face=Calibri,sans-serif color=#000000><a href=#2><font style=FONT-SIZE:11pt>Item 1.&nbsp;</font></a><font style=FONT-SIZE:11pt>&nbsp;</font></font></p></td> <td width=80% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style=LINE-HEIGHT:normal face="times new roman" color=#000000><a href=#2><font style=FONT-SIZE:11pt>Financial Statements</font></a><font style=FONT-SIZE:11pt>.</font></font></p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:15.25pt> <td width=9% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=80% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style=LINE-HEIGHT:normal face="times new roman" color=#000000><a href=#CBS><font style=FONT-SIZE:11pt>Condensed Consolidated Balance Sheets as of January 31, 2014 (Unaudited) and October 31, 2013</font></a><font style=FONT-SIZE:11pt> </font></font></p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>3</font></p></td></tr> <tr style=HEIGHT:13pt> <td width=9% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=80% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style=LINE-HEIGHT:normal face="times new roman" color=#000000><a href=#OP><font style=FONT-SIZE:11pt>Condensed Consolidated Statements of Operations and Comprehensive Loss (Unaudited) for the three months ended January 31, 2014 and 2013</font></a><font style=FONT-SIZE:11pt> </font></font></p></td> <td width=11% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>4</font></p></td></tr> <tr style=HEIGHT:15.25pt> <td width=9% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=80% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style=LINE-HEIGHT:normal face="times new roman" color=#000000><a href=#SHARE><font style=FONT-SIZE:11pt>Condensed Consolidated Statement of Shareholders&#146; (Deficiency) (Unaudited) for the three months ended January 31, 2014</font></a><font style=FONT-SIZE:11pt> </font></font></p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>5</font></p></td></tr> <tr style=HEIGHT:15.25pt> <td width=9% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=80% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style=LINE-HEIGHT:normal face="times new roman" color=#000000><a href=#CF><font style=FONT-SIZE:11pt>Condensed Consolidated Statements of Cash Flows (Unaudited) for the three months ended January 31, 2014 and 2013</font></a><font style=FONT-SIZE:11pt> </font></font></p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>6</font></p></td></tr> <tr style=HEIGHT:15.25pt> <td width=9% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=80% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style=LINE-HEIGHT:normal face="times new roman" color=#000000><a href=#Notes><font style=FONT-SIZE:11pt>Notes to Condensed Consolidated Financial Statements (Unaudited)</font></a><font style=FONT-SIZE:11pt> </font></font></p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>7 &#150; 38</font></p></td></tr> <tr style=HEIGHT:15.25pt> <td width=9% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=80% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td></tr> <tr style=HEIGHT:15.25pt> <td width=9% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face=Calibri,sans-serif color=#000000><a href=#MDandA>Item 2.</a> </font></p></td> <td width=80% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000><a href=#MDandA>Management's Discussion and Analysis of Financial Condition and Results of Operations.</a> </font></p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>39 - 52</font></p></td></tr> <tr style=HEIGHT:15.25pt> <td width=9% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face=Calibri,sans-serif color=#000000><a href=#Quantitative>Item 3.</a> </font></p></td> <td width=80% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000><a href=#Quantitative>Quantitative and Qualitative Disclosures About Market Risk.</a> </font></p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>53</font></p></td></tr> <tr style=HEIGHT:15.25pt> <td width=9% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face=Calibri,sans-serif color=#000000><a href=#ControlsAndProcedure>Item 4.</a> </font></p></td> <td width=80% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000><a href=#ControlsAndProcedure>Controls and Procedures.</a> </font></p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>53</font></p></td></tr> <tr style=HEIGHT:15.25pt> <td width=9% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=80% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td></tr> <tr style=HEIGHT:15.25pt> <td width=9% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face=Calibri,sans-serif color=#000000><a href=#LegalProceeds>PART II.</a> </font></p></td> <td width=80% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000><a href=#LegalProceeds>OTHER INFORMATION</a> </font></p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td></tr> <tr style=HEIGHT:15.25pt> <td width=9% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=80% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td></tr> <tr style=HEIGHT:15.25pt> <td width=9% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face=Calibri,sans-serif color=#000000><a href=#LegalProceeds>Item 1.</a> </font></p></td> <td width=80% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000><a href=#LegalProceeds>Legal Proceedings.</a> </font></p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>54</font></p></td></tr> <tr style=HEIGHT:15.25pt> <td width=9% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face=Calibri,sans-serif color=#000000><a href=#RiskFactors>Item 1A.</a> </font></p></td> <td width=80% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000><a href=#RiskFactors>Risk Factors.</a> </font></p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>54</font></p></td></tr> <tr style=HEIGHT:15.25pt> <td width=9% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face=Calibri,sans-serif color=#000000><a href=#SaleOfEquity>Item 2.</a> </font></p></td> <td width=80% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000><a href=#SaleOfEquity>Unregistered Sales of Equity Securities and Use of Proceeds.</a> </font></p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>54</font></p></td></tr> <tr style=HEIGHT:15.25pt> <td width=9% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face=Calibri,sans-serif color=black><a href=#SeniorSecurities>Item 3.</a> </font></p></td> <td width=80% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000><a href=#SeniorSecurities>Defaults Upon Senior Securities.</a> </font></p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=black>55</font></p></td></tr> <tr style=HEIGHT:15.25pt> <td width=9% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face=Calibri,sans-serif color=black><a href=#MineSafety>Item 4.</a> </font></p></td> <td width=80% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000><a href=#MineSafety>Mine Safety Disclosures.</a> </font></p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=black>55</font></p></td></tr> <tr style=HEIGHT:15.25pt> <td width=9% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face=Calibri,sans-serif color=black><a href=#OtherInfo>Item 5.</a> </font></p></td> <td width=80% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=black><a href=#OtherInfo>Other Information.&nbsp;</a> </font></p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=black>55</font></p></td></tr> <tr style=HEIGHT:15.25pt> <td width=9% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=black><a href=#Exhibits>Item 6.</a> </font></p></td> <td width=80% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=black><a href=#Exhibits>Exhibits.</a> </font></p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=black>55</font></p></td></tr> <tr style=HEIGHT:15.25pt> <td width=9% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=80% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td></tr> <tr style=HEIGHT:15.25pt> <td width=9% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=80% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=black><a href=#Signatures>SIGNATURES</a> </font></p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=black>56</font></p></td></tr> <tr style=HEIGHT:15.25pt> <td width=9% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=80% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr></table></div> <p style="MARGIN:0in 0in 10pt">&nbsp;</p><a name=_aciFooter2> <div> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>2</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></div></div> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div><a name=page_3> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"><a name=_aciHeader3> <div> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a href=#TABLE>Table of Contents</a></font></p></div> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><b><u><font style=FONT-SIZE:11pt face="Times New Roman" lang=EN-US><a name=1>PART I.&nbsp; FINANCIAL INFORMATION</font></u></b></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p> <p style="MARGIN:0in 0in 0pt"><b><font style=FONT-SIZE:11pt face="Times New Roman" lang=EN-US><a name=2>Item 1.&nbsp; </font></b><b><u><font style=FONT-SIZE:11pt face="Times New Roman" lang=EN-US>Financial Statements.</font></u></b></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><u><font style=FONT-SIZE:11pt face="Times New Roman" lang=EN-US>COPYTELE, INC. AND SUBSIDIARIES</font></u></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><u><font style=FONT-SIZE:11pt face="Times New Roman" lang=EN-US><a name=CBS>CONDENSED CONSOLIDATED BALANCE SHEETS </font></u></p> <p style="MARGIN:0in 315pt 0pt 0in">&nbsp;</p> <div align=center>&nbsp;</div> <div align=center> <div align=center> <table style=WIDTH:70% cellpadding=0 cellspacing=0> <tr style=HEIGHT:15.25pt> <td width=74% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=11% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>(Unaudited)</font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=9% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:14.5pt> <td width=74% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=13% colspan=2 style="HEIGHT:14.5pt; BORDER-BOTTOM:#000000 1px solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" rowspan=2 valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman">January 31,</font><br></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman">2014</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% colspan=2 style="HEIGHT:14.5pt; BORDER-BOTTOM:#000000 1px solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" rowspan=2 valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman">October 31,</font><br></p> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman">2013</font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=74% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><u><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>ASSETS</font></u></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:14.5pt> <td width=74% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Current assets:</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=9% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td></tr> <tr style=HEIGHT:14.5pt> <td width=74% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt 10pt"><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Cash and cash equivalents</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>776,141 </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=9% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>898,172 </font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=74% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt 10pt"><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Short-term investments in certificates of deposit</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>2,450,000 </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=9% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=74% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt 10pt"><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Accounts receivable</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=9% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>175,000 </font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=74% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt 10pt"><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Prepaid expenses and other current assets </font></p></td> <td width=2% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>141,299 </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=9% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>160,646 </font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=74% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt 20pt"><font style=FONT-SIZE:10.5pt face="times new roman" color=#000000>Total current assets</font></p></td> <td width=2% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>3,367,440 </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=9% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>1,233,818 </font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=74% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=9% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:14.5pt> <td width=74% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt 10pt"><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Investment in Videocon Industries Limited global depository receipts, at market value</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>3,986,427 </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=9% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>4,197,341 </font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=74% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt 10pt"><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Patents, net of accumulated amortization of $70,481</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>2,965,630 </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=9% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=74% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt 10pt"><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Property and equipment, net of accumulated depreciation of $46,382 and $45,654 respectively</font></p></td> <td width=2% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>7,651 </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=9% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>8,379 </font></p></td></tr> <tr style=HEIGHT:15.25pt> <td width=74% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt 20pt"><font style=FONT-SIZE:10.5pt face="times new roman" color=#000000>Total assets</font></p></td> <td width=2% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=11% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>10,327,148 </font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=9% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>5,439,538 </font></p></td></tr> <tr style=HEIGHT:15.25pt> <td width=74% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=9% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:14.5pt> <td width=74% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><u><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>LIABILITIES AND SHAREHOLDERS' DEFICIENCY</font></u></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=9% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:14.5pt> <td width=74% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Current liabilities:</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=9% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:14.5pt> <td width=74% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt 10pt"><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Accounts payable and accrued expenses</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>1,216,425 </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=9% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>1,276,470 </font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=74% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt 10pt"><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Royalties and contingent legal fees payable </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>45,885 </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=9% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>207,743 </font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=74% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt 10pt"><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Current portion of convertible debentures due January 2015, net of discount of $772,044 in 2014 </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>667,956 </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=9% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=74% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt 10pt"><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Derivative liabilities, at fair value</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>3,430,000 </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=9% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>540,000 </font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=74% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt 10pt"><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Loan payable to related party (Note 1)</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>5,000,000 </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=9% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=74% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt 10pt"><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Deferred revenue, non-refundable license fees</font></p></td> <td width=2% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>1,187,320 </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=9% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>1,187,320 </font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=74% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt 20pt"><font style=FONT-SIZE:10.5pt face="times new roman" color=#000000>Total current liabilities</font></p></td> <td width=2% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>11,547,586 </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=9% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>3,211,533 </font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=74% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=9% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:14.5pt> <td width=74% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Contingencies (Note 11)</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=9% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:14.5pt> <td width=74% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Convertible debentures due January 2015, net of discount of $891,402 in 2013, less current portion</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=9% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>548,598 </font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=74% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Convertible debentures due November 2016, net of discount of $1,987,978 in 2014</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>1,512,022 </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=9% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=74% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Patent acquisition obligation</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>2,936,977 </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=9% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=74% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Loan payable to related party (Note 1)</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=9% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>5,000,000 </font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=74% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=9% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:14.5pt> <td width=74% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Shareholders&#146; deficiency:</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=9% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:14.5pt> <td width=74% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt" /></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right /></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=9% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:14.5pt> <td width=74% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt 10pt"><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Preferred stock, par value $100 per share; 500,000 shares authorized; no shares issued or outstanding</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=9% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=74% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt 10pt"><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Common stock, par value $.01 per share; 600,000,000 shares authorized; 210,517,530 and 209,276,745 shares issued and outstanding, respectively</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>2,105,175 </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=9% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>2,092,767 </font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=74% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt 10pt"><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Additional paid-in capital</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>136,214,138 </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=9% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>134,750,048 </font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=74% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt 10pt"><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Loan receivable from related party (Note 1)</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>(5,000,000)</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=9% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>(5,000,000)</font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=74% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt 10pt"><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Accumulated deficit </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>(138,777,836)</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=9% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>(135,163,408)</font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=74% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt 10pt"><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Accumulated other comprehensive (loss) </font></p></td> <td width=2% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>(210,914)</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=9% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style=FONT-SIZE:10.5pt face="times new roman" color=#000000>-</font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=74% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt 20pt"><font style=FONT-SIZE:10.5pt face="times new roman" color=#000000>Total shareholders&#146; deficiency</font></p></td> <td width=2% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>(5,669,437)</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=9% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>(3,320,593)</font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=74% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=9% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:15.25pt> <td width=74% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt 20pt"><font style=FONT-SIZE:10.5pt face="times new roman" color=#000000>Total liabilities and shareholders&#146; deficiency</font></p></td> <td width=2% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=11% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style=FONT-SIZE:10.5pt face="times new roman" color=#000000>10,327,148 </font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:10.5pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=9% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style=FONT-SIZE:10.5pt face="times new roman" color=#000000>5,439,538 </font></p></td></tr> <tr style=HEIGHT:15.25pt> <td width=74% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=9% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr></table></div></div> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:11pt face="Times New Roman" lang=EN-US>The accompanying notes are an integral part of these condensed consolidated financial statements. </font></p><a name=_aciFooter3> <div> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>3</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></div></div> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div><a name=page_4> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"><a name=_aciHeader4> <div> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a href=#TABLE>Table of Contents</a></font></p></div> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><u><font style=FONT-SIZE:11pt face="Times New Roman" lang=EN-US>COPYTELE, INC. AND SUBSIDIARIES</font></u></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><u><font style=FONT-SIZE:11pt face="Times New Roman" lang=EN-US><a name=OP>CONDENSED CONSOLIDATED STATEMENTS OF OPERATIONS </font></u></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><u><font style=FONT-SIZE:11pt face="Times New Roman" lang=EN-US>AND COMPREHENSIVE LOSS (UNAUDITED)</font></u></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p> <div align=left> <div align=center> <table style=WIDTH:70% cellpadding=0 cellspacing=0> <tr style=HEIGHT:15.25pt> <td width=72% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=28% colspan=5 style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" align=center valign=bottom> <p style="MARGIN:0in 0in 0pt" align=center> <p style="MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman">For the Three Months Ended</font></p></td></tr> <tr style=HEIGHT:15.25pt> <td width=72% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=28% colspan=5 style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right> <p style="MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman">January 31,</font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=72% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=13% colspan=2 style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman">2014</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=13% colspan=2 style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman">2013</font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=72% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt" /></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:14.5pt> <td width=72% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:14.5pt> <td width=72% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Revenue from patent assertion activities</font></p></td> <td width=2% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=11% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=11% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=72% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" align=right valign=bottom> <p style="MARGIN:0in 0.04in 0pt 0in" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:14.5pt> <td width=72% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Operating costs and expenses:</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0.04in 0pt 0in" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:14.5pt> <td width=72% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt 10pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Litigation and licensing expenses</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" align=right valign=bottom> <p style="MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>33,198 </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" align=right valign=bottom> <p style="MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=72% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt 10pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Marketing, general and administrative expenses (including non-cash stock option compensation expense of $720,638 and $714,203, respectively) </font></p></td> <td width=2% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>1,931,545 </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>2,072,799 </font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=72% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt 20pt"><font style=FONT-SIZE:11pt face="times new roman" color=#000000>Total operating costs and expenses</font></p></td> <td width=2% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" align=right valign=bottom> <p style="MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>1,964,743 </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" align=right valign=bottom> <p style="MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>2,072,799 </font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=72% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:14.5pt> <td width=72% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Loss from operations</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>(1,964,743)</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>(2,072,799)</font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=72% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:14.5pt> <td width=72% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Change in value of derivative liabilities</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>(1,320,000)</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" align=right valign=bottom> <p style="MARGIN:0in 0.04in 0pt 0in" align=right><font style=FONT-SIZE:11pt face="times new roman" color=#000000>-</font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=72% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:14.5pt> <td width=72% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Interest expense</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>(378,665)</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>(22,195)</font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=72% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:14.5pt> <td width=72% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Dividend Income</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" align=right valign=bottom> <p style="MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>47,568 </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" align=right valign=bottom> <p style="MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=72% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" align=right valign=top> <p style="MARGIN:0in 0.04in 0pt 0in" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=top> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=top> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" align=right valign=top> <p style="MARGIN:0in 0.04in 0pt 0in" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:14.5pt> <td width=72% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Interest income </font></p></td> <td width=2% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" align=right valign=bottom> <p style="MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>1,412 </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" align=right valign=bottom> <p style="MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>7 </font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=72% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:14.5pt> <td width=72% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Loss before income taxes</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>(3,614,428)</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>(2,094,987)</font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=72% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:14.5pt> <td width=72% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Provision for income taxes</font></p></td> <td width=2% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" align=right valign=bottom> <p style="MARGIN:0in 0.04in 0pt 0in" align=right><font style=FONT-SIZE:10.5pt face="times new roman" color=#000000>-</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" align=right valign=bottom> <p style="MARGIN:0in 0.04in 0pt 0in" align=right><font style=FONT-SIZE:10.5pt face="times new roman" color=#000000>-</font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=72% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:14.5pt> <td width=72% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Net loss</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>(3,614,428)</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>(2,094,987)</font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=72% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:14.5pt> <td width=72% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Other comprehensive income (loss):</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:14.5pt> <td width=72% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt 20pt"><font style=FONT-SIZE:11pt face="times new roman" color=#000000>Unrealized gain (loss) on investment in Videocon Industries Limited global depository receipts</font></p></td> <td width=2% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>(210,914)</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0.04in 0pt 0in" align=right><font style=FONT-SIZE:11pt face="times new roman" color=#000000>1,002,216 </font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=72% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:15.25pt> <td width=72% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Total comprehensive loss </font></p></td> <td width=2% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=11% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>(3,825,342)</font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=11% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>(1,092,771)</font></p></td></tr> <tr style=HEIGHT:15.25pt> <td width=72% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:14.5pt> <td width=72% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Net loss per share:</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:15.25pt> <td width=72% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt 20pt"><font style=FONT-SIZE:11pt face="times new roman" color=#000000>Basic and diluted</font></p></td> <td width=2% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=11% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>(0<font style=FONT-SIZE:11pt face="Times New Roman">.02</font>)</font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=11% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>(0<font style=FONT-SIZE:11pt face="Times New Roman">.01</font>)</font></p></td></tr> <tr style=HEIGHT:15.25pt> <td width=72% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:14.5pt> <td width=72% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Weighted average common shares outstanding:</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:15.25pt> <td width=72% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt 20pt"><font style=FONT-SIZE:11pt face="times new roman" color=#000000>Basic and diluted</font></p></td> <td width=2% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>210,232,227 </font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center /></td> <td width=2% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=11% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style=FONT-SIZE:11pt face="times new roman" color=#000000>184,998,059 </font></p></td></tr></table></div></div> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:11pt face="Times New Roman" lang=EN-US>The accompanying notes are an integral part of these condensed consolidated financial statements.</font></p><a name=_aciFooter4> <div> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>4</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></div></div> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div><a name=page_5> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"><a name=_aciHeader5> <div> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a href=#TABLE>Table of Contents</a></font></p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></div> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><u><font style=FONT-SIZE:11pt face="Times New Roman" lang=EN-US>COPYTELE, INC. AND SUBSIDIARIES</font></u></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><u><font style=FONT-SIZE:11pt face="Times New Roman" lang=EN-US><a name=SHARE>CONDENSED CONSOLIDATED STATEMENT OF SHAREHOLDERS&#146; DEFICIENCY</font></u></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><u><font style=FONT-SIZE:11pt face="Times New Roman" lang=EN-US>FOR THE THREE MONTHS ENDED JANUARY 31, 2014 (UNAUDITED)</font></u></p> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:10pt face="Times New Roman" lang=EN-US>&nbsp;&nbsp;</font></p> <div align=center>&nbsp;</div> <div align=center> <div align=center> <table style=WIDTH:75% cellpadding=0 cellspacing=0> <tr style=HEIGHT:15.25pt> <td width=24% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=8% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=7% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% colspan=2 style="HEIGHT:15.25pt; BORDER-BOTTOM:#000000 1px solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" rowspan=3 valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman">Additional</font><br></p> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman">Paid-in</font><br></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman">Capital</font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=9% colspan=2 style="BORDER-BOTTOM:#000000 1px solid" rowspan=3 valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman">Loan</font><br></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman">Receivable</font><br></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman">From</font><br></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman">Related Party</font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=7% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% colspan=2 style="BORDER-BOTTOM:#000000 1px solid" rowspan=3 valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman">Accumulated</font><br></p> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman">Other</font><br></p> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman">Comprehensive</font><br></p> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman">Income (Loss)</font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=9% colspan=2 style="HEIGHT:15.25pt; BORDER-BOTTOM:#000000 1px solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" rowspan=3 valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman">Total</font><br></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman">Shareholders&#146;</font><br></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman">Deficiency</font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=24% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=19% colspan=4 style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" align=center valign=bottom> <p style="MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Common Stock</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=9% colspan=2 style="HEIGHT:14.5pt; BORDER-BOTTOM:#000000 1px solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" rowspan=2 valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center> <p style="MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman">Accumulated</font><br></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center> <p style="MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman">Deficit</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td></tr> <tr style=HEIGHT:14.5pt> <td width=24% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=8% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Shares</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=9% colspan=2 style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman">Par Value</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td></tr> <tr style=HEIGHT:14.5pt> <td width=24% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=8% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=7% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=8% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=7% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=7% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=8% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=7% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:14.5pt> <td width=24% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Balance, October 31, 2013</font></p></td> <td width=8% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>209,276,745</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=7% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>2,092,767 </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=8% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>134,750,048 </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=7% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>(5,000,000)</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=7% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>(135,163,408)</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=8% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>- </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:left; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=7% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>(3,320,593)</font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=24% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt 10pt"><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Stock option compensation to employees</font></p></td> <td width=8% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=7% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=8% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>465,519 </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=7% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=7% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=8% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>- </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=7% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>465,519 </font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=24% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt 10pt"><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Stock option compensation to consultants</font></p></td> <td width=8% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=7% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=8% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>255,119 </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=7% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=7% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=8% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=7% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>255,119 </font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=24% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt 10pt"><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Common stock issued to consultants </font></p></td> <td width=8% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>90,000</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=7% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>900 </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=8% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>27,448 </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=7% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=7% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=8% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=7% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>28,348 </font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=24% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt 10pt"><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Common stock issued as payment of interest on convertible debentures </font></p></td> <td width=8% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>150,785</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=7% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>1,508 </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=8% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>27,292 </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=7% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=7% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=8% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=7% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>28,800 </font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=24% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt 10pt"><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Warrants issued in connection with issuance of convertible debentures</font></p></td> <td width=8% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=7% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=8% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>513,112 </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=7% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>- </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=7% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=8% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=7% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>513,112 </font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=24% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt 10pt"><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Common stock issued to acquire patents </font></p></td> <td width=8% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>1,000,000</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=7% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>10,000 </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=8% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>175,600 </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=7% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=7% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=8% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=7% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>185,600 </font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=24% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt 10pt"><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Unrealized loss on investment in Videocon </font></p></td> <td width=8% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right /></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=7% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right /></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=8% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt" /></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=7% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right /></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=7% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right /></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=8% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=7% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt" /></td></tr> <tr style=HEIGHT:14.5pt> <td width=24% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt 10pt"><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Industries Limited global depository receipts (Note 4)</font></p></td> <td width=8% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=7% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=8% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=7% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=7% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=8% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>(210,914)</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=7% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>(210,914)</font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=24% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Net loss </font></p></td> <td width=8% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=7% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=8% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=7% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>- </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=7% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>(3,614,428)</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=8% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>- </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=7% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>(3,614,428)</font></p></td></tr> <tr style=HEIGHT:15.25pt> <td width=24% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Balance, January 31, 2014</font></p></td> <td width=8% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>210,517,530</font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=7% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>2,105,175 </font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=8% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>136,214,138 </font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=7% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>(5,000,000)</font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=7% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>(138,777,836)</font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=8% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>(210,914)</font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:left; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=7% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:10pt face="times new roman" color=#000000>(5,669,437)</font></p></td></tr></table></div></div> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 6pt" align=center>&nbsp;</p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 6pt" align=center><font style=FONT-SIZE:10pt face="times new roman" lang=EN-US>The accompanying notes are an integral part of these condensed consolidated financial statements.</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 6pt 0.25in" align=center>&nbsp;</p><a name=_aciFooter5> <div> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>5</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></div></div> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div><a name=page_6> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"><a name=_aciHeader6> <div> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a href=#TABLE>Table of Contents</a></font></p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></div> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><u><font style=FONT-SIZE:11pt face="Times New Roman" lang=EN-US>COPYTELE, INC. AND SUBSIDIARIES</font></u></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><u><font style=FONT-SIZE:11pt face="Times New Roman" lang=EN-US><a name=CF>CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS (UNAUDITED)</font></u></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p> <div align=center>&nbsp;</div> <div align=center> <div align=center> <table style=WIDTH:70% cellpadding=0 cellspacing=0> <tr style=HEIGHT:14.5pt> <td width=73% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=27% colspan=5 style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right> <p style="MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman">For the three months ended January 31,</font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=73% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=13% colspan=2 style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman">2014</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=12% colspan=2 style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman">2013</font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=73% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:14.5pt> <td width=73% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Reconciliation of net loss to net cash used by operating activities:</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:14.5pt> <td width=73% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt 10pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Net loss</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>(3,614,428)</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=10% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>(2,094,987)</font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=73% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt 10pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Stock option compensation to employees</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>465,519 </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>473,275 </font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=73% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt 10pt"><font style=FONT-SIZE:11pt face="times new roman" color=#000000>Stock option compensation to consultants</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>255,119 </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>241,928 </font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=73% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt 10pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Common stock issued to consultants </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>28,348 </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>25,625 </font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=73% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt 10pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Common stock issued to pay interest on convertible debentures</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>28,800 </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" align=right valign=bottom> <p style="MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=73% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt 10pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Amortization of patents</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>70,481 </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=73% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt 10pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Amortized interest on patent acquisition obligations to interest expense</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>86,466 </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" align=right valign=bottom> <p style="MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=73% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt 10pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Amortization of convertible debenture discount to interest expense</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>217,316 </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>5,234 </font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=73% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt 10pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Change in value of derivative liabilities</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>1,320,000 </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" align=right valign=bottom> <p style="MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=73% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt 10pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Other</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>(2,096)</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>33,945 </font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=73% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Change in operating assets and liabilities:</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" align=right valign=bottom> <p style="MARGIN:0in 0.04in 0pt 0in" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:14.5pt> <td width=73% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt 20pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Accounts receivable</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>175,000 </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=73% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt 20pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Prepaid expenses and other current assets</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>19,347 </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>(11,172)</font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=73% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt 20pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Accounts payable and accrued expenses</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>(60,045)</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>436,142 </font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=73% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt 20pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Royalties and contingent legal fees payable</font></p></td> <td width=2% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>(161,858)</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" align=right valign=bottom> <p style="MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=73% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt 30pt"><font style=FONT-SIZE:11pt face="times new roman" color=#000000>Net cash used by operating activities</font></p></td> <td width=2% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>(1,172,031)</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>(890,010)</font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=73% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:14.5pt> <td width=73% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:14.5pt> <td width=73% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Cash flows from investing activities:</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:14.5pt> <td width=73% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt 10pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Disbursements to acquire short-term investments in certificates of deposit </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>(2,700,000)</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=73% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt 10pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Proceeds from sales of short-term investments in certificates of deposit </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>250,000 </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>500,000 </font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=73% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt 10pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Other</font></p></td> <td width=2% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>(1,330)</font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=73% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt 30pt"><font style=FONT-SIZE:11pt face="times new roman" color=#000000>Net cash (used in) provided by investing activities</font></p></td> <td width=2% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>(2,450,000)</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>498,670 </font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=73% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:14.5pt> <td width=73% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:14.5pt> <td width=73% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Cash flows from financing activities:</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:14.5pt> <td width=73% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt 10pt"><font style=FONT-SIZE:11pt face="times new roman" color=#000000>Proceeds from issuance of convertible debentures</font></p></td> <td width=2% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>3,500,000 </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>1,765,000 </font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=73% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt 30pt"><font style=FONT-SIZE:11pt face="times new roman" color=#000000>Net cash provided by financing activities</font></p></td> <td width=2% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>3,500,000 </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>1,765,000 </font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=73% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:14.5pt> <td width=73% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:14.5pt> <td width=73% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Net (decrease) increase in cash and cash equivalents </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>(122,031)</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>1,373,660 </font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=73% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt 10pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Cash and cash equivalents at beginning of year</font></p></td> <td width=2% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>898,172 </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>339,693 </font></p></td></tr> <tr style=HEIGHT:15.25pt> <td width=73% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt 10pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Cash and cash equivalents at end of period</font></p></td> <td width=2% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=11% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>776,141 </font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=10% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>1,713,353 </font></p></td></tr> <tr style=HEIGHT:15.25pt> <td width=73% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:14.5pt> <td width=73% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:14.5pt> <td width=73% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Supplemental disclosure of financing activities:</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:15.25pt> <td width=73% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt 10pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Fair value of debenture embedded conversion feature at date of issuance</font></p></td> <td width=2% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=11% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>1,570,000 </font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=10% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>1,180,000 </font></p></td></tr> <tr style=HEIGHT:15.95pt> <td width=73% style="HEIGHT:15.95pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt 10pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Relative fair value of warrants issued with convertible debentures</font></p></td> <td width=2% style="HEIGHT:15.95pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=11% style="HEIGHT:15.95pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>513,122 </font></p></td> <td width=2% style="HEIGHT:15.95pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.95pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=10% style="HEIGHT:15.95pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 0in" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>214,819 </font></p></td></tr> <tr style=HEIGHT:15.25pt> <td width=73% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr></table></div></div> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 12pt" align=center><font style=FONT-SIZE:11pt face="Times New Roman" lang=EN-US>The accompanying notes are an integral part of these statements.</font></p><a name=_aciFooter6> <div> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>6</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></div></div> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div><a name=page_7> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"><a name=_aciHeader7> <div> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a href=#TABLE>Table of Contents</a></font></p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></div> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><u><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>COPYTELE, INC. AND SUBSIDIARIES</font></u></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p> <p style="PAGE-BREAK-AFTER:avoid; TEXT-ALIGN:center; MARGIN:0in 0in 0pt"><u><font style=FONT-SIZE:12pt face="times new roman" lang=EN-US><a name=Notes>NOTES TO CONDENSED CONSOLIDATED FINANCIAL STATEMENTS</font></u></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><u><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>(UNAUDITED)</font></u></p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="MARGIN:0in 0in 12pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>1.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; </font><u><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>BUSINESS&nbsp;AND&nbsp;FUNDING&nbsp;</font></u></p> <p style="MARGIN:0in 0in 12pt"><u><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Description of Business</font></u></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>As used herein, &#147;we,&#148; &#147;us,&#148; &#147;our,&#148; the &#147;Company&#148;, &#147;CopyTele&#148; or &#147;CTI&#148; means CopyTele, Inc. and its wholly-owned subsidiaries.&nbsp;While in the past, the primary operations of the Company involved licensing in connection with the development of patented technologies, our principal operations are now the development, acquisition, licensing, and enforcement of patented technologies that are either owned or controlled by the Company.&nbsp;The Company currently owns or controls 9 patent portfolios.&nbsp;As part of our patent assertion activities and in the ordinary course of our business, the Company has initiated and will likely continue to initiate patent infringement lawsuits, and engage in patent infringement litigation.&nbsp;Since implementing our new business model in January of 2013, the Company has initiated 41 lawsuits in connection with 5 of our patent portfolios. Our primary source of revenue will come from licenses resulting from the unauthorized use of our patented technologies, including the settlement of patent infringement lawsuits. We entered into 4 revenue producing licenses in fiscal year 2013 and 2 additional revenue producing license since January 31, 2014, from 2 of our patent portfolios. In addition to continuing to mine and monetize our existing patents, our wholly owned subsidiary, CTI Patent Acquisition Corporation, will continue to acquire patents and the exclusive rights to license and enforce patents from third parties.&nbsp; </font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Due to arrangements previously entered into by the Company, certain of our patents contain encumbrances (see &#147;Agreements Relating to Previous Operations&#148; below) which may negatively impact our patent monetization and patent assertion activities. Where we are able, we will take the steps necessary to remove any encumbrances that may inhibit our patent monetization and patent assertion activities.&nbsp;We have obtained and we intend to continue to obtain the rights to license and enforce additional patents from third parties, and when necessary, will assist such parties in the further development of their patent portfolios through the filing of additional patent applications.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>In April 2013, CopyTele, through its wholly owned subsidiary, CTI Patent Acquisition Corporation, acquired the exclusive rights to license and enforce patent portfolios relating to (i) loyalty awards programs commonly provided by airlines, credit card companies, hotels, retailers, casinos, and others, and (ii) vinyl windows with integrated J-Channels, commonly used in modular buildings, mobile homes, and conventional, new construction.&nbsp; </font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p><a name=_aciFooter7> <div> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>7</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></div></div> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div><a name=page_8> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"><a name=_aciHeader8> <div> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a href=#TABLE>Table of Contents</a></font></p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></div> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style="FONT-SIZE:12pt; LETTER-SPACING:-0.15pt" face="Times New Roman" lang=EN-US>In November </font><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>2013, CTI Patent Acquisition Corporation acquired 2 patent portfolios in the rapidly expanding area of unified communications relating to (i) the multicast Internet delivery of streaming data, media, and other content, within the confines of specialized virtual private networks, and (ii) the integration of telephonic participation in web-based audio/video conferences by creating a gateway between the Internet and cellular or traditional landline telephones.&nbsp; </font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style="FONT-SIZE:12pt; TEXT-AUTOSPACE:ideograph-numeric" face="Times New Roman" lang=EN-US>We currently own or control 9 patent portfolios which we have identified for patent monetization: Encrypted Mobile Communication; ePaper&#174; Electrophoretic Display; Internet Telephonic Gateway; J-Channel Window Frame Construction; Key Based Web Conferencing Encryption; Loyalty Conversion Systems; Micro Electro Mechanical Systems Display; Nano Field Emission Display; and VPN Multicast Communications. </font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>On January 28, 2013, CTI initiated a patent infringement lawsuit in the United States District Court for the Northern District of California against E Ink Corporation (&#147;E INK&#148;), regarding certain patents owned by CTI pertaining to CTI&#146;s ePaper&#174; Electrophoretic Display technology.&nbsp; CTI alleges that E Ink has infringed and continues to infringe such patents in connection with the manufacture, sale, use, and importation of electrophoretic displays. &nbsp;On January 28, 2013, CTI filed a separate lawsuit against AU Optronics Corp. (&#147;AUO&#148;) and E Ink, the AUO/E Ink Lawsuit (as defined below). In June of 2013, CTI and AUO agreed to arbitrate CTI&#146;s charges in the AUO/E Ink Lawsuit. We believe that arbitration should result in a faster and more efficient adjudication. &nbsp;The Court also ordered E Ink to participate in the arbitration, for purposes of discovery. Because issues in the AUO/E Ink arbitration need to be resolved before the patent infringement case can proceed against E Ink, the Court dismissed the patent infringement case, without prejudice, meaning that CTI can re-file the patent infringement lawsuit, if necessary, following the arbitration.&nbsp; </font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>On May 1, 2013, CTI&#146;s wholly owned subsidiary, Secure Web Conference Corporation, initiated a patent infringement lawsuit in the United States District Court for the Eastern District of New York against Microsoft Corporation, with respect to encryption technology utilized by Microsoft&#146;s SKYPE video conferencing service.&nbsp; On July 8, 2013, Secure Web Conference Corporation initiated similar lawsuits in the United States District Court for the Eastern District of New York against Citrix Systems and Logitech International.&nbsp; </font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>&nbsp;&nbsp;</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>On August 7, 2013, CTI&#146;s wholly owned subsidiary, J-Channel Industries Corporation, filed 8 separate patent infringement lawsuits in the United States District Court for the Eastern District of Tennessee, against Lowe&#146;s Companies, Clayton Homes, Pella Corporation, Jeld-Wen, Atrium Windows and Doors, Ply Gem Industries, RGF Industries, Tafco Corporation, Kinro Manufacturing, and Elixir Industries, all in connection with our patented J-Channel Window Frame Construction technology.</font><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US> &nbsp;</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style="FONT-SIZE:12pt; BACKGROUND:white" face="Times New Roman" color=black lang=EN-US>On August 20, 2013, </font><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>CTI&#146;s wholly owned subsidiary,</font><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US> </font><font style="FONT-SIZE:12pt; BACKGROUND:white" face="Times New Roman" color=black lang=EN-US>Loyalty Conversion System Corporation, filed 10 separate patent infringement lawsuits in the United States District Court for the Eastern District of Texas, against Alaska Airlines, American Airlines, Delta </font><font style="FONT-SIZE:12pt; BACKGROUND:white" face="Times New Roman" color=black lang=EN-US>Airlines, Frontier Airlines, Hawaiian Airlines, JetBlue Airways, Southwest Airlines, Spirit Airlines, United Airlines, and U.S. Airways, all in connection with our Loyalty Conversion Systems patent portfolio.&nbsp; </font></p><a name=_aciFooter8> <div> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>8</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></div></div> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div><a name=page_9>&nbsp; <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"><a name=_aciHeader9> <div> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a href=#TABLE>Table of Contents</a></font></p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></div> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>On October 9, 2013, CTI&#146;s wholly owned subsidiary, J-Channel Industries Corporation, </font><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN>filed 19 patent infringement lawsuits in the Federal District Court for the Eastern District of Tennessee, in connection with its patented J-Channel Window Frame Construction technology. Defendants in the lawsuits consist of retailers and window manufacturers, including: Home Depot U.S.A., Inc.; Anderson Corporation; American Builders &amp; Contractors Supply Co., Inc. (ABC Supply); Comfort View Products, LLC; Croft, LLC; Moss Supply Company; Wincore Window Company LLC; Vinylmax, LLC; Simonton Building Products, Inc.; HWD Acquisition, Inc. (Hurd Windows); Magnolia Windows and Doors, LLC; MGM Industries, Inc., MI Windows and Doors LLC; PGT Industries, Inc.; Quaker Window Products Co.; Sun Windows, Inc.; Weather Shield Manufacturing, Inc.; West Window Corporation; Woodgrain Millwork, Inc.; and YKK-AP American Inc.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN>The Company has engaged in and will continue to engage in patent infringement lawsuits in the ordinary course of its business operations.&nbsp;All litigation involves a significant degree of uncertainty, and we give no assurances as to the outcome of any lawsuit or lawsuits.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:40.5pt"><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>The Company has entered into 6 license agreements in connection with 2 of our patent technologies.&nbsp;In October 2013, we entered into a license agreement with Alaska Air Group, Inc. in connection with our Loyalty Conversion Systems technology. In addition, in October 2013 we entered into license agreements with Tafco Corporation, RGF Industries and Elixir Industries and in February and March 2014 we entered into license agreements with HWD Acquisition, Inc. and PGT Industries, Inc. in connection with our patented J-Channel Window Frame Construction technology. These licenses resolved lawsuits that were pending against the aforementioned companies.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><u><font style=FONT-SIZE:12pt face="times new roman" lang=EN-US>Agreements Relating to Previous Business Operations</font></u></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="MARGIN:0in 0in 0pt 0.25in"><b><font style=FONT-SIZE:12pt face="times new roman" lang=EN-US>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; </font></b><u><font style=FONT-SIZE:12pt face="times new roman" lang=EN-US>AU Optronics Corp</font></u><b><u><font style=FONT-SIZE:12pt face="times new roman" lang=EN-US>.&nbsp;</font></u></b></p> <p style="MARGIN:0in 0in 0pt 0.25in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>In May 2011, we entered into an Exclusive License Agreement (the &#147;EPD License Agreement&#148;) and a License Agreement (the &#147;Nano Display License Agreement&#148;) with AUO (together the &#147;AUO License Agreements&#148;).On January 28, 2013, we terminated the AUO License Agreements due to numerous alleged material and continual breaches of the agreements by AUO.&nbsp;On January 28, 2013, we also filed a lawsuit in the United States District Court for the Northern District of California against AUO and E Ink in connection with the AUO License Agreements, alleging breach of contract and other charges, and we are seeking compensatory, punitive, and treble damages (the &#147;AUO/E Ink Lawsuit&#148;).&nbsp;For more details on the AUO/E Ink Lawsuit, please see Note 11, &#147;Commitment and Contingences &#150; Litigation Matters&#148; herein.&nbsp;We can give no assurance as to the outcome of this litigation. </font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p><a name=_aciFooter9> <div> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>9</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></div></div> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div><a name=page_10> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"><a name=_aciHeader10> <div> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a href=#TABLE>Table of Contents</a></font></p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></div> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><u><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Videocon Industries Limited and Transactions with Related Parties</font></u></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>In November 2007, we entered into a license agreement (the &#147;Videocon License Agreement&#148;) with Videocon Industries Limited (&#147;Videocon&#148;).&nbsp;Under the Videocon License Agreement, we provided Videocon with a non-transferable, worldwide license of our Nano Field Emission Display patented technology.We are not presently involved in development efforts with Videocon and it is not anticipated that such efforts will be resumed in the future.We have entered into discussions with Videocon regarding the disposition of the Videocon License Agreement.&nbsp; </font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>At the same time we entered into the Videocon License Agreement in November 2007, we also entered into a Share Subscription Agreement (the &#147;Share Subscription Agreement&#148;) with Mars Overseas Limited, an affiliate of Videocon (&#147;Mars Overseas&#148;).&nbsp; Under the Share Subscription Agreement, Mars Overseas purchased 20,000,000 unregistered shares of our common stock (the &#147;CopyTele Shares&#148;) from us for an aggregate purchase price of $16,200,000.&nbsp; Also in November 2007, our wholly-owned subsidiary, CopyTele International Ltd. (&#147;CopyTele International&#148;), entered into a GDR Purchase Agreement with Global EPC Ventures Limited (&#147;Global&#148;), for CopyTele International to purchase from Global </font><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>1,495,845 global depository receipts of Videocon (the &#147;Videocon GDRs&#148;) for an aggregate purchase price of $16,200,000.&nbsp; </font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>For the purpose of effecting a lock up of the Videocon GDRs and CopyTele Shares (collectively, the &#147;Securities&#148;) for a period of seven years, and therefore restricting both parties from selling or transferring the Securities during such period, CopyTele International and Mars Overseas entered into two Loan and Pledge Agreements in November 2007.&nbsp;The Videocon GDRs are to be held as security for a loan in the principal amount of $5,000,000 from Mars Overseas to CopyTele International, and the CopyTele Shares are similarly held as security for a loan in the principal amount of $5,000,000 from CopyTele International to Mars Overseas.&nbsp;The loan payable to Mars Overseas is solely a liability of CopyTele International without recourse to CopyTele, Inc., its parent company.&nbsp;The loans are for a period of seven years, do not bear interest, and provide for customary events of default, which may result in forfeiture of the Securities by the defaulting party, and also provide for the transfer to the respective parties, free and clear of any encumbrances under the agreements, any dividends, distributions, rights or other proceeds or benefits in respect of the Securities.&nbsp; The loan receivable from Mars Overseas is classified as a contra-equity under shareholders&#146; deficiency in the accompanying condensed consolidated balance sheet because the loan receivable is secured by the CopyTele Shares and the Share Subscription Agreement and Loan and Pledge Agreement were entered into concurrently. We have entered into discussions with Videocon regarding the disposition of the Subscription Agreement, GDR Purchase Agreement, and Loan and Pledge Agreements. The outcome of these discussions and the disposition of the related assets and liabilities may have a material effect on our financial statements. We cannot presently estimate the timing or impact of any such resolution.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p><a name=_aciFooter10> <div> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>10</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></div></div> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div><a name=page_11> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"><a name=_aciHeader11> <div> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a href=#TABLE>Table of Contents</a></font></p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></div> <p style="MARGIN:0in 0in 6pt"><u><font style=FONT-SIZE:12pt face="times new roman" lang=EN-US>Funding and Management&#146;s Plans</font></u></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style="FONT-SIZE:12pt; TEXT-AUTOSPACE:ideograph-numeric" face="Times New Roman" lang=EN-US>In September 2012, we received aggregate gross proceeds of $750,000 from the issuance of 8% convertible debentures due September 12, 2016 in a private placement.&nbsp;During the second quarter of fiscal 2013, the entire principal amount of these debentures was converted into 8,152,170 shares of common stock.&nbsp; For details on these debentures, please see Note 2, &#147;Convertible Debentures&#148; herein.&nbsp; </font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>In January 2013, we received aggregate gross proceeds of $1,765,000 from the issuance of 8% convertible debentures due January 25, 2015 in a private placement.&nbsp;During the third quarter of fiscal 2013, $325,000 principal amount of these debentures were converted into 2,166,775 shares of our common stock.&nbsp;For details on these debentures, please see Note 2, &#147;Convertible Debentures&#148; herein.&nbsp; </font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.25in"><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>On April 23, 2013, we entered into a common stock purchase agreement (the &#147;Stock Purchase Agreement&#148;) with Aspire Capital Fund LLC (&#147;Aspire Capital&#148;), which provides that Aspire Capital is committed to purchase up to an aggregate of $10 million of shares of our common stock over the two-year term of the agreement.&nbsp;In consideration for entering into the Stock Purchase Agreement, concurrently with the execution of the agreement, we issued to Aspire Capital 3,500,000 shares of our common stock with a fair value of $700,000 as a commitment fee.&nbsp;Upon execution of the Stock Purchase Agreement, Aspire Capital purchased 2,500,000 shares for $500,000.&nbsp; In order to sell any additional shares under the Stock Purchase Agreement, we were required to have a registration statement covering the shares issued to Aspire Capital declared effective by the Securities and Exchange Commission (the &#147;SEC&#148;).&nbsp;Such registration statement was declared effective by the SEC in June 2013.&nbsp; </font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:27.5pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:27.5pt"><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>Under the Stock Purchase Agreement there are two ways that we can elect to sell shares of common stock to Aspire Capital.&nbsp;On any business day we can select: (1)&nbsp;through a regular purchase of up to 200,000 shares (but not to exceed $200,000) at a known price based on the market price of our common stock prior to the time of each sale, and (2)&nbsp;through a volume-weighted average price, or VWAP, purchase of a number of shares up to 30% of the volume traded on the purchase date at a price equal to the lesser of (i) the closing sale price on the purchase date or (ii) 95% of the VWAP for such purchase date.&nbsp;The Company can only require a VWAP purchase if the closing sale price for our Common Stock on the notice day for the VWAP purchase is higher than $0.50.&nbsp; During the third and fourth quarters of fiscal year 2013 we sold an additional 2,880,000 shares of our common stock to Aspire Capital for approximately $592,000.&nbsp; We did not sell any shares of common stock to Aspire Capital during the three months ended January 31, 2014.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:27.5pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:27.5pt"><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>The number of shares covered by and the timing of, each purchase notice are determined by us, at our sole discretion.&nbsp;The Company cannot execute any sales under the Stock Purchase Agreement when the closing price of our common stock is less than $0.15 per share.&nbsp;Aspire Capital has no right to require any sales from us, but is obligated to make purchases as directed in accordance with the Stock Purchase Agreement.&nbsp;The Stock Purchase Agreement may be terminated by us at any time, at our discretion, without any <font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>cost or penalty.&nbsp;We incurred expenses of approximately $42,000 in connection with the execution of the Stock Purchase Agreement in addition to the 3,500,000 shares of our common stock we issued as a commitment fee.</font></font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:27.5pt">&nbsp;</p><a name=_aciFooter11> <div> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>11</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></div></div> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div><a name=page_12> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"><a name=_aciHeader12> <div> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a href=#TABLE>Table of Contents</a></font></p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></div> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:27.5pt"><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>On May 29, 2013, the Company offered the holders of the warrants issued in our February 2011 private placement, exercisable at a purchase price of $0.178 per share, the opportunity to exercise the warrants at a reduced exercise price of $0.16 per share (payable in cash) during the period ended July 15, 2013.&nbsp;In connection therewith, </font><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>our Chairman, our Chief Financial Officer and director, and one other director of the Company </font><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>exercised warrants to purchase 2,380,000 shares of our Common Stock and we received gross proceeds of approximately $381,000. </font><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>Utilizing the Black-Scholes option-pricing model, the Company determined that the aggregate incremental fair value of the repriced warrants was immaterial and no charge was recorded.&nbsp;&nbsp;</font><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>In addition, we issued 547,493 shares of our common stock upon the exercise, on a &#147;cashless&#148; basis, of warrants to purchase 1,400,000 shares </font><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>at a purchase price of $0.178 per share</font><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>. &nbsp;</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>On November 11, 2013, the Company completed a private placement with a single institutional investor, pursuant to which the Company issued a $3,500,000 principal amount 6% convertible debenture due November 11, 2016. For details on this debenture, please see Note 2, &#147;Convertible Debentures&#148; herein.&nbsp; </font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>During the three months ended January 31, 2014, cash used in operating activities was approximately $1,172,000.&nbsp;Cash used in investing activities during the three months ended January 31, 2014 was $2,450,000, which resulted from the purchase of certificates of deposit totaling $2,700,000 which was partially offset by the sale of certificates of deposit totaling $250,000.&nbsp;Our cash provided by financing activities during the three months ended January 31, 2014 was $3,500,000, which resulted from the sale of convertible debentures in a private placement. &nbsp;As a result, our cash, cash equivalents, and short-term investments at January 31, 2014 increased approximately $2,328,000 to approximately $3,226,000 from approximately $898,000 at the end of fiscal year 2013.&nbsp; </font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Total employee compensation expense during the three months ended January 2014 and 2013 was approximately $1,044,000 and $819,000, respectively, which included approximately $466,000 and $473,000, respectively, of non-cash stock-based compensation expense, related to stock options granted to employees and directors.&nbsp;In addition, consulting expense incurred during the three months ended January 31, 2014 and 2013 included approximately $$255,000 and $242,000, respectively, of non-cash stock stock-based compensation expense related to stock options granted to consultants.&nbsp;&nbsp; </font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Based on currently available information, we believe that our existing cash, cash equivalents and short-term investments, together with expected cash flows from the Stock Purchase Agreement with Aspire Capital and expected cash flows from patent licensing and enforcement, and other potential sources of cash flows will be sufficient to enable us to continue our patent licensing and enforcement activities for at least 12 months.&nbsp;However, our projections of future cash needs and cash flows may differ from actual results.&nbsp; If current cash on hand and cash that may be generated from the Stock Purchase Agreement <font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>and from patent licensing and enforcement activities are insufficient to satisfy our liquidity requirements, we may seek to sell equity securities or obtain loans from various financial institutions where possible.&nbsp;The sale of additional equity securities or convertible debt could result in dilution to our shareholders.&nbsp;We can give no assurance that we will generate sufficient cash flows in the future (through licensing and enforcement of patents, or otherwise) to satisfy our liquidity requirements or sustain future operations, or that other sources of funding, such as sales of equity or debt, would be available, if needed, on favorable terms or at all.&nbsp;We can also give no assurance that we will have sufficient funds to repay our outstanding indebtedness.&nbsp; If we cannot obtain such funding if needed or if we cannot sufficiently reduce operating expenses, we would need to curtail or cease some or all of our operations.&nbsp; </font></font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p><a name=_aciFooter12> <div> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>12</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></div></div> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div><a name=page_13> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"><a name=_aciHeader13> <div> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a href=#TABLE>Table of Contents</a></font></p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></div> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><u><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Basis of Presentation</font></u></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>The condensed consolidated financial statements include the accounts of CopyTele, Inc. and its wholly owned subsidiaries.&nbsp;All intercompany transactions have been eliminated. The results of operations for interim periods presented are not necessarily indicative of the results that may be expected for a full year or any interim period.&nbsp; Reference is made to the audited consolidated financial statements and notes thereto included in our Annual Report on Form 10-K for the fiscal year ended October 31, 2013, for more extensive disclosures than contained in these condensed consolidated financial statements.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; </font><u><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Revenue Recognition</font></u><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US> &nbsp;</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>Revenue is recognized when (i) persuasive evidence of an arrangement exists, (ii) all obligations have been substantially performed pursuant to the terms of the arrangement, (iii) amounts are fixed or determinable, and (iv) the collectability of amounts is reasonably assured.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>In general, patent assertion revenue arrangements provide for the payment of contractually determined fees in consideration for the grant of certain intellectual property rights for patented technologies owned or controlled by our operating subsidiaries.&nbsp;&nbsp;These rights typically include some combination of the following:&nbsp;&nbsp;(i) the grant of a non-exclusive, retroactive and future license to manufacture and/or sell products covered by patented technologies owned or controlled by our operating subsidiaries, (ii) a covenant-not-to-sue, (iii) the release of the licensee from certain claims, and (iv) the dismissal of any pending litigation.&nbsp;The intellectual property rights granted are perpetual in nature, extending until the expiration of the related patents.&nbsp;Pursuant to the terms of these agreements, our operating subsidiaries have no further obligation with respect to the grant of the non-exclusive retroactive and future licenses, covenants-not-to-sue, releases, and other deliverables, including no express or implied obligation on our operating subsidiaries&#146; part to maintain or upgrade the technology, or provide future support or services.&nbsp;Generally, the agreements provide for the grant of the licenses, covenants-not-to-sue, releases, and other significant deliverables upon execution of the agreement.&nbsp;As such, the earnings process is complete and revenue is recognized upon the execution of the </font><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>agreement, when collectability is reasonably assured, and when all other revenue recognition criteria have been met.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p><a name=_aciFooter13> <div> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>13</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></div></div> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div><a name=page_14> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"><a name=_aciHeader14> <div> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a href=#TABLE>Table of Contents</a></font></p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></div> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><u><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Inventor Royalties and Contingent Legal Fees</font></u></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Inventor royalties and contingent legal fees are expensed in the condensed consolidated statements of operations in the period that the related revenues are recognized.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><u><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Patents</font></u></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Our only identifiable intangible assets are patents and patent rights.&nbsp;We capitalize patent and patent rights acquisition costs and amortize the cost over the estimated economic useful life.&nbsp;Patent acquisition costs capitalized during the three months ended January 31, 2014 and 2013, was approximately $3,036,000 and $-0-, respectively.&nbsp;Patent amortization expense during the three months ended January 31, 2014 and 2013, was approximately $70,000 and $-0-, respectively.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="MARGIN:0in 0in 12pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>2.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; </font><u><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>CONVERTIBLE DEBENTURES</font></u></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><u><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Convertible Instruments</font></u></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><u><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>&nbsp;</font></u></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>The Company accounts for hybrid contracts that feature conversion options in accordance with applicable generally accepted accounting principles (&#147;GAAP&#148;).&nbsp; ASC &nbsp;815 &#147;Derivatives and Hedging Activities,&#148; (&#147;ASC 815&#148;) requires companies to bifurcate conversion options from their host instruments and account for them as free standing derivative financial instruments according to certain criteria. The criteria includes circumstances in which (a) the economic characteristics and risks of the embedded derivative instrument are not clearly and closely related to the economic characteristics and risks of the host contract, (b)&nbsp;the hybrid instrument that embodies both the embedded derivative instrument and the host contract is not re-measured at fair value under otherwise applicable generally accepted accounting principles with changes in fair value reported in earnings as they occur and (c)&nbsp;a separate instrument with the same terms as the embedded derivative instrument would be considered a derivative instrument.&nbsp;</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Conversion options that contain variable settlement features such as provisions to adjust the conversion price upon subsequent issuances of equity or equity linked securities at exercise prices more favorable than that featured in the hybrid contract generally result in their bifurcation from the host instrument.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; The Company accounts for convertible instruments, when the Company has determined that the embedded conversion options should not be bifurcated from their host instruments, in accordance with ASC 470-20 &#147;Debt with Conversion and Other Options&#148; (&#147;ASC 470-20&#148;). Under ASC 470-20 the Company records, when necessary, discounts to convertible notes for the intrinsic value of conversion options embedded in debt </font><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>instruments based upon the differences between the fair value of the underlying common stock at the commitment date of the note transaction and the effective conversion price embedded in the note. The Company accounts for convertible instruments (when the Company has determined that the embedded conversion options should be bifurcated from their host instruments) in accordance with ASC 815.&nbsp;&nbsp;Under ASC 815, a portion of the proceeds received upon the issuance of the hybrid contract are allocated to the fair value of the derivative. The derivative is subsequently marked to market at each reporting date based on current fair value, with the changes in fair value reported in results of operations.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; The conversion feature of the convertible debenture issued on January 25, 2013 qualified as an embedded derivative instrument and was bifurcated from the host convertible debenture.&nbsp;Accordingly, this instrument has been classified as a derivative liability in the accompanying condensed consolidated balance sheet as of January 31, 2014. Derivative liabilities are initially recorded at fair value and are then re-valued at each reporting date, with changes in fair value recognized in earnings during the reporting period.</font></p><a name=_aciFooter14> <div> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>14</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></div></div> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div><a name=page_15><br><u><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a href=#TABLE>Table of Contents</a></font></font></u><u><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><br></font></u> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"><a name=_aciHeader15> <div> <p style="MARGIN:0in 0in 0pt"><u><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><br>Common Stock Purchase Warrants </font></u></p></div><a name=_aciHeader15> <div>&nbsp;</div> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; The Company classifies as equity any contracts that (i)&nbsp;require physical settlement or net-share settlement or (ii) provides a choice of net-cash settlement or settlement in the Company&#146;s own shares (physical settlement or net-share settlement)&nbsp;providing that such contracts are indexed to the Company's own stock as defined in ASC 815-40 "Contracts in Entity's Own Equity". The Company classifies as assets or liabilities any contracts that (i)&nbsp;require net-cash settlement (including a requirement to net cash settle the contract if an event occurs and if that event is outside the Company&#146;s control) or (ii) gives the counterparty a choice of net-cash settlement or settlement in shares (physical settlement or net-share settlement).&nbsp;&nbsp;The Company assesses classification of common stock purchase warrants and other free standing derivatives at each reporting date to determine whether a change in classification between assets and liabilities or equity is required.&nbsp; </font></p> <p style="TEXT-ALIGN:justify; MARGIN:12pt 0in 0pt"><u><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Convertible Debenture due September 2016</font></u></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>In September 2012, the Company received aggregate gross proceeds of $750,000 from the issuance of 8% convertible debentures due September 12, 2016 in a private placement, of which $300,000 was sold to the Company&#146;s current Chairman and then Chief Executive Officer and one other director of the Company.&nbsp; The debentures paid interest quarterly and were convertible into shares of our common stock at a conversion price of $0.092 per share on or before September 12, 2016.&nbsp; The Company recorded a discount to the carrying amount of the debentures of approximately $717,000 related to the debentures&#146; beneficial conversion feature.&nbsp; The Company was permitted to prepay the debentures at any time without penalty upon 30 days prior notice.&nbsp; The Company also had the option to pay interest on the debentures in common stock.&nbsp;During the second quarter of fiscal 2013, the entire $750,000 principal amount of these debentures were converted into 8,152,170 shares of common stock and an additional 100,725 shares were issued in payment of approximately $9,300 of accrued interest through the conversion date.&nbsp;The </font><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>conversion of the debentures resulted in a charge to interest expense of approximately $717,000 during the second quarter of fiscal 2013.&nbsp;</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p><a name=_aciFooter15> <div> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>15</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></div></div> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div><a name=page_16> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"><a name=_aciHeader16> <div> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a href=#TABLE>Table of Contents</a></font></p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="MARGIN:0in 0in 0pt"><u><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Convertible Debenture due January 2015</font></u></p></div> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>In January 2013, the Company received aggregate gross proceeds of $1,765,000 from the issuance of 8% convertible debentures due January 25, 2015 (&#147;Convertible Debenture due January 2015&#148;), of which $250,000 was received from our current President, Chief Executive Officer and director, and two other directors of the Company.&nbsp;The debentures pay interest quarterly and are convertible into shares of our common stock at a conversion price of $0.15 per share on or before January 25, 2015.&nbsp;The embedded conversion feature has certain weighted average anti-dilution protection provisions which would be triggered if the Company issues its common stock, or certain common stock equivalents, (as defined) at a price below $0.15 per share.&nbsp; The Company has the option to pay any interest on the debentures in common stock based on the average of the closing prices of&nbsp; our common stock for the 10 trading days immediately preceding the interest payment date.&nbsp; The Company also has the option to pay any interest on the debentures with additional debentures.&nbsp;The Company may prepay the debentures at any time without penalty upon 30 days prior notice but only if the sales price of the common stock is at least $.30 for 20 trading days in any 30-day trading period ending no more than 15 days before the Company&#146;s prepayment notice.&nbsp;In conjunction with the issuance of the debentures, the Company issued warrants (the &#147;Convertible Debenture Warrant&#148;) to purchase 5,882,745 shares of its common stock.&nbsp; Each warrant grants the holder the right to purchase one share of the Company&#146;s common stock at the purchase price of $0.30 per share on or before January 25, 2016.&nbsp; The Convertible Debenture Warrant may be exercised on a cashless basis only if there is not an effective registration statement covering such shares.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>The Company determined, based upon authoritative guidance, that the conversion feature embedded within the Convertible Debenture due January 2015 should be valued separately and bifurcated from the host instrument and accounted for as a free-standing derivative liability and that the Convertible Debenture Warrant should also be valued and accounted for separately as an equity instrument.&nbsp;</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>The Company determined the fair value of each of the three elements included within the Convertible Debenture due January 2015.&nbsp;The debenture portion (without the conversion feature) bearing interest at 8% was determined to be a debt instrument with a fair value of $1,490,000.The embedded conversion feature was determined to be a derivative liability with a fair value of $1,180,000.&nbsp;The Convertible Debenture Warrant was determined to be an equity instrument with a fair value of $370,000.&nbsp;The Company determined the fair value of each of these instruments based upon the assumptions and methodologies as discussed below.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p><a name=_aciFooter16> <div> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>16</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></div></div> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div><a name=page_17> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"><a name=_aciHeader17> <div> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a href=#TABLE>Table of Contents</a></font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Since the Convertible Debenture Warrant was determined to be an equity instrument, the Company first computed the relative fair value of the Convertible Debenture due January 2015 (including the value of its conversion feature) with a fair value of $2,670,000 and the Convertible Debenture Warrant with a fair value of&nbsp; </font><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>$370,000.&nbsp;Accordingly, the relative fair value of the Convertible Debenture Warrant and the Convertible Debenture due January 2015 (including the value of its conversion feature) was determined to be $214,819 and $1,550,181, respectively.&nbsp;Then, from the relative fair value of the Convertible Debenture due January 2015, the Company deducted in full the fair value of the embedded conversion feature of $1,180,000.&nbsp;The discount of $1,394,819 applied to the face value of the Convertible Debenture due January 2015 consists of the sum of the relative fair value of the Convertible Debenture Warrant of $214,819 and the full value of the bifurcated conversion option derivative liability of $1,180,000.&nbsp; The Convertible Debenture due January 2015 was recorded at a net value of $370,181, representing its face value of $1,765,000, less aggregate discounts for the derivative liability and warrant of $1,394,819, as summarized in the table below.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p></div> <div align=center> <table style="WIDTH:50%; MARGIN-LEFT:47.35pt" cellpadding=0 cellspacing=0> <tr style=HEIGHT:12.5pt> <td width=72% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Face value of Convertible Debenture due January 2015</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=11% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.8pt 0pt 0in" align=right>&nbsp;</p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">$</font></p></td> <td width=11% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">1,765,000&nbsp;</font></p></td></tr> <tr> <td width=72% style="BACKGROUND-IMAGE:none; BACKGROUND-REPEAT:repeat; BACKGROUND-ATTACHMENT:scroll; BACKGROUND-POSITION:0% 0%; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 11.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Fair value of embedded conversion feature</font></p></td> <td width=2% style="BACKGROUND-IMAGE:none; BACKGROUND-REPEAT:repeat; BACKGROUND-ATTACHMENT:scroll; BACKGROUND-POSITION:0% 0%; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">$</font></p></td> <td width=11% style="BACKGROUND-IMAGE:none; BACKGROUND-REPEAT:repeat; BACKGROUND-ATTACHMENT:scroll; BACKGROUND-POSITION:0% 0%; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">1,180,000</font></p></td> <td width=2% style="BACKGROUND-IMAGE:none; BACKGROUND-REPEAT:repeat; BACKGROUND-ATTACHMENT:scroll; BACKGROUND-POSITION:0% 0%; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.8pt 0pt 0in" align=right>&nbsp;</p></td> <td width=2% style="BACKGROUND-IMAGE:none; BACKGROUND-REPEAT:repeat; BACKGROUND-ATTACHMENT:scroll; BACKGROUND-POSITION:0% 0%; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=11% style="BACKGROUND-IMAGE:none; BACKGROUND-REPEAT:repeat; BACKGROUND-ATTACHMENT:scroll; BACKGROUND-POSITION:0% 0%; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td></tr> <tr> <td width=72% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt 11.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Relative fair value of Convertible Debenture Warrant</font></p></td> <td width=2% style="BORDER-BOTTOM:black 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=11% style="BORDER-BOTTOM:black 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">214,819</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.8pt 0pt 0in" align=right>&nbsp;</p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=11% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td></tr> <tr> <td width=72% style="BACKGROUND-IMAGE:none; BACKGROUND-REPEAT:repeat; BACKGROUND-ATTACHMENT:scroll; BACKGROUND-POSITION:0% 0%; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 11.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Discount</font></p></td> <td width=2% style="BACKGROUND-IMAGE:none; BACKGROUND-REPEAT:repeat; BACKGROUND-ATTACHMENT:scroll; BACKGROUND-POSITION:0% 0%; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">$</font></p></td> <td width=11% style="BACKGROUND-IMAGE:none; BACKGROUND-REPEAT:repeat; BACKGROUND-ATTACHMENT:scroll; BACKGROUND-POSITION:0% 0%; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">1,394,819</font></p></td> <td width=2% style="BACKGROUND-IMAGE:none; BACKGROUND-REPEAT:repeat; BACKGROUND-ATTACHMENT:scroll; BACKGROUND-POSITION:0% 0%; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.8pt 0pt 0in" align=right>&nbsp;</p></td> <td width=2% style="BACKGROUND-IMAGE:none; BACKGROUND-REPEAT:repeat; BACKGROUND-ATTACHMENT:scroll; BORDER-BOTTOM:windowtext 1pt solid; BACKGROUND-POSITION:0% 0%; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=11% style="BACKGROUND-IMAGE:none; BACKGROUND-REPEAT:repeat; BACKGROUND-ATTACHMENT:scroll; BORDER-BOTTOM:windowtext 1pt solid; BACKGROUND-POSITION:0% 0%; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">(1,394,819)</font></p></td></tr> <tr> <td width=72% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Proceeds attributable to the Convertible Debenture due January 2015</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=11% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0.8pt 0pt 0in">&nbsp;</p></td> <td width=2% style="BORDER-BOTTOM:#000000 3px double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">$</font></p></td> <td width=11% style="BORDER-BOTTOM:#000000 3px double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 1.7pt 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">370,181</font></p></td></tr></table></div> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Accordingly, the Company accounted for the full amount of the discount as an offset to the Convertible Debenture due January 2015, amortizable under the effective interest method over the term of the debenture.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>The Company calculated the fair value of the embedded conversion feature of the Convertible Debenture due January 2015 using a Monte Carlo simulation, with the observable assumptions as provided in the table below.&nbsp;The significant unobservable inputs used in the fair value measurement of the reporting entity&#146;s embedded conversion feature are expected stock prices, levels of trading and liquidity of the Company stock, probability of default of the host instrument, and loss severity in the event of such default. Significant increases in the expected stock prices and expected liquidity would result in a significantly higher fair value measurement.&nbsp;Significant increases in either the probability or severity of default of the host instrument would result in a significantly lower fair value measurement.&nbsp;</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p><a name=_aciFooter17> <div> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>17</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></div></div> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div><a name=page_18> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"><a name=_aciHeader18> <div> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a href=#TABLE>Table of Contents</a></font></p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></div> <div align=center> <table style="WIDTH:50%; MARGIN-LEFT:47.1pt" cellpadding=0 cellspacing=0> <tr> <td width=86% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=14% colspan=2 style="BORDER-BOTTOM:black 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 1.8pt 0pt 0in" align=center><font style=FONT-SIZE:12pt face="Times New Roman">As of</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 1.8pt 0pt 0in" align=center><font style=FONT-SIZE:12pt face="Times New Roman">January 25,</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 1.8pt 0pt 0in" align=center><font style=FONT-SIZE:12pt face="Times New Roman">2013</font></p></td></tr> <tr> <td width=86% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=14% colspan=2 style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=top> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td></tr> <tr> <td width=86% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Stock price on valuation date</font></p></td> <td width=2% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">$</font></p></td> <td width=12% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.05in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">0.21</font></p></td></tr> <tr> <td width=86% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Conversion price</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">$</font></p></td> <td width=12% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.05in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">0.15</font></p></td></tr> <tr> <td width=86% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Stock premium for liquidity</font></p></td> <td width=2% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=12% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">57%</font></p></td></tr> <tr> <td width=86% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Term (years)</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=12% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.05in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">2.00</font></p></td></tr> <tr> <td width=86% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Expected volatility</font></p></td> <td width=2% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=12% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">110%</font></p></td></tr> <tr> <td width=86% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Weighted average risk-free interest rate</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=12% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">0.3%</font></p></td></tr> <tr> <td width=86% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Trials</font></p></td> <td width=2% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=12% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.05in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">100,000</font></p></td></tr> <tr> <td width=86% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Aggregate fair value</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">$</font></p></td> <td width=12% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.05in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">1,180,000</font></p></td></tr> <tr> <td width=86% style="BACKGROUND:white; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=2% style="BACKGROUND:white; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=12% style="BACKGROUND:white; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td></tr></table></div> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>The Company calculated the fair value of the Convertible Debenture Warrant issued on January 25, 2013 using the Black-Scholes option pricing model with the following assumptions:</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <div align=center> <table style="WIDTH:50%; MARGIN-LEFT:47.1pt" cellpadding=0 cellspacing=0> <tr> <td width=86% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=14% colspan=2 style="BORDER-BOTTOM:black 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 1.8pt 0pt 0in" align=center><font style=FONT-SIZE:12pt face="Times New Roman">As of</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 1.8pt 0pt 0in" align=center><font style=FONT-SIZE:12pt face="Times New Roman">January 25,</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 1.8pt 0pt 0in" align=center><font style=FONT-SIZE:12pt face="Times New Roman">2013</font></p></td></tr> <tr> <td width=86% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=14% colspan=2 style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=top> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td></tr> <tr> <td width=86% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Stock price on valuation date</font></p></td> <td width=2% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">$</font></p></td> <td width=12% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.05in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">0.21</font></p></td></tr> <tr> <td width=86% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Exercise price</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">$</font></p></td> <td width=12% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.05in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">0.30</font></p></td></tr> <tr> <td width=86% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Stock premium for liquidity</font></p></td> <td width=2% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=12% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">38%</font></p></td></tr> <tr> <td width=86% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Term (years)</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=12% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.05in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">3.00</font></p></td></tr> <tr> <td width=86% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Warrant exercise trigger price</font></p></td> <td width=2% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=12% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">41%</font></p></td></tr> <tr> <td width=86% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Expected volatility</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=12% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">95%</font></p></td></tr> <tr> <td width=86% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Weighted average risk-free interest rate</font></p></td> <td width=2% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=12% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">0.4%</font></p></td></tr> <tr> <td width=86% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Number of warrants</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=12% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.05in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">5,882,745</font></p></td></tr> <tr> <td width=86% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Aggregate fair value</font></p></td> <td width=2% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">$</font></p></td> <td width=12% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.05in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">370,000</font></p></td></tr></table></div> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>The Company determined the fair value of the Convertible Debenture due January 2015 by preparing an analysis of discounted cash flows, using a discount rate of 18.6%, which the Company deemed appropriate given the Company&#146;s current risk scenarios.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="BACKGROUND:white; TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>The derivative liability related to the embedded conversion feature is revalued at each reporting period as well as on the date of all conversions.&nbsp;The value of the derivative liability associated with the conversions of the Convertible Debenture due January 2015 during fiscal year 2013 was approximately $165,000.&nbsp;As of October 31, 2013, the Company determined the fair value of the derivative liability to be $540,000, and accordingly, during the year ended October 31, 2013, the Company recorded a gain on the change in the fair value of the derivative liability of approximately $475,000.</font></p> <p style="BACKGROUND:white; TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p><a name=_aciFooter18> <div> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>18</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></div></div> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div><a name=page_19> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"><a name=_aciHeader19> <div> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a href=#TABLE>Table of Contents</a></font></p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></div> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>As of January 31, 2014, the Company calculated the fair value of the embedded conversion feature of the Convertible Debenture due January 2015 using a Monte Carlo simulation, with the observable assumptions as provided in the table below. &nbsp;The significant unobservable inputs used in the fair value measurement of the reporting entity&#146;s embedded conversion feature are expected stock prices, levels of trading and liquidity of the Company stock, probability of default of the host instrument, and loss severity in the event of such default. &nbsp;Significant increases in the expected stock prices and expected liquidity would result in a significantly higher fair value measurement.&nbsp;Significant increases in either the probability or severity of default of the host instrument would result in a significantly lower fair value measurement.&nbsp;</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>&nbsp;&nbsp;</font></p> <div align=center> <table style="WIDTH:50%; MARGIN-LEFT:47.1pt" cellpadding=0 cellspacing=0> <tr> <td width=86% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=14% colspan=2 style="BORDER-BOTTOM:black 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 1.8pt 0pt 0in" align=center>&nbsp;</p> <p style="TEXT-ALIGN:center; MARGIN:0in 1.8pt 0pt 0in" align=center><font style=FONT-SIZE:12pt face="Times New Roman">As of</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 1.8pt 0pt 0in" align=center><font style=FONT-SIZE:12pt face="Times New Roman">January 31, </font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 1.8pt 0pt 0in" align=center><font style=FONT-SIZE:12pt face="Times New Roman">2014</font></p></td></tr> <tr> <td width=86% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=14% colspan=2 style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=top> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td></tr> <tr> <td width=86% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Stock price used for valuation </font></p></td> <td width=2% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 3.7pt 0pt 0in" align=right><font style=FONT-SIZE:12pt face="Times New Roman">$</font></p></td> <td width=12% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.05in 0pt 0pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">0.303</font></p></td></tr> <tr> <td width=86% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Conversion price</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 3.7pt 0pt 0in" align=right>&nbsp;</p></td> <td width=12% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.05in 0pt 0pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">0.15</font></p></td></tr> <tr> <td width=86% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Discount for marketability</font></p></td> <td width=2% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.8pt 0pt 0in" align=right>&nbsp;</p></td> <td width=12% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">38.3%</font></p></td></tr> <tr> <td width=86% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Term (years)</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.8pt 0pt 0in" align=right>&nbsp;</p></td> <td width=12% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.05in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">1.00</font></p></td></tr> <tr> <td width=86% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Expected volatility</font></p></td> <td width=2% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.8pt 0pt 0in" align=right>&nbsp;</p></td> <td width=12% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">87.7%</font></p></td></tr> <tr> <td width=86% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Weighted average risk-free interest rate</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.8pt 0pt 0in" align=right>&nbsp;</p></td> <td width=12% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">0.1%</font></p></td></tr> <tr> <td width=86% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Trials</font></p></td> <td width=2% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 3.7pt 0pt 0in" align=right>&nbsp;</p></td> <td width=12% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.05in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">100,000</font></p></td></tr> <tr> <td width=86% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Aggregate fair value</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 3.7pt 0pt 0in" align=right><font style=FONT-SIZE:12pt face="Times New Roman">$</font></p></td> <td width=12% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.05in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">1,020,000</font></p></td></tr> <tr> <td width=86% style="BACKGROUND:white; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in"> <p style="MARGIN:0in 0.8pt 0pt 0in">&nbsp;</p></td> <td width=2% style="BACKGROUND:white; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in"> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=12% style="BACKGROUND:white; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in"> <p style="MARGIN:0in 0.8pt 0pt 0in">&nbsp;</p></td></tr></table></div> <p style="BACKGROUND:white; TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="BACKGROUND:white; TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>The Company recorded a loss on the change in the fair value of the derivative liability of approximately $480,000 during the three months ended January 31, 2014.</font></p> <p style="BACKGROUND:white; TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="BACKGROUND:white; TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>The amortization of debt discount related to the Convertible Debenture due January 2015 was approximately $119,000 for the three months ended January 31, 2014.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>In connection with the issuance of the Convertible Debenture due January 2015, the Company provided compensation to the placement agent consisting of a cash fee of $41,400 and a warrant for the purchase of 276,014 shares of the Company&#146;s common stock (&#147;Placement Agent Warrant&#148;).&nbsp;The terms of the Placement Agent Warrant are identical to the terms of the Convertible Debenture Warrant, and using Black-Scholes, upon issuance, was determined to have a fair value of $17,360.&nbsp;Assumptions for the valuation of the Placement Agent Warrant were identical to those provided above for the Convertible Debenture Warrant.&nbsp;In addition, issuance costs included legal fees of approximately $25,000.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p><a name=_aciFooter19> <div> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>19</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></div></div> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div><a name=page_20> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"><a name=_aciHeader20> <div> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a href=#TABLE>Table of Contents</a></font></p> <p style="MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>The sum of the issuance costs was $83,760, and this cost was allocated as provided below:</font></p> <p style="MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p></div> <div align=center> <table style="WIDTH:50%; MARGIN-LEFT:47.1pt" cellpadding=0 cellspacing=0> <tr> <td width=36% style="BORDER-BOTTOM:black 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt 1.5pt" align=center><font style=FONT-SIZE:12pt face="Times New Roman">Attributable to:</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt 1.5pt" align=center>&nbsp;</p></td> <td width=38% style="BORDER-BOTTOM:black 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt 1.5pt" align=center><font style=FONT-SIZE:12pt face="Times New Roman">Accounting Treatment</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt 1.5pt" align=center>&nbsp;</p></td> <td width=22% colspan=2 style="BORDER-BOTTOM:black 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt 1.5pt" align=center>&nbsp;</p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt 1.5pt" align=center><font style=FONT-SIZE:12pt face="Times New Roman">Amount</font></p></td></tr> <tr> <td width=36% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=38% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=20% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td></tr> <tr> <td width=36% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">The embedded conversion feature (derivative)</font></p></td> <td width=2% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0.8pt 0pt 0in">&nbsp;</p></td> <td width=38% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Expensed as incurred</font></p></td> <td width=2% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=2% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">$</font></p></td> <td width=20% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">55, 999</font></p></td></tr> <tr> <td width=36% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">The 8% Convertible Debenture Warrant</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt">&nbsp;</p></td> <td width=38% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Charged to additional paid-in capital</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=20% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">10,194</font></p></td></tr> <tr> <td width=36% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt">&nbsp;</p></td> <td width=2% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt">&nbsp;</p></td> <td width=38% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt">&nbsp;</p></td> <td width=2% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=2% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=20% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td></tr> <tr> <td width=36% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=top> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">The 8% Convertible Debenture</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt">&nbsp;</p></td> <td width=38% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=top> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Recorded as deferred issuance costs and amortized under the interest method over the term of the 8% Convertible Debenture</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0.8pt 0pt 0in">&nbsp;</p></td> <td width=2% style="BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0.8pt 0pt 0in">&nbsp;</p></td> <td width=20% style="BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">17,567</font></p></td></tr> <tr> <td width=36% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 10pt"><font style=FONT-SIZE:12pt face="Times New Roman">Total</font></p></td> <td width=2% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt">&nbsp;</p></td> <td width=38% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt">&nbsp;</p></td> <td width=2% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=2% style="BACKGROUND:#cceeff; BORDER-BOTTOM:windowtext 2pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">$</font></p></td> <td width=20% style="BACKGROUND:#cceeff; BORDER-BOTTOM:windowtext 2pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">83,760</font></p></td></tr></table></div> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; In connection with the issuance of the Convertible Debenture due January 2015, on April 24, 2013, the Company prepared and filed a registration statement registering for resale the shares of its common stock which may be issued upon the conversion of the debentures and exercise of the warrants consistent with the terms and conditions of the registration rights agreement the Company entered into with the holders of the registrable shares listed above. The registration statement was declared effective by the SEC on June 19, 2013.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; The Company has agreed to maintain the effectiveness of the registration statement through the earlier of three years from the date of the issuance of the Convertible Debenture due January 2015 or until Rule 144 of the Securities Act is available to the holders to allow them to sell all of their registrable securities thereunder.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="MARGIN:0in 0in 0pt"><u><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Convertible Debenture due November 2016</font></u></p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>In November 2013, the Company received aggregate gross proceeds of $3,500,000 from the issuance of 6% convertible debentures due November 11, 2016 (&#147;Convertible Debenture due November 2016&#148;).&nbsp;The debentures pay interest annually and are convertible into shares of our common stock at a conversion price of $0.1892 per share on or before November 11, 2016.&nbsp; The embedded conversion feature has certain weighted average anti-dilution protection provisions which would be triggered if the Company issues its common stock, or certain common stock equivalents, (as defined) at a price below $0.142 per share.&nbsp;The Company has the option to pay any interest on the debentures in common stock based on 90% of the volume weighted average closing sales price of our common stock for the 30 trading days immediately preceding the interest payment date.&nbsp;In conjunction with the issuance of the debentures, the Company issued warrants (the &#147;Convertible Debenture Warrant&#148;) to purchase 9,249,472 shares of its common stock.&nbsp;Each warrant grants the holder the right to purchase one share of the Company&#146;s common stock at a fixed purchase price of $0.3784 per share on or before November 11, 2016.&nbsp;The </font><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Convertible Debenture Warrant may be exercised on a cashless basis only if there is not an effective registration statement covering such shares.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p><a name=_aciFooter20> <div> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>20</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></div></div> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div><a name=page_21> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"><a name=_aciHeader21> <div> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a href=#TABLE>Table of Contents</a></font></p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></div> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>The Company determined, based upon authoritative guidance, that the conversion feature embedded within the Convertible Debenture due November 2016 should be valued separately and bifurcated from the host instrument and accounted for as a free-standing derivative liability and that the Convertible Debenture Warrant should also be valued and accounted for separately as an equity instrument.&nbsp;</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>The Company determined the fair value of each of the three elements included within the Convertible Debenture due November 2016.&nbsp;The debenture portion (without the conversion feature) bearing interest at 6% was determined to be a debt instrument with a fair value of $2,710,000.&nbsp;The embedded conversion feature was determined to be a derivative liability with a fair value of $1,570,000.&nbsp;The Convertible Debenture Warrant was determined to be an equity instrument with a fair value of $740,000.&nbsp;The Company determined the fair value of each of these instruments based upon the assumptions and methodologies as discussed below.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Since the Convertible Debenture Warrant was determined to be an equity instrument, the Company first computed the relative fair value of the Convertible Debenture due November 2016 (including the value of its conversion feature) with a fair value of $4,280,000 and the Convertible Debenture Warrant with a fair value of $740,000.&nbsp;Accordingly, the relative fair value of the Convertible Debenture Warrant and the Convertible Debenture due November 2016 (including the value of its conversion feature) was determined to be $515,936 and $2,984,064, respectively.&nbsp;Then, from the relative fair value of the Convertible Debenture due November 2016, the Company deducted in full the fair value of the embedded conversion feature of $1,570,000.&nbsp;The discount of $2,085,936 applied to the face value of the Convertible Debenture due November 2016 consists of the sum of the relative fair value of the Convertible Debenture Warrant of $515,936 and the full value of the bifurcated conversion option derivative liability of $1,570,000.&nbsp;The Convertible Debenture due November 2016 was recorded at a net value of $1,414,064, representing its face value of $3,500,000, less aggregate discounts for the derivative liability and warrant of $2,085,936, as summarized in the table below.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <div align=center> <table style="WIDTH:50%; MARGIN-LEFT:47.1pt" cellpadding=0 cellspacing=0> <tr> <td width=67% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Face value of Convertible Debenture due November 2016</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=14% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.8pt 0pt 0in" align=right>&nbsp;</p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:left; MARGIN:0in 0in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">$</font></p></td> <td width=13% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">3,500,000&nbsp;</font></p></td></tr> <tr> <td width=67% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 11.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Fair value of embedded conversion feature</font></p></td> <td width=2% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">$</font></p></td> <td width=14% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">1,570,000</font></p></td> <td width=2% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.8pt 0pt 0in" align=right>&nbsp;</p></td> <td width=2% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=13% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td></tr> <tr> <td width=67% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 11.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Relative fair value of Convertible Debenture Warrant</font></p></td> <td width=2% style="BORDER-BOTTOM:black 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=14% style="BORDER-BOTTOM:black 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">515,936</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.8pt 0pt 0in" align=right>&nbsp;</p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=13% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td></tr> <tr> <td width=67% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 11.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Discount</font></p></td> <td width=2% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">$</font></p></td> <td width=14% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">2,085,936</font></p></td> <td width=2% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.8pt 0pt 0in" align=right>&nbsp;</p></td> <td width=2% style="BACKGROUND:#cceeff; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=13% style="BACKGROUND:#cceeff; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">(2,085,936)</font></p></td></tr> <tr> <td width=67% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Proceeds attributable to the Convertible Debenture due November 2016</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=14% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0.8pt 0pt 0in">&nbsp;</p></td> <td width=2% style="BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">$</font></p></td> <td width=13% style="BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">1,414,064</font></p></td></tr></table></div> <p style="MARGIN:0in 0in 0pt">&nbsp;</p><a name=_aciFooter21> <div> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>21</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></div></div> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div><a name=page_22> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"><a name=_aciHeader22> <div> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a href=#TABLE>Table of Contents</a></font></p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></div> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Accordingly, the Company accounted for the full amount of the discount as an offset to the Convertible Debenture due November 2016, amortizable under the effective interest method over the term of the debenture.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>The Company calculated the fair value of the embedded conversion feature of the Convertible Debenture due November 2016 using a Monte Carlo simulation, with the observable assumptions as provided in the table below.&nbsp;The significant unobservable inputs used in the fair value measurement of the reporting entity&#146;s embedded conversion feature are expected stock prices, levels of trading and liquidity of the Company stock, probability of default of the host instrument, and loss severity in the event of such default. Significant increases in the expected stock prices and expected liquidity would result in a significantly higher fair value measurement.&nbsp;Significant increases in either the probability or severity of default of the host instrument would result in a significantly lower fair value measurement.&nbsp;</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <div align=center> <table style="WIDTH:50%; MARGIN-LEFT:6.75pt; MARGIN-RIGHT:6.75pt" cellpadding=0 cellspacing=0> <tr> <td width=86% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=14% colspan=2 style="BORDER-BOTTOM:black 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 1.8pt 0pt 0in" align=center><font style=FONT-SIZE:12pt face="Times New Roman">As of</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 1.8pt 0pt 0in" align=center><font style=FONT-SIZE:12pt face="Times New Roman">November 11,</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 1.8pt 0pt 0in" align=center><font style=FONT-SIZE:12pt face="Times New Roman">2013</font></p></td></tr> <tr> <td width=86% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=14% colspan=2 style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=top> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td></tr> <tr> <td width=86% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Stock price on valuation date</font></p></td> <td width=2% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">$</font></p></td> <td width=12% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.05in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">0.20</font></p></td></tr> <tr> <td width=86% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Conversion price</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">$</font></p></td> <td width=12% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.05in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">0.189</font></p></td></tr> <tr> <td width=86% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Discount for lack of marketability</font></p></td> <td width=2% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=12% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">35.5%</font></p></td></tr> <tr> <td width=86% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Term (years)</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=12% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.05in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">3.00</font></p></td></tr> <tr> <td width=86% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Expected volatility</font></p></td> <td width=2% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=12% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">102.8%</font></p></td></tr> <tr> <td width=86% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Weighted average risk-free interest rate</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=12% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">0.62%</font></p></td></tr> <tr> <td width=86% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Trials</font></p></td> <td width=2% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=12% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">100,000</font></p></td></tr> <tr> <td width=86% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Aggregate fair value</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">$</font></p></td> <td width=12% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.04in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">1,570,000</font></p></td></tr> <tr> <td width=86% style="BACKGROUND:white; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=2% style="BACKGROUND:white; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=12% style="BACKGROUND:white; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td></tr></table></div> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>The Company calculated the fair value of the Convertible Debenture Warrant issued on November 11, 2013 using a Monte Carlo simulation, with the observable assumptions as provided in the table below.&nbsp;The significant unobservable inputs used in the fair value measurement of the reporting entity&#146;s warrant value are expected stock prices, levels of trading and liquidity of the Company stock, probability of default of the host instrument, and loss severity in the event of such default. Significant increases in the expected stock prices and expected liquidity would result in a significantly higher fair value measurement.&nbsp;Significant increases in either the probability or severity of default of the host instrument would result in a significantly lower fair value measurement:</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p><a name=_aciFooter22> <div> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>22</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></div></div> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div><a name=page_23> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"><a name=_aciHeader23> <div> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a href=#TABLE>Table of Contents</a></font></p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></div> <div align=center> <table style="WIDTH:50%; MARGIN-LEFT:10.7pt" cellpadding=0 cellspacing=0> <tr> <td width=86% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=14% colspan=2 style="BORDER-BOTTOM:black 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 1.8pt 0pt 0in" align=center><font style=FONT-SIZE:12pt face="Times New Roman">As of</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 1.8pt 0pt 0in" align=center><font style=FONT-SIZE:12pt face="Times New Roman">November 11,</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 1.8pt 0pt 0in" align=center><font style=FONT-SIZE:12pt face="Times New Roman">2013</font></p></td></tr> <tr> <td width=86% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=14% colspan=2 style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=top> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td></tr> <tr> <td width=86% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Stock price on valuation date</font></p></td> <td width=2% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">$</font></p></td> <td width=12% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.05in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">0.20</font></p></td></tr> <tr> <td width=86% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Exercise price</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">$</font></p></td> <td width=12% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.05in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">0.378</font></p></td></tr> <tr> <td width=86% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Discount for lack of marketability</font></p></td> <td width=2% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=12% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">22%</font></p></td></tr> <tr> <td width=86% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Term (years)</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=12% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 1.7pt 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">3.00</font></p></td></tr> <tr> <td width=86% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt">&nbsp;</p></td> <td width=2% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=12% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td></tr> <tr> <td width=86% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Expected volatility</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=12% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">102.8%</font></p></td></tr> <tr> <td width=86% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Weighted average risk-free interest rate</font></p></td> <td width=2% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=12% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">0.6%</font></p></td></tr> <tr> <td width=86% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Number of warrants</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=12% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 1.7pt 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">9,249,472</font></p></td></tr> <tr> <td width=86% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Aggregate fair value</font></p></td> <td width=2% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">$</font></p></td> <td width=12% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 1.7pt 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">740,000</font></p></td></tr> <tr> <td width=86% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=12% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td></tr></table></div> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>The Company determined the fair value of the Convertible Debenture due November 2016 by preparing an analysis of discounted cash flows, using a discount rate of 16.0%, which the Company deemed appropriate given the Company&#146;s current risk scenarios.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="BACKGROUND:white; TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>The derivative liability related to the embedded conversion feature is revalued at each reporting period as well as on the date of all conversions, as discussed, below.&nbsp;As of January 31, 2014, the Company determined the fair value of the derivative liability to be $2,410,000, and accordingly, during the three months ended January 31, 2014, the Company recorded a loss on the change in the fair value of the derivative liability of approximately $840,000.</font></p> <p style="BACKGROUND:white; TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>As of January 31, 2014, the Company calculated the fair value of the embedded conversion feature of the Convertible Debenture due November 2016 using a Monte Carlo simulation, with the observable assumptions as provided in the table below. &nbsp;The significant unobservable inputs used in the fair value measurement of the reporting entity&#146;s embedded conversion feature are expected stock prices, levels of trading and liquidity of the Company stock, probability of default of the host instrument, and loss severity in the event of such default. Significant increases in the expected stock prices and expected liquidity would result in a significantly higher fair value measurement.&nbsp;Significant increases in either the probability or severity of default of the host instrument would result in a significantly lower fair value measurement.&nbsp;</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p><a name=_aciFooter23> <div> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>23</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></div></div> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div>&nbsp;<a name=page_24> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"><a name=_aciHeader24> <div> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a href=#TABLE>Table of Contents</a></font></p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></div> <div align=center> <table style="WIDTH:50%; MARGIN-LEFT:47.1pt" cellpadding=0 cellspacing=0> <tr> <td width=86% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=14% colspan=2 style="BORDER-BOTTOM:black 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 1.8pt 0pt 0in" align=center>&nbsp;</p> <p style="TEXT-ALIGN:center; MARGIN:0in 1.8pt 0pt 0in" align=center><font style=FONT-SIZE:12pt face="Times New Roman">January 31, </font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 1.8pt 0pt 0in" align=center><font style=FONT-SIZE:12pt face="Times New Roman">2014</font></p></td></tr> <tr> <td width=86% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=14% colspan=2 style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=top> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td></tr> <tr> <td width=86% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Stock price used for valuation </font></p></td> <td width=2% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 3.7pt 0pt 0in" align=right><font style=FONT-SIZE:12pt face="Times New Roman">$</font></p></td> <td width=12% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.05in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">0.303</font></p></td></tr> <tr> <td width=86% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Conversion price</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 3.7pt 0pt 0in" align=right>&nbsp;</p></td> <td width=12% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.05in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">0.189</font></p></td></tr> <tr> <td width=86% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Discount for lack of marketability</font></p></td> <td width=2% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.8pt 0pt 0in" align=right>&nbsp;</p></td> <td width=12% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">38.3%</font></p></td></tr> <tr> <td width=86% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Term (years)</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.8pt 0pt 0in" align=right>&nbsp;</p></td> <td width=12% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.05in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">2.8</font></p></td></tr> <tr> <td width=86% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Expected volatility</font></p></td> <td width=2% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.8pt 0pt 0in" align=right>&nbsp;</p></td> <td width=12% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">105%</font></p></td></tr> <tr> <td width=86% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Weighted average risk-free interest rate</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.8pt 0pt 0in" align=right>&nbsp;</p></td> <td width=12% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">0.6%</font></p></td></tr> <tr> <td width=86% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Trials</font></p></td> <td width=2% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 3.7pt 0pt 0in" align=right>&nbsp;</p></td> <td width=12% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.05in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">100,000</font></p></td></tr> <tr> <td width=86% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Aggregate fair value</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 3.7pt 0pt 0in" align=right><font style=FONT-SIZE:12pt face="Times New Roman">$</font></p></td> <td width=12% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.05in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">2,410,000</font></p></td></tr> <tr> <td width=86% style="BACKGROUND:white; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in"> <p style="MARGIN:0in 0.8pt 0pt 0in">&nbsp;</p></td> <td width=2% style="BACKGROUND:white; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in"> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=12% style="BACKGROUND:white; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in"> <p style="MARGIN:0in 0.8pt 0pt 0in">&nbsp;</p></td></tr></table></div> <p style="BACKGROUND:white; TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="BACKGROUND:white; TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>The amortization of debt discount related to the Convertible Debenture due November 2016 was approximately $98,000 for the three months ended January 31, 2014.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>In connection with the issuance of the Convertible Debenture due November 2016, the Company incurred legal costs which were allocated as provided below:</font></p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <div align=center> <table style="WIDTH:50%; MARGIN-LEFT:47.1pt" cellpadding=0 cellspacing=0> <tr> <td width=38% style="BORDER-BOTTOM:black 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt 1.5pt" align=center><font style=FONT-SIZE:12pt face="Times New Roman">Attributable to:</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt 1.5pt" align=center>&nbsp;</p></td> <td width=40% style="BORDER-BOTTOM:black 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt 1.5pt" align=center><font style=FONT-SIZE:12pt face="Times New Roman">Accounting Treatment</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt 1.5pt" align=center>&nbsp;</p></td> <td width=18% colspan=2 style="BORDER-BOTTOM:black 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt 1.5pt" align=center>&nbsp;</p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt 1.5pt" align=center><font style=FONT-SIZE:12pt face="Times New Roman">Amount</font></p></td></tr> <tr> <td width=38% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=40% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=16% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td></tr> <tr> <td width=38% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">The embedded conversion feature (derivative)</font></p></td> <td width=2% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0.8pt 0pt 0in">&nbsp;</p></td> <td width=40% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Expensed as incurred</font></p></td> <td width=2% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=2% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">$</font></p></td> <td width=16% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">8,593</font></p></td></tr> <tr> <td width=38% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">The 8% Convertible Debenture Warrant</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt">&nbsp;</p></td> <td width=40% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Charged to additional paid-in capital</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=16% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">2,824</font></p></td></tr> <tr> <td width=38% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt">&nbsp;</p></td> <td width=2% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt">&nbsp;</p></td> <td width=40% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt">&nbsp;</p></td> <td width=2% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=2% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=16% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td></tr> <tr> <td width=38% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=top> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">The 8% Convertible Debenture</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt">&nbsp;</p></td> <td width=40% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=top> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Recorded as deferred issuance costs and amortized under the interest method over the term of the 8% Convertible Debenture</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0.8pt 0pt 0in">&nbsp;</p></td> <td width=2% style="BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0.8pt 0pt 0in">&nbsp;</p></td> <td width=16% style="BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">7,739</font></p></td></tr> <tr> <td width=38% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 11.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">Total</font></p></td> <td width=2% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt">&nbsp;</p></td> <td width=40% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt">&nbsp;</p></td> <td width=2% style="BACKGROUND:#cceeff; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right>&nbsp;</p></td> <td width=2% style="BACKGROUND:#cceeff; BORDER-BOTTOM:#000000 3px double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt 1.5pt"><font style=FONT-SIZE:12pt face="Times New Roman">$</font></p></td> <td width=16% style="BACKGROUND:#cceeff; BORDER-BOTTOM:#000000 3px double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt 1.5pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">19,156</font></p></td></tr></table></div> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; In connection with the issuance of the Convertible Debenture due November 2016, on February 7, 2014, the Company prepared and filed a registration statement registering for resale the shares of its common stock which may be issued upon the conversion of the debenture and exercise of the warrant consistent with the terms and conditions of the debenture agreement the Company entered into with the holders of the registrable shares listed above. </font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; The Company has agreed to maintain the effectiveness of the registration statement through the earlier of three years from the date of the issuance of the Convertible </font><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Debenture due November 2016 or until Rule 144 of the Securities Act is available to the holders to allow them to sell all of their registrable securities thereunder.&nbsp;</font></p><a name=_aciFooter24> <div> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>24</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></div></div> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div><a name=page_25> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"><a name=_aciHeader25> <div> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a href=#TABLE>Table of Contents</a></font></p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></div> <p style="MARGIN:0in 0in 12pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>3.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; </font><u><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>STOCK BASED COMPENSATION</font></u></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>We maintain stock equity incentive plans under which we may grant non-qualified stock options, stock appreciation rights, stock awards, performance awards, or stock units to employees, directors and consultants.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><u><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Stock Option Compensation Expense </font></u></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>On November 8, 2013,</font><font style="FONT-SIZE:12pt; LETTER-SPACING:-0.15pt" face="Times New Roman" lang=EN-US> the Board of Directors approved an amendment to stock options subject to market conditions awarded on September 19, 2012 to </font><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>the President and Chief Executive Officer, Senior Vice President of Engineering, and a consultant and director of the Company. The amendment modified the option award&#146;s vesting conditions to provide that the unvested portion of the stock options vest in 23 consecutive monthly installments commencing November 30, 2013. Prior to the amendment, the option awards had provided that the stock options would vest if two separate price targets were met. &nbsp;The fair value of these options was recalculated to reflect the change to service based options as of November 8, 2013 and the unrecognized compensation amount was adjusted to reflect the increase in fair value.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>We account for stock options granted to employees and directors using the accounting guidance in ASC 718 &#147;Stock Compensation&#148; (&#147;ASC 718&#148;).&nbsp;</font><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>In accordance with ASC 718, we estimate the fair value of service based stock options and performance based options on the date of grant, using the Black-Scholes pricing model.&nbsp;For options vesting if the trading price of the Company&#146;s common stock exceeds price targets we use a Monte Carlo Simulation in estimating the fair value at grant date.&nbsp; </font><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>We recognize compensation expense for </font><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>service based stock options and options subject to market conditions</font><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US> over the requisite or implied service period of the grant.&nbsp;For performance based awards, compensation expense is recognized over the requisite or implied service period of the grant when the performance target is deemed probable.&nbsp; </font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style="FONT-SIZE:12pt; TEXT-AUTOSPACE:ideograph-numeric" face="Times New Roman" lang=EN-US>We recorded stock-based compensation expense, related to stock options granted to employees and directors, of approximately $466,000 and $473,000, during the three months ended January 31, 2014 and 2013, respectively, which included stock-based compensation expense of approximately $383,000 and $401,000, respectively, related to the amortization of compensation cost for stock options granted in prior periods.&nbsp; As of January 31, 2014, there was unrecognized compensation cost related to non-vested stock options granted to employees and directors, related to service based options of approximately $3,134,000, which will be recognized over a weighted-average period of 2.0 years. &nbsp;</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>We account for stock options granted to consultants using the accounting guidance included in ASC 505-50 &#147;Equity-Based Payments to Non-Employees&#148; (&#147;ASC 505-50&#148;).&nbsp;In accordance with ASC 505-50, </font><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>we estimate the fair value of service based </font><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>stock options and performance based options at each reporting period, using the Black-Scholes pricing model.&nbsp;F</font><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>or options vesting if the trading price of the Company&#146;s common stock exceeds price targets we estimate the fair value at each reporting period using a Monte Carlo Simulation. We recognize compensation expense for </font><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>service based stock options and options subject to market conditions</font><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>over the requisite or implied service period of the grant.&nbsp;For performance based awards, compensation expense is recognized when the performance target is achieved.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p><a name=_aciFooter25> <div> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>25</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></div></div> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div>&nbsp;<a name=page_26> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"><a name=_aciHeader26> <div> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a href=#TABLE>Table of Contents</a></font></font></p> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</font></p></div> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style="FONT-SIZE:12pt; TEXT-AUTOSPACE:ideograph-numeric" face="Times New Roman" lang=EN-US>We recorded consulting expense, related to stock options granted to consultants, of approximately $255,000 and $242,000, during the three months ended January 31, 2014 and 2013, respectively, which included consulting expense of approximately $236,000 and $242,000, respectively, related to stock options granted in prior periods.&nbsp;As of January 31, 2014, there was unrecognized consulting expense related to non-vested stock options granted to consultants, related to service based options of approximately $2,168,000, which will be recognized over a weighted-average period of 1.8 years.&nbsp; </font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><u><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Fair Value Determination&nbsp; </font></u></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>We use the Black-Scholes pricing model in estimating the fair value of stock options which vest over a specific period of time or upon achieving performance targets.&nbsp;</font><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>To determine the weighted average fair value of stock options on the date of grant, employees and directors are included in a single group.&nbsp;The fair value of stock options granted to consultants is determined on an individual basis.&nbsp;The stock options we granted during the three months ended January 31, 2014 consisted of awards with 10-year terms that vest over one year and options with 10-year terms that vest over 36 months.&nbsp;&nbsp;The stock options we granted during the three months ended January 31, 2013 consisted of options with 10-year terms that vested over one year or of options with 10-year terms that vested one-third on the at date of grant and the remainder in two annual installments.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 6pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="times new roman" lang=EN-US>The following weighted average assumptions were used in estimating the fair value of stock options granted during the three months ended January 31, 2014 and 2013.</font></p> <div align=center>&nbsp;</div> <div align=center> <div align=center> <table style=WIDTH:50% cellpadding=0 cellspacing=0> <tr style=HEIGHT:15.25pt> <td width=74% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=26% colspan=5 style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" rowspan=2 valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right> <p style="MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman">For the Three Months</font><br></p> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right> <p style="MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman">Ended January 31,</font></p></td></tr> <tr style=HEIGHT:15.25pt> <td width=74% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:15.25pt> <td width=74% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=12% colspan=2 style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" align=center valign=bottom> <p style="MARGIN:0in 0in 0pt" align=center> <p style="MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman">2014</font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=12% colspan=2 style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman">2013</font></p></td></tr> <tr style=HEIGHT:15.25pt> <td width=74% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Weighted average fair value at grant date</font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=10% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.05in 0pt 0in" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>.17 </font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=10% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.05in 0pt 0in" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>.17 </font></p></td></tr> <tr style=HEIGHT:15.25pt> <td width=74% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Valuation assumptions:</font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.05in 0pt 0in" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.05in 0pt 0in" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:15.25pt> <td width=74% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt 10pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Expected life ( years)</font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.05in 0pt 0in" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>5.69</font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.05in 0pt 0in" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>5.12</font></p></td></tr> <tr style=HEIGHT:15.25pt> <td width=74% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt 10pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Expected volatility</font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>115.4%</font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>115.7%</font></p></td></tr> <tr style=HEIGHT:15.25pt> <td width=74% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt 10pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Risk-free interest rate</font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>1.76%</font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>.58%</font></p></td></tr> <tr style=HEIGHT:15.25pt> <td width=74% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt 10pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Expected dividend yield</font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.05in 0pt 0in" align=right><font style=FONT-SIZE:11pt face="times new roman" color=#000000>0</font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0.05in 0pt 0in" align=right><font style=FONT-SIZE:11pt face="times new roman" color=#000000>0</font></p></td></tr></table></div></div> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>The expected term of stock options represents the weighted average period the stock options are expected to remain outstanding.&nbsp;We use the simplified method to determine expected term.&nbsp;The simplified method was adopted since we do not believe that </font><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>historical experience is representative of future performance because of the impact of the changes in our operations and the change in terms from historical options which vested immediately to terms including vesting periods of up to three years.&nbsp;Under the Black-Scholes pricing model we estimated the expected volatility of our shares of common stock based upon the historical volatility of our share price over a period of time equal to the expected term of the options.&nbsp;We estimated the risk-free interest rate based on the implied yield available on the applicable grant date of a U.S. Treasury note with a term equal to the expected term of the underlying grants.&nbsp;We made the dividend yield assumption based on our history of not paying dividends and our expectation not to pay dividends in the future.&nbsp; </font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p><a name=_aciFooter26> <div> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>26</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></div></div> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div><a name=page_27> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%" align=center><a name=_aciHeader27> <div> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="MARGIN:0in 0in 0pt" align=left><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a href=#TABLE>Table of Contents</a></font></p> <p style="MARGIN:0in 0in 0pt" align=left>&nbsp;</p></div> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Under ASC 718, the amount of stock-based compensation expense recognized is based on the portion of the awards that are ultimately expected to vest.&nbsp; Accordingly, if deemed necessary, we reduce the fair value of the stock option awards for expected forfeitures, which are forfeitures of the unvested portion of surrendered options.&nbsp; Based on our historical experience we have not reduced the amount of stock-based compensation expenses for anticipated forfeitures.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>We will reconsider use of the Black-Scholes pricing model if additional information becomes available in the future that indicates another model would be more appropriate.&nbsp;If factors change and we employ different assumptions in the application of ASC 718 and ASC 505-50 in future periods, the compensation expense that we record may differ significantly from what we have recorded in the current period.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>For options vesting if the trading price of the Company&#146;s common stock exceeds price targets we used a Monte Carlo Simulation in estimating expected term and fair value.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><u><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Stock Option Activity </font></u></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>During the three-month periods ended January 31, 2014 and 2013, we granted options to purchase 7,710,000 and 1,180,000 shares, respectively, of common stock at weighted average exercise prices of $0.20 and $0.21 per share, respectively, pursuant to the CopyTele, Inc. 2010 Share Incentive Plan (the "2010 Share Plan).&nbsp; No stock options were exercised during the three month periods ended January 31, 2014 and 2013. </font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>&nbsp;&nbsp;</font></p> <p style="MARGIN:0in 0in 12pt" align=left><u><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Stock&nbsp;Option&nbsp;Plans</font></u></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>As of January 31, 2014, we have two stock option plans: &nbsp;the CopyTele, Inc. 2003 Share Incentive Plan (the "2003 Share Plan") and the 2010 Share Plan, which were adopted by our Board of Directors on April 21, 2003 and July 14, 2010, respectively.&nbsp; </font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>The 2003 Share Plan provides for the grant of nonqualified stock options, stock appreciation rights, stock awards, performance awards and stock units to key employees and consultants.The maximum number of shares of common stock available for issuance under the 2003 Share Plan is 70,000,000 shares. The 2003 Share Plan was administered by the Stock Option Committee through June 2004, from June 2004 through July 2010, by the Board of Directors, from July 2010 through August 2012, by the Stock Option Committee, from August 2012 through November 2012, by the Executive Committee of the Board of </font><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Directors and since November 2012, by the Board of Directors, which determines the option price, term and provisions of each option.&nbsp; The exercise price with respect to all of the options granted under the 2003 Share Plan since its inception was equal to the fair market value of the underlying common stock at the grant date. In accordance with the provisions of the 2003 Share Plan, the plan terminated with respect to the grant of future options on April 21, 2013. &nbsp;Information regarding the 2003 Share Plan for the three months ended January 31, 2014 is as follows:</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <table style=WIDTH:50% cellpadding=0 cellspacing=0> <tr style=HEIGHT:14.5pt> <td width=50% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=14% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=3% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=16% style="BORDER-BOTTOM:#000000 1px solid" rowspan=2 valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Weighted</font><br></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman">Average Exercise</font><br></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman">Price Per Share</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=15% colspan=2 style="BORDER-BOTTOM:#000000 1px solid" rowspan=2 valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face=Calibri,sans-serif>Aggregate</font><br></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman">Intrinsic</font><br></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman">Value</font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=50% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=14% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Shares</font></p></td> <td width=3% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td></tr> <tr style=HEIGHT:15.25pt> <td width=50% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Options Outstanding at October 31, 2013</font></p></td> <td width=14% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>15,638,845</font></p></td> <td width=3% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=16% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$0.72 </font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=3% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=12% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:15.95pt> <td width=50% style="HEIGHT:15.95pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Options Outstanding and exercisable at January 31, 2014</font></p></td> <td width=14% style="HEIGHT:15.95pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>15,638,845</font></p></td> <td width=3% style="HEIGHT:15.95pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=16% style="HEIGHT:15.95pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$0.72 </font></p></td> <td width=2% style="HEIGHT:15.95pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=3% style="HEIGHT:15.95pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=12% style="HEIGHT:15.95pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>461,000 </font></p></td></tr></table> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p><a name=_aciFooter27> <div> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>27</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></div></div> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div><a name=page_28> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"><a name=_aciHeader28> <div> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a href=#TABLE>Table of Contents</a></font></p></div> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt 0.25in; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="times new roman" lang=EN-US>The following table summarizes information about stock options outstanding under the 2003 Share Plan as of January 31, 2014: </font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt 0.25in; TEXT-INDENT:0.5in">&nbsp;</p> <div align=center>&nbsp;</div> <div align=center> <div align=center> <table style=WIDTH:50% cellpadding=0 cellspacing=0> <tr style=HEIGHT:15.25pt> <td width=100% colspan=7 style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" align=center valign=bottom> <p style="MARGIN:0in 0in 0pt" align=center> <p style="MARGIN:0in 0in 0pt" align=center> <p style="MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman">Stock</font><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman"> Options Outstanding</font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=28% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=24% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=21% style="BORDER-BOTTOM:#000000 1px solid" rowspan=3 valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Weighted</font><br></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman">Average</font><br></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman">Remaining</font><br></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman">Contractual Life</font><br></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman">(in years)</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=21% style="HEIGHT:14.5pt; BORDER-BOTTOM:#000000 1px solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" rowspan=3 valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Weighted</font><br></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman">Average</font><br></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman">Exercise Price</font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=28% style="HEIGHT:14.5pt; BORDER-BOTTOM:#000000 1px solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" rowspan=2 valign=bottom> <p style="MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Range of</font><br></p> <p style="MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman">Exercise</font></p> <p style="MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman">&nbsp;Prices</font></p></td> <td width=2% style="HEIGHT:14.5pt; BORDER-BOTTOM:#000000 1px solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" rowspan=2 valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=24% style="BORDER-BOTTOM:#000000 1px solid" rowspan=2 align=center valign=bottom>&nbsp;<font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman">Number<br></font><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman">Outstanding</font></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td></tr> <tr style=HEIGHT:14.5pt> <td width=2% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td></tr> <tr style=HEIGHT:14.5pt> <td width=28% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" align=center valign=bottom> <p style="MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$0.07 - $0.37</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=24% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" align=center valign=bottom> <p style="MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>1,860,000</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=21% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>2.95</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=21% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" align=center valign=bottom> <p style="MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$0.15 </font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=28% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" align=center valign=bottom> <p style="MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$0.43 - $0.70</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=24% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" align=center valign=bottom> <p style="MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>5,384,770</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=21% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>1.70</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=21% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" align=center valign=bottom> <p style="MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$0.60 </font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=28% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" align=center valign=bottom> <p style="MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$0.74 - $0.92</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=24% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" align=center valign=bottom> <p style="MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>6,139,075</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=21% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>2.56</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=21% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" align=center valign=bottom> <p style="MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$0.85 </font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=28% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" align=center valign=bottom> <p style="MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$1.04 - $1.46</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=24% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" align=center valign=bottom> <p style="MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>2,255,000</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=21% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>1.98</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=21% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" align=center valign=bottom> <p style="MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$1.10 </font></p></td></tr></table></div></div> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><br>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;The 2010 Share Plan provides for the grant of nonqualified stock options, stock appreciation rights, stock awards, performance awards and stock units to key employees and consultants.&nbsp;The maximum number of shares of common stock available for issuance under the 2010 Share Plan was initially 15,000,000 shares. On July 6, 2011, the 2010 Share Plan was amended by our Board of Directors to increase the maximum number of shares of common stock that may be granted to 27,000,000 shares, on August 29, 2012, the maximum number of shares was further increased to 30,000,000 shares.&nbsp;On November 8, 2013 the Board of Directors approved an amendment to provide that effective November 8, 2013, the maximum aggregate number of shares available for issuance will be 20,000,000 shares and that on the first business day in 2014 and on the first business day of each calendar year thereafter the maximum aggregate number of shares available for issuance shall be replenished such that 20,000,000 shares will be available for issuance. Accordingly, during that three month ended January 31, 2014, the number of share in the 2010 Share Plan was increased by 25,634,980 shares to 55,634,980 shares.&nbsp; In addition, on November 8, 2013 the 2010 Share Plan was amended to provide that on January 2nd of each year commencing on January 2, 2014, each non-employee director of the Company at that time shall automatically be granted a 10 year stock option to purchase 300,000 shares </font><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>of common stock (400,000 for the Chairman) that will vest in four equal quarterly installments. The 2010 Share Plan was administered by the Stock Option Committee through August 2012, from August 2012 through November 2012, by the Executive Committee of the Board of Directors and since November 2012, by the Board of Directors, which determines the option price, term and provisions of each option. The exercise price with respect to all of the options granted under the 2010 Share Plan was equal to the fair market value of the underlying common stock at the grant date.&nbsp;As of January 31, 2014, the 2010 Share Plan had 19,000,000 shares available for future grants.&nbsp; Information regarding the 2010 Share Plan for the three months ended January 31, 2014 is as follows: </font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p><a name=_aciFooter28> <div> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>28</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></div></div> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div><a name=page_29> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"><a name=_aciHeader29> <div> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a href=#TABLE>Table of Contents</a></font></p></div> <div align=center>&nbsp;</div> <div align=center> <div align=center> <table style=WIDTH:50% cellpadding=0 cellspacing=0> <tr style=HEIGHT:14.5pt> <td width=50% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=18% colspan=2 style="BORDER-BOTTOM:#000000 1px solid" rowspan=2 valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman">Weighted</font><br></p> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman">Average Exercise</font><br></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman">Price Per Share</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=17% colspan=2 style="BORDER-BOTTOM:#000000 1px solid" rowspan=2 valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman">Aggregate</font><br></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman">Intrinsic</font><br></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman">Value</font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=50% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Shares</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td></tr> <tr style=HEIGHT:14.5pt> <td width=50% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=16% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=15% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:14.5pt> <td width=50% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Options Outstanding at October 31, 2013</font></p></td> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>2,984,000</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" align=left valign=bottom> <p style="MARGIN:0in 0in 0pt" align=left><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=16% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>0.25 </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=15% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:14.5pt> <td width=50% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt 10pt"><font style=FONT-SIZE:11pt face="times new roman" color=#000000>Granted</font></p></td> <td width=11% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>7,710,000</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" align=left valign=bottom> <p style="MARGIN:0in 0in 0pt" align=left><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=16% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>0.20 </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=15% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:15.25pt> <td width=50% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Options Outstanding at January 31, 2014</font></p></td> <td width=11% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>10,694,000</font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" align=left valign=bottom> <p style="MARGIN:0in 0in 0pt" align=left><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=16% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>0.21 </font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" align=left valign=bottom> <p style="MARGIN:0in 0in 0pt" align=left><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=15% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>1<font style=FONT-SIZE:11pt face="Times New Roman">,</font>980,000</font></p></td></tr> <tr style=HEIGHT:15.95pt> <td width=50% style="HEIGHT:15.95pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Options Exercisable at January 31, 2014</font></p></td> <td width=11% style="HEIGHT:15.95pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>2,881,778</font></p></td> <td width=2% style="HEIGHT:15.95pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.95pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" align=left valign=bottom> <p style="MARGIN:0in 0in 0pt" align=left><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=16% style="HEIGHT:15.95pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>0.24 </font></p></td> <td width=2% style="HEIGHT:15.95pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=2% style="HEIGHT:15.95pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" align=left valign=bottom> <p style="MARGIN:0in 0in 0pt" align=left><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=15% style="HEIGHT:15.95pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:11pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>444,000 </font></p></td></tr> <tr style=HEIGHT:15.25pt> <td width=50% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#ffffff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#ffffff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#ffffff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#ffffff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=16% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#ffffff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#ffffff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#ffffff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=15% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#ffffff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr></table></div></div> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><br>The following table summarizes information about stock options outstanding under the 2010 Share Plan as of January 31, 2014:</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <div align=center>&nbsp;</div> <div align=center> <div align=center> <table style=WIDTH:50% cellpadding=0 cellspacing=0> <tr height=20> <td width=14% valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center /></td> <td width=2% valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center /></td> <td width=37% colspan=6 style="BORDER-BOTTOM:#000000 1px solid" align=center valign=bottom> <p style="MARGIN:0in 0in 0pt" align=center> <p style="MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Options Outstanding</font></p></td> <td width=2% valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right /></td> <td width=45% colspan=6 style="BORDER-BOTTOM:#000000 1px solid" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Options Exercisable</font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=14% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=9% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=12% style="BORDER-BOTTOM:#000000 1px solid" rowspan=4 valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Weighted</font><br></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman">Average</font><br></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman">Remaining</font><br></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman">Contractual Life</font><br></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman">(in years)</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=10% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=15% style="HEIGHT:14.5pt; BORDER-BOTTOM:#000000 1px solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" rowspan=4 valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Weighted</font><br></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman">Average</font><br></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman">Remaining</font><br></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman">Contractual Life (in years)</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=14% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:14.5pt> <td width=14% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=9% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=2% valign=bottom>&nbsp;</td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=12% colspan=2 style="HEIGHT:14.5pt; BORDER-BOTTOM:#000000 1px solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" rowspan=3 valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman">Weighted</font><br></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman">Average</font><br></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman">Exercise Price</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=10% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=16% colspan=2 style="HEIGHT:14.5pt; BORDER-BOTTOM:#000000 1px solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" rowspan=3 valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman">Weighted</font><br></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman">Average</font><br></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman">Exercise Price</font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=14% style="HEIGHT:14.5pt; BORDER-BOTTOM:#000000 1px solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" rowspan=2 valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Range of</font><br></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman">Exercise Prices</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=9% style="HEIGHT:14.5pt; BORDER-BOTTOM:#000000 1px solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" rowspan=2 valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Number</font><br></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman">Outstanding</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=10% style="HEIGHT:14.5pt; BORDER-BOTTOM:#000000 1px solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" rowspan=2 valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Number</font><br></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman">Exercisable</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td></tr> <tr style=HEIGHT:14.5pt> <td width=2% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td></tr> <tr style=HEIGHT:14.5pt> <td width=14% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=9% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=12% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=15% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=14% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td></tr> <tr style=HEIGHT:14.5pt> <td width=14% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$0.12 - $0.37</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=9% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>10,694,000</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=12% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>8.59</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=10% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>0.21 </font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>2,881,778</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=15% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>5.51</font></p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=14% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>0.24 </font></p></td></tr></table></div></div> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 12pt; TEXT-INDENT:0.5in"><font style="FONT-SIZE:12pt; TEXT-AUTOSPACE:ideograph-numeric" face="Times New Roman" lang=EN-US>In addition to options granted under the 2003 Share Plan and the 2010 Share Plan, in September 2012, the Board of Directors approved the grant of stock options to purchase 41,500,000 shares and, during the year ended October 31, 2013, the Board of Directors approved the grant of stock options to purchase 3,000,000 shares.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Of the stock options granted in September 2012, nonqualified options to purchase 40,000,000 shares were issued to our new executive team, consisting of 16,000,000 stock options issued to our new President and Chief Executive Officer, 8,000,000 stock options issued to our new Senior Vice President of Engineering and 16,000,000 stock options issued to a new strategic advisor to the Company who is also a Director.&nbsp;These stock options have an </font><font style="FONT-SIZE:12pt; LETTER-SPACING:-0.15pt" face="Times New Roman" lang=EN-US>exercise price of $0.2175 (the average of the high and the low sales price of the common stock on the trading day immediately preceding the approval of such options by the Board of Directors) and </font><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>have a term of ten years.&nbsp;</font><font style="FONT-SIZE:12pt; LETTER-SPACING:-0.15pt" face="Times New Roman" lang=EN-US>Half of these stock options vest in 36 equal monthly installments commencing on October 31, 2012, provided that if the grantees are terminated by the Company without cause, an additional 12 months of vesting will be accelerated and such accelerated options will become immediately exercisable.&nbsp; The balance of the stock options will vest in three equal installments upon achievement of a cash </font><font style="FONT-SIZE:12pt; LETTER-SPACING:-0.15pt" face="Times New Roman" lang=EN-US>milestone, which was satisfied in the fourth quarter of fiscal 2013, and two stock price targets, which were not achieved in fiscal 2013. In November 2013, in light of the cost and expense of revaluing the unvested portion of the performance-based stock options on a quarterly basis for financial reporting purposes, the Board of Directors approved an amendment to the performance-based stock options awarded on September 19, 2012 to </font><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>the President and Chief Executive Officer, Senior Vice President of Engineering and the strategic advisor. The amendment modifies the option award&#146;s vesting conditions to provide that the unvested portion of the stock options vest in 23 consecutive monthly installments commencing November 30, 2013. As of January 31, 2014, the outstanding options to purchase 40,000,000 shares had an intrinsic value of $7,176,000.&nbsp;A</font><font style="FONT-SIZE:12pt; LETTER-SPACING:-0.15pt" face="Times New Roman" lang=EN-US>s of January 31, 2014, 17,294,686 of these stock options were exercisable with an aggregate intrinsic value of approximately $3,103,000.&nbsp;These stock options otherwise have the same terms and conditions as options granted under the Company&#146;s 2010 Share Incentive Plan.&nbsp;</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p><a name=_aciFooter29> <div> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>29</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></div></div> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div><a name=page_30> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"><a name=_aciHeader30> <div> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a href=#TABLE>Table of Contents</a><br><br></font></p></div> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 12pt; TEXT-INDENT:0.5in"><font style="FONT-SIZE:12pt; LETTER-SPACING:-0.15pt; TEXT-AUTOSPACE:ideograph-numeric" face="Times New Roman" lang=EN-US>The remaining </font><font style="FONT-SIZE:12pt; TEXT-AUTOSPACE:ideograph-numeric" face="Times New Roman" lang=EN-US>nonqualified&nbsp;</font><font style="FONT-SIZE:12pt; LETTER-SPACING:-0.15pt; TEXT-AUTOSPACE:ideograph-numeric" face="Times New Roman" lang=EN-US> stock options granted in September 2012 to purchase 1,500,000 shares consisted of grants of 750,000 stock options to our Chairman in compensation for his service as interim Chief Executive Officer of the Company and as compensation for his prior service as a director, and 750,000 stock options to a director in compensation for his service in recruiting the Company&#146;s new management team.&nbsp;These stock options have an exercise price of $0.2225 (</font><font style="FONT-SIZE:12pt; TEXT-AUTOSPACE:ideograph-numeric" face="Times New Roman" lang=EN-US>the average of the high and low sales price on September 21, 2012) and an intrinsic value as of January 31, 2014 of approximately $262,000.&nbsp;The options vest in 3 equal annual installments of 250,000 commencing on September 21, 2012 and have a term of ten years.&nbsp;</font><font style="FONT-SIZE:12pt; LETTER-SPACING:-0.15pt; TEXT-AUTOSPACE:ideograph-numeric" face="Times New Roman" lang=EN-US>As of January 31, 2014, 1,000,000 options were exercisable with an aggregate intrinsic value of approximately $174,000.&nbsp;These stock options otherwise have the same terms and conditions as options granted under the Company&#146;s 2010 Share Incentive Plan.&nbsp; </font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 12pt; TEXT-INDENT:0.5in"><font style="FONT-SIZE:12pt; LETTER-SPACING:-0.15pt; TEXT-AUTOSPACE:ideograph-numeric" face="Times New Roman" lang=EN-US>During the year ended October 31, 2013, nonqualified stock options to purchase 3,000,000 shares were granted to our outside directors for service rendered to our Company.&nbsp;Of these options, </font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 12pt; TEXT-INDENT:0.5in"><font style="FONT-SIZE:12pt; LETTER-SPACING:-0.15pt; TEXT-AUTOSPACE:ideograph-numeric" face="Times New Roman" lang=EN-US>(a)&nbsp; In November 2012, nonqualified stock options to purchase 1,000,000 shares were issued to one of our directors as additional compensation for service in recruiting the Company&#146;s new management team. These options have an exercise price of $0.211 (</font><font style="FONT-SIZE:12pt; TEXT-AUTOSPACE:ideograph-numeric" face="Times New Roman" lang=EN-US>the average of the high and low sales price on date of grant) and vest 333,334 shares upon grant and 333,333 shares in two annual installments commencing November 30, 2013.&nbsp; </font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 12pt; TEXT-INDENT:0.5in"><font style="FONT-SIZE:12pt; LETTER-SPACING:-0.15pt; TEXT-AUTOSPACE:ideograph-numeric" face="Times New Roman" lang=EN-US>(b) In February 2013, nonqualified stock options to purchase 1,000,000 shares were issued to the Chairman of the Board.&nbsp;These stock options have an exercise price of $0.235 (</font><font style="FONT-SIZE:12pt; TEXT-AUTOSPACE:ideograph-numeric" face="Times New Roman" lang=EN-US>the average of the high and low sales price on date of grant) and vest 333,334 shares upon grant and 333,333 shares in two annual installments commencing February 15, 2014.&nbsp; </font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 12pt; TEXT-INDENT:0.5in"><font style="FONT-SIZE:12pt; TEXT-AUTOSPACE:ideograph-numeric" face="Times New Roman" lang=EN-US>(c) </font><font style="FONT-SIZE:12pt; LETTER-SPACING:-0.15pt; TEXT-AUTOSPACE:ideograph-numeric" face="Times New Roman" lang=EN-US>In March 2013, nonqualified stock options to purchase an aggregate of 1,000,000 shares were granted to the Company&#146;s three outside directors.&nbsp;Each of these stock options has an exercise price of $0.195 (</font><font style="FONT-SIZE:12pt; TEXT-AUTOSPACE:ideograph-numeric" face="Times New Roman" lang=EN-US>the average of the high and low sales price on date of grant) and vest in four equal quarterly installments commencing March 31, 2013.<font style="FONT-SIZE:12pt; TEXT-AUTOSPACE:ideograph-numeric" face="Times New Roman" lang=EN-US> <br> <br> As of January 31, 2014, the options to purchase 3,000,000 shares had an intrinsic value of approximately $550,000 and the portion exercisable of 2,000,000 shares had an intrinsic value of approximately $380,000.&nbsp;</font><font style="FONT-SIZE:12pt; LETTER-SPACING:-0.15pt; TEXT-AUTOSPACE:ideograph-numeric" face="Times New Roman" lang=EN-US>These options otherwise have the same terms and conditions as options granted under the Company&#146;s 2010 Share Incentive Plan. </font></font></p><a name=_aciFooter30> <div> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>30</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></div></div> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div><a name=page_31> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"><a name=_aciHeader31> <div> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a href=#TABLE>Table of Contents</a></font></p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></div> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 12pt; TEXT-INDENT:0.5in"><font style="FONT-SIZE:12pt; TEXT-AUTOSPACE:ideograph-numeric" face="Times New Roman" lang=EN-US>The following table summarizes information about the above stock options outstanding that were not granted under the 2003 Share Plan or the 2010 Share Plan as of January 31, 2014:</font></p> <div align=center>&nbsp;</div> <div align=center> <div align=center> <table style=WIDTH:50% cellpadding=0 cellspacing=0> <tr style=HEIGHT:15.25pt> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=3% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=41% colspan=5 style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" align=center valign=bottom> <p style="MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Options Outstanding</font></p></td> <td width=3% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=42% colspan=5 style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" align=center valign=bottom> <p style="MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Options Exercisable</font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=3% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=13% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=3% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=13% style="HEIGHT:14.5pt; BORDER-BOTTOM:#000000 1px solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" rowspan=4 valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Weighted</font><br></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman">Average</font><br></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman">Remaining</font><br></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman">Contractual Life</font><br></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman">(in years)</font></p></td> <td width=3% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=9% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=3% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=12% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=3% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=15% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=3% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=9% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:14.5pt> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=3% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=13% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=3% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=3% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=9% style="HEIGHT:14.5pt; BORDER-BOTTOM:#000000 1px solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" rowspan=3 valign=bottom> <p style="MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Weighted</font><br></p> <p style="MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman">Average</font></p> <p style="MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman">Exercise Price</font></p></td> <td width=3% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=12% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=3% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=15% style="BORDER-BOTTOM:#000000 1px solid" rowspan=3 valign=bottom> <p style="MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Weighted</font><br></p> <p style="MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman">Average</font><br></p> <p style="MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman">Remaining</font><br></p> <p style="MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman">Contractual Life</font></p> <p style="MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman">&nbsp;(in years)</font></p></td> <td width=3% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=9% style="HEIGHT:14.5pt; BORDER-BOTTOM:#000000 1px solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" rowspan=3 valign=bottom> <p style="MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Weighted</font></p> <p style="MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman">Average</font><br></p> <p style="MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman">Exercise Price</font></p></td></tr> <tr style=HEIGHT:24.6pt> <td width=11% style="HEIGHT:24.6pt; BORDER-BOTTOM:#000000 1px solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" rowspan=2 valign=bottom> <p style="MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Range of</font><br></p> <p style="MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman">Exercise Prices</font></p></td> <td width=3% style="HEIGHT:24.6pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=13% style="HEIGHT:24.6pt; BORDER-BOTTOM:#000000 1px solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" rowspan=2 valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Number</font><br></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman">Outstanding</font></p></td> <td width=3% style="HEIGHT:24.6pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=3% style="HEIGHT:24.6pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=3% style="HEIGHT:24.6pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=12% style="HEIGHT:24.6pt; BORDER-BOTTOM:#000000 1px solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" rowspan=2 valign=bottom> <p style="MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Number</font><br></p> <p style="MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman">Exercisable</font></p></td> <td width=3% style="HEIGHT:24.6pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=3% style="HEIGHT:24.6pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:15.25pt> <td width=3% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=3% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=3% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=3% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=3% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=3% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:15.25pt> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=3% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=13% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=3% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=13% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=3% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=9% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=3% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=12% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=3% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=15% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=3% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=9% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:14.5pt> <td width=11% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$0.21-$0.235</font></p></td> <td width=3% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=13% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>44,500,000</font></p></td> <td width=3% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=13% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>8.66</font></p></td> <td width=3% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=9% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$0.22 </font></p></td> <td width=3% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=12% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>20,294,687</font></p></td> <td width=3% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=15% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>8.67</font></p></td> <td width=3% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=9% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$0.22 </font></p></td></tr></table></div> <p> <p style="MARGIN:0in 0in 10pt">&nbsp;</p></div> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><u><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>Stock Awards </font></u></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>We account for stock awards granted to employees and consultants based on their grant date fair value, in accordance with ASC 718 and ASC 505-50, respectively.&nbsp; During the three-month periods ended January 31, 2014 and 2013, we issued 90,000 shares and 125,000 shares, respectively, of common stock to consultants for services rendered pursuant to the 2010 Share Plan.&nbsp;We recorded consulting expense for the three-month periods ended January 31, 2014 and 2013 of approximately $28,000 and $26,000, respectively for the shares of common stock issued to consultants.&nbsp; </font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 12pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>4.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; </font><u><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>FAIR VALUE MEASUREMENTS</font></u></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>ASC 820 &#147;Fair Value Measurements and Disclosures&#148; (&#147;ASC 820&#148;) </font><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>defines fair value, establishes a framework for measuring fair value under GAAP, and expands disclosures about fair value measurements.&nbsp; In accordance with ASC 820, we have categorized our financial assets, based on the priority of the inputs to the valuation technique, into a three-level fair value hierarchy as set forth below.&nbsp; If the inputs used to measure the financial instruments fall within different levels of the hierarchy, the categorization is based on the lowest level input that is significant to the fair value measurement of the instrument.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Financial assets and liabilities recorded in the accompanying condensed consolidated balance sheets are categorized based on the inputs to the valuation techniques as follows:</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt 0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Level 1 - Financial instruments whose values are based on unadjusted quoted prices for identical assets or liabilities in an active market which we have the ability to access at the measurement date.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt 0.5in">&nbsp;</p><a name=_aciFooter31> <div> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>31</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></div></div> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div><a name=page_32> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"><a name=_aciHeader32> <div> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a href=#TABLE>Table of Contents</a></font></font></p> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>&nbsp;&nbsp;</font></p></div> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt 0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Level 2 - Financial instruments whose values are based on quoted market prices in markets where trading occurs infrequently or whose values are based on quoted prices of instruments with similar attributes in active markets.&nbsp; </font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt 0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt 0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Level 3 &#150; Financial instruments whose values are based on prices or valuation techniques that require inputs that are both unobservable and significant to the overall fair value measurement.&nbsp;These inputs reflect management&#146;s own assumptions about the assumptions a market participant would use in pricing the instruments.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>The following table presents the hierarchy for our financial assets measured at fair value on a recurring basis as of January 31, 2014:</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <div align=center>&nbsp;</div> <div align=center> <div align=center> <table style=WIDTH:50% cellpadding=0 cellspacing=0> <tr style=HEIGHT:15.25pt> <td width=43% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:10pt; LINE-HEIGHT:normal" face="times new roman" color=black>&nbsp;</font><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=black>&nbsp;&nbsp;</font></p></td> <td width=13% colspan=2 style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman">Level 1</font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=13% colspan=2 style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman">Level 2</font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=13% colspan=2 style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman">Level 3</font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=12% colspan=2 style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman">Total</font></p></td></tr> <tr style=HEIGHT:15.25pt> <td width=43% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="MARGIN:0in 0in 0pt" /></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right /></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right /></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right /></td></tr> <tr style=HEIGHT:15.25pt> <td width=43% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=top> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=black>Money market funds &#150; Cash and cash equivalents</font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=top> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=black>$</font></p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=black>776,141 </font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=top> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=black>$</font></p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=black>-</font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=top> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=black>$</font></p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=black>-</font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=top> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=black>$</font></p></td> <td width=10% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=black>776,141 </font></p></td></tr> <tr style=HEIGHT:15.25pt> <td width=43% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right /></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:15.25pt> <td width=43% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=top> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=black>Certificates of deposit Short-term investments</font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=black>2,450,000 </font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=black>-</font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=black>-</font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=black>2,450,000 </font></p></td></tr> <tr style=HEIGHT:15.25pt> <td width=43% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right /></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:15.25pt> <td width=43% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=top> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=black>Videocon Industries Limited global depository receipts</font></p></td> <td width=2% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=black>3,986,427 </font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=black>-</font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=black>-</font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=black>3,986,427 </font></p></td></tr> <tr style=HEIGHT:15.95pt> <td width=43% style="HEIGHT:15.95pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="MARGIN:0in 0in 0pt 10pt"><font style=FONT-SIZE:12pt face="times new roman" color=black>Total financial assets</font></p></td> <td width=2% style="HEIGHT:15.95pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=black>$</font></p></td> <td width=11% style="HEIGHT:15.95pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=black>7,212,568 </font></p></td> <td width=2% style="HEIGHT:15.95pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.95pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=black>$</font></p></td> <td width=11% style="HEIGHT:15.95pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=black>-</font></p></td> <td width=2% style="HEIGHT:15.95pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.95pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=black>$</font></p></td> <td width=11% style="HEIGHT:15.95pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=black>-</font></p></td> <td width=2% style="HEIGHT:15.95pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.95pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=black>$</font></p></td> <td width=10% style="HEIGHT:15.95pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=black>7,212,568 </font></p></td></tr></table></div></div> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><br>The following table presents the hierarchy for our financial assets measured at fair value on a recurring basis as of October 31, 2013:</font></p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <div align=center> <div align=center> <table style=WIDTH:50% cellpadding=0 cellspacing=0> <tr style=HEIGHT:15.25pt> <td width=46% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=12% colspan=2 style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman">Level 1</font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=12% colspan=2 style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman">Level 2</font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=12% colspan=2 style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman">Level 3</font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=12% colspan=2 style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman">Total</font></p></td></tr> <tr style=HEIGHT:15.25pt> <td width=46% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right /></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right /></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right /></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right /></td></tr> <tr style=HEIGHT:15.25pt> <td width=46% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Money market funds &#150; Cash and cash equivalents</font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=10% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>898,172 </font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=10% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>- </font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=10% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=10% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>898,172 </font></p></td></tr> <tr style=HEIGHT:15.25pt> <td width=46% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Videocon Industries Limited global depository receipts</font></p></td> <td width=2% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>4,197,341 </font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>4,197,341 </font></p></td></tr> <tr style=HEIGHT:15.95pt> <td width=46% style="HEIGHT:15.95pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt 10pt"><font style=FONT-SIZE:12pt face="times new roman" color=#000000>Total financial assets</font></p></td> <td width=2% style="HEIGHT:15.95pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=10% style="HEIGHT:15.95pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>5,095,513 </font></p></td> <td width=2% style="HEIGHT:15.95pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.95pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:15.95pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td> <td width=2% style="HEIGHT:15.95pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.95pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=10% style="HEIGHT:15.95pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td> <td width=2% style="HEIGHT:15.95pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=2% style="HEIGHT:15.95pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=10% style="HEIGHT:15.95pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>5,095,513 </font></p></td></tr> <tr style=HEIGHT:15.25pt> <td width=46% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr></table></div></div> <p style="MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p><a name=_aciFooter32> <div> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>32</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></div></div> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div><a name=page_33> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"><a name=_aciHeader33> <div> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a href=#TABLE>Table of Contents</a></font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>The following table presents the hierarchy for our financial liabilities measured at fair value on a recurring basis as of January 31, 2014:</font></p></div> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <div align=center> <table style=WIDTH:50% cellpadding=0 cellspacing=0> <tr style=HEIGHT:14.5pt> <td width=38% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=12% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=12% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=12% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=12% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:15.25pt> <td width=38% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>&nbsp;&nbsp;</font></p></td> <td width=14% colspan=2 style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman">Level 1</font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=14% colspan=2 style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman">Level 2</font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=14% colspan=2 style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman">Level 3</font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=14% colspan=2 style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman">Total</font></p></td></tr> <tr style=HEIGHT:15.25pt> <td width=38% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt" /></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=12% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=12% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=12% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right /></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=12% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right /></td></tr> <tr style=HEIGHT:15.25pt> <td width=38% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Derivative liability</font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=12% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=12% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=12% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>3,430,000 </font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=12% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>3,430,000 </font></p></td></tr> <tr style=HEIGHT:15.25pt> <td width=38% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Patent acquisition obligation</font></p></td> <td width=2% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=12% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=12% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=12% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>2,936,977 </font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=12% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>2,936,977 </font></p></td></tr> <tr style=HEIGHT:15.95pt> <td width=38% style="HEIGHT:15.95pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:left; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.95pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=12% style="HEIGHT:15.95pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td> <td width=2% style="HEIGHT:15.95pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.95pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=12% style="HEIGHT:15.95pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td> <td width=2% style="HEIGHT:15.95pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.95pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=12% style="HEIGHT:15.95pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>6,366,977 </font></p></td> <td width=2% style="HEIGHT:15.95pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.95pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:left; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=12% style="HEIGHT:15.95pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>6,366,977 </font></p></td></tr></table></div> <p style="MARGIN:0in 0in 10pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>The following table presents the hierarchy for our financial liabilities measured at fair value on a recurring basis as of October 31, 2013:</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <div align=left> <div align=center> <table style=WIDTH:50% cellpadding=0 cellspacing=0> <tr style=HEIGHT:15.25pt> <td width=42% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>&nbsp;&nbsp;</font></p></td> <td width=13% colspan=2 style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right> <p style="MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman">Level 1</font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=13% colspan=2 style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman">Level 2</font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=13% colspan=2 style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman">Level 3</font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=13% colspan=2 style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman">Total</font></p></td></tr> <tr style=HEIGHT:15.25pt> <td width=42% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt" /></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right /></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right /></td></tr> <tr style=HEIGHT:15.95pt> <td width=42% style="HEIGHT:15.95pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Derivative liability</font></p></td> <td width=2% style="HEIGHT:15.95pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$ </font></p></td> <td width=11% style="HEIGHT:15.95pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td> <td width=2% style="HEIGHT:15.95pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.95pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=11% style="HEIGHT:15.95pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>-</font></p></td> <td width=2% style="HEIGHT:15.95pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.95pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=11% style="HEIGHT:15.95pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>540,000 </font></p></td> <td width=2% style="HEIGHT:15.95pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.95pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=11% style="HEIGHT:15.95pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>540,000 </font></p></td></tr></table></div></div> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:40.5pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:40.5pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>The following table sets forth a summary of the changes in the fair value of the Company&#146;s Level 3 financial liabilities that are measured at fair value on a recurring basis:</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:40.5pt">&nbsp;</p> <div align=center> <table style=WIDTH:50% cellpadding=0 cellspacing=0> <tr> <td width=83% style="BORDER-TOP:0px; BORDER-RIGHT:0px; BORDER-BOTTOM:0px; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; BORDER-LEFT:0px; PADDING-RIGHT:5.4pt" valign=top> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=17% colspan=2 style="BORDER-TOP:0px; BORDER-RIGHT:0px; BORDER-BOTTOM:#000000 1px solid; BORDER-LEFT:0px" valign=top> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:12pt face="Times New Roman">For the Three Months </font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:12pt face="Times New Roman">Ended January 31, 2014</font></p></td></tr> <tr> <td width=83% style="BORDER-TOP:0px; BORDER-RIGHT:0px; BORDER-BOTTOM:0px; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; BORDER-LEFT:0px; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" valign=top> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman">Beginning balance</font></p></td> <td width=2% style="BORDER-TOP:0px; BORDER-RIGHT:0px; BORDER-BOTTOM:0px; BORDER-LEFT:0px; BACKGROUND-COLOR:#cceeff" valign=top> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman">$</font></p></td> <td width=15% style="BORDER-TOP:0px; BORDER-RIGHT:0px; BORDER-BOTTOM:0px; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; BORDER-LEFT:0px; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" align=right valign=top> <p style="MARGIN:0in 0in 0pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">&nbsp;540,000 </font></p></td></tr> <tr> <td width=83% style="BORDER-TOP:0px; BORDER-RIGHT:0px; BORDER-BOTTOM:0px; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; BORDER-LEFT:0px; PADDING-RIGHT:5.4pt" valign=top> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman">Fair value of patent acquisition obligation</font></p></td> <td width=2% style="BORDER-TOP:0px; BORDER-RIGHT:0px; BORDER-BOTTOM:0px; BORDER-LEFT:0px" valign=top> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center /></td> <td width=15% style="BORDER-TOP:0px; BORDER-RIGHT:0px; BORDER-BOTTOM:0px; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; BORDER-LEFT:0px; PADDING-RIGHT:5.4pt" align=right valign=top> <p style="MARGIN:0in 0in 0pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">2,936,977</font></p></td></tr> <tr> <td width=83% style="BORDER-TOP:0px; BORDER-RIGHT:0px; BORDER-BOTTOM:0px; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; BORDER-LEFT:0px; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" valign=top><font style=FONT-SIZE:12pt face="Times New Roman"> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman">Aggregate fair value of bifurcated conversion feature issued</font></p></font></td> <td width=2% style="BORDER-TOP:0px; BORDER-RIGHT:0px; BORDER-BOTTOM:0px; BORDER-LEFT:0px; BACKGROUND-COLOR:#cceeff" valign=top> <p style="MARGIN:0in 0in 0pt" /></td> <td width=15% style="BORDER-TOP:0px; BORDER-RIGHT:0px; BORDER-BOTTOM:0px; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; BORDER-LEFT:0px; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" align=right valign=top> <p style="MARGIN:0in 0in 0pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">1,570,000</font></p></td></tr> <tr> <td width=83% style="BORDER-TOP:0px; BORDER-RIGHT:0px; BORDER-BOTTOM:0px; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; BORDER-LEFT:0px; PADDING-RIGHT:5.4pt" valign=top><font style=FONT-SIZE:12pt face="Times New Roman"> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman">Change in fair value of bifurcated conversion feature</font></p></font></td> <td width=2% style="BORDER-TOP:0px; BORDER-RIGHT:0px; BORDER-BOTTOM:#000000 1px solid; BORDER-LEFT:0px" valign=top> <p style="MARGIN:0in 0in 0pt" /></td> <td width=15% style="BORDER-TOP:0px; BORDER-RIGHT:0px; BORDER-BOTTOM:#000000 1px solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; BORDER-LEFT:0px; PADDING-RIGHT:5.4pt" align=right valign=top><font style=FONT-SIZE:12pt face="Times New Roman"> <p style="MARGIN:0in 0in 0pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman">1,320,000</font></font></p></td></tr> <tr> <td style="BORDER-TOP:0px; BORDER-RIGHT:0px; BORDER-BOTTOM:0px; BORDER-LEFT:0px; BACKGROUND-COLOR:#cceeff"> <p style="TEXT-ALIGN:justify; PADDING-LEFT:0px; MARGIN:0in 0in 0pt 0.07in"><font style=FONT-SIZE:12pt face="Times New Roman">Ending balance</font></p></td> <td style="BORDER-TOP:0px; BORDER-RIGHT:0px; BORDER-BOTTOM:#000000 3px double; BORDER-LEFT:0px; BACKGROUND-COLOR:#cceeff">$</td> <td style="BORDER-TOP:0px; BORDER-RIGHT:0px; BORDER-BOTTOM:#000000 3px double; BORDER-LEFT:0px; BACKGROUND-COLOR:#cceeff"> <p style="PADDING-RIGHT:0px; MARGIN-RIGHT:0.07in" align=right>6,366,977</p></td></tr></table></div> <div align=left>&nbsp;</div> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>The bifurcated conversion feature is accounted for as a derivative liability and is measured at fair value using a Monte Carlo simulation model and is classified within Level 3 of the valuation hierarchy.&nbsp;The patent acquisition obligation is measured at fair value based on a discounted present value and is classified within Level 3 of the valuation hierarchy.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>The significant assumptions and valuation methods that the Company used to determine fair value and the change in fair value of the Company&#146;s derivative financial instrument are discussed in Note 2 &#147;Convertible Debentures&#148;. The development and determination of the unobservable inputs for Level 3 fair value measurements and fair value calculations are the responsibility of the Company&#146;s Principal Financial Officer with support from the Company&#146;s consultants.&nbsp; </font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 6pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>In accordance with the provisions of ASC 815, the Company presents the bifurcated conversion feature liability at fair value in its condensed consolidated balance sheet, with the corresponding changes in fair value, if any, recorded in the Company&#146;s condensed statements of operations for the applicable reporting periods. As disclosed in Note 2, the Company computed the fair value of the derivative liability at the date of </font><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>issuance and the reporting date of January 31, 2014 using the Monte Carlo simulation model.</font></p><a name=_aciFooter33> <div> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>33</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></div></div> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div><a name=page_34> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"><a name=_aciHeader34> <div> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a href=#TABLE>Table of Contents</a></font></p></div> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 6pt; TEXT-INDENT:0.5in"> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 6pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>The Company developed the assumptions that were used as follows: The stock price on the valuation date of the Company&#146;s common stock was derived from the trading history of the Company&#146;s common stock.&nbsp; The stock premium for liquidity was computed as the premium required to adjust for the effect of the additional time that it would be expected to take for the market to absorb the converted shares and warrant exercises, given the Company&#146;s current trading volume.&nbsp;The term represents the remaining contractual term of the derivative; the volatility rate was developed based on analysis of the Company&#146;s historical volatility</font><b><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>;&nbsp;</font></b><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US> the risk free interest rate was obtained from publicly available US Treasury yield curve rates; the dividend yield is zero because the Company has not paid dividends and does not expect to pay dividends in the foreseeable future.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Our non financial assets that are measured on a non-recurring basis include our property and equipment which are measured using fair value techniques whenever events or changes in circumstances indicate a condition of impairment exists.&nbsp; The estimated fair value of accounts payable and accrued liabilities approximates their individual carrying amounts due to the short term nature of these measurements.&nbsp;It is impractical to determine the fair value of the loan receivable and loan payable to the related party given the nature of these loans.&nbsp;The convertible debentures have been reported net of the discount for the beneficial conversion features and related warrants.&nbsp;Cash and cash equivalents are stated at carrying value which approximates fair value. &nbsp;These assets and liabilities were not presented in the preceding table.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 12pt"><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>5.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; </font><u><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>INVESTMENTS&nbsp;</font></u></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><u><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>Short-term Investments </font></u></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>At January 31, 2014, we had marketable securities consisting of </font><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>certificates of deposit </font><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>of approximately $2,450,000, which were classified as </font><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>"available-for-sale securities" and reported at fair value.</font><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US> &nbsp;</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><u><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>Investment in Videocon</font></u></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Our investment in Videocon is classified as an "available-for-sale security" and reported at fair value, with unrealized gains and losses excluded from operations and reported as a component of accumulated other comprehensive income (loss) in shareholders&#146; equity.&nbsp;The original cost basis of $16,200,000 was determined using the specific identification method.&nbsp;The fair value of the Videocon GDRs is based on the price on the Luxembourg Stock Exchange, which price is based on the underlying price of Videocon&#146;s equity shares which are traded on stock exchanges in India with prices quoted in rupees.&nbsp;&nbsp; </font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p><a name=_aciFooter34> <div> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>34</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></div></div> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div><a name=page_35> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"><a name=_aciHeader35> <div> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a href=#TABLE>Table of Contents</a></font></p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></div> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>ASC 320 &#147;Investments-Debt and Equity Securities&#148; (&#147;ASC 320&#148;) and SEC guidance on other than temporary impairments of certain investments in equity securities requires an evaluation to determine if the decline in fair value of an investment is either temporary or other than temporary.&nbsp; Unless evidence exists to support a realizable value equal to or greater than the carrying cost of the investment, an other than temporary impairment should be recorded.&nbsp; At each reporting period we assess our investment in Videocon to determine if a decline that is other than temporary has occurred. &nbsp;In evaluating our investment in Videocon at October 31, 2013, we determined that based on both the duration and the continuing magnitude of the market price decline compared to the carrying cost basis of approximately $5,382,000, and the uncertainty of its recovery, a write-down of the investment of approximately $1,185,000 should be recorded as of October 31, 2013, and a new cost basis of approximately $4,197,000 should be established.&nbsp;&nbsp;An other than temporary impairment of approximately $12,003,000, on a cumulative basis, has been recorded as of October 31, 2013.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>&nbsp;The fair value of investment in Videocon as of January 31, 2014 and October 31, 2013, and the unrealized loss for the three month period ended January 31, 2014, are as follows:</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <div align=center> <table style="WIDTH:50%; MARGIN-LEFT:0.7in" cellpadding=0 cellspacing=0> <tr> <td width=86% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" valign=top> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=14% colspan=2 style="BORDER-BOTTOM:#000000 1px solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" valign=top> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:12pt face="Times New Roman">Investment in </font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:12pt face="Times New Roman">Videocon</font></p></td></tr> <tr> <td width=86% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" valign=top> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" color=black>Fair Value as of October 31, 2013</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" valign=top> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" color=black>$</font></p></td> <td width=12% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" align=right valign=top> <p style="MARGIN:0in 0in 0pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman" color=#000000>4,197,341</font></p></td></tr> <tr> <td width=86% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" valign=top> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" color=black>Unrealized loss</font></p></td> <td width=2% style="BORDER-BOTTOM:#000000 1px solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" valign=top> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=12% style="BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" align=right valign=top> <p style="MARGIN:0in 0in 0pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman" color=#000000>210,914</font></p></td></tr> <tr> <td width=86% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" valign=top> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" color=black>Fair Value as of January 31, 2014</font></p></td> <td width=2% style="BORDER-BOTTOM:#000000 3px double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" valign=top> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" color=black>$</font></p></td> <td width=12% style="BORDER-BOTTOM:windowtext 2pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" align=right valign=top> <p style="MARGIN:0in 0in 0pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman" color=#000000>&nbsp;3,926,427</font></p></td></tr></table></div> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="MARGIN:0in 0in 0pt"><u><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Investment in ZQX Advisors, LLC</font></u></p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>In August 2009, we entered into an Engagement Agreement with ZQX Advisors, LLC (&#147;ZQX&#148;) to assist us in seeking business opportunities and licenses for our electrophoretic display technology.&nbsp;Concurrently with entering into the Engagement Agreement, we acquired a 19.5% ownership interest in ZQX.&nbsp; On January 21, 2013, we terminated the Engagement Agreement with ZQX, but currently retain our 19.5% interest in ZQX. We have classified our interest in ZQX of approximately $48,000 as a reduction of additional paid-in capital within shareholders&#146; deficiency since this investment in ZQX consists entirely of our equity securities.&nbsp; </font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 12pt"><font style="FONT-SIZE:12pt; TEXT-AUTOSPACE:ideograph-numeric" face="Times New Roman" lang=EN-US>6.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; </font><u><font style="FONT-SIZE:12pt; TEXT-AUTOSPACE:ideograph-numeric" face="Times New Roman" lang=EN-US>ACCOUNTS PAYABLE AND ACCRUED EXPENSES</font></u></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style="FONT-SIZE:12pt; TEXT-AUTOSPACE:ideograph-numeric" face="Times New Roman" lang=EN-US>Accounts payable and accrued expense consist of the following as of:</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <div align=center> <table style=WIDTH:50% cellpadding=0 cellspacing=0> <tr style=HEIGHT:12.5pt> <td width=72% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=13% colspan=2 style="BORDER-BOTTOM:#000000 1px solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" rowspan=2 align=center valign=bottom> <p style="MARGIN:0in 0in 0pt" align=center> <p style="MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman">January 31,</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman">2014</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=13% colspan=2 style="BORDER-BOTTOM:#000000 1px solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" rowspan=2 valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman">October 31,</font><br></p> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman">2013</font></p></td></tr> <tr style=HEIGHT:15.25pt> <td width=72% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:15.25pt> <td width=72% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Accounts payable</font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>491,773 </font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>527,208 </font></p></td></tr> <tr style=HEIGHT:15.25pt> <td width=72% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Payroll and related expenses</font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>349,586</font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>345,484</font></p></td></tr> <tr style=HEIGHT:15.25pt> <td width=72% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Accrued litigation expense, consulting and other professional fees</font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>205,906</font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>248,730</font></p></td></tr> <tr style=HEIGHT:15.25pt> <td width=72% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Accrued other</font></p></td> <td width=2% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>169,160</font></p></td> <td width=2% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=11% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>155,048</font></p></td></tr> <tr style=HEIGHT:15.95pt> <td width=72% style="HEIGHT:15.95pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:left; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>Total</font></p></td> <td width=2% style="HEIGHT:15.95pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=11% style="HEIGHT:15.95pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>1,216,425 </font></p></td> <td width=2% style="HEIGHT:15.95pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="HEIGHT:15.95pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>$</font></p></td> <td width=11% style="HEIGHT:15.95pt; BORDER-BOTTOM:windowtext 2.25pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=#000000>1,276,470 </font></p></td></tr></table></div> <p style="MARGIN:0in 0in 10pt">&nbsp;</p><a name=_aciFooter35> <div> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>35</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></div></div> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div><a name=page_36> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a href=#TABLE>Table of Contents</a></font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 12pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 12pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>7.&nbsp;&nbsp; &nbsp;&nbsp;&nbsp;&nbsp;&nbsp; </font><u><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>&nbsp;NET LOSS PER SHARE OF COMMON STOCK </font></u></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>In accordance with ASC 260, &#147;Earnings Per Share&#148;, basic net loss per common share (&#147;Basic EPS&#148;) is computed by dividing net loss by the weighted average number of common shares outstanding.&nbsp;Diluted net loss per common share (&#147;Diluted EPS&#148;) is computed by dividing net loss by the weighted average number of common shares and dilutive common share equivalents and convertible securities then outstanding.&nbsp; Diluted EPS for all periods presented is the same as Basic EPS, as the inclusion of the effect of common share equivalents then outstanding would be anti-dilutive.&nbsp; For this reason, excluded from the calculation of Diluted EPS for the three-month periods ended January 31, 2014 and 2013, were stock options to purchase 70,832,845 and 61,408,845 shares respectively, and warrants to purchase 19,128,231 and 13,658,759 shares, respectively and debentures convertible into 28,099,423 shares and 19,919,425 shares respectively.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 6pt 0.25in; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 6pt 0.25in; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>8.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; </font><u><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>EFFECT OF RECENTLY ADOPTED AND ISSUED PRONOUNCEMENTS</font></u></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt 0.5in; TEXT-INDENT:0in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>In December 2011, the Financial Accounting Standards Board (&#147;FASB&#148;) issued Accounting Standards Update 2011-12 (&#147;ASU 2011-12&#148;), </font><i><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Deferral of the Effective Date for Amendments to the Presentation of Reclassifications of Items Out of Accumulated Other Comprehensive Income in Accounting Standards Update No.&nbsp;2011-05</font></i><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>. This amendment defers the effective date of the requirement to present separate line items on the income statement for reclassification adjustments of items out of accumulated other comprehensive income into net income. ASU 2011-12 is effective at the same time as Accounting Standards Update 2011-05, Comprehensive Income (Topic 220): Presentation of Comprehensive Income (&#147;ASU 2011-05&#148;), so that entities will not be required to comply with the presentation requirements in ASU 2011-05 that this ASU 2011-12 is deferring. ASUs 2011-12 and 2011-05 are effective for fiscal years, and interim periods within those years, beginning after December&nbsp;15, 2011.&nbsp;The Company adopted ASUs 2011-05 and 2011-12 on November&nbsp;1, 2012.&nbsp;The adoption of these new disclosure requirements did not have a material impact on our disclosures or consolidated financial statements.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p><a name=_aciFooter36> <div> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>36</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></div></div> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div><a name=page_37> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"><a name=_aciHeader37> <div> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a href=#TABLE>Table of Contents</a></font></p> <p style="MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in" align=justify><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>In October 2012, the FASB issued Accounting Standards Update 2012-04 (&#147;ASU 2012-04&#148;), </font><i><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Technical Corrections and Improvements</font></i><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>. The amendments in this update cover a wide range of topics and include technical corrections and improvements to the </font><font style="FONT-SIZE:12pt; TEXT-AUTOSPACE:ideograph-numeric" face="Times New Roman" lang=EN-US>Accounting Standards Codification. The amendments in ASU 2012-04 will be effective for interim and annual reporting periods beginning after December&nbsp;15, 2012. The Company adopted ASU 2012-04 on February&nbsp;1, 2013. The adoption of ASU 2012-04 did not have a material impact on the Company&#146;s consolidated financial position, results of operations or cash flows. &nbsp;</font></p></div> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style="FONT-SIZE:12pt; TEXT-AUTOSPACE:ideograph-numeric" face="Times New Roman" lang=EN-US>In October 2012, the FASB issued Accounting Standards Update 2012-03 (&#147;ASU 2012-03&#148;), </font><i><font style="FONT-SIZE:12pt; TEXT-AUTOSPACE:ideograph-numeric" face="Times New Roman" lang=EN-US>Technical Amendments and Corrections to SEC Sections</font></i><font style="FONT-SIZE:12pt; TEXT-AUTOSPACE:ideograph-numeric" face="Times New Roman" lang=EN-US>.&nbsp;ASU 2012-03 is issued to amend certain SEC paragraphs in the FASB Accounting Standards Codification, including Amendments to SEC Paragraphs Pursuant to SEC Staff Accounting Bulletin, Technical Amendments, and Corrections Related to FASB Accounting Codification. The amendments in ASU 2012-03 will be effective for interim and annual reporting periods beginning after December&nbsp;15, 2012.&nbsp; The Company adopted ASU 2012-03 on February&nbsp;1, 2013.&nbsp;The adoption of ASU 2012-03 did not have a material impact on the Company&#146;s consolidated financial position, results of operations or cash flows. </font></p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>9.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; </font><u><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>INCOME TAXES </font></u></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>We file Federal, New York State and California State income tax returns.&nbsp;Due to net operating losses, the statute of limitations remains open since the fiscal year ended October 31, 1997.&nbsp;We account for interest and penalties related to income tax matters in marketing, general and administrative expenses. There are no unrecognized income tax benefits as of January 31, 2014 and October 31, 2013.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 6pt"><font style=FONT-SIZE:12pt face="times new roman" lang=EN-US>10.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; </font><u><font style=FONT-SIZE:12pt face="times new roman" lang=EN-US>SEGMENT INFORMATION</font></u><font style=FONT-SIZE:12pt face="times new roman" lang=EN-US>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp;</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="times new roman" lang=EN-US>We follow the accounting guidance of ASC 280 &#147;Segment Reporting&#148; (&#147;ASC 280&#148;).&nbsp; Reportable operating segments are determined based on management&#146;s approach.&nbsp; The management approach, as defined by ASC 280, is based on the way that the chief operating decision-maker organizes the segments within an enterprise for making operating decisions and assessing performance. &nbsp;The chief operating decision-maker manages the enterprise as a single segment which includes the licensing and enforcement of patents.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="times new roman" lang=EN-US>11.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; </font><u><font style=FONT-SIZE:12pt face="times new roman" lang=EN-US>COMMITMENT AND CONTINGENCES</font></u><font style=FONT-SIZE:12pt face="times new roman" lang=EN-US>&nbsp; &nbsp;</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><u><font style="FONT-SIZE:12pt; LETTER-SPACING:0pt" face="Times New Roman" color=black lang=EN-US>Patent Acquisition Obligations</font></u></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style="FONT-SIZE:12pt; TEXT-DECORATION:none; LETTER-SPACING:0pt" face="Times New Roman" color=black lang=EN-US>As of January 31, 2014, we have incurred obligations due no later than November 2017 related to the acquisition of patents, which have a discounted present value of approximately $2,937,000, and which amount will be reduced by royalties paid during the period.&nbsp;The payment due in November 2017 is payable at the option of the Company in cash or common stock.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p><a name=_aciFooter37> <div> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>37</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></div></div> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div><a name=page_38> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"><a name=_aciHeader38> <div> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a href=#TABLE>Table of Contents</a></font></p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="MARGIN:0in 0in 0pt"><u><font style=FONT-SIZE:12pt face="times new roman" lang=EN-US>Litigation Matters</font></u></p></div> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>On January 28, 2013, we filed a lawsuit in the United States Federal District Court for the Northern District of California against AUO and E Ink in connection with the AUO License Agreements, alleging breach of contract and other charges, and are seeking compensatory, punitive, and treble damages.&nbsp;&nbsp;In addition to numerous material breaches by AUO of the AUO License Agreements, the Complaint alleges that AUO and E Ink conspired to obtain rights to CopyTele&#146;s</font><b><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US> </font></b><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>ePaper&#174; Electrophoretic Display technology, and CopyTele&#146;s Nano Field Emission Display technology.&nbsp;CopyTele alleges that such activities violated several State and Federal anti-trust and unfair competition statutes for which punitive and/or treble damages are applicable.&nbsp; We can give no assurance as to the potential outcome of this litigation.&nbsp; However, it is reasonably possible that the Company will not prevail on its damages claims in arbitration.&nbsp; Pursuant to the terms of the related arbitration agreement, the Company may be liable for AUO&#146;s attorney&#146;s fees, which may exceed $1 million, if the Company does not prevail.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>The operations of the Company involved patent licensing and enforcement in connection with the unauthorized use of patented technologies.&nbsp;In connection with any of our patent enforcement actions, it is possible that a defendant may request and/or a court may rule that we have violated statutory authority, regulatory authority, federal rules, local court rules, or governing standards relating to the substantive or procedural aspects of such enforcement actions.&nbsp;In such event, a court may issue monetary sanctions against us or award attorney's fees and/or expenses to a defendant(s), which could be material.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style="FONT-SIZE:12pt; TEXT-DECORATION:none; LETTER-SPACING:0pt" face="Times New Roman" color=windowtext lang=EN-US>Other than the foregoing, we are not a party to any material pending legal proceedings.&nbsp;We are party to claims and complaints that arise in the ordinary course of business.&nbsp;We believe that any liability that may ultimately result from the resolution of these matters will not, individually or in the aggregate, have a material adverse effect on our financial position or results of operations.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p><a name=_aciFooter38> <div> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>38</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></div></div> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div><a name=page_39> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"><a name=_aciHeader39> <div> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a href=#TABLE>Table of Contents</a><br><br></font></p></div> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 12pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><b><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US><a name=MDandA>Item 2.&nbsp; </font></b><b><u><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>Management's Discussion and Analysis of Financial Condition and Results of Operations.</font></u></b><b><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>&nbsp;&nbsp; &nbsp;</font></b></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="MARGIN:0in 0in 0pt"><b><u><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>GENERAL</font></u></b></p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 12pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>As used herein, &#147;we,&#148; &#147;us,&#148; &#147;our,&#148; the &#147;Company&#148;, &#147;CopyTele&#148; or &#147;CTI&#148; means CopyTele, Inc. and its wholly-owned subsidiaries unless otherwise indicated.&nbsp; Our principal operations include the development, acquisition, licensing, and enforcement of patented technologies that are either owned or controlled by the Company or one of our wholly owned subsidiaries.&nbsp; The Company currently owns or controls nine patent portfolios.&nbsp; As part of our patent assertion activities and in the ordinary course of our business, the Company, and our wholly owned subsidiaries, have initiated and will likely continue to initiate patent infringement lawsuits, and engage in patent infringement litigation.&nbsp; Since implementing our new business model in January 2013, the Company has initiated 41 lawsuits in connection with 5 of our patent portfolios. Our primary source of revenue will come from licenses resulting from the unauthorized use of our patented technologies, including the settlement of patent infringement lawsuits. We entered into 4 revenue producing licenses in fiscal year 2013 and 2 additional revenue producing licenses since January 31, 2014, from 2 of our patent portfolios.&nbsp; As a result of these licenses, which were in settlement of lawsuits, the Company currently has 35 lawsuits in connection with 5 of our patent portfolios.&nbsp; In addition to continuing to mine and monetize our existing patents, our wholly owned subsidiary, CTI Patent Acquisition Corporation, will continue to acquire patents and the exclusive rights to license and enforce patents from third parties.&nbsp; </font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 12pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Due to arrangements previously entered into by the Company, certain of our patents contain encumbrances which may negatively impact our patent monetization and patent assertion activities. Where we are able, we will take the steps necessary to remove any encumbrances that may inhibit our patent monetization and patent assertion activities.&nbsp; We have obtained and will continue to obtain the rights to license and enforce additional patents from third parties, and when necessary, will assist such parties in the further development of their patent portfolios through the filing of additional patent applications.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 12pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>In April 2013, CopyTele, through its wholly owned subsidiary, CTI Patent Acquisition Corporation, acquired the exclusive rights to license and enforce patent portfolios relating to (i) loyalty awards programs commonly provided by airlines, credit card companies, hotels, retailers, casinos, and others, and (ii) vinyl windows with integrated J-Channels, commonly used in modular buildings, mobile homes, and conventional, new home construction.</font><font style="FONT-SIZE:12pt; LETTER-SPACING:-0.15pt" face="Times New Roman" lang=EN-US>&nbsp; &nbsp;</font></p> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LETTER-SPACING:-0.15pt" face="Times New Roman" lang=EN-US>In November </font><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>2013, CTI Patent Acquisition Corporation acquired 2 patent portfolios in the rapidly expanding area of unified communications relating to (i) the multicast delivery of streaming data, media, and other content, within the confines of specialized virtual private networks, and (ii) the integration of telephonic participation in web-based audio/video conferences by creating a gateway between the internet and cellular or traditional landline telephones.</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></div> <p style=TEXT-ALIGN:center>39</p> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div><a name=page_40> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"><a name=_aciHeader40> <div> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a href=#TABLE>Table of Contents</a></font></p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></div> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt 0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><b><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Patent Monetization and Patent Assertion</font></b></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Patent monetization is the generation of revenue and proceeds from patents and patented technologies (&#147;Patent Monetization&#148;).&nbsp; Patent assertion is a specialized type of Patent Monetization where a patent owner, or a representative of the patent owner, seeks to prohibit or collect royalties from the unauthorized manufacture, sale, and use of the owner&#146;s patented invention (&#147;Patent Assertion&#148;).&nbsp; CTI&#146;s business model is Patent Monetization and Patent Assertion.&nbsp; We currently own or control nine patent portfolios which we have identified for patent monetization: (i) Encrypted Mobile Communication; (ii) ePaper&#174; Electrophoretic Display; (iii) Internet Telephonic Gateway; (iv) J-Channel Window Frame Construction; (v) Key Based Web Conferencing Encryption; (vi) Loyalty Conversion Systems; (vii) Micro Electro Mechanical Systems Display; (viii) Nano Field Emission Display; and (ix) VPN Multicast Communications.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><b><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>CTI&#146;s Patent Portfolios</font></b></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><b><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Encrypted Mobile Communications</font></b></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>The Encrypted Mobile Communications patent portfolio covers hardware and software used to encrypt cellular phone calls and other mobile communications.&nbsp; With the increased use of mobile devices, and the increased concerns regarding privacy and the protection of personal information, we believe the demand for secure mobile communications is increasing for both businesses and consumers.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0pt 0pt 0in; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0pt 0pt 0in; TEXT-INDENT:0.5in"><b><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>ePaper&#174; Electrophoretic Display</font></b></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0pt 0pt 0in; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>The ePaper&#174; Electrophoretic Display patent portfolio covers core electrophoretic technology that is used in the world&#146;s most popular eReader devices such as the Nook<sup>&#174; </sup>and the Kindle. The ePaper patents cover the underlying chemistry that is used to manufacture both the particles and the suspension, two of the key elements that are fundamental to the generation of the black and white eReader display.&nbsp; CTI&#146;s ePaper patents also cover the manufacturing, assembly, and physical structure of the display unit itself, as well as the electronics and internal operation of the device.&nbsp; </font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style="BORDER-TOP:0px; BORDER-RIGHT:0px; BORDER-BOTTOM:0px; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; BORDER-LEFT:0px; PADDING-RIGHT:0in"><b><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Internet Telephonic Gateway</font></b></font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style="FONT-SIZE:12pt; BACKGROUND:white" face="Times New Roman" lang=EN-US>The internet telephonic gateway patent portfolio covers the integration of telephonic participation in web-based audio/video conferences by creating a gateway between the Internet, and cellular or traditional landline telephones. The end result is that participants can join and participate in online, audio/video conferences via a cellular or conventional telephone. This internet telephonic gateway technology is commonly used for web based audio/video events with broad based audience participation such as earnings calls, webinars, and virtual town hall meetings.</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></div> <p style=TEXT-ALIGN:center>40</p> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div><a name=page_41> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"><a name=_aciHeader41> <div> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a href=#TABLE>Table of Contents</a></font></font></p> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>&nbsp;&nbsp;</font></p></div> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><b><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>J-Channel Window Frame Construction</font></b></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style="FONT-SIZE:12pt; BACKGROUND:white" face="Times New Roman" lang=EN-US>The J-Channel Window Frame Construction patent portfolio covers vinyl windows with an integrated frame, known in the industry as a &#147;J-Channel&#148;. Such windows are commonly used in modular buildings, mobile homes, and conventional, new home construction, resulting in easier and faster window installation. </font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0pt 0pt 0in; TEXT-INDENT:0.5in"><b><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Key Based Web Conferencing Encryption </font></b></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0pt 0pt 0in; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 10pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>The Key Based Web Conferencing Encryption patent portfolio covers the generation and management of encryption keys.&nbsp; This type of encryption technology is commonly used to encrypt web-based conferencing, email for regulatory compliance purposes, and personal information such as contracts.&nbsp; </font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><b><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Loyalty Conversion Systems</font></b></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 10pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>The Loyalty Conversion System patent portfolio covers coalition loyalty awards programs commonly provided by airlines, credit card companies, hotels, retailers, casinos, and others.&nbsp; The portfolio covers the electronic conversion of non-negotiable, loyalty awards points into negotiable funds used to purchase goods and services from third parties, as well as covering the electronic&nbsp;conversions of awards points into points and awards provided by other loyalty program providers. </font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0pt 0pt 0in; TEXT-INDENT:0.5in"><b><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Micro Electro Mechanical Systems Display</font></b></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0pt 0pt 0in; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>The Micro Electro Mechanical Systems Display patent portfolio covers vanadium dioxide coated pixels that electrically modulate light at extremely high speeds to form an image, as well as the use of electrostatic force to move pixel sized membranes that create a color image. These are emerging, low voltage, display technologies with numerous potential commercial applications.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><b><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Nano Field Emission Display</font></b></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>The Nano Field Emission Display patent portfolio covers </font><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>a new type of flat panel display consisting of low voltage color phosphors, specially coated carbon nanotubes, nano materials to generate secondary electrons, and ionized noble gas, resulting in a bright, sharp, high contrast color image.&nbsp; This emerging technology could result in a flat panel display utilizing less power, with better picture quality and lower manufacturing costs than is currently found in the flat panel display industry.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><b><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>VPN Multicast Communications</font></b></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>The VPN Multicast Communications patent portfolio covers the multicast, internet delivery of streaming data, media, and other content to large numbers of recipients, within the confines of specialized virtual private networks (&#147;VPN&#146;s). Multicasting is a commonly used content delivery protocol that enables several recipients to simultaneous receive content from a single internet transmission, greatly reducing Internet bandwidth costs. </font></p></div> <p style=TEXT-ALIGN:center>41</p> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div><a name=page_42> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"><a name=_aciHeader42> <div> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a href=#TABLE>Table of Contents</a></font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>When combined with specialized VPN&#146;s, the content and communications are protected from unwanted disclosure and piracy. Applications for these live, VPN multicast communications include videoconferences, online training and e-learning classes, internet television, web-based corporate events and strategy sessions, and other live transmissions of sensitive or protected content.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0in"><b><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Patent Monetization and Patent Assertion Activities</font></b></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0pt 0pt 0in; TEXT-INDENT:0.5in"><font style="FONT-SIZE:12pt; TEXT-AUTOSPACE:ideograph-numeric" face="Times New Roman" lang=EN-US>On January 28, 2013, CTI initiated a patent infringement lawsuit in the United States District Court for the Northern District of California against E Ink Corporation (&#147;E Ink&#148;), asserting U.S. Pat. Nos. 5,964,935; 6,113,810; and 6,194,488; covering CTI&#146;s ePaper&#174; Electrophoretic Display technology, which patents expire in 2017. CTI alleges that E Ink has infringed and continues to infringe such patents in connection with the manufacture, sale, use, and importation of electrophoretic displays.&nbsp; On January 28, 2013, CTI also filed a separate joint lawsuit against both AU Optronics Corp. (&#147;AUO&#148;) and E Ink, the AUO/E Ink Lawsuit (as defined below). In June of 2013, CTI and AUO agreed to arbitrate CTI&#146;s charges in the AUO/E Ink Lawsuit.&nbsp; The Court also ordered E Ink to participate in the arbitration, for purposes of discovery. Because issues in the AUO/E Ink arbitration need to be resolved before the patent infringement case can proceed against E Ink, the Court dismissed the patent infringement case, without prejudice, meaning that CTI can re-file the patent infringement lawsuit, if necessary, following the arbitration.&nbsp; </font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0pt 0pt 0in; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0pt 0pt 0in; TEXT-INDENT:0.5in"><font style="FONT-SIZE:12pt; TEXT-AUTOSPACE:ideograph-numeric" face="Times New Roman" lang=EN-US>On May 1, 2013, CTI&#146;s wholly owned subsidiary, Secure Web Conference Corporation, initiated a patent infringement lawsuit in the United States District Court for the Eastern District of New York against Microsoft Corporation, with respect to U.S. Patent Nos. 6,856,686 and 6,856,687, covering CTI&#146;s Key Based Web Conferencing Encryption technology, allegedly utilized by Microsoft&#146;s SKYPE and Lync video conferencing services, which patents expire in 2020 and 2021, respectively.&nbsp; On July 8, 2013, Secure Web Conference Corporation initiated similar lawsuits in the United States District Court for the Eastern District of New York against Citrix Systems and Logitech International.&nbsp; </font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0pt 0pt 38.5pt; TEXT-INDENT:0.5in"><font style="FONT-SIZE:12pt; TEXT-AUTOSPACE:ideograph-numeric" face="Times New Roman" lang=EN-US>&nbsp;&nbsp;</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0pt 0pt 0in; TEXT-INDENT:0.5in"><font style="FONT-SIZE:12pt; TEXT-AUTOSPACE:ideograph-numeric" face="Times New Roman" lang=EN-US>On August 7, 2013, CTI&#146;s wholly owned subsidiary, J-Channel Industries Corporation, filed 8 separate patent infringement lawsuits in the United States District Court for the Eastern District of Tennessee, against Lowe&#146;s Companies, Clayton Homes, Pella Corporation, Jeld-Wen, Atrium Windows and Doors, Ply Gem Industries, RGF Industries, Tafco Corporation, Kinro Manufacturing, and Elixir Industries, all in connection with U.S. Reissue Patent No. 40,041, covering CTI&#146;s J-Channel Window Frame Construction technology, which patent expired in 2012. The lawsuits cover infringements for periods prior to the expiration of the patents.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0pt 0pt 0in; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0pt 0pt 38.5pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0pt 0pt 0in; TEXT-INDENT:0.5in"><font style="FONT-SIZE:12pt; BACKGROUND:white" face="Times New Roman" color=black lang=EN-US>On August 20, 2013, </font><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>CTI&#146;s wholly owned subsidiary,</font><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US> </font><font style="FONT-SIZE:12pt; BACKGROUND:white" face="Times New Roman" color=black lang=EN-US>Loyalty Conversion System Corporation, filed 10 separate patent infringement lawsuits in the United States District Court for the Eastern District of Texas, against Alaska Airlines, American Airlines, Delta Airlines, Frontier Airlines, Hawaiian Airlines, JetBlue Airways, Southwest Airlines, Spirit Airlines, United Airlines, and U.S. Airways, all in connection with U.S. Patent Nos. 8,313,023 and 8,511,550, covering CTI&#146;s Loyalty Conversion Systems technology, which patents expire in 2026.</font></p></div> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></div> <p style=TEXT-ALIGN:center>42</p> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div><a name=page_43> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"><a name=_aciHeader43> <div> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a href=#TABLE>Table of Contents</a></font></p></div> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 6pt; TEXT-INDENT:0.5in"> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 6pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 6pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><font style="FONT-SIZE:12pt; TEXT-AUTOSPACE:ideograph-numeric" face="Times New Roman" lang=EN-US>On October 9, 2013, CTI&#146;s wholly owned subsidiary, J-Channel Industries Corporation, </font><font style="FONT-SIZE:12pt; TEXT-AUTOSPACE:ideograph-numeric" face="Times New Roman" color=black lang=EN-US>filed 19 patent infringement lawsuits in the Federal District Court for the Eastern District of Tennessee, in connection </font><font style="FONT-SIZE:12pt; TEXT-AUTOSPACE:ideograph-numeric" face="Times New Roman" lang=EN-US>U.S. Reissue Patent No. 40,041, covering CTI&#146;s </font><font style="FONT-SIZE:12pt; TEXT-AUTOSPACE:ideograph-numeric" face="Times New Roman" color=black lang=EN-US>J-Channel Window Frame Construction technology, which patent expired in 2012. </font><font style="FONT-SIZE:12pt; TEXT-AUTOSPACE:ideograph-numeric" face="Times New Roman" lang=EN-US>The lawsuits cover infringements for periods prior to the expiration of the patents. </font><font style="FONT-SIZE:12pt; TEXT-AUTOSPACE:ideograph-numeric" face="Times New Roman" color=black lang=EN-US>Defendants in the lawsuits consist of retailers and window manufacturers, including: Home Depot U.S.A., Inc.; Anderson Corporation; American Builders &amp; Contractors Supply Co., Inc. (ABC Supply); Comfort View Products, LLC; Croft, LLC; Moss Supply Company; Wincore Window Company LLC; Vinylmax, LLC; Simonton Building Products, Inc.; HWD Acquisition, Inc. (Hurd Windows); Magnolia Windows and Doors, LLC; MGM Industries, Inc., MI Windows and Doors LLC; PGT Industries, Inc.; Quaker Window Products Co.; Sun Windows, Inc.; Weather Shield Manufacturing, Inc.; West Window Corporation; Woodgrain Millwork, Inc.; and YKK-AP American Inc.</font></font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>The Company has engaged in and will continue to engage in patent infringement lawsuits in the ordinary course of its business operations.&nbsp; All litigation involves a significant degree of uncertainty, and we give no assurances as to the outcome or duration of any lawsuit.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><b><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>Licensing Activity</font></b></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:-4.5pt">&nbsp;</p> <p style="MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>During the fiscal year ended October 31, 2013, the Company has entered into 4 license agreements in connection with 2 of our patented technologies. In October 2013, we entered into a license agreement with Alaska Air Group, Inc. in connection with our Loyalty Conversion Systems technology. In addition, in October 2013 we entered into license agreements with Tafco Corporation, RGF Industries and Elixir Industries, all in connection with our patented J-Channel Window Frame Construction technology. All of the agreements provide for one-time, non-recurring, lump sum payments in exchange for a non-exclusive license, or covenant not to sue. The Alaska Air Group payment covers alleged past and future infringing activity through May of 2026, the expiration date of the Loyalty Conversion Systems patents.&nbsp; The Tafco, RGF, and Elixir payments cover alleged past infringing activity from February 2008, the date of the re-issued J-Channel Window Frame Construction patent, through February 2012, the date that the J-Channel Window Frame Construction patent expired. All of the aforementioned license agreements were entered into in connection with the settlement of patent infringement lawsuits, which lawsuits have been dismissed.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 6pt; TEXT-INDENT:0.5in"> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></div> <p style=TEXT-ALIGN:center>43</p> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div><a name=page_44> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"><a name=_aciHeader44> <div> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a href=#TABLE>Table of Contents</a></font></p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <h4 style="PAGE-BREAK-AFTER:auto; MARGIN:12pt 0in 3pt"><b><u><font style=FONT-SIZE:12pt face="times new roman" color=black>RESULTS OF OPERATIONS</font></u></b></h4> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; </font><b><u><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>Three months ended January 31, 2014 compared to the three months ended January 31, 2013</font></u></b></p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="MARGIN:0in 0in 12pt 0.5in"><b><i><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>Revenue from Patent Assertion Activities</font></i></b></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>The Company currently owns or controls 9 patent portfolios. Since implementing our new business model in January of 2013, the Company has initiated 41 lawsuits in connection with 5 of our patent portfolios. Our primary source of revenue will come from licenses resulting from the unauthorized use of our patented technologies, including the settlement of patent infringement lawsuits.&nbsp; During the fourth quarter of fiscal year 2013 we entered into 4 license agreements.&nbsp; The license agreements provided for one-time, non-recurring, lump sum payments in exchange for a non-exclusive retroactive and future license, or covenant not to sue.&nbsp; Accordingly, the earning process was complete and 100% of the revenue was recognized upon execution of the license agreements. We did not enter into any license agreements during the three months ended January 31, 2014 or 2013 and did not recognize any revenue during those periods.&nbsp; </font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><b><i><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>Litigation and Licensing Expenses</font></i></b></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Litigation and licensing expenses of approximately $33,000 in the three months ended January 2014 are attributable to our patent assertion activities and the AUO/EInk Lawsuit.&nbsp; We initiated lawsuits against AUO and E Ink on January 28, 2013 but did not incur any litigation and licensing expenses during the three months ended January 31, 2013.&nbsp; </font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="MARGIN:0in 0in 12pt 0.5in"><b><i><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>Marketing, General and Administrative Expenses</font></i></b></p> <p style="MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Marketing, general and administrative expenses&nbsp;decreased by approximately $141,000 to approximately $1,932,000 in the three months ended January 31, 2014, from approximately $2,073,000 in the comparable prior-year period. The&nbsp;decrease in marketing, general and administrative expenses was principally due to an increase in employee compensation, excluding stock option expense, of approximately $244,000 which was primarily attributable to employee bonuses, a bonus paid to the Company&#146;s strategic advisor of $100,000, an increase in shareholder relations expense of approximately $70,000, and an increase in patent amortization expense of approximately $70,000. The above increases were offset by decreased legal and accounting fees of approximately $312,000, and decreased rent expense of approximately $246,000. D</font><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>uring the first quarter of fiscal 2013 we began to vacate and return a substantial portion of our facilities to the landlord for possible re-letting and recorded an expense of approximately $186,000 related to future rentals of unused facilities. </font><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>The additional legal and accounting fees in 2013 were primarily related to the Company&#146;s restructuring, which commenced in the fourth quarter of the fiscal year 2012.&nbsp; Marketing, general and administrative expense for the three month periods ended January 31, 2013 and 2014, includes approximately $721,000 and $714,000, respectively, of non-cash stock option expense.</font></p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></div> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></div> <p style=TEXT-ALIGN:center>44</p> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div><a name=page_45> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a href=#TABLE>Table of Contents</a></font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 12pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><b><i><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Change in Value of Derivative Liability</font></i></b></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Change in value of derivative liability was a loss of approximately $1,320,000 in the three month period ended January 31, 2014 compared to $-0- in the comparable prior year period.&nbsp; The derivative liability represents the bifurcated conversion features of the January 2013 Convertible Debentures and the November 2013 Convertible Debentures.&nbsp; </font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><b><i><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Interest Expense</font></i></b></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Interest expense increased by approximately $357,000 to approximately $379,000 in the three month period ended January 31, 2014 from $22,000 in the prior year period.&nbsp; Interest expense in the current period includes approximately $217,000 of amortization of debt discounts on convertible debentures compared to $-0- in the prior year and approximately $86,000 of amortized interest on our patent acquisition obligation compared to $-0- in the prior year period.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><b><i><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Dividend Income </font></i></b></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Dividend income of approximately $48,000 received in the three month period ended January 31, 2014 was related to the Videocon GDR&#146;s.&nbsp; There was no dividend income received in the three month period ended January 31, 2013.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><b><i><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Interest Income </font></i></b></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Interest income increased to $1,000 in the current period compared to approximately $-0- in the three months ended January 31, 2013 due to the increased amount of short term investments during the current period.</font></p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="MARGIN:0in 0in 0pt"><b><u><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>LIQUIDITY AND CAPITAL RESOURCES</font></u></b></p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>In September 2012, the Company received aggregate gross proceeds of $750,000 from the issuance of 8% convertible debentures due September 12, 2016 in a private placement, of which $300,000 was sold to the Company&#146;s current Chairman and then Chief Executive Officer and one other director of the Company. &nbsp;The September 2012 debentures paid interest quarterly and were convertible into shares of our common stock at a conversion price of $0.092 per share on or before September 12, 2016.&nbsp; The Company recorded a discount to the carrying amount of the September 2012 debentures of approximately $717,000 related to the debentures&#146; beneficial conversion feature.&nbsp; The Company was permitted to prepay the September 2012 debentures at any time without penalty upon 30 days prior notice.&nbsp; The Company also had the option to pay interest on the September 2012 debentures in common stock.&nbsp; During the three month period ended April 30, 2013, the entire $750,000 principal amount of the September 2012 debentures were converted into 8,152,170 shares of common stock and an additional 100,725 shares were issued in payment of approximately $9,300 of accrued interest through the conversion date.&nbsp; The conversion of the September 2012 debentures resulted in a charge to interest expense of approximately $717,000 during the second quarter of fiscal 2013.</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></div> <p style=TEXT-ALIGN:center>45</p> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div><a name=page_46> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"><a name=_aciHeader46> <div> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a href=#TABLE>Table of Contents</a></font></p> <p style="MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>In January 2013, we received aggregate gross proceeds of $1,765,000 from the issuance of 8% convertible debentures due January 25, 2015, of which $250,000 was received from our current President, Chief Executive Officer and director, and two other directors of the Company.&nbsp; The January 2013 debentures pay interest quarterly and are convertible into shares of our common stock at a conversion price of $0.15 per share on or before January 25, 2015.&nbsp; The embedded conversion feature has certain weighted average anti-dilution protection provisions which would be triggered if the Company issues its common stock, or certain common stock equivalents, (as defined) at a price below $0.15 per share.&nbsp; We have the option to pay any interest on the January 2013 debentures in common stock based on the average of the closing prices of&nbsp; our common stock for the 10 trading days immediately preceding the interest payment date.&nbsp; We also have the option to pay any interest on the January 2013 debentures with additional debentures.&nbsp; We may prepay the January 2013 debentures at any time without penalty upon 30 days prior notice but only if the sales price of the common stock on the principal market on which the common stock is primarily listed and quoted for trading is at least $0.30 for 20 trading days in any 30-day trading period ending no more than 15 days before the Company&#146;s prepayment notice.&nbsp; In conjunction with the issuance of the January 2013 debentures, we issued warrants to purchase 5,882,745 shares of our common stock.&nbsp; Each January 2013 warrant grants the holder the right to purchase one share of our common stock at the purchase price of $0.30 per share on or before January 25, 2016.&nbsp; In connection with the sale of January 2013 debentures, we paid a placement fee of approximately $41,000 and issued the placement agent a warrant to purchase 276,014 shares of common stock with identical provisions as January 2013 warrants issued with the January 2013 debentures.&nbsp; We also agreed to register the common stock issuable upon conversion of the January 2013 debentures and exercise of the January 2013 warrants. &nbsp;The January 2013 warrants may be exercised on a cashless basis only if there is not an effective registration statement covering such shares at the time the warrants are exercised.&nbsp; During June and July 2013, holders of $325,000 of principal of the January 2013 debentures converted their holdings into an aggregate of 2,166,775 shares of common stock and an additional 20,125 shares of common stock were issued in payment of accrued interest.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.25in"><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>In April 2013, we entered into a common stock purchase agreement (the &#147;Stock Purchase Agreement&#148;) with Aspire Capital Fund LLC (&#147;Aspire Capital&#148;), which provides that Aspire Capital is committed to purchase up to an aggregate of $10 million of shares of our common stock over the two-year term of the agreement.&nbsp; In consideration for entering into the Stock Purchase Agreement, concurrently with the execution of the agreement, we issued to Aspire Capital 3,500,000 shares of our common stock with a fair value of $700,000 as a commitment fee.&nbsp; Upon execution of the Stock Purchase Agreement, Aspire Capital purchased 2,500,000 shares for $500,000.&nbsp; In order to sell any additional shares under the Stock Purchase Agreement, we were required to have a registration statement covering the shares issued to Aspire Capital declared effective by the Securities and Exchange Commission (the &#147;SEC&#148;).&nbsp; Such registration statement was declared effective by the SEC in June 2013.&nbsp; </font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:27.5pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:27.5pt"><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>Under the Stock Purchase Agreement there are two ways that we can elect to sell shares of common stock to Aspire Capital.&nbsp; On any business day we can select: (1)&nbsp;through a regular purchase of up to 200,000 shares (but not to exceed $200,000) at a known price based on the market price of our common stock prior to the time of each sale, and (2)&nbsp;through a volume-weighted average price, or VWAP, purchase of a number of shares up to 30% of the volume traded on the purchase date at a price equal to the lesser of (i) the closing sale price on the purchase date or (ii) 95% of the VWAP for such purchase date.&nbsp; The Company can only require a VWAP purchase if the closing sale price for our Common Stock on the notice day for the VWAP purchase is higher than $0.50.&nbsp; During the third and fourth quarters of fiscal year 2013 we sold an additional 2,880,000 shares of our common stock to Aspire Capital for approximately $592,000.</font></p></div> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></div> <p style=TEXT-ALIGN:center>46</p> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div><a name=page_47> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"><a name=_aciHeader47> <div> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a href=#TABLE>Table of Contents</a></font></p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:27.5pt"><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>The number of shares covered by and the timing of, each purchase notice are determined by us, at our sole discretion.&nbsp; The Company cannot execute any sales under the Stock Purchase Agreement when the closing for our common stock is less than $0.15.&nbsp; Aspire Capital has no right to require any sales from us, but is obligated to make purchases as directed in accordance with the Stock Purchase Agreement.&nbsp; The Stock Purchase Agreement may be terminated by us at any time, at our discretion, without any cost or penalty.&nbsp; We incurred expenses of approximately $42,000 in connection with the execution of the Stock Purchase Agreement in addition to the 3,500,000 shares of our common stock we issued as a commitment fee.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>On May 29, 2013, the Company offered the holders of the warrants issued in our February 2011 private placement, exercisable at a purchase price of $0.178 per share, the opportunity to exercise the warrants at a reduced exercise price of $0.16 per share (payable in cash) during the period ended July 15, 2013.&nbsp;&nbsp; In connection therewith, </font><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>our Chairman, our Chief Financial Officer and director, and one other director of the Company </font><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>exercised warrants to purchase 2,380,000 shares of our Common Stock and we received gross proceeds of approximately $381,000. </font><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>&nbsp;</font><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>Utilizing the Black-Scholes option-pricing model, the Company determined that the aggregate incremental fair value of the repriced warrants was immaterial and no discount charge was recorded.&nbsp;&nbsp; </font><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>In addition, we issued 547,493 shares of our common stock upon the exercise, on a &#147;cashless&#148; basis, of warrants to purchase 1,400,000 shares </font><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>at a purchase price of $0.178 per share</font><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>. &nbsp;</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0pt 0pt 0in; TEXT-INDENT:0.5in"><font style="FONT-SIZE:12pt; LETTER-SPACING:-0.15pt" face="Times New Roman" lang=EN-US>In November 2013, we received gross proceeds of $3,500,000 from the issuance of a 6% Convertible Debenture due November 11, 2016, to a single institutional investor.&nbsp; </font><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>The </font><font style="FONT-SIZE:12pt; LETTER-SPACING:-0.15pt" face="Times New Roman" lang=EN-US>November 2013 </font><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>debenture pays interest annually and is convertible into shares of our common stock at a conversion price of $0.1892 per share on or before November 11, 2016. &nbsp;The embedded conversion feature has certain anti-dilution protection provisions which would be triggered if the Company issues its common stock, or certain common stock equivalents, (as defined) at a price below $0.1419 per share.&nbsp; In conjunction with the issuance of the </font><font style="FONT-SIZE:12pt; LETTER-SPACING:-0.15pt" face="Times New Roman" lang=EN-US>November 2013 </font><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>debentures, we issued warrants to purchase 9,249,472 shares of our common stock.&nbsp; Each </font><font style="FONT-SIZE:12pt; LETTER-SPACING:-0.15pt" face="Times New Roman" lang=EN-US>November 2013 </font><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>warrant grants the holder the right to purchase one share of our common stock at a fixed purchase price of $0.3784 per share on or before November 11, 2016.&nbsp; We also agreed to register the common stock issuable upon conversion of the </font><font style="FONT-SIZE:12pt; LETTER-SPACING:-0.15pt" face="Times New Roman" lang=EN-US>November 2013 </font><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>debentures and exercise of the </font><font style="FONT-SIZE:12pt; LETTER-SPACING:-0.15pt" face="Times New Roman" lang=EN-US>November 2013 </font><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>warrants. &nbsp;The </font><font style="FONT-SIZE:12pt; LETTER-SPACING:-0.15pt" face="Times New Roman" lang=EN-US>November 2013 </font><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>warrants may be exercised on a cashless basis only if there is not an effective registration statement covering such shares at the time the warrants are exercised.</font></p></div> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></div> <p style=TEXT-ALIGN:center>47</p> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div><a name=page_48> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"><a name=_aciHeader48> <div> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a href=#TABLE>Table of Contents</a></font></p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></div> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt 0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Based on currently available information, we believe that our existing cash, cash equivalents and short-term investments, together with expected cash flows from the Stock Purchase Agreement with Aspire Capital and expected cash flows from patent licensing and enforcement, and other potential sources of cash flows will be sufficient to enable us to continue our patent licensing and enforcement activities for at least 12 months.&nbsp; However, our projections of future cash needs and cash flows may differ from actual results. If current cash on hand and cash that may be generated from the Stock Purchase Agreement and from patent licensing and enforcement activities are insufficient to satisfy our liquidity requirements, we may seek to sell equity securities or obtain loans from various financial institutions where possible.&nbsp; The sale of additional equity securities or convertible debt could result in dilution to our shareholders. We can give no assurance that we will generate sufficient cash flows in the future (through licensing and enforcement of patents, or otherwise) to satisfy our liquidity requirements or sustain future operations, or that other sources of funding, such as sales of equity or debt, would be available, if needed, on favorable terms or at all.&nbsp; We can also give no assurance that we will have sufficient funds to repay our outstanding indebtedness.&nbsp; If we cannot obtain such funding if needed or if we cannot sufficiently reduce operating expenses, we would need to curtail or cease some or all of our operations.&nbsp; </font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>The following table presents our expected cash requirements for contractual obligations outstanding as of January 31, 2014:</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <div align=center> <table style="WIDTH:75%; BORDER-COLLAPSE:collapse; MARGIN-LEFT:5.4pt" cellpadding=0 cellspacing=0> <tr> <td width=37% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt 0.05in" align=center>&nbsp;</p></td> <td width=4% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=59% colspan=10 style="BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:11pt face="Times New Roman" color=#000000>Payments Due by Period</font></p></td></tr> <tr> <td width=37% style="BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt 0.05in" align=center>&nbsp;</p> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LETTER-SPACING:-0.1pt" face="Times New Roman">Contractual Obligations</font></p></td> <td width=4% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=10% style="BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:11pt face="Times New Roman" color=#000000>Less </font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:11pt face="Times New Roman" color=#000000>than </font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:11pt face="Times New Roman" color=#000000>1 year</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=10% style="BORDER-BOTTOM:#000000 1px solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:11pt face="Times New Roman" color=#000000>1-3 </font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:11pt face="Times New Roman" color=#000000>years</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=10% style="BORDER-BOTTOM:#000000 1px solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:11pt face="Times New Roman" color=#000000>3-5 </font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:11pt face="Times New Roman" color=#000000>years</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=10% style="BORDER-BOTTOM:#000000 1px solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:11pt face="Times New Roman" color=#000000>After </font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:11pt face="Times New Roman" color=#000000>5 years</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></td> <td width=10% style="BORDER-BOTTOM:#000000 1px solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" valign=bottom> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style=FONT-SIZE:11pt face="Times New Roman" color=#000000>Total</font></p></td> <td width=1% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td></tr> <tr> <td width=37% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" valign=bottom> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=4% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" valign=bottom> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=10% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" valign=bottom> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" valign=bottom> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=10% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" valign=bottom> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" valign=bottom> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=10% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" valign=bottom> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" valign=bottom> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=10% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" valign=bottom> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" valign=bottom> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=10% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" valign=bottom> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=1% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td></tr> <tr> <td width=37% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LETTER-SPACING:-0.1pt" face="Times New Roman">Non-cancelable Operating Leases</font></p></td> <td width=4% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=10% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right><font style=FONT-SIZE:11pt face="Times New Roman" color=#000000>$ 124,000</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right><font style=FONT-SIZE:11pt face="Times New Roman" color=#000000>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;-</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right><font style=FONT-SIZE:11pt face="Times New Roman" color=#000000>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; -</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right><font style=FONT-SIZE:11pt face="Times New Roman" color=#000000>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;-</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right><font style=FONT-SIZE:11pt face="Times New Roman" color=#000000>$ 124,000</font></p></td> <td width=1% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td></tr> <tr> <td width=37% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" valign=bottom> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt 0.05in">&nbsp;</p></td> <td width=4% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" valign=bottom> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=10% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=1% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td></tr> <tr> <td width=37% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LETTER-SPACING:-0.1pt" face="Times New Roman">Convertible Debentures due 2016 </font></p></td> <td width=4% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=10% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right><font style=FONT-SIZE:11pt face="Times New Roman" color=#000000>-</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right><font style=FONT-SIZE:11pt face="Times New Roman" color=#000000>3,500,000</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right><font style=FONT-SIZE:11pt face="Times New Roman" color=#000000>-</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right><font style=FONT-SIZE:11pt face="Times New Roman" color=#000000>-</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right><font style=FONT-SIZE:11pt face="Times New Roman" color=#000000>3,500,000</font></p></td> <td width=1% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td></tr> <tr> <td width=37% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" valign=bottom> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=4% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" valign=bottom> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=10% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=1% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td></tr> <tr> <td width=37% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LETTER-SPACING:-0.1pt" face="Times New Roman">Convertible Debentures due 2015</font></p></td> <td width=4% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=10% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right><font style=FONT-SIZE:11pt face="Times New Roman" color=#000000>1,440,000 </font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right><font style=FONT-SIZE:11pt face="Times New Roman" color=#000000>-</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right><font style=FONT-SIZE:11pt face="Times New Roman" color=#000000>-</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right><font style=FONT-SIZE:11pt face="Times New Roman" color=#000000>-</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right><font style=FONT-SIZE:11pt face="Times New Roman" color=#000000>1,440,000</font></p></td> <td width=1% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td></tr> <tr> <td width=37% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" valign=bottom> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=4% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" valign=bottom> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=10% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=1% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td></tr> <tr> <td width=37% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LETTER-SPACING:-0.1pt" face="Times New Roman">Secured Loan Obligation to Mars Overseas</font></p></td> <td width=4% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=10% style="BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right><font style=FONT-SIZE:11pt face="Times New Roman" color=#000000>5,000,000 </font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right><font style=FONT-SIZE:11pt face="Times New Roman" color=#000000>- </font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right><font style=FONT-SIZE:11pt face="Times New Roman" color=#000000>-</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right><font style=FONT-SIZE:11pt face="Times New Roman" color=#000000>-</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right><font style=FONT-SIZE:11pt face="Times New Roman" color=#000000>5,000,000</font></p></td> <td width=1% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td></tr> <tr> <td width=37% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" valign=bottom> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=4% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" valign=bottom> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=10% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=1% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in" valign=bottom> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td></tr> <tr> <td width=37% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font style="FONT-SIZE:11pt; LETTER-SPACING:-0.1pt" face="Times New Roman">Total Contractual </font><font style="FONT-SIZE:11pt; LETTER-SPACING:-0.1pt" face="Times New Roman">Cash Obligations</font></p></td> <td width=4% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=10% style="BORDER-BOTTOM:windowtext 2pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right><font style=FONT-SIZE:11pt face="Times New Roman" color=#000000>$ 6,564,000</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="BORDER-BOTTOM:windowtext 2pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right><font style=FONT-SIZE:11pt face="Times New Roman" color=#000000>$3,500,000 </font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="BORDER-BOTTOM:windowtext 2pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right> <p style="MARGIN:0in 0in 0pt" align=right><font style=FONT-SIZE:11pt face="Times New Roman" color=#000000>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; -</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="BORDER-BOTTOM:windowtext 2pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right><font style=FONT-SIZE:11pt face="Times New Roman" color=#000000>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;-</font></p></td> <td width=2% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=10% style="BORDER-BOTTOM:windowtext 2pt double; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:5.4pt; PADDING-RIGHT:5.4pt; BACKGROUND-COLOR:#cceeff" align=right valign=bottom> <p style="MARGIN:0in 0in 0pt" align=right><font style=FONT-SIZE:11pt face="Times New Roman" color=#000000>$10,064,000 </font></p></td> <td width=1% style="PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:0in; PADDING-RIGHT:0in; BACKGROUND-COLOR:#cceeff" valign=bottom> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td></tr></table></div> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></div> <p style=TEXT-ALIGN:center>48</p> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div><a name=page_49> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"><a name=_aciHeader49> <div> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a href=#TABLE>Table of Contents</a></font></font></p> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>&nbsp;&nbsp;</font></p></div> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US><b><u><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>Critical Accounting Policies </font></u></b></font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style="FONT-SIZE:12pt; TEXT-AUTOSPACE:ideograph-numeric" face="Times New Roman" lang=EN-US>Our condensed consolidated financial statements are prepared in conformity with accounting principles generally accepted in the United States of America.&nbsp;&nbsp;In preparing these financial statements, we make assumptions, judgments and estimates that can have a significant impact on amounts reported in our consolidated financial statements. We base our assumptions, judgments and estimates on historical experience and various other factors that we believe to be reasonable under the circumstances. Actual results could differ materially from these estimates under different assumptions or conditions. On a regular basis, we evaluate our assumptions, judgments and estimates and make changes accordingly.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style="FONT-SIZE:12pt; TEXT-AUTOSPACE:ideograph-numeric" face="Times New Roman" lang=EN-US>We believe that, of the significant accounting policies discussed in Note </font><font style="FONT-SIZE:12pt; TEXT-AUTOSPACE:ideograph-numeric" face="Times New Roman" color=black lang=EN-US>2&nbsp;</font><font style="FONT-SIZE:12pt; TEXT-AUTOSPACE:ideograph-numeric" face="Times New Roman" lang=EN-US> to our consolidated financial statements in our Annual Report on Form 10-K for the fiscal year ended October 31, 2013, the following accounting policies require our most difficult, subjective or complex judgments:</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0in 1in; TEXT-INDENT:-0.25in"><font style="FONT-SIZE:12pt; LINE-HEIGHT:115%; TEXT-AUTOSPACE:ideograph-numeric" face=symbol lang=EN-US>&#183;</font><font style="FONT-SIZE:7pt; LINE-HEIGHT:115%; TEXT-AUTOSPACE:ideograph-numeric" face="times new roman" lang=EN-US>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; </font><font style="FONT-SIZE:12pt; LINE-HEIGHT:115%; TEXT-AUTOSPACE:ideograph-numeric" face="times new roman" lang=EN-US>Revenue recognition;</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0in 1in; TEXT-INDENT:-0.25in"><font style="FONT-SIZE:12pt; LINE-HEIGHT:115%; TEXT-AUTOSPACE:ideograph-numeric" face=symbol lang=EN-US>&#183;</font><font style="FONT-SIZE:7pt; LINE-HEIGHT:115%; TEXT-AUTOSPACE:ideograph-numeric" face="times new roman" lang=EN-US>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; </font><font style="FONT-SIZE:12pt; LINE-HEIGHT:115%; TEXT-AUTOSPACE:ideograph-numeric" face="times new roman" lang=EN-US>Investment Securities;</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0in 1in; TEXT-INDENT:-0.25in"><font style="FONT-SIZE:12pt; LINE-HEIGHT:115%; TEXT-AUTOSPACE:ideograph-numeric" face=symbol lang=EN-US>&#183;</font><font style="FONT-SIZE:7pt; LINE-HEIGHT:115%; TEXT-AUTOSPACE:ideograph-numeric" face="times new roman" lang=EN-US>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; </font><font style="FONT-SIZE:12pt; LINE-HEIGHT:115%; TEXT-AUTOSPACE:ideograph-numeric" face="times new roman" lang=EN-US>Stock-Based Compensation; and</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 10pt 1in; TEXT-INDENT:-0.25in"><font style="FONT-SIZE:12pt; LINE-HEIGHT:115%; TEXT-AUTOSPACE:ideograph-numeric" face=symbol lang=EN-US>&#183;</font><font style="FONT-SIZE:7pt; LINE-HEIGHT:115%; TEXT-AUTOSPACE:ideograph-numeric" face="times new roman" lang=EN-US>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; </font><font style="FONT-SIZE:12pt; LINE-HEIGHT:115%; TEXT-AUTOSPACE:ideograph-numeric" face="times new roman" lang=EN-US>Convertible Debentures</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><b><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>Revenue Recognition</font></b></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>Revenue is recognized when (i) persuasive evidence of an arrangement exists, (ii) all obligations have been substantially performed pursuant to the terms of the arrangement, (iii) amounts are fixed or determinable, and (iv) the collectability of amounts is reasonably assured.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in" /></div> <p style=TEXT-ALIGN:center>49</p> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div><a name=page_50> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"><a name=_aciHeader50> <div> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a href=#TABLE>Table of Contents</a></font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>In general, patent revenue arrangements provide for the payment of contractually determined fees in consideration for the grant of certain intellectual property rights for patented technologies owned or controlled by our operating subsidiaries.&nbsp;&nbsp;These rights typically include some combination of the following:&nbsp;&nbsp;(i) the grant of a non-exclusive, retroactive and future license to manufacture and/or sell products covered by patented technologies owned or controlled by our operating subsidiaries, (ii) a covenant-not-to-sue, (iii) the release of the licensee from certain claims, and (iv) the dismissal of any pending litigation.&nbsp;&nbsp;The intellectual property rights granted are perpetual in nature, extending until the expiration of the related patents.&nbsp;&nbsp;Pursuant to the terms of these agreements, our operating subsidiaries have no further obligation with respect to the grant of the non-exclusive retroactive and future licenses, covenants-not-to-sue, releases, and other deliverables, including no express or implied obligation on our operating subsidiaries&#146; part to maintain or upgrade the technology, or provide future support or services.&nbsp;&nbsp;Generally, the agreements provide for the grant of the licenses, covenants-not-to-sue, releases, and other significant deliverables upon execution of the agreement.&nbsp;&nbsp;As such, the earnings process is complete and revenue is recognized upon the execution of the agreement, when collectability is reasonably assured, and when all other revenue recognition criteria have been met.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in" align=justify><b><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Investment Securities</font></b></p> <p style="MARGIN:0in 0in 0pt; TEXT-INDENT:40.5pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:40.5pt"><font style=FONT-SIZE:12pt face="times new roman" lang=EN-US>We classify our investment securities as available-for-sale.&nbsp; Available-for-sale securities are recorded at fair value.&nbsp; Unrealized gains and losses, net of the related tax effect, on available-for-sale securities are excluded from earnings and are reported as a component of accumulated other comprehensive income (loss) until realized.&nbsp; Realized gains and losses from the sale of available-for-sale securities are determined on a specific identification basis.&nbsp; Dividend and interest income are recognized when earned.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:40.5pt">&nbsp;</p> <p style="MARGIN:0in 0in 0pt" align=justify><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>We monitor the value of our investments for indicators of impairment, including changes in market conditions and the operating results of the underlying investment that may result in the inability to recover the carrying value of the investment. In evaluating our investment in Videocon GDR&#146;s at October 31, 2013, we determined that based on both the duration and continuing magnitude of the market price decline compared to the carrying cost basis of approximately $5,382,000, and the uncertainty of its recovery we recorded a write-down of the investment of approximately of $1,185,000 and established a new cost basis of approximately $4,197,000.&nbsp;&nbsp; During the three months ended January 31, 2014, we recorded an unrealized loss on our investment of approximately $211,000.</font></p></div> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></div> <p style=TEXT-ALIGN:center>50</p> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div><a name=page_51> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"><a name=_aciHeader51> <div> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a href=#TABLE>Table of Contents</a></font></p></div> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 6pt; TEXT-INDENT:0.5in"> <p style="MARGIN:0in 0in 0pt"> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 6pt; TEXT-INDENT:0.5in"> <p> <h6 style="MARGIN:12pt 0in 3pt; TEXT-INDENT:0.5in"><b><font style="FONT-SIZE:12pt; FONT-STYLE:normal" face="Times New Roman" color=black>Stock-Based Compensation </font></b></h6> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>We account for stock options granted to employees and directors using the accounting guidance in ASC 718.&nbsp; We recognize compensation expense for stock option awards over the requisite or implied service period of the grant.&nbsp; We recorded stock-based compensation expense, related to stock options granted to employees and directors, of approximately $466,000 and $473,000 during the three months ended January 31, 2014 and 2013, respectively.&nbsp; We account for stock options granted to consultants using the accounting guidance under ASC 505-50.&nbsp; We recognized stock-based compensation expense for stock options granted to non-employee consultants during the three months ended January 31, 2014 and 2013, of approximately $255,000 and $242,000, respectively. See Note 2 to the consolidated financial statements for additional information.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>&nbsp;&nbsp;</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Determining the appropriate fair value model and calculating the fair value of stock-based awards requires judgment, including estimating stock price volatility, forfeiture rates and expected term.&nbsp; If factors change and we employ different assumptions in the application of ASC 718 and ASC 505-50 in future periods, the compensation expense that we record may differ significantly from what we have recorded in the current period.&nbsp; See Note 3 to the condensed consolidated financial statements for additional information.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><b><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Convertible Instruments </font></b></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>The Company accounts for hybrid contracts that feature conversion options in accordance with applicable generally accepted accounting principles (&#147;GAAP&#148;).&nbsp; ASC &nbsp;815 &#147;Derivatives and Hedging Activities,&#148; (&#147;ASC 815&#148;) requires companies to bifurcate conversion options from their host instruments and account for them as free standing derivative financial instruments according to certain criteria. The criteria includes circumstances in which (a) the economic characteristics and risks of the embedded derivative instrument are not clearly and closely related to the economic characteristics and risks of the host contract, (b)&nbsp;the hybrid instrument that embodies both the embedded derivative instrument and the host contract is not re-measured at fair value under otherwise applicable generally accepted accounting principles with changes in fair value reported in earnings as they occur and (c)&nbsp;a separate instrument with the same terms as the embedded derivative instrument would be considered a derivative instrument.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>&nbsp; </font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Conversion options that contain variable settlement features such as provisions to adjust the conversion price upon subsequent issuances of equity or equity linked securities at exercise prices more favorable than that featured in the hybrid contract generally result in their bifurcation from the host instrument.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; The Company accounts for convertible instruments, when the Company has determined that the embedded conversion options should not be bifurcated from their host instruments, in accordance with ASC 470-20 &#147;Debt with Conversion and Other Options&#148; (&#147;ASC 470-20&#148;). Under ASC 470-20 the Company records, when necessary, discounts to convertible notes for the intrinsic value of conversion options embedded in debt instruments based upon the differences between the fair value of the underlying common stock at the commitment date of the note transaction and the effective conversion price embedded in the note. The Company accounts for convertible instruments (when the Company has determined that the embedded conversion options should be bifurcated from their host instruments) in accordance with ASC 815.&nbsp;&nbsp;Under ASC 815, a portion of the proceeds received upon the issuance of the hybrid contract are allocated to the fair value of the derivative. The derivative is subsequently marked to market at each reporting date based on current fair value, with the changes in fair value reported in results of operations.</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></div> <p style=TEXT-ALIGN:center>51</p> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div><a name=page_52> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"><a name=_aciHeader52> <div> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a href=#TABLE>Table of Contents</a></font></p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="MARGIN:0in 0in 0pt"><b><u><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>EFFECT OF RECENTLY ISSUED PRONOUNCEMENTS</font></u></b></p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>In December 2011, the Financial Accounting Standards Board (&#147;FASB&#148;) issued Accounting Standards Update 2011-12 (&#147;ASU 2011-12&#148;), </font><i><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Deferral of the Effective Date for Amendments to the Presentation of Reclassifications of Items Out of Accumulated Other Comprehensive Income in Accounting Standards Update No.&nbsp;2011-05</font></i><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>. &nbsp;This amendment defers the effective date of the requirement to present separate line items on the income statement for reclassification adjustments of items out of accumulated other comprehensive income into net income. ASU 2011-12 is effective at the same time as Accounting Standards Update 2011-05, Comprehensive Income (Topic 220): Presentation of Comprehensive Income (&#147;ASU 2011-05&#148;), so that entities will not be required to comply with the presentation requirements in ASU 2011-05 that this ASU 2011-12 is deferring. ASUs 2011-12 and 2011-05 are effective for fiscal years, and interim periods within those years, beginning after December&nbsp;15, 2011.&nbsp; The Company adopted ASUs 2011-05 and 2011-12 on November&nbsp;1, 2012.&nbsp; The adoption of these new disclosure requirements did not have a material impact on our disclosures or consolidated financial statements.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style="FONT-SIZE:12pt; TEXT-AUTOSPACE:ideograph-numeric" face="Times New Roman" lang=EN-US>In October 2012, the FASB issued Accounting Standards Update 2012-04 (&#147;ASU 2012-04&#148;), </font><i><font style="FONT-SIZE:12pt; TEXT-AUTOSPACE:ideograph-numeric" face="Times New Roman" lang=EN-US>Technical Corrections and Improvements</font></i><font style="FONT-SIZE:12pt; TEXT-AUTOSPACE:ideograph-numeric" face="Times New Roman" lang=EN-US>. The amendments in this update cover a wide range of topics and include technical corrections and improvements to the Accounting Standards Codification. The amendments in ASU 2012-04 will be effective for interim and annual reporting periods beginning after December&nbsp;15, 2012. The Company adopted ASU 2012-04 on February&nbsp;1, 2013. The adoption of ASU 2012-04 did not have a material impact on the Company&#146;s consolidated financial position, results of operations or cash flows. &nbsp;</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>In October 2012, the FASB issued Accounting Standards Update 2012-03 (&#147;ASU 2012-03&#148;), </font><i><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Technical Amendments and Corrections to SEC Sections</font></i><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>.&nbsp; ASU 2012-03 is issued to amend certain SEC paragraphs in the FASB Accounting Standards Codification, including Amendments to SEC Paragraphs Pursuant to SEC Staff Accounting Bulletin, Technical Amendments, and Corrections Related to FASB Accounting Codification. The amendments in ASU 2012-03 will be effective for interim and annual reporting periods beginning after December&nbsp;15, 2012.&nbsp; The Company adopted ASU 2012-03 on February&nbsp;1, 2013.&nbsp; The adoption of ASU 2012-03 did not have a material impact on the Company&#146;s consolidated financial position, results of operations or cash flows.</font></p></div> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></div> <p style=TEXT-ALIGN:center>52</p> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div><a name=page_53> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a href=#TABLE>Table of Contents</a></font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 12pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="MARGIN:0in 0in 0pt"><b><u><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>FORWARD-LOOKING STATEMENTS</font></u></b></p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Information included in this Quarterly Report on Form 10-Q (this &#147;Report&#148;) contains forward-looking statements within the meaning of Section 27A of the Securities Act of 1933 (the &#147;Securities Act&#148;), and Section 21E of the Securities Exchange Act of 1934, as amended (the &#147;Exchange Act&#148;).&nbsp; Forward-looking statements are not statements of historical facts, but rather reflect our current expectations concerning future events and results.&nbsp; We generally use the words &#147;believes,&#148; &#147;expects,&#148; &#147;intends,&#148; &#147;plans,&#148; &#147;anticipates,&#148; &#147;likely,&#148; &#147;will&#148; and similar expressions to identify forward-looking statements.&nbsp; Such forward-looking statements, including those concerning our expectations, involve risks, uncertainties and other factors, some of which are beyond our control, which may cause our actual results, performance or achievements, or industry results, to be materially different from any future results, performance or achievements expressed or implied by such forward-looking statements.&nbsp;&nbsp; These risks, uncertainties and factors include, but are not limited to, those factors set forth in our Annual Report on Form 10-K for the fiscal year ended October 31, 2013 and the condensed consolidated financial statements included in this Report.&nbsp; Except as required by applicable law, including the securities laws of the United States, we undertake no obligation to publicly update or revise any forward-looking statements, whether as a result of new information, future events or otherwise.&nbsp; You are cautioned not to unduly rely on such forward-looking statements when evaluating the information presented in this Report.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><b><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US><a name=Quantitative>Item 3.&nbsp; </font></b><b><u><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>Quantitative and Qualitative Disclosures About Market Risk.</font></u></b></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>At January 31, 2014, our investment in Videocon GDRs is recorded at fair value of approximately $3,986,000 and has exposure to additional price risk.&nbsp; The fair value of the Videocon GDRs is based on the underlying price of Videocon&#146;s equity shares which are traded on stock exchanges in India with prices quoted in rupees.&nbsp; Accordingly, the fair value of the Videocon GDRs is subject to price risk and foreign exchange risk.&nbsp; The potential loss in fair value resulting from a hypothetical 10% adverse change in prices of Videocon equity shares quoted by Indian stock exchanges and in foreign currency exchange rates, as of January 31, 2014, amounts to approximately $399,000.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0in"><b><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US><a name=ControlsAndProcedure>Item 4.&nbsp; </font></b><b><u><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>Controls and Procedures.</font></u></b></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>We carried out an evaluation, under the supervision and with the participation of our management including our President and Chief Executive Officer and our Vice President &#150; Finance and Chief Financial Officer, of the effectiveness of the design and operation of our disclosure controls and procedures pursuant to Rule 13-15(b) of the Securities Exchange Act of 1934, as amended.&nbsp; Based upon that evaluation, our President and Chief Executive Officer and our Vice President &#150; Finance and Chief Financial Officer concluded that our disclosure controls and procedures are effective as of the end of the period covered by this report.&nbsp; </font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>There was no change in our internal control over financial reporting during the first quarter of fiscal year 2014 that has materially affected, or is reasonably likely to materially affect, our internal control over financial reporting.</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></div> <p style=TEXT-ALIGN:center>53</p> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div><a name=page_54> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"><a name=_aciHeader54> <div> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a href=#TABLE>Table of Contents</a></font></p> <p style="MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in" align=center><b><u><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>PART II.&nbsp; OTHER INFORMATION</font></u></b></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in" align=center>&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><b><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a name=LegalProceeds>Item 1. </font></b><b><u><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Legal Proceedings.</font></u></b><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>&nbsp; &nbsp;</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>On January 28, 2013, we filed a lawsuit in the United States Federal District Court for the Northern District of California against AUO and E Ink in connection with the EPD License Agreement and the Nano Display License Agreement, alleging breach of contract, breach of the implied covenant of good faith and fair dealing, fraudulent inducement, unjust enrichment, unfair business practices, attempted monopolization, and other charges, and we are seeking compensatory, punitive, and treble damages..&nbsp; </font></p> <p style="MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>In addition to numerous and continual material breaches by AUO of the EPD License Agreement, and the Nano Display License Agreement, the Complaint alleges that AUO and E Ink conspired to obtain rights to CTI&#146;s</font><b><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US> </font></b><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>ePaper&#174; Electrophoretic Display technology, and CTI&#146;s Nano Field Emission Display technology, through an elaborate scheme whereby AUO obtained certain rights to the technologies under the guise of jointly developing products with CTI, which products would compete with certain products manufactured by AUO and certain products manufactured and sold by E Ink. Instead of jointly developing products with CTI and competing with E Ink, AUO clandestinely agreed to sell its electrophoretic display business to E Ink,&nbsp; and attempted to include a license to CTI&#146;s</font><b><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US> </font></b><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>ePaper&#174; Electrophoretic Display technology as part of the sale, with CTI receiving no consideration. CTI alleges that such activities violated several State and Federal anti-trust and unfair competition statutes for which punitive and/or treble damages are applicable. </font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style="FONT-SIZE:12pt; LETTER-SPACING:0pt" face="Times New Roman" color=black lang=EN-US>Other than the foregoing and the suits we bring to enforce our patent rights, which are an integral part of our business plan, we are not a party to any material pending legal proceedings other than that which arise in the ordinary course of business.&nbsp; We are party to claims and complaints that arise in the ordinary course of business.&nbsp; We believe that any liability that may ultimately result from the resolution of these matters will not, individually or in the aggregate, have a material adverse effect on our financial position or results of operations.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="MARGIN:0in 0in 0pt"><b><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US><a name=RiskFactors>Item 1A.&nbsp; </font></b><b><u><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>Risk Factors</font></u></b><b><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>.&nbsp;</font></b></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>There have been no material changes in our risk factors from those disclosed in our Annual Report on Form 10-K for the fiscal year ended October 31, 2013.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><b><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a name=SaleOfEquity>Item 2.&nbsp; </font></b><b><u><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Unregistered Sales of Equity Securities and Use of Proceeds</font></u></b><b><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>. &nbsp;</font></b><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>&nbsp;&nbsp;&nbsp;</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>During the quarter ended January 31, 2014, the Company issued an aggregate of 90,000 shares of our common stock to various companies in payment of public relations and investor relations services. In November 2013, the Company issued 1,000,000 shares of our common stock to an inventor in connection with the acquisition of patents.&nbsp; In both instances, the common stock was issued in reliance on an exemption from registration under Section 4(2) of the Securities Act.</font></p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>During the quarter ended January 31, 2014, the Company issued 150,785 shares of our common stock in payment of interest on the principal amount of the 8% Convertible Debenture due 2015 that we issued in our January 2013 private placement. These securities were issued in reliance on an exemption from registration under Section 4(2) of the Securities Act.</p></font></div> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></div> <p style=TEXT-ALIGN:center>54</p> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div><a name=page_55> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"><a name=_aciHeader55> <div> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a href=#TABLE>Table of Contents</a></font></p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><b><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a name=SeniorSecurities>Item 3. </font></b><b><u><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Defaults Upon Senior Securities</font></u></b><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>.&nbsp;</font><b><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>&nbsp; </font></b><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>None.&nbsp;</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><b><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a name=MineSafety>Item 4</font></b><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>. </font><b><u><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Mine Safety Disclosures</font></u></b><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>.&nbsp; Not Applicable.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><b><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a name=OtherInfo>Item 5. </font></b><b><u><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Other Information</font></u></b><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>.&nbsp;</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; (a)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; None.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>(b)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; There have been no material changes to the procedures by which security holders may recommend nominees to the Company&#146;s board of directors.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><b><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US><a name=Exhibits>Item 6.&nbsp; </font></b><b><u><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>Exhibits.&nbsp;</font></u></b></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt 81pt; TEXT-INDENT:-45pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>10.1&nbsp;&nbsp;&nbsp;&nbsp; &nbsp;&nbsp; </font><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US>Amendment No. 3 to the CopyTele, Inc. 2010 Share Incentive Plan. (Filed herewith.)</font><b><u><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US> &nbsp;</font></u></b></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt 81pt; TEXT-INDENT:-45pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>31.1&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Certification of Chief Executive Officer, pursuant to Section 302 of the Sarbanes-Oxley Act of 2002, dated March 17, 2014. (Filed herewith.)</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt 81pt; TEXT-INDENT:-45pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt 81pt; TEXT-INDENT:-45pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>31.2&nbsp;&nbsp;&nbsp;&nbsp; Certification of Chief Financial Officer, pursuant to Section 302 of the Sarbanes-Oxley Act of 2002, dated March 17, 2014. (Filed herewith.)</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt 81pt; TEXT-INDENT:-45pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt 81pt; TEXT-INDENT:-45pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt 81pt; TEXT-INDENT:-45pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>32.1&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Statement of Chief Executive Officer, pursuant to Section 1350 of Title 18 of the United States Code, dated March 17, 2014. (Filed herewith.)</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt 81pt; TEXT-INDENT:-45pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt 81pt; TEXT-INDENT:-45pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt 81pt; TEXT-INDENT:-45pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>32.2&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Statement of Chief Financial Officer, pursuant to Section 1350 of Title 18 of the United States Code, dated March 17, 2014. (Filed herewith.)</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt 81pt; TEXT-INDENT:-45pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt 81pt; TEXT-INDENT:-45pt">&nbsp;</p> <p style="MARGIN:0in 0in 0in 81pt; TEXT-INDENT:-45pt"><font style=FONT-SIZE:12pt face="times new roman" color=black lang=EN-US>101.ins&nbsp;&nbsp;&nbsp; Instance Document. (Filed herewith.)</font></p> <p style="MARGIN:0in 0in 0in 81pt; TEXT-INDENT:-45pt">&nbsp;</p> <p style="MARGIN:0in 0in 0in 81pt; TEXT-INDENT:-45pt"><font style=FONT-SIZE:12pt face="times new roman" color=black lang=EN-US>101.def&nbsp;&nbsp; XBRL Taxonomy Extension Definition Linkbase Document. (Filed herewith.)</font></p> <p style="MARGIN:0in 0in 0in 81pt; TEXT-INDENT:-45pt">&nbsp;</p> <p style="MARGIN:0in 0in 0in 81pt; TEXT-INDENT:-45pt"><font style=FONT-SIZE:12pt face="times new roman" color=black lang=EN-US>101.sch</font><font style=FONT-SIZE:12pt face="times new roman" lang=EN-US> &nbsp; XBRL Taxonomy Extension Schema Document</font><font style=FONT-SIZE:12pt face="times new roman" color=black lang=EN-US>. (Filed herewith.)</font></p> <p style="MARGIN:0in 0in 0in 81pt; TEXT-INDENT:-45pt">&nbsp;</p> <p style="MARGIN:0in 0in 0in 81pt; TEXT-INDENT:-45pt"><font style=FONT-SIZE:12pt face="times new roman" color=black lang=EN-US>101.cal</font><font style=FONT-SIZE:12pt face="times new roman" lang=EN-US> &nbsp;&nbsp; XBRL Taxonomy Extension Calculation Linkbase Document</font><font style=FONT-SIZE:12pt face="times new roman" color=black lang=EN-US>. (Filed herewith.)</font></p> <p style="MARGIN:0in 0in 0in 81pt; TEXT-INDENT:-45pt">&nbsp;</p> <p style="MARGIN:0in 0in 0in 81pt; TEXT-INDENT:-45pt"><font style=FONT-SIZE:12pt face="times new roman" color=black lang=EN-US>101.lab</font><font style=FONT-SIZE:12pt face="times new roman" lang=EN-US> &nbsp; XBRL Taxonomy Extension Label Linkbase Document</font><font style=FONT-SIZE:12pt face="times new roman" color=black lang=EN-US>. (Filed herewith.)</font></p> <p style="MARGIN:0in 0in 0in 81pt; TEXT-INDENT:-45pt">&nbsp;</p> <p style="MARGIN:0in 0in 0in 81pt; TEXT-INDENT:-45pt"><font style=FONT-SIZE:12pt face="times new roman" color=black lang=EN-US>101.pre</font><font style=FONT-SIZE:12pt face="times new roman" lang=EN-US> &nbsp; XBRL Taxonomy Extension Presentation Linkbase Document</font><font style=FONT-SIZE:12pt face="times new roman" color=black lang=EN-US>. (Filed herewith.)</font></p></div> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></div> <p style=TEXT-ALIGN:center>55</p> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div><a name=page_56> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"><a name=_aciHeader56> <div> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><a href=#TABLE>Table of Contents</a></font></p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><b><u><font style=FONT-SIZE:12pt face="Times New Roman" color=black lang=EN-US><a name=Signatures>SIGNATURES</font></u></b></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt 1.5in; TEXT-INDENT:-33pt" align=center>&nbsp;</p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Pursuant to the requirements of the Securities Exchange Act of 1934, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; TEXT-INDENT:0.5in">&nbsp;</p> <div align=left> <table style="WIDTH:75%; BORDER-COLLAPSE:collapse" cellpadding=0 cellspacing=0> <tr style=HEIGHT:15.25pt> <td width=40% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=1% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=12% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=12% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=35% colspan=3 style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=black>COPYTELE, INC.</font></p></td></tr> <tr style=HEIGHT:15.25pt> <td width=40% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=1% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=12% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=12% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=4% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=1% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=30% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:15.25pt> <td width=40% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=1% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=12% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=12% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=4% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=1% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=black>By:</font></p></td> <td width=30% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=black>/s/ Robert A. Berman</font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=40% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=1% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=12% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=12% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=4% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=31% colspan=2 style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=black>Robert A. Berman</font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=40% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=1% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=12% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=12% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=4% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=31% colspan=2 style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=black>President and Chief Executive Officer </font></p></td></tr> <tr style=HEIGHT:15.25pt> <td width=40% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=black>March 17, 2014</font></p></td> <td width=1% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=12% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=12% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=4% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=31% colspan=2 style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=black>(Principal Executive Officer)</font></p></td></tr> <tr style=HEIGHT:15.25pt> <td width=40% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=1% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=12% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=12% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=4% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=1% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=30% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:15.25pt> <td width=40% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></td> <td width=1% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=12% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=12% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=4% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=1% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=30% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td></tr> <tr style=HEIGHT:15.25pt> <td width=40% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=1% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=12% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=12% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=4% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=1% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=black>By:</font></p></td> <td width=30% style="HEIGHT:15.25pt; BORDER-BOTTOM:windowtext 1pt solid; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=black>/s/ Henry P. Herms</font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=40% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=1% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=12% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=12% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=4% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=31% colspan=2 style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=black>Henry P. Herms</font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=40% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=1% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=12% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=12% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=4% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=31% colspan=2 style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=black>Vice President - Finance and </font></p></td></tr> <tr style=HEIGHT:14.5pt> <td width=40% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=1% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=12% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=12% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=4% style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=31% colspan=2 style="HEIGHT:14.5pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=black>Chief Financial Officer (Principal</font></p></td></tr> <tr style=HEIGHT:15.25pt> <td width=40% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=black>March 17, 2014</font></p></td> <td width=1% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=12% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=12% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=4% style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p></td> <td width=31% colspan=2 style="HEIGHT:15.25pt; PADDING-BOTTOM:0in; PADDING-TOP:0in; PADDING-LEFT:1.5pt; PADDING-RIGHT:1.5pt" valign=top> <p style="MARGIN:0in 0in 0pt"><font style="FONT-SIZE:12pt; LINE-HEIGHT:normal" face="times new roman" color=black>Financial and Accounting Officer)</font></p></td></tr> <tr> <td width=40%>&nbsp;</td> <td width=1%>&nbsp;</td> <td width=12%>&nbsp;</td> <td width=12%>&nbsp;</td> <td width=4%>&nbsp;</td> <td width=1%>&nbsp;</td> <td width=30%>&nbsp;</td></tr></table></div> <p style="MARGIN:0in 0in 10pt">&nbsp;</p></div> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center>&nbsp;</p></div> <p style=TEXT-ALIGN:center>56</p> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div></a></body>
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<TYPE>EX-10
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<FILENAME>exhibit10_1.htm
<DESCRIPTION>EXHIBIT 10.1
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<head><title>exhibit10_1</title> </head> <body bgcolor=#ffffff>&nbsp; <a name=page_1 /> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"><a name=_aciHeader1 /> <div> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></div> <p style="TEXT-ALIGN:right; PAGE-BREAK-AFTER:avoid; MARGIN:0in 0in 12pt" align=right><u><font style="TEXT-AUTOSPACE:ideograph-numeric; FONT-SIZE:12pt" face="Times New Roman" lang=EN-US>Exhibit 10.1</font></u></p> <p style="TEXT-ALIGN:center; PAGE-BREAK-AFTER:avoid; MARGIN:0in 0in 12pt" align=center><b></b>&nbsp;</p> <p style="TEXT-ALIGN:center; PAGE-BREAK-AFTER:avoid; MARGIN:0in 0in 12pt" align=center><b><font style="TEXT-AUTOSPACE:ideograph-numeric; FONT-SIZE:12pt" face="Times New Roman" lang=EN-US>Amendment No. 3 to the </font></b></p> <p style="PAGE-BREAK-AFTER:avoid; MARGIN:0in 0in 12pt 0pt" align=center><b><font style="TEXT-AUTOSPACE:ideograph-numeric; FONT-SIZE:12pt" face="Times New Roman" lang=EN-US>CopyTele, Inc. 2010 Share Incentive Plan</font></b></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><font style="TEXT-AUTOSPACE:ideograph-numeric; FONT-SIZE:12pt" face="Times New Roman" lang=EN-US>Amended by the Company&#146;s Board of Directors on November 8, 2013</font></p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font style="TEXT-AUTOSPACE:ideograph-numeric; FONT-SIZE:12pt" face="Times New Roman" lang=EN-US>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Effective November 8, 2013, the following sections of the Company&#146;s 2010 Share Incentive Plan are hereby amended to read in their entity as follows:</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font style="TEXT-AUTOSPACE:ideograph-numeric; FONT-SIZE:12pt" face="Times New Roman" lang=EN-US>Section 5 is hereby amended to read in its entirety as follows:</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font style="TEXT-AUTOSPACE:ideograph-numeric; FONT-SIZE:12pt" face="Times New Roman" lang=EN-US>5.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; </font><b><font style="TEXT-AUTOSPACE:ideograph-numeric; FONT-SIZE:12pt" face="Times New Roman" lang=EN-US>Common Stock Available Under the Plan</font></b></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><b></b>&nbsp;</p> <p style="TEXT-ALIGN:justify; TEXT-INDENT:0.5in; MARGIN:0in 0in 0pt"><font style="TEXT-AUTOSPACE:ideograph-numeric; FONT-SIZE:12pt" face="Times New Roman" lang=EN-US>Effective and following November 8, 2013, the maximum aggregate number of shares of Common Stock that may be subject to Benefits, including Stock Options, granted under this Plan shall be 20,000,000 shares, which may be authorized and unissued or treasury shares, subject to any adjustments in accordance with Section 15 hereof.&nbsp; Additionally, commencing on the first business day in 2014 and on the first business day of each calendar year thereafter while the Plan is in effect, the maximum aggregate number of shares of Common Stock available for issuance under this Plan shall be increased such that, as of such first business day, the maximum aggregate number of shares of Common Stock available for issuance under this Plan shall be 20,000,000 shares.&nbsp; Any shares of Common Stock subject to a Stock Option or Stock Appreciation Right which for any reason is cancelled or terminated without having been exercised, any shares subject to Stock Awards, Performance Awards or Stock Units which are forfeited, any shares subject to Performance Awards settled in cash, any shares delivered to the Company as part or full payment for the exercise of a Stock Option or Stock Appreciation Right or any shares delivered to the Company in satisfaction of any tax withholding arising in connection with any Benefit consisting of shares of Common Stock, as the case may be, shall again be available for Benefits under the Plan.</font></p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="MARGIN:0in 0in 0pt"><font style="TEXT-AUTOSPACE:ideograph-numeric; FONT-SIZE:12pt" face="Times New Roman" lang=EN-US>Section 7 is hereby amended to read in its entirety as follows:</font></p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 12pt"><b><font style="TEXT-AUTOSPACE:ideograph-numeric; FONT-SIZE:12pt" face="Times New Roman" lang=EN-US>7.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Automatic Stock Option Grants to Director Participants</font></b></p> <p style="TEXT-ALIGN:justify; TEXT-INDENT:0.5in; MARGIN:0in 0in 12pt"><font style="TEXT-AUTOSPACE:ideograph-numeric; FONT-SIZE:12pt" face="Times New Roman" lang=EN-US>(a)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Subject to the terms and conditions of this Section 7, on January 2<sup>nd</sup> of each year commencing on January 2, 2014, each person who is a Director Participant of the Company at that time shall automatically be granted a Nonqualified Stock Option to purchase 300,000 shares of Common Stock (or 400,000 in the case of the Chairman of the Board to the extent he qualifies as a Director Participant).&nbsp;&nbsp; In addition, each person who is a Director Participant and joins the Board of Directors after January 2 of any year, shall be granted on the date such person joins the Board of Directors a Nonqualified Stock Option to purchase 300,000 shares of Common Stock (or 400,000 in the case of the Chairman of the Board) pro-rated based upon the number of calendar quarters remaining in the calendar year in which such person joins the Board of Directors (rounded up for partial quarters). </font></p> <p style="TEXT-ALIGN:justify; TEXT-INDENT:0.5in; MARGIN:0in 0in 12pt">&nbsp;</p><a name=_aciFooter1 /> <div> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></div></div> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div>&nbsp; <a name=page_2 /> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"><a name=_aciHeader2 /> <div> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></div> <p style="TEXT-ALIGN:justify; TEXT-INDENT:0.5in; MARGIN:0in 0in 12pt"><font style="TEXT-AUTOSPACE:ideograph-numeric; FONT-SIZE:12pt" face="Times New Roman" lang=EN-US>(b)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; The purchase price of the shares of Common Stock covered by the Nonqualified Stock Options granted pursuant to this Section 7 shall be the Fair Market Value of such shares of Common Stock on the date of grant. </font></p> <p style="TEXT-ALIGN:justify; TEXT-INDENT:0.5in; MARGIN:0in 0in 12pt"><font style="TEXT-AUTOSPACE:ideograph-numeric; FONT-SIZE:12pt" face="Times New Roman" lang=EN-US>(c)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; A Nonqualified Stock Option granted to any Director Participant of the Company shall vest and become exercisable in four equal quarterly installments on March 31 June 30, September 30, and December 31 of the year in which it was granted (or in the case of a Director Participant who joins the Company after January 2 in equal quarterly installments over the remaining quarterly period in such calendar year).&nbsp; Thereafter, the Nonqualified Stock Option shall be exercisable for the period ending ten (10) years from the date of grant of such Nonqualified Stock Option, except to the extent such exercise is further limited or restricted pursuant to the provisions hereof. </font></p> <p style="TEXT-ALIGN:justify; TEXT-INDENT:0.5in; MARGIN:0in 0in 12pt"><font style="TEXT-AUTOSPACE:ideograph-numeric; FONT-SIZE:12pt" face="Times New Roman" lang=EN-US>(d)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; If a Director Participant&#146;s service as a director of the Company terminates, any Nonqualified Stock Option previously granted to such Director Participant shall, to the extent not theretofore exercised, terminate and become null and void; provided, however, that:</font></p> <p style="TEXT-ALIGN:justify; TEXT-INDENT:0.5in; MARGIN:0in 0in 12pt 0.5in"><font style="TEXT-AUTOSPACE:ideograph-numeric; FONT-SIZE:12pt" face="Times New Roman" lang=EN-US>(i)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; if a Director Participant holding an outstanding Nonqualified Stock Option dies, such Nonqualified Stock Option shall, to the extent not theretofore exercised, remain exercisable for five (5) years after such Director Participant&#146;s death, by such Director Participant&#146;s legatee, distributee, guardian or legal or personal representative; and</font></p> <p style="TEXT-ALIGN:justify; TEXT-INDENT:0.5in; MARGIN:0in 0in 12pt 0.5in"><font style="TEXT-AUTOSPACE:ideograph-numeric; FONT-SIZE:12pt" face="Times New Roman" lang=EN-US>(ii)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; if the service of a Director Participant to whom such Nonqualified Stock Option shall have been granted shall terminate by reason of (i) such Director Participant&#146;s disability (as described in Section 22(e)(3) of the Code), (ii) voluntary retirement from service as a director of the Company, or (iii) failure of the Company to retain or nominate for re-election such Director Participant who is otherwise eligible, unless due to any act of (A) fraud or intentional misrepresentation, or (B) embezzlement, misappropriation or conversion of assets or opportunities of the Company or any direct or indirect subsidiary of the Company, while such Director Participant is entitled to exercise such Nonqualified Stock Option as herein provided, such Director Participant shall have the right to exercise such Nonqualified Stock Option so granted in respect of any or all of such number of shares of Common Stock subject to such Nonqualified Stock Option at any time up to and including (X) five (5) years after the date of such termination of service due to failure of the Company to retain or nominate for re-election such Director Participant who is otherwise eligible, unless due to any act of (1) fraud or intentional misrepresentation, or (2) embezzlement, misappropriation or conversion of assets or opportunities of the Company or any direct or indirect subsidiary of the Company, and (Y) five (5) years after the date of termination of service in the case of termination of service by reason of voluntary retirement or by reason of disability; and</font></p> <p style="TEXT-ALIGN:justify; TEXT-INDENT:0.5in; MARGIN:0in 0in 12pt 0.5in"><font style="TEXT-AUTOSPACE:ideograph-numeric; FONT-SIZE:12pt" face="Times New Roman" lang=EN-US>(iii)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; if the Director Participant shall die during the five (5) year period, specified in clause (ii) above and at a time when such Director Participant was entitled to exercise a Nonqualified Stock Option as herein provided, the legal representative of such Director Participant, or such person who acquired such Nonqualified Stock Option by bequest or inheritance or by reason of the death of the Director Participant may, not later <font style="TEXT-AUTOSPACE:ideograph-numeric; FONT-SIZE:12pt" face="Times New Roman" lang=EN-US>than five (5) years from the date of death, exercise such Nonqualified Stock Option, to the extent not theretofore exercised, in respect of any or all of such number of Shares subject to such Nonqualified Stock Option.</font></font></p> <p style="TEXT-ALIGN:justify; TEXT-INDENT:0.5in; MARGIN:0in 0in 12pt"><font style="TEXT-AUTOSPACE:ideograph-numeric; FONT-SIZE:12pt" face="Times New Roman" lang=EN-US>In no event, however, shall a Director Participant be entitled to exercise any Stock Option issued under this Section 7 after the expiration of the period of exercisability of such Stock Option, as specified therein.</font></p> <p style="TEXT-ALIGN:justify; TEXT-INDENT:0.5in; MARGIN:0in 0in 12pt"><font style="TEXT-AUTOSPACE:ideograph-numeric; FONT-SIZE:12pt" face="Times New Roman" lang=EN-US>(e)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; A Director Participant may receive automatic Stock Option grants under this Section 7 and Stock Option grants under Section 6.</font></p><a name=_aciFooter2 /> <div> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></div></div> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div> <p>&nbsp;</p></body>
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<DOCUMENT>
<TYPE>EX-31
<SEQUENCE>3
<FILENAME>exhibit31_1.htm
<DESCRIPTION>EXHIBIT 31.1
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<head><title>exhibit31_1</title> </head> <body bgcolor=#ffffff>&nbsp; <a name=page_1 /> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"><a name=_aciHeader1 /> <div> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></div> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US><u>Exhibit 31.1</u>&nbsp;&nbsp;&nbsp;&nbsp; </font></p> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right>&nbsp;</p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><u><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>CERTIFICATION</font></u></p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>I, Robert Berman, certify that:</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; TEXT-INDENT:-0.5in; MARGIN:0in 0in 0pt 0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>1.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; I have reviewed this quarterly report on Form 10-Q of CopyTele, Inc.; </font></p> <p style="TEXT-ALIGN:justify; TEXT-INDENT:-0.5in; MARGIN:0in 0in 0pt 0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; TEXT-INDENT:-0.5in; MARGIN:0in 0in 0pt 0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>2.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report; </font></p> <p style="TEXT-INDENT:-0.5in; MARGIN:0in 0in 0pt 0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; TEXT-INDENT:-0.5in; MARGIN:0in 0in 0pt 0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>3.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations and cash flows of the registrant as of, and for, the periods presented in this report; </font></p> <p style="TEXT-ALIGN:justify; TEXT-INDENT:-0.5in; MARGIN:0in 0in 0pt 0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; PAGE-BREAK-AFTER:avoid; TEXT-INDENT:-0.5in; MARGIN:0in 0in 12pt 0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>4.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; The registrant&#146;s other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a&#8209;15(e) and 15d&#8209;15(e)) and internal control over financial reporting (as defined in Exchange Act Rules 13a-15(f) and 15d-15(f)) for the registrant and have:</font></p> <p style="TEXT-ALIGN:justify; TEXT-INDENT:-0.5in; MARGIN:0in 0in 0pt 1in"><font style="LAYOUT-GRID-MODE:line; FONT-SIZE:12pt" face="Times New Roman" lang=EN-US>(a)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;</font></p> <p style="TEXT-ALIGN:justify; TEXT-INDENT:-0.5in; MARGIN:0in 0in 0pt 1in">&nbsp;</p> <p style="TEXT-ALIGN:justify; TEXT-INDENT:-0.5in; MARGIN:0in 0in 0pt 1in"><font style="LAYOUT-GRID-MODE:line; FONT-SIZE:12pt" face="Times New Roman" color=black lang=EN-US>(b)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; D</font><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>esigned such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;</font></p> <p style="TEXT-ALIGN:justify; TEXT-INDENT:-0.5in; MARGIN:0in 0in 0pt 1in">&nbsp;</p> <p style="TEXT-ALIGN:justify; TEXT-INDENT:-0.5in; MARGIN:0in 0in 0pt 1in"><font style="LAYOUT-GRID-MODE:line; FONT-SIZE:12pt" face="Times New Roman" color=black lang=EN-US>(c)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; </font><font style="LAYOUT-GRID-MODE:line; FONT-SIZE:12pt" face="Times New Roman" lang=EN-US>Evaluated the effectiveness of the registrant&#146;s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of the end of the period covered by this report based on such evaluation; and</font></p> <p style="TEXT-ALIGN:justify; TEXT-INDENT:-0.5in; MARGIN:0in 0in 0pt 1in">&nbsp;</p> <p style="TEXT-ALIGN:justify; TEXT-INDENT:-0.5in; MARGIN:0in 0in 0pt 1in"><font style="LAYOUT-GRID-MODE:line; FONT-SIZE:12pt" face="Times New Roman" color=black lang=EN-US>(d)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; </font><font style="LAYOUT-GRID-MODE:line; FONT-SIZE:12pt" face="Times New Roman" lang=EN-US>Disclosed in this report any change in the registrant&#146;s internal control over financial reporting that occurred during the registrant&#146;s most recent fiscal quarter (the registrant&#146;s fourth fiscal quarter in the case of an annual report) that has materially affected, or is reasonably likely to materially affect, the registrant&#146;s internal control over financial reporting; and</font></p> <p style="TEXT-ALIGN:justify; TEXT-INDENT:-0.5in; MARGIN:0in 0in 0pt 1in">&nbsp;</p> <p style="TEXT-ALIGN:justify; TEXT-INDENT:-0.5in; MARGIN:0in 0in 0pt 0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>5.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; The registrant&#146;s other certifying officer(s) and I have disclosed, based on our most recent evaluation of internal control over financial reporting, to the registrant&#146;s auditors and the audit committee of the registrant&#146;s board of directors (or persons performing the equivalent functions): </font></p> <p style="TEXT-INDENT:-0.5in; MARGIN:0in 0in 0pt 0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt 1in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>(a)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant&#146;s ability to record, process, summarize and report financial information; and </font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt 1in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt 1in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>(b)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant&#146;s internal control over financial reporting. </font></p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font style="LINE-HEIGHT:90%; LETTER-SPACING:-0.15pt; FONT-SIZE:12pt" face="Times New Roman" lang=EN-US>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; /s/ <u>Robert A. Berman&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; </u></font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font style="LINE-HEIGHT:90%; LETTER-SPACING:-0.15pt; FONT-SIZE:12pt" face="Times New Roman" lang=EN-US>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp;&nbsp; Robert A. Berman</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font style="LINE-HEIGHT:90%; LETTER-SPACING:-0.15pt; FONT-SIZE:12pt" face="Times New Roman" lang=EN-US>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp;&nbsp; President and Chief Executive Officer </font></p> <p style="MARGIN:0in 0in 0pt"><font style="LETTER-SPACING:-0.15pt; FONT-SIZE:12pt" face="Times New Roman" lang=EN-US>March 17, 2014&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;(Principal Executive Officer)</font></p> <p style="TEXT-ALIGN:justify; TEXT-INDENT:-0.5in; MARGIN:0in 0in 0pt 1in">&nbsp;</p><a name=_aciFooter1 /> <div> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></div></div> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div> <p>&nbsp;</p></body>
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<DOCUMENT>
<TYPE>EX-31
<SEQUENCE>4
<FILENAME>exhibit31_2.htm
<DESCRIPTION>EXHIBIT 31.2
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<head><title>exhibit31_2</title> </head> <body bgcolor=#ffffff>&nbsp; <a name=page_1 /> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"><a name=_aciHeader1 /> <div> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></div> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt" align=right><u><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Exhibit 31.2&nbsp; </font></u></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt" align=center><u><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>CERTIFICATION</font></u></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>I, Henry P. Herms, certify that:</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; TEXT-INDENT:-0.5in; MARGIN:0in 0in 0pt 0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>1.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; I have reviewed this quarterly report on Form 10-Q of CopyTele, Inc.; </font></p> <p style="TEXT-ALIGN:justify; TEXT-INDENT:-0.5in; MARGIN:0in 0in 0pt 0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; TEXT-INDENT:-0.5in; MARGIN:0in 0in 0pt 0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>2.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report; </font></p> <p style="TEXT-ALIGN:justify; TEXT-INDENT:-0.5in; MARGIN:0in 0in 0pt 0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; TEXT-INDENT:-0.5in; MARGIN:0in 0in 0pt 0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>3.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations and cash flows of the registrant as of, and for, the periods presented in this report; </font></p> <p style="TEXT-ALIGN:justify; TEXT-INDENT:-0.5in; MARGIN:0in 0in 0pt 0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; PAGE-BREAK-AFTER:avoid; TEXT-INDENT:-0.5in; MARGIN:0in 0in 12pt 0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>4.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; The registrant&#146;s other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a&#8209;15(e) and 15d&#8209;15(e)) and internal control over financial reporting (as defined in Exchange Act Rules 13a-15(f) and 15d-15(f)) for the registrant and have:</font></p> <p style="TEXT-ALIGN:justify; TEXT-INDENT:-0.5in; MARGIN:0in 0in 0pt 1in"><font style="LAYOUT-GRID-MODE:line; FONT-SIZE:12pt" face="Times New Roman" lang=EN-US>(a)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;</font></p> <p style="TEXT-ALIGN:justify; TEXT-INDENT:-0.5in; MARGIN:0in 0in 0pt 1in">&nbsp;</p> <p style="TEXT-ALIGN:justify; TEXT-INDENT:-0.5in; MARGIN:0in 0in 0pt 1in"><font style="LAYOUT-GRID-MODE:line; FONT-SIZE:12pt" face="Times New Roman" color=black lang=EN-US>(b)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; D</font><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>esigned such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;</font></p> <p style="TEXT-ALIGN:justify; TEXT-INDENT:-0.5in; MARGIN:0in 0in 0pt 1in">&nbsp;</p> <p style="TEXT-ALIGN:justify; TEXT-INDENT:-0.5in; MARGIN:0in 0in 0pt 1in"><font style="LAYOUT-GRID-MODE:line; FONT-SIZE:12pt" face="Times New Roman" color=black lang=EN-US>(c)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; </font><font style="LAYOUT-GRID-MODE:line; FONT-SIZE:12pt" face="Times New Roman" lang=EN-US>Evaluated the effectiveness of the registrant&#146;s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of the end of the period covered by this report based on such evaluation; and</font></p> <p style="TEXT-ALIGN:justify; TEXT-INDENT:-0.5in; MARGIN:0in 0in 0pt 1in">&nbsp;</p> <p style="TEXT-ALIGN:justify; TEXT-INDENT:-0.5in; MARGIN:0in 0in 0pt 1in"><font style="LAYOUT-GRID-MODE:line; FONT-SIZE:12pt" face="Times New Roman" color=black lang=EN-US>(d)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; </font><font style="LAYOUT-GRID-MODE:line; FONT-SIZE:12pt" face="Times New Roman" lang=EN-US>Disclosed in this report any change in the registrant&#146;s internal control over financial reporting that occurred during the registrant&#146;s most recent fiscal quarter (the registrant&#146;s fourth fiscal quarter in the case of an annual report) that has materially affected, or is reasonably likely to materially affect, the registrant&#146;s internal control over financial reporting; and</font></p> <p style="TEXT-ALIGN:justify; TEXT-INDENT:-0.5in; MARGIN:0in 0in 0pt 1in">&nbsp;</p> <p style="TEXT-ALIGN:justify; TEXT-INDENT:-0.5in; MARGIN:0in 0in 0pt 0.5in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>5.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; The registrant&#146;s other certifying officer(s) and I have disclosed, based on our most recent evaluation of internal control over financial reporting, to the registrant&#146;s auditors and the audit committee of the registrant&#146;s board of directors (or persons performing the equivalent functions): </font></p> <p style="TEXT-ALIGN:justify; TEXT-INDENT:-0.5in; MARGIN:0in 0in 0pt 0.5in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt 1in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>(a)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant&#146;s ability to record, process, summarize and report financial information; and </font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt 1in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt 1in"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>(b)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant&#146;s internal control over financial reporting. </font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font style="LETTER-SPACING:-0.15pt; FONT-SIZE:12pt" face="Times New Roman" lang=EN-US>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; /s/ <u>Henry P. Herms&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; </u>&nbsp;</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font style="LETTER-SPACING:-0.15pt; FONT-SIZE:12pt" face="Times New Roman" lang=EN-US>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Henry P. Herms&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; </font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font style="LINE-HEIGHT:90%; FONT-SIZE:12pt" face="Times New Roman" color=black lang=EN-US>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Vice President - Finance and </font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font style="LINE-HEIGHT:90%; FONT-SIZE:12pt" face="Times New Roman" color=black lang=EN-US>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Chief Financial Officer (Principal</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font style="LINE-HEIGHT:90%; FONT-SIZE:12pt" face="Times New Roman" color=black lang=EN-US>March 17, 2014&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Financial and Accounting Officer)</font></p> <p style="TEXT-ALIGN:justify; TEXT-INDENT:-0.5in; MARGIN:0in 0in 0pt 1in">&nbsp;</p><a name=_aciFooter1 /> <div> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></div></div> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div> <p>&nbsp;</p></body>
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<DOCUMENT>
<TYPE>EX-32
<SEQUENCE>5
<FILENAME>exhibit32_1.htm
<DESCRIPTION>EXHIBIT 32.1
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<head><title>exhibit32_1</title> </head> <body bgcolor=#ffffff>&nbsp; <a name=page_1 /><a name=_aciHeader1 /> <div style="PADDING-LEFT:0%; GHT:0%"> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></div> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt; PADDING-LEFT:0%; PADDING-RIGHT:0%" align=right><font style="LINE-HEIGHT:90%; FONT-SIZE:12pt" face="Times New Roman" lang=EN-US><u>Exhibit 32.1</u>&nbsp;&nbsp; </font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; PADDING-LEFT:0%; PADDING-RIGHT:0%">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; PADDING-LEFT:0%; PADDING-RIGHT:0%">&nbsp;</p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt; PADDING-LEFT:0%; PADDING-RIGHT:0%" align=center><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Statement of Chief Executive Officer</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt; PADDING-LEFT:0%; PADDING-RIGHT:0%" align=center><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Pursuant to Section 1350 of Title 18 of the United States Code</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; PADDING-LEFT:0%; PADDING-RIGHT:0%">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; PADDING-LEFT:0%; PADDING-RIGHT:0%">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; PADDING-LEFT:0%; PADDING-RIGHT:0%"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Pursuant to Section 1350 of Title 18 of the United States Code, the undersigned, Robert A. Berman, the President and Chief Executive Officer of CopyTele, Inc., hereby certifies that:</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; PADDING-LEFT:0%; PADDING-RIGHT:0%">&nbsp;</p> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"> <ol type=1 style="MARGIN-TOP:0in; MARGIN-BOTTOM:0in"> <li style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font style="TEXT-AUTOSPACE:ideograph-numeric; FONT-SIZE:12pt" face="Times New Roman" lang=EN-US>The Company's Form 10-Q Quarterly Report for the period ended January 31, 2014 (the "Report") fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934; and</font> </li></ol></div> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt 0.25in">&nbsp;</p> <ol type=1 style="MARGIN-TOP:0in; MARGIN-BOTTOM:0in" start=2> <li style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font style="TEXT-AUTOSPACE:ideograph-numeric; FONT-SIZE:12pt" face="Times New Roman" lang=EN-US>The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Company.</font> </li></ol> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt 0.25in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt 0.25in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font style="LINE-HEIGHT:90%; LETTER-SPACING:-0.15pt; FONT-SIZE:12pt" face="Times New Roman" lang=EN-US>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; /s/ <u>Robert A. Berman&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; </u></font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font style="LINE-HEIGHT:90%; LETTER-SPACING:-0.15pt; FONT-SIZE:12pt" face="Times New Roman" lang=EN-US>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp;&nbsp; Robert A. Berman</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font style="LINE-HEIGHT:90%; LETTER-SPACING:-0.15pt; FONT-SIZE:12pt" face="Times New Roman" lang=EN-US>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp;&nbsp; President and Chief Executive Officer </font></p> <p style="MARGIN:0in 0in 0pt"><font style="LETTER-SPACING:-0.15pt; FONT-SIZE:12pt" face="Times New Roman" lang=EN-US>March 17, 2014&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp;&nbsp;&nbsp;(Principal Executive Officer)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; </font></p><a name=_aciFooter1 /> <div> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></div> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div></body>
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<head><title>exhibit32_2</title> </head> <body bgcolor=#ffffff>&nbsp; <a name=page_1 /><a name=_aciHeader1 /> <div style="PADDING-LEFT:0%; GHT:0%"> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></div> <p style="TEXT-ALIGN:right; MARGIN:0in 0in 0pt; PADDING-LEFT:0%; PADDING-RIGHT:0%" align=right><font style="LINE-HEIGHT:90%; FONT-SIZE:12pt" face="Times New Roman" lang=EN-US><u>Exhibit 32.2</u>&nbsp;&nbsp; </font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt; PADDING-LEFT:0%; PADDING-RIGHT:0%" align=center>&nbsp;</p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt; PADDING-LEFT:0%; PADDING-RIGHT:0%" align=center>&nbsp;</p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt; PADDING-LEFT:0%; PADDING-RIGHT:0%" align=center><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Statement of Chief Financial Officer</font></p> <p style="TEXT-ALIGN:center; MARGIN:0in 0in 0pt; PADDING-LEFT:0%; PADDING-RIGHT:0%" align=center><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Pursuant to Section 1350 of Title 18 of the United States Code</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; PADDING-LEFT:0%; PADDING-RIGHT:0%">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; PADDING-LEFT:0%; PADDING-RIGHT:0%">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; PADDING-LEFT:0%; PADDING-RIGHT:0%"><font style=FONT-SIZE:12pt face="Times New Roman" lang=EN-US>Pursuant to Section 1350 of Title 18 of the United States Code, the undersigned, Henry P. Herms, the Vice President - Finance and Chief Financial Officer of CopyTele, Inc., hereby certifies that:</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt; PADDING-LEFT:0%; PADDING-RIGHT:0%">&nbsp;</p> <div style="PADDING-LEFT:0%; PADDING-RIGHT:0%"> <ol type=1 style="MARGIN-TOP:0in; MARGIN-BOTTOM:0in"> <li style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font style="TEXT-AUTOSPACE:ideograph-numeric; FONT-SIZE:12pt" face="Times New Roman" lang=EN-US>The Company's Form 10-Q Quarterly Report for the period ended January 31, 2014 (the "Report") fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934; and</font> </li></ol></div> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <ol type=1 style="MARGIN-TOP:0in; MARGIN-BOTTOM:0in" start=2> <li style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font style="TEXT-AUTOSPACE:ideograph-numeric; FONT-SIZE:12pt" face="Times New Roman" lang=EN-US>The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Company.</font> </li></ol> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt 0.25in">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt">&nbsp;</p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font style="LETTER-SPACING:-0.15pt; FONT-SIZE:12pt" face="Times New Roman" lang=EN-US>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; /s/ <u>Henry P. Herms&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; </u>&nbsp;</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font style="LETTER-SPACING:-0.15pt; FONT-SIZE:12pt" face="Times New Roman" lang=EN-US>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Henry P. Herms&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; </font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font style="LINE-HEIGHT:90%; FONT-SIZE:12pt" face="Times New Roman" color=black lang=EN-US>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Vice President - Finance and </font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font style="LINE-HEIGHT:90%; FONT-SIZE:12pt" face="Times New Roman" color=black lang=EN-US>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Chief Financial Officer (Principal</font></p> <p style="TEXT-ALIGN:justify; MARGIN:0in 0in 0pt"><font style="LINE-HEIGHT:90%; FONT-SIZE:12pt" face="Times New Roman" color=black lang=EN-US>March 17, 2014&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Financial and Accounting Officer)</font></p> <p style="MARGIN:0in 0in 0pt">&nbsp;</p><a name=_aciFooter1 /> <div> <p style="MARGIN:0in 0in 0pt">&nbsp;</p></div> <hr width=100% size=2 noshade align=center> <div style=PAGE-BREAK-BEFORE:always>&nbsp;</div></body>
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  <us-gaap:OrganizationConsolidationBasisOfPresentationBusinessDescriptionAndAccountingPoliciesTextBlock contextRef="c8_From1Nov2013To31Jan2014">&lt;p style=&quot;MARGIN: 0in 0in 12pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;1.&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&lt;/font&gt; &lt;u&gt;&lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;BUSINESS&amp;#160;AND&amp;#160;FUNDING&amp;#160;&lt;/font&gt;&lt;/u&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;MARGIN: 0in 0in 12pt&quot;&gt;
        &lt;u&gt;&lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;Description of Business&lt;/font&gt;&lt;/u&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;As used herein, &amp;#8220;we,&amp;#8221; &amp;#8220;us,&amp;#8221; &amp;#8220;our,&amp;#8221; the &amp;#8220;Company&amp;#8221;, &amp;#8220;CopyTele&amp;#8221; or &amp;#8220;CTI&amp;#8221; means CopyTele, Inc. and its wholly-owned subsidiaries.&amp;#160; While in the past, the primary operations of the Company involved licensing in connection with the development of patented technologies, our principal operations are now the development, acquisition, licensing, and enforcement of patented technologies that are either owned or controlled by the Company.&amp;#160; The Company currently owns or controls 9 patent portfolios.&amp;#160; As part of our patent assertion activities and in the ordinary course of our business, the Company has initiated and will likely continue to initiate patent infringement lawsuits, and engage in patent infringement litigation.&amp;#160; Since implementing our new business model in January of 2013, the Company has initiated 41 lawsuits in connection
        with 5 of our patent portfolios. Our primary source of revenue will come from licenses resulting from the unauthorized use of our patented technologies, including the settlement of patent infringement lawsuits. We entered into 4 revenue producing licenses in fiscal year 2013 and 2 additional revenue producing license since January 31, 2014, from 2 of our patent portfolios. &amp;#160;In addition to continuing to mine and monetize our existing patents, our wholly owned subsidiary, CTI Patent Acquisition Corporation, will continue to acquire patents and the exclusive rights to license and enforce patents from third parties.&amp;#160;&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;Due to arrangements previously entered into by the Company, certain of our patents contain encumbrances (see &amp;#8220;Agreements Relating to Previous Operations&amp;#8221; below) which may negatively impact our patent monetization and patent assertion activities. Where we are able, we will take the steps necessary to remove any encumbrances that may inhibit our patent monetization and patent assertion activities.&amp;#160; We have obtained and we intend to continue to obtain the rights to license and enforce additional patents from third parties, and when necessary, will assist such parties in the further development of their patent portfolios through the filing of additional patent applications.&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;In April 2013, CopyTele, through its wholly owned subsidiary, CTI Patent Acquisition Corporation, acquired the exclusive rights to license and enforce patent portfolios relating to (i) loyalty awards programs commonly provided by airlines, credit card companies, hotels, retailers, casinos, and others, and (ii) vinyl windows with integrated J-Channels, commonly used in modular buildings, mobile homes, and conventional, new construction.&amp;#160;&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;letter-spacing: -0.15pt; font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;In November&lt;/font&gt; &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;2013, CTI Patent Acquisition Corporation acquired 2 patent portfolios in the rapidly expanding area of unified communications relating to (i) the multicast Internet delivery of streaming data, media, and other content, within the confines of specialized virtual private networks, and (ii) the integration of telephonic participation in web-based audio/video conferences by creating a gateway between the Internet and cellular or traditional landline telephones.&amp;#160;&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;text-autospace: ideograph-numeric; font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;We currently own or control 9 patent portfolios which we have identified for patent monetization: Encrypted Mobile Communication; ePaper&amp;#174; Electrophoretic Display; Internet Telephonic Gateway; J-Channel Window Frame Construction; Key Based Web Conferencing Encryption; Loyalty Conversion Systems; Micro Electro Mechanical Systems Display; Nano Field Emission Display; and VPN Multicast Communications.&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;On January 28, 2013, CTI initiated a patent infringement lawsuit in the United States District Court for the Northern District of California against E Ink Corporation (&amp;#8220;E INK&amp;#8221;), regarding certain patents owned by CTI pertaining to CTI&amp;#8217;s ePaper&amp;#174; Electrophoretic Display technology.&amp;#160; CTI alleges that E Ink has infringed and continues to infringe such patents in connection with the manufacture, sale, use, and importation of electrophoretic displays. &amp;#160;On January 28, 2013, CTI filed a separate lawsuit against AU Optronics Corp. (&amp;#8220;AUO&amp;#8221;) and E Ink, the AUO/E Ink Lawsuit (as defined below). In June of 2013, CTI and AUO agreed to arbitrate CTI&amp;#8217;s charges in the AUO/E Ink Lawsuit. We believe that arbitration should result in a faster and more efficient adjudication. &amp;#160;The Court also ordered E Ink to participate in the arbitration, for purposes of discovery.
        &amp;#160;Because issues in the AUO/E Ink arbitration need to be resolved before the patent infringement case can proceed against E Ink, the Court dismissed the patent infringement case, without prejudice, meaning that CTI can re-file the patent infringement lawsuit, if necessary, following the arbitration.&amp;#160;&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;On May 1, 2013, CTI&amp;#8217;s wholly owned subsidiary, Secure Web Conference Corporation, initiated a patent infringement lawsuit in the United States District Court for the Eastern District of New York against Microsoft Corporation, with respect to encryption technology utilized by Microsoft&amp;#8217;s SKYPE video conferencing service.&amp;#160; On July 8, 2013, Secure Web Conference Corporation initiated similar lawsuits in the United States District Court for the Eastern District of New York against Citrix Systems and Logitech International.&amp;#160;&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;On August 7, 2013, CTI&amp;#8217;s wholly owned subsidiary, J-Channel Industries Corporation, filed 8 separate patent infringement lawsuits in the United States District Court for the Eastern District of Tennessee, against Lowe&amp;#8217;s Companies, Clayton Homes, Pella Corporation, Jeld-Wen, Atrium Windows and Doors, Ply Gem Industries, RGF Industries, Tafco Corporation, Kinro Manufacturing, and Elixir Industries, all in connection with our patented J-Channel Window Frame Construction technology.&lt;/font&gt; &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot; color=&quot;black&quot;&gt;&amp;#160;&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;background: white; font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot; color=&quot;black&quot;&gt;On August 20, 2013,&lt;/font&gt; &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;CTI&amp;#8217;s wholly owned subsidiary,&lt;/font&gt; &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&lt;font style=&quot;background: white; font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot; color=&quot;black&quot;&gt;Loyalty Conversion System Corporation, filed 10 separate patent infringement lawsuits in the United States District Court for the Eastern District of Texas, against Alaska Airlines, American Airlines, Delta&lt;/font&gt; &lt;font style=&quot;background: white; font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot; color=&quot;black&quot;&gt;Airlines, Frontier Airlines, Hawaiian Airlines, JetBlue Airways, Southwest Airlines, Spirit Airlines, United Airlines, and U.S. Airways, all in connection with our Loyalty Conversion Systems patent portfolio.&amp;#160;&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;On October 9, 2013, CTI&amp;#8217;s wholly owned subsidiary, J-Channel Industries Corporation,&lt;/font&gt; &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN&quot; color=&quot;black&quot;&gt;filed 19 patent infringement lawsuits in the Federal District Court for the Eastern District of Tennessee, in connection with its patented J-Channel Window Frame Construction technology. Defendants in the lawsuits consist of retailers and window manufacturers, including: Home Depot U.S.A., Inc.; Anderson Corporation; American Builders &amp;amp; Contractors Supply Co., Inc. (ABC Supply); Comfort View Products, LLC; Croft, LLC; Moss Supply Company; Wincore Window Company LLC; Vinylmax, LLC; Simonton Building Products, Inc.; HWD Acquisition, Inc. (Hurd Windows); Magnolia Windows and Doors, LLC; MGM Industries, Inc., MI Windows and Doors LLC; PGT Industries, Inc.; Quaker Window Products Co.; Sun Windows, Inc.; Weather Shield Manufacturing, Inc.;
        West Window Corporation; Woodgrain Millwork, Inc.; and YKK-AP American Inc.&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN&quot; color=&quot;black&quot;&gt;The Company has engaged in and will continue to engage in patent infringement lawsuits in the ordinary course of its business operations.&amp;#160; All litigation involves a significant degree of uncertainty, and we give no assurances as to the outcome of any lawsuit or lawsuits.&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 40.5pt; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot; color=&quot;black&quot;&gt;The Company has entered into 6 license agreements in connection with 2 of our patent technologies.&amp;#160; In October 2013, we entered into a license agreement with Alaska Air Group, Inc. in connection with our Loyalty Conversion Systems technology. &amp;#160;In addition, in October 2013 we entered into license agreements with Tafco Corporation, RGF Industries and Elixir Industries and in February and March 2014 we entered into license agreements with HWD Acquisition, Inc. and PGT Industries, Inc. in connection with our patented J-Channel Window Frame Construction technology. These licenses resolved lawsuits that were pending against the aforementioned companies.&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;u&gt;&lt;font style=&quot;font-size: 12pt; font-family: times new roman;&quot; lang=&quot;EN-US&quot;&gt;Agreements Relating to Previous Business Operations&lt;/font&gt;&lt;/u&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;MARGIN: 0in 0in 0pt 0.25in&quot;&gt;
        &lt;b&gt;&lt;font style=&quot;font-size: 12pt; font-family: times new roman;&quot; lang=&quot;EN-US&quot;&gt;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&lt;/font&gt;&lt;/b&gt; &lt;u&gt;&lt;font style=&quot;font-size: 12pt; font-family: times new roman;&quot; lang=&quot;EN-US&quot;&gt;AU Optronics Corp&lt;/font&gt;&lt;/u&gt;&lt;b&gt;&lt;u&gt;&lt;font style=&quot;font-size: 12pt; font-family: times new roman;&quot; lang=&quot;EN-US&quot;&gt;.&amp;#160;&lt;/font&gt;&lt;/u&gt;&lt;/b&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;In May 2011, we entered into an Exclusive License Agreement (the &amp;#8220;EPD License Agreement&amp;#8221;) and a License Agreement (the &amp;#8220;Nano Display License Agreement&amp;#8221;) with AUO (together the &amp;#8220;AUO License Agreements&amp;#8221;). On January 28, 2013, we terminated the AUO License Agreements due to numerous alleged material and continual breaches of the agreements by AUO.&amp;#160; On January 28, 2013, we also filed a lawsuit in the United States District Court for the Northern District of California against AUO and E Ink in connection with the AUO License Agreements, alleging breach of contract and other charges, and we are seeking compensatory, punitive, and treble damages (the &amp;#8220;AUO/E Ink Lawsuit&amp;#8221;).&amp;#160; For more details on the AUO/E Ink Lawsuit, please see Note 11, &amp;#8220;Commitment and Contingences &amp;#8211; Litigation Matters&amp;#8221; herein.&amp;#160; We can give no assurance as to the outcome of
        this litigation.&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;u&gt;&lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;Videocon Industries Limited and Transactions with Related Parties&lt;/font&gt;&lt;/u&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;In November 2007, we entered into a license agreement (the &amp;#8220;Videocon License Agreement&amp;#8221;) with Videocon Industries Limited (&amp;#8220;Videocon&amp;#8221;).&amp;#160; Under the Videocon License Agreement, we provided Videocon with a non-transferable, worldwide license of our Nano Field Emission Display patented technology. We are not presently involved in development efforts with Videocon and it is not anticipated that such efforts will be resumed in the future.&amp;#160; We have entered into discussions with Videocon regarding the disposition of the Videocon License Agreement.&amp;#160;&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot; color=&quot;black&quot;&gt;At the same time we entered into the Videocon License Agreement in November 2007, we also entered into a Share Subscription Agreement (the &amp;#8220;Share Subscription Agreement&amp;#8221;) with Mars Overseas Limited, an affiliate of Videocon (&amp;#8220;Mars Overseas&amp;#8221;).&amp;#160; Under the Share Subscription Agreement, Mars Overseas purchased 20,000,000 unregistered shares of our common stock (the &amp;#8220;CopyTele Shares&amp;#8221;) from us for an aggregate purchase price of $16,200,000.&amp;#160; Also in November 2007, our wholly-owned subsidiary, CopyTele International Ltd. (&amp;#8220;CopyTele International&amp;#8221;), entered into a GDR Purchase Agreement with Global EPC Ventures Limited (&amp;#8220;Global&amp;#8221;), for CopyTele International to purchase from Global&lt;/font&gt; &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;1,495,845 global depository receipts of Videocon (the &amp;#8220;Videocon GDRs&amp;#8221;) for
        an aggregate purchase price of $16,200,000.&amp;#160;&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot; color=&quot;black&quot;&gt;For the purpose of effecting a lock up of the Videocon GDRs and CopyTele Shares (collectively, the &amp;#8220;Securities&amp;#8221;) for a period of seven years, and therefore restricting both parties from selling or transferring the Securities during such period, CopyTele International and Mars Overseas entered into two Loan and Pledge Agreements in November 2007.&amp;#160; The Videocon GDRs are to be held as security for a loan in the principal amount of $5,000,000 from Mars Overseas to CopyTele International, and the CopyTele Shares are similarly held as security for a loan in the principal amount of $5,000,000 from CopyTele International to Mars Overseas.&amp;#160; The loan payable to Mars Overseas is solely a liability of CopyTele International without recourse to CopyTele, Inc., its parent company.&amp;#160; The loans are for a period of seven years, do not bear interest, and provide for customary events of
        default, which may result in forfeiture of the Securities by the defaulting party, and also provide for the transfer to the respective parties, free and clear of any encumbrances under the agreements, any dividends, distributions, rights or other proceeds or benefits in respect of the Securities.&amp;#160; The loan receivable from Mars Overseas is classified as a contra-equity under shareholders&amp;#8217; deficiency in the accompanying condensed consolidated balance sheet because the loan receivable is secured by the CopyTele Shares and the Share Subscription Agreement and Loan and Pledge Agreement were entered into concurrently. We have entered into discussions with Videocon regarding the disposition of the Subscription Agreement, GDR Purchase Agreement, and Loan and Pledge Agreements. The outcome of these discussions and the disposition of the related assets and liabilities may have a material effect on our financial statements. We cannot presently estimate the timing or impact of
        any such resolution.&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;MARGIN: 0in 0in 6pt&quot;&gt;
        &lt;u&gt;&lt;font style=&quot;font-size: 12pt; font-family: times new roman;&quot; lang=&quot;EN-US&quot;&gt;Funding and Management&amp;#8217;s Plans&lt;/font&gt;&lt;/u&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;text-autospace: ideograph-numeric; font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;In September 2012, we received aggregate gross proceeds of $750,000 from the issuance of 8% convertible debentures due September 12, 2016 in a private placement.&amp;#160; During the second quarter of fiscal 2013, the entire principal amount of these debentures was converted into 8,152,170 shares of common stock.&amp;#160; For details on these debentures, please see Note 2, &amp;#8220;Convertible Debentures&amp;#8221; herein.&amp;#160;&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;In January 2013, we received aggregate gross proceeds of $1,765,000 from the issuance of 8% convertible debentures due January 25, 2015 in a private placement.&amp;#160; During the third quarter of fiscal 2013, $325,000 principal amount of these debentures were converted into 2,166,775 shares of our common stock.&amp;#160; For details on these debentures, please see Note 2, &amp;#8220;Convertible Debentures&amp;#8221; herein.&amp;#160;&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.25in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot; color=&quot;black&quot;&gt;On April 23, 2013, we entered into a common stock purchase agreement (the &amp;#8220;Stock Purchase Agreement&amp;#8221;) with Aspire Capital Fund LLC (&amp;#8220;Aspire Capital&amp;#8221;), which provides that Aspire Capital is committed to purchase up to an aggregate of $10 million of shares of our common stock over the two-year term of the agreement.&amp;#160; In consideration for entering into the Stock Purchase Agreement, concurrently with the execution of the agreement, we issued to Aspire Capital 3,500,000 shares of our common stock with a fair value of $700,000 as a commitment fee.&amp;#160; Upon execution of the Stock Purchase Agreement, Aspire Capital purchased 2,500,000 shares for $500,000.&amp;#160; In order to sell any additional shares under the Stock Purchase Agreement, we were required to have a registration statement covering the shares issued to Aspire Capital declared effective by the Securities and
        Exchange Commission (the &amp;#8220;SEC&amp;#8221;).&amp;#160; Such registration statement was declared effective by the SEC in June 2013.&amp;#160;&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 27.5pt; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot; color=&quot;black&quot;&gt;Under the Stock Purchase Agreement there are two ways that we can elect to sell shares of common stock to Aspire Capital.&amp;#160; On any business day we can select: (1)&amp;#160;through a regular purchase of up to 200,000 shares (but not to exceed $200,000) at a known price based on the market price of our common stock prior to the time of each sale, and (2)&amp;#160;through a volume-weighted average price, or VWAP, purchase of a number of shares up to 30% of the volume traded on the purchase date at a price equal to the lesser of (i) the closing sale price on the purchase date or (ii) 95% of the VWAP for such purchase date.&amp;#160; The Company can only require a VWAP purchase if the closing sale price for our Common Stock on the notice day for the VWAP purchase is higher than $0.50.&amp;#160; During the third and fourth quarters of fiscal year 2013 we sold an additional 2,880,000 shares of our common stock to
        Aspire Capital for approximately $592,000.&amp;#160; We did not sell any shares of common stock to Aspire Capital during the three months ended January 31, 2014.&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 27.5pt; MARGIN: 0in 0in 0pt&quot;&gt;
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        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;During the three months ended January 31, 2014, cash used in operating activities was approximately $1,172,000.&amp;#160; Cash used in investing activities during the three months ended January 31, 2014 was $2,450,000, which resulted from the purchase of certificates of deposit totaling $2,700,000 which was partially offset by the sale of certificates of deposit totaling $250,000.&amp;#160; Our cash provided by financing activities during the three months ended January 31, 2014 was $3,500,000, which resulted from the sale of convertible debentures in a private placement. &amp;#160;As a result, our cash, cash equivalents, and short-term investments at January 31, 2014 increased approximately $2,328,000 to approximately $3,226,000 from approximately $898,000 at the end of fiscal year 2013.&amp;#160;&lt;/font&gt;
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      &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;Total employee compensation expense during the three months ended January 2014 and 2013 was approximately $1,044,000 and $819,000, respectively, which included approximately $466,000 and $473,000, respectively, of non-cash stock-based compensation expense, related to stock options granted to employees and directors.&amp;#160; In addition, consulting expense incurred during the three months ended January 31, 2014 and 2013 included approximately $$255,000 and $242,000, respectively, of non-cash stock stock-based compensation expense related to stock options granted to consultants.&amp;#160;&amp;#160;&lt;/font&gt;
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        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;Based on currently available information, we believe that our existing cash, cash equivalents and short-term investments, together with expected cash flows from the Stock Purchase Agreement with Aspire Capital and expected cash flows from patent licensing and enforcement, and other potential sources of cash flows will be sufficient to enable us to continue our patent licensing and enforcement activities for at least 12 months.&amp;#160; However, our projections of future cash needs and cash flows may differ from actual results.&amp;#160; If current cash on hand and cash that may be generated from the Stock Purchase Agreement &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;and from patent licensing and enforcement activities are insufficient to satisfy our liquidity requirements, we may seek to sell equity securities or obtain loans from various financial institutions where possible.&amp;#160; The sale of
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        &lt;u&gt;&lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;Basis of Presentation&lt;/font&gt;&lt;/u&gt;
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        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;The condensed consolidated financial statements include the accounts of CopyTele, Inc. and its wholly owned subsidiaries.&amp;#160; All intercompany transactions have been eliminated. &amp;#160;The results of operations for interim periods presented are not necessarily indicative of the results that may be expected for a full year or any interim period.&amp;#160; Reference is made to the audited consolidated financial statements and notes thereto included in our Annual Report on Form 10-K for the fiscal year ended October 31, 2013, for more extensive disclosures than contained in these condensed consolidated financial statements.&lt;/font&gt;
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        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot; color=&quot;black&quot;&gt;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&lt;/font&gt; &lt;u&gt;&lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;Revenue Recognition&lt;/font&gt;&lt;/u&gt; &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot; color=&quot;black&quot;&gt;&amp;#160;&lt;/font&gt;
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        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot; color=&quot;black&quot;&gt;Revenue is recognized when (i) persuasive evidence of an arrangement exists, (ii) all obligations have been substantially performed pursuant to the terms of the arrangement, (iii) amounts are fixed or determinable, and (iv) the collectability of amounts is reasonably assured.&lt;/font&gt;
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        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;In general, patent assertion revenue arrangements provide for the payment of contractually determined fees in consideration for the grant of certain intellectual property rights for patented technologies owned or controlled by our operating subsidiaries.&amp;#160;&amp;#160;These rights typically include some combination of the following:&amp;#160;&amp;#160;(i) the grant of a non-exclusive, retroactive and future license to manufacture and/or sell products covered by patented technologies owned or controlled by our operating subsidiaries, (ii) a covenant-not-to-sue, (iii) the release of the licensee from certain claims, and (iv) the dismissal of any pending litigation.&amp;#160;&amp;#160;The intellectual property rights granted are perpetual in nature, extending until the expiration of the related patents.&amp;#160;&amp;#160;Pursuant to the terms of these agreements, our operating subsidiaries have no further obligation with respect to the
        grant of the non-exclusive retroactive and future licenses, covenants-not-to-sue, releases, and other deliverables, including no express or implied obligation on our operating subsidiaries&amp;#8217; part to maintain or upgrade the technology, or provide future support or services.&amp;#160;&amp;#160;Generally, the agreements provide for the grant of the licenses, covenants-not-to-sue, releases, and other significant deliverables upon execution of the agreement.&amp;#160;&amp;#160;As such, the earnings process is complete and revenue is recognized upon the execution of the&lt;/font&gt; &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;agreement, when collectability is reasonably assured, and when all other revenue recognition criteria have been met.&lt;/font&gt;
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        &lt;u&gt;&lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;Inventor Royalties and Contingent Legal Fees&lt;/font&gt;&lt;/u&gt;
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        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;Inventor royalties and contingent legal fees are expensed in the condensed consolidated statements of operations in the period that the related revenues are recognized.&lt;/font&gt;
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        &lt;u&gt;&lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;Patents&lt;/font&gt;&lt;/u&gt;
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        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;Our only identifiable intangible assets are patents and patent rights.&amp;#160; We capitalize patent and patent rights acquisition costs and amortize the cost over the estimated economic useful life.&amp;#160; Patent acquisition costs capitalized during the three months ended January 31, 2014 and 2013, was approximately $3,036,000 and $-0-, respectively.&amp;#160; Patent amortization expense during the three months ended January 31, 2014 and 2013, was approximately $70,000 and $-0-, respectively.&lt;/font&gt;
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      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;The Company accounts for hybrid contracts that feature conversion options in accordance with applicable generally accepted accounting principles (&amp;#8220;GAAP&amp;#8221;).&amp;#160; ASC &amp;#160;815 &amp;#8220;Derivatives and Hedging Activities,&amp;#8221; (&amp;#8220;ASC 815&amp;#8221;) requires companies to bifurcate conversion options from their host instruments and account for them as free standing derivative financial instruments according to certain criteria. The criteria includes circumstances in which (a) the economic characteristics and risks of the embedded derivative instrument are not clearly and closely related to the economic characteristics and risks of the host contract, (b)&amp;#160;the hybrid instrument that embodies both the embedded derivative instrument and the host contract is not re-measured at fair value under otherwise applicable generally accepted accounting principles with changes in fair value reported in earnings
        as they occur and (c)&amp;#160;a separate instrument with the same terms as the embedded derivative instrument would be considered a derivative instrument.&amp;#160;&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160; Conversion options that contain variable settlement features such as provisions to adjust the conversion price upon subsequent issuances of equity or equity linked securities at exercise prices more favorable than that featured in the hybrid contract generally result in their bifurcation from the host instrument.&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160; The Company accounts for convertible instruments, when the Company has determined that the embedded conversion options should not be bifurcated from their host instruments, in accordance with ASC 470-20 &amp;#8220;Debt with Conversion and Other Options&amp;#8221; (&amp;#8220;ASC 470-20&amp;#8221;). Under ASC 470-20 the Company records, when necessary, discounts to convertible notes for the intrinsic value of conversion options embedded in debt&lt;/font&gt; &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;instruments based upon the differences between the fair value of the underlying common stock at the commitment date of the note transaction and the effective conversion price embedded in the note. The Company accounts for convertible instruments (when the Company has determined that the embedded conversion options should be bifurcated from their host
        instruments) in accordance with ASC 815.&amp;#160;&amp;#160;Under ASC 815, a portion of the proceeds received upon the issuance of the hybrid contract are allocated to the fair value of the derivative. The derivative is subsequently marked to market at each reporting date based on current fair value, with the changes in fair value reported in results of operations.&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160; The conversion feature of the convertible debenture issued on January 25, 2013 qualified as an embedded derivative instrument and was bifurcated from the host convertible debenture.&amp;#160; Accordingly, this instrument has been classified as a derivative liability in the accompanying condensed consolidated balance sheet as of January 31, 2014. &amp;#160;Derivative liabilities are initially recorded at fair value and are then re-valued at each reporting date, with changes in fair value recognized in earnings during the reporting period.&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;div&gt;
        &lt;u&gt;&lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;Common Stock Purchase Warrants&lt;/font&gt;&lt;/u&gt;
      &lt;/div&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160; The Company classifies as equity any contracts that (i)&amp;#160;require physical settlement or net-share settlement or (ii) provides a choice of net-cash settlement or settlement in the Company&amp;#8217;s own shares (physical settlement or net-share settlement)&amp;#160;providing that such contracts are indexed to the Company&apos;s own stock as defined in ASC 815-40 &quot;Contracts in Entity&apos;s Own Equity&quot;. The Company classifies as assets or liabilities any contracts that (i)&amp;#160;require net-cash settlement (including a requirement to net cash settle the contract if an event occurs and if that event is outside the Company&amp;#8217;s control) or (ii) gives the counterparty a choice of net-cash settlement or settlement in shares (physical settlement or net-share settlement).&amp;#160;&amp;#160;The Company assesses classification of common stock purchase warrants and other free
        standing derivatives at each reporting date to determine whether a change in classification between assets and liabilities or equity is required.&amp;#160;&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; MARGIN: 12pt 0in 0pt&quot;&gt;
        &lt;u&gt;&lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;Convertible Debenture due September 2016&lt;/font&gt;&lt;/u&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;In September 2012, the Company received aggregate gross proceeds of $750,000 from the issuance of 8% convertible debentures due September 12, 2016 in a private placement, of which $300,000 was sold to the Company&amp;#8217;s current Chairman and then Chief Executive Officer and one other director of the Company.&amp;#160; The debentures paid interest quarterly and were convertible into shares of our common stock at a conversion price of $0.092 per share on or before September 12, 2016.&amp;#160; The Company recorded a discount to the carrying amount of the debentures of approximately $717,000 related to the debentures&amp;#8217; beneficial conversion feature.&amp;#160; The Company was permitted to prepay the debentures at any time without penalty upon 30 days prior notice.&amp;#160; The Company also had the option to pay interest on the debentures in common stock.&amp;#160; During the second quarter of fiscal 2013, the entire $750,000
        principal amount of these debentures were converted into 8,152,170 shares of common stock and an additional 100,725 shares were issued in payment of approximately $9,300 of accrued interest through the conversion date.&amp;#160; The&lt;/font&gt; &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;conversion of the debentures resulted in a charge to interest expense of approximately $717,000 during the second quarter of fiscal 2013.&amp;#160;&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
          &lt;u&gt;&lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;Convertible Debenture due January 2015&lt;/font&gt;&lt;/u&gt;
        &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;In January 2013, the Company received aggregate gross proceeds of $1,765,000 from the issuance of 8% convertible debentures due January 25, 2015 (&amp;#8220;Convertible Debenture due January 2015&amp;#8221;), of which $250,000 was received from our current President, Chief Executive Officer and director, and two other directors of the Company.&amp;#160; The debentures pay interest quarterly and are convertible into shares of our common stock at a conversion price of $0.15 per share on or before January 25, 2015.&amp;#160; The embedded conversion feature has certain weighted average anti-dilution protection provisions which would be triggered if the Company issues its common stock, or certain common stock equivalents, (as defined) at a price below $0.15 per share.&amp;#160; The Company has the option to pay any interest on the debentures in common stock based on the average of the closing prices of&amp;#160; our common stock for the 10
        trading days immediately preceding the interest payment date.&amp;#160; The Company also has the option to pay any interest on the debentures with additional debentures.&amp;#160; The Company may prepay the debentures at any time without penalty upon 30 days prior notice but only if the sales price of the common stock is at least $.30 for 20 trading days in any 30-day trading period ending no more than 15 days before the Company&amp;#8217;s prepayment notice.&amp;#160; In conjunction with the issuance of the debentures, the Company issued warrants (the &amp;#8220;Convertible Debenture Warrant&amp;#8221;) to purchase 5,882,745 shares of its common stock.&amp;#160; Each warrant grants the holder the right to purchase one share of the Company&amp;#8217;s common stock at the purchase price of $0.30 per share on or before January 25, 2016.&amp;#160; The Convertible Debenture Warrant may be exercised on a cashless basis only if there is not an effective registration statement covering such shares.&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;The Company determined, based upon authoritative guidance, that the conversion feature embedded within the Convertible Debenture due January 2015 should be valued separately and bifurcated from the host instrument and accounted for as a free-standing derivative liability and that the Convertible Debenture Warrant should also be valued and accounted for separately as an equity instrument.&amp;#160;&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;The Company determined the fair value of each of the three elements included within the Convertible Debenture due January 2015.&amp;#160; The debenture portion (without the conversion feature) bearing interest at 8% was determined to be a debt instrument with a fair value of $1,490,000.&amp;#160; The embedded conversion feature was determined to be a derivative liability with a fair value of $1,180,000.&amp;#160; The Convertible Debenture Warrant was determined to be an equity instrument with a fair value of $370,000.&amp;#160; The Company determined the fair value of each of these instruments based upon the assumptions and methodologies as discussed below.&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
          &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;Since the Convertible Debenture Warrant was determined to be an equity instrument, the Company first computed the relative fair value of the Convertible Debenture due January 2015 (including the value of its conversion feature) with a fair value of $2,670,000 and the Convertible Debenture Warrant with a fair value of&amp;#160;&lt;/font&gt; &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;$370,000.&amp;#160;&amp;#160; Accordingly, the relative fair value of the Convertible Debenture Warrant and the Convertible Debenture due January 2015 (including the value of its conversion feature) was determined to be $214,819 and $1,550,181, respectively.&amp;#160; Then, from the relative fair value of the Convertible Debenture due January 2015, the Company deducted in full the fair value of the embedded conversion feature of $1,180,000.&amp;#160;&amp;#160; The discount of $1,394,819 applied to the face value of the Convertible
          Debenture due January 2015 consists of the sum of the relative fair value of the Convertible Debenture Warrant of $214,819 and the full value of the bifurcated conversion option derivative liability of $1,180,000.&amp;#160; The Convertible Debenture due January 2015 was recorded at a net value of $370,181, representing its face value of $1,765,000, less aggregate discounts for the derivative liability and warrant of $1,394,819, as summarized in the table below.&lt;/font&gt;
        &lt;/p&gt;&lt;br/&gt;&lt;table style=&quot;WIDTH: 50%; MARGIN-LEFT: 47.35pt&quot; border=&quot;0&quot; cellspacing=&quot;0&quot; cellpadding=&quot;0&quot;&gt;
          &lt;tr style=&quot;HEIGHT: 12.5pt&quot;&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;72%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Face value of Convertible Debenture due January 2015&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;1,765,000&amp;#160;&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;BACKGROUND-IMAGE: none; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; BACKGROUND-ATTACHMENT: scroll; PADDING-RIGHT: 0in; BACKGROUND-REPEAT: repeat; BACKGROUND-POSITION: 0% 0%; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;72%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 11.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Fair value of embedded conversion feature&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BACKGROUND-IMAGE: none; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; BACKGROUND-ATTACHMENT: scroll; PADDING-RIGHT: 0in; BACKGROUND-REPEAT: repeat; BACKGROUND-POSITION: 0% 0%; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BACKGROUND-IMAGE: none; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; BACKGROUND-ATTACHMENT: scroll; PADDING-RIGHT: 0in; BACKGROUND-REPEAT: repeat; BACKGROUND-POSITION: 0% 0%; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;1,180,000&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BACKGROUND-IMAGE: none; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; BACKGROUND-ATTACHMENT: scroll; PADDING-RIGHT: 0in; BACKGROUND-REPEAT: repeat; BACKGROUND-POSITION: 0% 0%; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BACKGROUND-IMAGE: none; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; BACKGROUND-ATTACHMENT: scroll; PADDING-RIGHT: 0in; BACKGROUND-REPEAT: repeat; BACKGROUND-POSITION: 0% 0%; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BACKGROUND-IMAGE: none; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; BACKGROUND-ATTACHMENT: scroll; PADDING-RIGHT: 0in; BACKGROUND-REPEAT: repeat; BACKGROUND-POSITION: 0% 0%; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;72%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 11.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Relative fair value of Convertible Debenture Warrant&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: black 1pt solid; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: black 1pt solid; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;214,819&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;BACKGROUND-IMAGE: none; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; BACKGROUND-ATTACHMENT: scroll; PADDING-RIGHT: 0in; BACKGROUND-REPEAT: repeat; BACKGROUND-POSITION: 0% 0%; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;72%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 11.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Discount&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BACKGROUND-IMAGE: none; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; BACKGROUND-ATTACHMENT: scroll; PADDING-RIGHT: 0in; BACKGROUND-REPEAT: repeat; BACKGROUND-POSITION: 0% 0%; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BACKGROUND-IMAGE: none; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; BACKGROUND-ATTACHMENT: scroll; PADDING-RIGHT: 0in; BACKGROUND-REPEAT: repeat; BACKGROUND-POSITION: 0% 0%; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;1,394,819&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BACKGROUND-IMAGE: none; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; BACKGROUND-ATTACHMENT: scroll; PADDING-RIGHT: 0in; BACKGROUND-REPEAT: repeat; BACKGROUND-POSITION: 0% 0%; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BACKGROUND-IMAGE: none; BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; BACKGROUND-ATTACHMENT: scroll; PADDING-RIGHT: 0in; BACKGROUND-REPEAT: repeat; BACKGROUND-POSITION: 0% 0%; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BACKGROUND-IMAGE: none; BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; BACKGROUND-ATTACHMENT: scroll; PADDING-RIGHT: 0in; BACKGROUND-REPEAT: repeat; BACKGROUND-POSITION: 0% 0%; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;(1,394,819)&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;72%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Proceeds attributable to the Convertible Debenture due January 2015&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0.8pt 0pt 0in&quot;&gt;
                &lt;font style=&quot;line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 2pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 2pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;370,181&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
        &lt;/table&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;Accordingly, the Company accounted for the full amount of the discount as an offset to the Convertible Debenture due January 2015, amortizable under the effective interest method over the term of the debenture.&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;The Company calculated the fair value of the embedded conversion feature of the Convertible Debenture due January 2015 using a Monte Carlo simulation, with the observable assumptions as provided in the table below.&amp;#160;The significant unobservable inputs used in the fair value measurement of the reporting entity&amp;#8217;s embedded conversion feature are expected stock prices, levels of trading and liquidity of the Company stock, probability of default of the host instrument, and loss severity in the event of such default. Significant increases in the expected stock prices and expected liquidity would result in a significantly higher fair value measurement.&amp;#160;Significant increases in either the probability or severity of default of the host instrument would result in a significantly lower fair value measurement.&amp;#160;&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;table style=&quot;WIDTH: 50%; BORDER-COLLAPSE: collapse; MARGIN-LEFT: 47.1pt&quot; border=&quot;0&quot; cellspacing=&quot;0&quot; cellpadding=&quot;0&quot;&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: black 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;14%&quot; colspan=&quot;2&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;As of&lt;/font&gt;
              &lt;/p&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;January 25,&lt;/font&gt;
              &lt;/p&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;2013&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;14%&quot; colspan=&quot;2&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Stock price on valuation date&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;0.21&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Conversion price&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;0.15&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Stock premium for liquidity&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;57%&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Term (years)&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;2.00&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Expected volatility&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;110%&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Weighted average risk-free interest rate&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;0.3%&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Trials&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;100,000&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Aggregate fair value&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;1,180,000&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: white; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: white; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: white; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
        &lt;/table&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;The Company calculated the fair value of the Convertible Debenture Warrant issued on January 25, 2013 using the Black-Scholes option pricing model with the following assumptions:&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;table style=&quot;WIDTH: 50%; BORDER-COLLAPSE: collapse; MARGIN-LEFT: 47.1pt&quot; border=&quot;0&quot; cellspacing=&quot;0&quot; cellpadding=&quot;0&quot;&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: black 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;14%&quot; colspan=&quot;2&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;As of&lt;/font&gt;
              &lt;/p&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;January 25,&lt;/font&gt;
              &lt;/p&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;2013&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;14%&quot; colspan=&quot;2&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Stock price on valuation date&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;0.21&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Exercise price&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;0.30&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Stock premium for liquidity&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;38%&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Term (years)&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;3.00&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Warrant exercise trigger price&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;41%&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Expected volatility&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;95%&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Weighted average risk-free interest rate&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;0.4%&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Number of warrants&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;5,882,745&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Aggregate fair value&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;370,000&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
        &lt;/table&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;The Company determined the fair value of the Convertible Debenture due January 2015 by preparing an analysis of discounted cash flows, using a discount rate of 18.6%, which the Company deemed appropriate given the Company&amp;#8217;s current risk scenarios.&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt; BACKGROUND: white&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;The derivative liability related to the embedded conversion feature is revalued at each reporting period as well as on the date of all conversions.&amp;#160; The value of the derivative liability associated with the conversions of the Convertible Debenture due January 2015 during fiscal year 2013 was approximately $165,000.&amp;#160; As of October 31, 2013, the Company determined the fair value of the derivative liability to be $540,000, and accordingly, during the year ended October 31, 2013, the Company recorded a gain on the change in the fair value of the derivative liability of approximately $475,000.&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;As of January 31, 2014, the Company calculated the fair value of the embedded conversion feature of the Convertible Debenture due January 2015 using a Monte Carlo simulation, with the observable assumptions as provided in the table below. &amp;#160;The significant unobservable inputs used in the fair value measurement of the reporting entity&amp;#8217;s embedded conversion feature are expected stock prices, levels of trading and liquidity of the Company stock, probability of default of the host instrument, and loss severity in the event of such default. &amp;#160;Significant increases in the expected stock prices and expected liquidity would result in a significantly higher fair value measurement.&amp;#160; Significant increases in either the probability or severity of default of the host instrument would result in a significantly lower fair value measurement.&amp;#160;&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;table style=&quot;WIDTH: 50%; BORDER-COLLAPSE: collapse; MARGIN-LEFT: 47.1pt&quot; border=&quot;0&quot; cellspacing=&quot;0&quot; cellpadding=&quot;0&quot;&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: black 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;14%&quot; colspan=&quot;2&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;As of&lt;/font&gt;
              &lt;/p&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;January 31,&lt;/font&gt;
              &lt;/p&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;2014&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;14%&quot; colspan=&quot;2&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Stock price used for valuation&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 3.7pt 0pt 0in&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;0.303&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Conversion price&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 3.7pt 0pt 0in&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;0.15&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Discount for marketability&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;38.3%&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Term (years)&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;1.00&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Expected volatility&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;87.7%&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Weighted average risk-free interest rate&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;0.1%&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Trials&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 3.7pt 0pt 0in&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;100,000&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Aggregate fair value&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 3.7pt 0pt 0in&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;1,020,000&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: white; PADDING-TOP: 0in&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0.8pt 0pt 0in&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: white; PADDING-TOP: 0in&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: white; PADDING-TOP: 0in&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0.8pt 0pt 0in&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
        &lt;/table&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt; BACKGROUND: white&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;The Company recorded a loss on the change in the fair value of the derivative liability of approximately $480,000 during the three months ended January 31, 2014.&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt; BACKGROUND: white&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;The amortization of debt discount related to the Convertible Debenture due January 2015 was approximately $119,000 for the three months ended January 31, 2014.&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;In connection with the issuance of the Convertible Debenture due January 2015, the Company provided compensation to the placement agent consisting of a cash fee of $41,400 and a warrant for the purchase of 276,014 shares of the Company&amp;#8217;s common stock (&amp;#8220;Placement Agent Warrant&amp;#8221;).&amp;#160; The terms of the Placement Agent Warrant are identical to the terms of the Convertible Debenture Warrant, and using Black-Scholes, upon issuance, was determined to have a fair value of $17,360.&amp;#160;Assumptions for the valuation of the Placement Agent Warrant were identical to those provided above for the Convertible Debenture Warrant.&amp;#160; In addition, issuance costs included legal fees of approximately $25,000.&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
          &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;The sum of the issuance costs was $83,760, and this cost was allocated as provided below:&lt;/font&gt;
        &lt;/p&gt;&lt;br/&gt;&lt;table style=&quot;WIDTH: 50%; MARGIN-LEFT: 47.1pt&quot; border=&quot;0&quot; cellspacing=&quot;0&quot; cellpadding=&quot;0&quot;&gt;
          &lt;tr&gt;
            &lt;td style=&quot;BORDER-BOTTOM: black 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;36%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Attributable to:&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: black 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;38%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Accounting Treatment&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: black 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;22%&quot; colspan=&quot;2&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Amount&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;36%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;38%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;20%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;36%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;The embedded conversion feature (derivative)&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0.8pt 0pt 0in&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;38%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Expensed as incurred&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;20%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;55, 999&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;36%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;The 8% Convertible Debenture Warrant&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;38%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Charged to additional paid-in capital&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;20%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;10,194&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;36%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;38%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;20%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;36%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;The 8% Convertible Debenture&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;38%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Recorded as deferred issuance costs and amortized under the interest method over the term of the 8% Convertible Debenture&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0.8pt 0pt 0in&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0.8pt 0pt 0in&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;20%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;17,567&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;36%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 11.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Total&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;38%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 2pt double; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 2pt double; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;20%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;83,760&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
        &lt;/table&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160; In connection with the issuance of the Convertible Debenture due January 2015, on April 24, 2013, the Company prepared and filed a registration statement registering for resale the shares of its common stock which may be issued upon the conversion of the debentures and exercise of the warrants consistent with the terms and conditions of the registration rights agreement the Company entered into with the holders of the registrable shares listed above. The registration statement was declared effective by the SEC on June 19, 2013.&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160; The Company has agreed to maintain the effectiveness of the registration statement through the earlier of three years from the date of the issuance of the Convertible Debenture due January 2015 or until Rule 144 of the Securities Act is available to the holders to allow them to sell all of their registrable securities thereunder.&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;u&gt;&lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;Convertible Debenture due November 2016&lt;/font&gt;&lt;/u&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;In November 2013, the Company received aggregate gross proceeds of $3,500,000 from the issuance of 6% convertible debentures due November 11, 2016 (&amp;#8220;Convertible Debenture due November 2016&amp;#8221;).&amp;#160; The debentures pay interest annually and are convertible into shares of our common stock at a conversion price of $0.1892 per share on or before November 11, 2016.&amp;#160; The embedded conversion feature has certain weighted average anti-dilution protection provisions which would be triggered if the Company issues its common stock, or certain common stock equivalents, (as defined) at a price below $0.142 per share.&amp;#160; The Company has the option to pay any interest on the debentures in common stock based on 90% of the volume weighted average closing sales price of our common stock for the 30 trading days immediately preceding the interest payment date.&amp;#160; In conjunction with the issuance of the
        debentures, the Company issued warrants (the &amp;#8220;Convertible Debenture Warrant&amp;#8221;) to purchase 9,249,472 shares of its common stock.&amp;#160; Each warrant grants the holder the right to purchase one share of the Company&amp;#8217;s common stock at a fixed purchase price of $0.3784 per share on or before November 11, 2016.&amp;#160; The&lt;/font&gt; &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;Convertible Debenture Warrant may be exercised on a cashless basis only if there is not an effective registration statement covering such shares.&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;The Company determined, based upon authoritative guidance, that the conversion feature embedded within the Convertible Debenture due November 2016 should be valued separately and bifurcated from the host instrument and accounted for as a free-standing derivative liability and that the Convertible Debenture Warrant should also be valued and accounted for separately as an equity instrument.&amp;#160;&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;The Company determined the fair value of each of the three elements included within the Convertible Debenture due November 2016.&amp;#160; The debenture portion (without the conversion feature) bearing interest at 6% was determined to be a debt instrument with a fair value of $2,710,000.&amp;#160; The embedded conversion feature was determined to be a derivative liability with a fair value of $1,570,000.&amp;#160; The Convertible Debenture Warrant was determined to be an equity instrument with a fair value of $740,000.&amp;#160; The Company determined the fair value of each of these instruments based upon the assumptions and methodologies as discussed below.&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;Since the Convertible Debenture Warrant was determined to be an equity instrument, the Company first computed the relative fair value of the Convertible Debenture due November 2016 (including the value of its conversion feature) with a fair value of $4,280,000 and the Convertible Debenture Warrant with a fair value of $740,000.&amp;#160;&amp;#160;Accordingly, the relative fair value of the Convertible Debenture Warrant and the Convertible Debenture due November 2016 (including the value of its conversion feature) was determined to be $515,936 and $2,984,064, respectively.&amp;#160; Then, from the relative fair value of the Convertible Debenture due November 2016, the Company deducted in full the fair value of the embedded conversion feature of $1,570,000.&amp;#160;&amp;#160;The discount of $2,085,936 applied to the face value of the Convertible Debenture due November 2016 consists of the sum of the relative fair value of the
        Convertible Debenture Warrant of $515,936 and the full value of the bifurcated conversion option derivative liability of $1,570,000.&amp;#160; The Convertible Debenture due November 2016 was recorded at a net value of $1,414,064, representing its face value of $3,500,000, less aggregate discounts for the derivative liability and warrant of $2,085,936, as summarized in the table below.&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;table style=&quot;WIDTH: 50%; BORDER-COLLAPSE: collapse; MARGIN-LEFT: 47.1pt&quot; border=&quot;0&quot; cellspacing=&quot;0&quot; cellpadding=&quot;0&quot;&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;67%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Face value of Convertible Debenture due November 2016&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;14%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;13%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;3,500,000&amp;#160;&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;67%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 11.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Fair value of embedded conversion feature&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;14%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;1,570,000&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;13%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;67%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 11.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Relative fair value of Convertible Debenture Warrant&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: black 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: black 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;14%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;515,936&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;13%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;67%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 11.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Discount&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;14%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;2,085,936&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;13%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;(2,085,936)&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;67%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Proceeds attributable to the Convertible Debenture due November 2016&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;14%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0.8pt 0pt 0in&quot;&gt;
                &lt;font style=&quot;line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;13%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;1,414,064&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
        &lt;/table&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;Accordingly, the Company accounted for the full amount of the discount as an offset to the Convertible Debenture due November 2016, amortizable under the effective interest method over the term of the debenture.&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;The Company calculated the fair value of the embedded conversion feature of the Convertible Debenture due November 2016 using a Monte Carlo simulation, with the observable assumptions as provided in the table below.&amp;#160;The significant unobservable inputs used in the fair value measurement of the reporting entity&amp;#8217;s embedded conversion feature are expected stock prices, levels of trading and liquidity of the Company stock, probability of default of the host instrument, and loss severity in the event of such default. Significant increases in the expected stock prices and expected liquidity would result in a significantly higher fair value measurement.&amp;#160;Significant increases in either the probability or severity of default of the host instrument would result in a significantly lower fair value measurement.&amp;#160;&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;table style=&quot;WIDTH: 50%; BORDER-COLLAPSE: collapse; MARGIN-LEFT: 6.75pt; MARGIN-RIGHT: 6.75pt&quot; border=&quot;0&quot; cellspacing=&quot;0&quot; cellpadding=&quot;0&quot;&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: black 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;14%&quot; colspan=&quot;2&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;As of&lt;/font&gt;
              &lt;/p&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;November 11,&lt;/font&gt;
              &lt;/p&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;2013&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;14%&quot; colspan=&quot;2&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Stock price on valuation date&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;0.20&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Conversion price&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;0.189&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Discount for lack of marketability&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;35.5%&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Term (years)&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;3.00&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Expected volatility&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;102.8%&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Weighted average risk-free interest rate&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;0.62%&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Trials&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;100,000&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Aggregate fair value&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;1,570,000&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: white; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: white; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: white; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
        &lt;/table&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;The Company calculated the fair value of the Convertible Debenture Warrant issued on November 11, 2013 using a Monte Carlo simulation, with the observable assumptions as provided in the table below.&amp;#160;The significant unobservable inputs used in the fair value measurement of the reporting entity&amp;#8217;s warrant value are expected stock prices, levels of trading and liquidity of the Company stock, probability of default of the host instrument, and loss severity in the event of such default. Significant increases in the expected stock prices and expected liquidity would result in a significantly higher fair value measurement.&amp;#160;Significant increases in either the probability or severity of default of the host instrument would result in a significantly lower fair value measurement:&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;table style=&quot;WIDTH: 50%; BORDER-COLLAPSE: collapse; MARGIN-LEFT: 10.7pt&quot; border=&quot;0&quot; cellspacing=&quot;0&quot; cellpadding=&quot;0&quot;&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: black 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;14%&quot; colspan=&quot;2&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;As of&lt;/font&gt;
              &lt;/p&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;November 11,&lt;/font&gt;
              &lt;/p&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;2013&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;14%&quot; colspan=&quot;2&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Stock price on valuation date&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;0.20&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Exercise price&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;0.378&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Discount for lack of marketability&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;22%&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Term (years)&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;3.00&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Expected volatility&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;102.8%&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Weighted average risk-free interest rate&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;0.6%&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Number of warrants&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;9,249,472&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Aggregate fair value&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;740,000&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
        &lt;/table&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;The Company determined the fair value of the Convertible Debenture due November 2016 by preparing an analysis of discounted cash flows, using a discount rate of 16.0%, which the Company deemed appropriate given the Company&amp;#8217;s current risk scenarios.&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt; BACKGROUND: white&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;The derivative liability related to the embedded conversion feature is revalued at each reporting period as well as on the date of all conversions, as discussed, below.&amp;#160; As of January 31, 2014, the Company determined the fair value of the derivative liability to be $2,410,000, and accordingly, during the three months ended January 31, 2014, the Company recorded a loss on the change in the fair value of the derivative liability of approximately $840,000.&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;As of January 31, 2014, the Company calculated the fair value of the embedded conversion feature of the Convertible Debenture due November 2016 using a Monte Carlo simulation, with the observable assumptions as provided in the table below. &amp;#160;The significant unobservable inputs used in the fair value measurement of the reporting entity&amp;#8217;s embedded conversion feature are expected stock prices, levels of trading and liquidity of the Company stock, probability of default of the host instrument, and loss severity in the event of such default. &amp;#160;Significant increases in the expected stock prices and expected liquidity would result in a significantly higher fair value measurement.&amp;#160; Significant increases in either the probability or severity of default of the host instrument would result in a significantly lower fair value measurement.&amp;#160;&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;table style=&quot;WIDTH: 50%; MARGIN-LEFT: 47.1pt&quot; border=&quot;0&quot; cellspacing=&quot;0&quot; cellpadding=&quot;0&quot;&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: black 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;14%&quot; colspan=&quot;2&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;January 31,&lt;/font&gt;
              &lt;/p&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;2014&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;14%&quot; colspan=&quot;2&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Stock price used for valuation&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 3.7pt 0pt 0in&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;0.303&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Conversion price&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 3.7pt 0pt 0in&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;0.189&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Discount for lack of marketability&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;38.3%&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Term (years)&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;2.8&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Expected volatility&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;105%&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Weighted average risk-free interest rate&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;0.6%&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Trials&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 3.7pt 0pt 0in&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;100,000&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Aggregate fair value&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 3.7pt 0pt 0in&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;2,410,000&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: white; PADDING-TOP: 0in&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0.8pt 0pt 0in&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: white; PADDING-TOP: 0in&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: white; PADDING-TOP: 0in&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0.8pt 0pt 0in&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
        &lt;/table&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt; BACKGROUND: white&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;The amortization of debt discount related to the Convertible Debenture due November 2016 was approximately $98,000 for the three months ended January 31, 2014.&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;In connection with the issuance of the Convertible Debenture due November 2016, the Company incurred legal costs which were allocated as provided below:&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;table style=&quot;WIDTH: 50%; MARGIN-LEFT: 47.1pt&quot; border=&quot;0&quot; cellspacing=&quot;0&quot; cellpadding=&quot;0&quot;&gt;
          &lt;tr&gt;
            &lt;td style=&quot;BORDER-BOTTOM: black 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;38%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Attributable to:&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: black 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;40%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Accounting Treatment&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: black 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;18%&quot; colspan=&quot;2&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Amount&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;38%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;40%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;16%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;38%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;The embedded conversion feature (derivative)&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0.8pt 0pt 0in&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;40%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Expensed as incurred&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;16%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;8,593&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;38%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;The 8% Convertible Debenture Warrant&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;40%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Charged to additional paid-in capital&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;16%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;2,824&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;38%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;40%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;16%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;38%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;The 8% Convertible Debenture&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;40%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Recorded as deferred issuance costs and amortized under the interest method over the term of the 8% Convertible Debenture&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0.8pt 0pt 0in&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0.8pt 0pt 0in&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;16%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;7,739&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;38%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 11.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Total&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;40%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 2pt double; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 2pt double; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;16%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;19,156&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
        &lt;/table&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160; In connection with the issuance of the Convertible Debenture due November 2016, on February 7, 2014, the Company prepared and filed a registration statement registering for resale the shares of its common stock which may be issued upon the conversion of the debenture and exercise of the warrant consistent with the terms and conditions of the debenture agreement the Company entered into with the holders of the registrable shares listed above.&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160; The Company has agreed to maintain the effectiveness of the registration statement through the earlier of three years from the date of the issuance of the Convertible&lt;/font&gt; &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;Debenture due November 2016 or until Rule 144 of the Securities Act is available to the holders to allow them to sell all of their registrable securities thereunder.&amp;#160;&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;</us-gaap:DebtDisclosureTextBlock>
  <us-gaap:ProceedsFromConvertibleDebt unitRef="usd" contextRef="c58_From1Sep2012To30Sep2012_ConvertibleDebentureDueSeptember2016Member" decimals="0">750000</us-gaap:ProceedsFromConvertibleDebt>
  <us-gaap:DebtInstrumentInterestRateStatedPercentage unitRef="pure" contextRef="c59_AsOf30Sep2012_ConvertibleDebentureDueSeptember2016Member" decimals="2">0.08</us-gaap:DebtInstrumentInterestRateStatedPercentage>
  <us-gaap:DebtInstrumentMaturityDate contextRef="c58_From1Sep2012To30Sep2012_ConvertibleDebentureDueSeptember2016Member">2016-09-12</us-gaap:DebtInstrumentMaturityDate>
  <us-gaap:ProceedsFromConvertibleDebt unitRef="usd" contextRef="c60_From1Sep2012To30Sep2012_ConvertibleDebentureDueSeptember2016Member_ChairmanAndChiefExecutiveOfficerAndOneDirectorMember" decimals="0">300000</us-gaap:ProceedsFromConvertibleDebt>
  <us-gaap:DebtInstrumentConvertibleConversionPrice1 unitRef="usdPershares" contextRef="c59_AsOf30Sep2012_ConvertibleDebentureDueSeptember2016Member" decimals="3">0.092</us-gaap:DebtInstrumentConvertibleConversionPrice1>
  <us-gaap:DebtInstrumentUnamortizedDiscount unitRef="usd" contextRef="c59_AsOf30Sep2012_ConvertibleDebentureDueSeptember2016Member" decimals="0">717000</us-gaap:DebtInstrumentUnamortizedDiscount>
  <copy:DebtInstrumentPrepaymentNoticePeriod contextRef="c58_From1Sep2012To30Sep2012_ConvertibleDebentureDueSeptember2016Member">P30D</copy:DebtInstrumentPrepaymentNoticePeriod>
  <us-gaap:DebtConversionOriginalDebtAmount1 unitRef="usd" contextRef="c61_From1Feb2013To30Apr2013_ConvertibleDebentureDueSeptember2016Member" decimals="0">750000</us-gaap:DebtConversionOriginalDebtAmount1>
  <us-gaap:DebtConversionConvertedInstrumentSharesIssued1 unitRef="shares" contextRef="c62_From1Feb2013To30Apr2013_ConvertibleDebentureDueSeptember2016Member_CommonStockMember" decimals="INF">8152170</us-gaap:DebtConversionConvertedInstrumentSharesIssued1>
  <copy:DebtConversionConvertedInstrumentAdditionalSharesIssued unitRef="shares" contextRef="c62_From1Feb2013To30Apr2013_ConvertibleDebentureDueSeptember2016Member_CommonStockMember" decimals="INF">100725</copy:DebtConversionConvertedInstrumentAdditionalSharesIssued>
  <us-gaap:PaidInKindInterest unitRef="usd" contextRef="c62_From1Feb2013To30Apr2013_ConvertibleDebentureDueSeptember2016Member_CommonStockMember" decimals="0">9300</us-gaap:PaidInKindInterest>
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  <us-gaap:ProceedsFromConvertibleDebt unitRef="usd" contextRef="c63_From1Jan2013To31Jan2013_ConvertibleDebentureDueJanuary2015Member" decimals="0">1765000</us-gaap:ProceedsFromConvertibleDebt>
  <us-gaap:DebtInstrumentInterestRateStatedPercentage unitRef="pure" contextRef="c64_AsOf31Jan2013_ConvertibleDebentureDueJanuary2015Member" decimals="2">0.08</us-gaap:DebtInstrumentInterestRateStatedPercentage>
  <us-gaap:ProceedsFromConvertibleDebt unitRef="usd" contextRef="c65_From1Jan2013To31Jan2013_ConvertibleDebentureDueJanuary2015Member_PresidentChiefExecutiveOfficerAndDirectorAndOtherTwoDirectorsMember" decimals="0">250000</us-gaap:ProceedsFromConvertibleDebt>
  <us-gaap:DebtInstrumentConvertibleConversionPrice1 unitRef="usdPershares" contextRef="c64_AsOf31Jan2013_ConvertibleDebentureDueJanuary2015Member" decimals="2">0.15</us-gaap:DebtInstrumentConvertibleConversionPrice1>
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  <copy:DebtInstrumentPrepaymentNoticePeriod contextRef="c63_From1Jan2013To31Jan2013_ConvertibleDebentureDueJanuary2015Member">P30D</copy:DebtInstrumentPrepaymentNoticePeriod>
  <us-gaap:SharePrice unitRef="usdPershares" contextRef="c66_AsOf31Jan2013_TwentyTradingDaysInThirtyDayTradingPeriodMember_ConvertibleDebentureDueJanuary2015Member" decimals="0">30</us-gaap:SharePrice>
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  <us-gaap:ClassOfWarrantOrRightNumberOfSecuritiesCalledByWarrantsOrRights unitRef="shares" contextRef="c67_AsOf31Jan2013_ConvertibleDebentureDueJanuary2015Member_CommonStockMember" decimals="INF">5882745</us-gaap:ClassOfWarrantOrRightNumberOfSecuritiesCalledByWarrantsOrRights>
  <us-gaap:ClassOfWarrantOrRightNumberOfSecuritiesCalledByEachWarrantOrRight unitRef="shares" contextRef="c67_AsOf31Jan2013_ConvertibleDebentureDueJanuary2015Member_CommonStockMember" decimals="INF">1</us-gaap:ClassOfWarrantOrRightNumberOfSecuritiesCalledByEachWarrantOrRight>
  <us-gaap:ClassOfWarrantOrRightExercisePriceOfWarrantsOrRights unitRef="usdPershares" contextRef="c67_AsOf31Jan2013_ConvertibleDebentureDueJanuary2015Member_CommonStockMember" decimals="2">0.30</us-gaap:ClassOfWarrantOrRightExercisePriceOfWarrantsOrRights>
  <copy:ConvertibleDebtInstrumentIncludingEmbeddedDerivativeFairValue unitRef="usd" contextRef="c64_AsOf31Jan2013_ConvertibleDebentureDueJanuary2015Member" decimals="0">1490000</copy:ConvertibleDebtInstrumentIncludingEmbeddedDerivativeFairValue>
  <us-gaap:EmbeddedDerivativeFairValueOfEmbeddedDerivativeLiability unitRef="usd" contextRef="c64_AsOf31Jan2013_ConvertibleDebentureDueJanuary2015Member" decimals="0">1180000</us-gaap:EmbeddedDerivativeFairValueOfEmbeddedDerivativeLiability>
  <us-gaap:EquityFairValueDisclosure unitRef="usd" contextRef="c68_AsOf31Jan2013_ConvertibleDebentureWarrantMember" decimals="0">370000</us-gaap:EquityFairValueDisclosure>
  <us-gaap:ConvertibleDebtFairValueDisclosures unitRef="usd" contextRef="c64_AsOf31Jan2013_ConvertibleDebentureDueJanuary2015Member" decimals="0">2670000</us-gaap:ConvertibleDebtFairValueDisclosures>
  <copy:WarrantsNotSettleableInCashRelativeFairValueDisclosure unitRef="usd" contextRef="c64_AsOf31Jan2013_ConvertibleDebentureDueJanuary2015Member" decimals="0">214819</copy:WarrantsNotSettleableInCashRelativeFairValueDisclosure>
  <copy:ConvertibleDebtInstrumentIncludingEmbeddedDerivativeRelativeFairValue unitRef="usd" contextRef="c64_AsOf31Jan2013_ConvertibleDebentureDueJanuary2015Member" decimals="0">1550181</copy:ConvertibleDebtInstrumentIncludingEmbeddedDerivativeRelativeFairValue>
  <us-gaap:ConvertibleDebt unitRef="usd" contextRef="c64_AsOf31Jan2013_ConvertibleDebentureDueJanuary2015Member" decimals="0">370181</us-gaap:ConvertibleDebt>
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  <us-gaap:EmbeddedDerivativeFairValueOfEmbeddedDerivativeLiability unitRef="usd" contextRef="c69_AsOf31Oct2013_ConvertibleDebentureDueJanuary2015Member" decimals="0">165000</us-gaap:EmbeddedDerivativeFairValueOfEmbeddedDerivativeLiability>
  <us-gaap:DerivativeLiabilitiesCurrent unitRef="usd" contextRef="c69_AsOf31Oct2013_ConvertibleDebentureDueJanuary2015Member" decimals="0">540000</us-gaap:DerivativeLiabilitiesCurrent>
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  <us-gaap:DerivativeGainLossOnDerivativeNet unitRef="usd" contextRef="c71_From1Nov2013To31Jan2014_ConvertibleDebentureDueJanuary2015Member" decimals="0">480000</us-gaap:DerivativeGainLossOnDerivativeNet>
  <us-gaap:AmortizationOfDebtDiscountPremium unitRef="usd" contextRef="c71_From1Nov2013To31Jan2014_ConvertibleDebentureDueJanuary2015Member" decimals="0">119000</us-gaap:AmortizationOfDebtDiscountPremium>
  <copy:CashFeeCompensationPlacementAgent unitRef="usd" contextRef="c63_From1Jan2013To31Jan2013_ConvertibleDebentureDueJanuary2015Member" decimals="0">41400</copy:CashFeeCompensationPlacementAgent>
  <us-gaap:ClassOfWarrantOrRightNumberOfSecuritiesCalledByWarrantsOrRights unitRef="shares" contextRef="c72_AsOf31Jan2013_ConvertibleDebentureDueJanuary2015Member_PlacementAgentWarrantMember_CommonStockMember" decimals="INF">276014</us-gaap:ClassOfWarrantOrRightNumberOfSecuritiesCalledByWarrantsOrRights>
  <copy:WarrantsNotSettleableInCashRelativeFairValueDisclosure unitRef="usd" contextRef="c73_AsOf31Jan2013_ConvertibleDebentureDueJanuary2015Member_PlacementAgentWarrantMember" decimals="0">17360</copy:WarrantsNotSettleableInCashRelativeFairValueDisclosure>
  <us-gaap:LegalFees unitRef="usd" contextRef="c63_From1Jan2013To31Jan2013_ConvertibleDebentureDueJanuary2015Member" decimals="0">25000</us-gaap:LegalFees>
  <us-gaap:DebtIssuanceCosts unitRef="usd" contextRef="c63_From1Jan2013To31Jan2013_ConvertibleDebentureDueJanuary2015Member" decimals="0">83760</us-gaap:DebtIssuanceCosts>
  <us-gaap:ProceedsFromConvertibleDebt unitRef="usd" contextRef="c74_From1Nov2013To30Nov2013_ConvertibleDebenturesDueNovember2016Member" decimals="0">3500000</us-gaap:ProceedsFromConvertibleDebt>
  <us-gaap:DebtInstrumentInterestRateStatedPercentage unitRef="pure" contextRef="c75_AsOf30Nov2013_ConvertibleDebenturesDueNovember2016Member" decimals="2">0.06</us-gaap:DebtInstrumentInterestRateStatedPercentage>
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  <us-gaap:DebtInstrumentConvertibleStockPriceTrigger unitRef="usdPershares" contextRef="c74_From1Nov2013To30Nov2013_ConvertibleDebenturesDueNovember2016Member" decimals="3">0.142</us-gaap:DebtInstrumentConvertibleStockPriceTrigger>
  <us-gaap:DebtInstrumentConvertibleThresholdPercentageOfStockPriceTrigger unitRef="pure" contextRef="c76_From1Nov2013To30Nov2013_ThirtyTradingDaysImmediatelyPrecedingTheInterestPaymentDateMember_ConvertibleDebenturesDueNovember2016Member" decimals="2">0.90</us-gaap:DebtInstrumentConvertibleThresholdPercentageOfStockPriceTrigger>
  <us-gaap:ClassOfWarrantOrRightNumberOfSecuritiesCalledByWarrantsOrRights unitRef="shares" contextRef="c75_AsOf30Nov2013_ConvertibleDebenturesDueNovember2016Member" decimals="INF">9249472</us-gaap:ClassOfWarrantOrRightNumberOfSecuritiesCalledByWarrantsOrRights>
  <us-gaap:ClassOfWarrantOrRightExercisePriceOfWarrantsOrRights unitRef="usdPershares" contextRef="c75_AsOf30Nov2013_ConvertibleDebenturesDueNovember2016Member" decimals="4">0.3784</us-gaap:ClassOfWarrantOrRightExercisePriceOfWarrantsOrRights>
  <us-gaap:DebtInstrumentFairValue unitRef="usd" contextRef="c75_AsOf30Nov2013_ConvertibleDebenturesDueNovember2016Member" decimals="0">2710000</us-gaap:DebtInstrumentFairValue>
  <us-gaap:EmbeddedDerivativeFairValueOfEmbeddedDerivativeLiability unitRef="usd" contextRef="c75_AsOf30Nov2013_ConvertibleDebenturesDueNovember2016Member" decimals="0">1570000</us-gaap:EmbeddedDerivativeFairValueOfEmbeddedDerivativeLiability>
  <us-gaap:EquityFairValueDisclosure unitRef="usd" contextRef="c77_AsOf30Nov2013_ConvertibleDebenturesDueNovember2016Member_ConvertibleDebentureWarrantMember" decimals="0">740000</us-gaap:EquityFairValueDisclosure>
  <copy:ConvertibleDebtInstrumentIncludingEmbeddedDerivativeFairValue unitRef="usd" contextRef="c75_AsOf30Nov2013_ConvertibleDebenturesDueNovember2016Member" decimals="0">4280000</copy:ConvertibleDebtInstrumentIncludingEmbeddedDerivativeFairValue>
  <us-gaap:WarrantsNotSettleableInCashFairValueDisclosure unitRef="usd" contextRef="c77_AsOf30Nov2013_ConvertibleDebenturesDueNovember2016Member_ConvertibleDebentureWarrantMember" decimals="0">740000</us-gaap:WarrantsNotSettleableInCashFairValueDisclosure>
  <copy:WarrantsNotSettleableInCashRelativeFairValueDisclosure unitRef="usd" contextRef="c75_AsOf30Nov2013_ConvertibleDebenturesDueNovember2016Member" decimals="0">515936</copy:WarrantsNotSettleableInCashRelativeFairValueDisclosure>
  <copy:ConvertibleDebtInstrumentIncludingEmbeddedDerivativeRelativeFairValue unitRef="usd" contextRef="c75_AsOf30Nov2013_ConvertibleDebenturesDueNovember2016Member" decimals="0">2984064</copy:ConvertibleDebtInstrumentIncludingEmbeddedDerivativeRelativeFairValue>
  <us-gaap:DebtInstrumentUnamortizedDiscount unitRef="usd" contextRef="c75_AsOf30Nov2013_ConvertibleDebenturesDueNovember2016Member" decimals="0">2085936</us-gaap:DebtInstrumentUnamortizedDiscount>
  <us-gaap:ConvertibleDebtFairValueDisclosures unitRef="usd" contextRef="c75_AsOf30Nov2013_ConvertibleDebenturesDueNovember2016Member" decimals="0">1414064</us-gaap:ConvertibleDebtFairValueDisclosures>
  <us-gaap:DebtInstrumentFaceAmount unitRef="usd" contextRef="c75_AsOf30Nov2013_ConvertibleDebenturesDueNovember2016Member" decimals="0">3500000</us-gaap:DebtInstrumentFaceAmount>
  <us-gaap:FairValueInputsDiscountRate unitRef="pure" contextRef="c74_From1Nov2013To30Nov2013_ConvertibleDebenturesDueNovember2016Member" decimals="3">0.160</us-gaap:FairValueInputsDiscountRate>
  <us-gaap:DerivativeLiabilitiesCurrent unitRef="usd" contextRef="c78_AsOf31Jan2014_ConvertibleDebenturesDueNovember2016Member" decimals="0">2410000</us-gaap:DerivativeLiabilitiesCurrent>
  <us-gaap:GainsLossesOnExtinguishmentOfDebt unitRef="usd" contextRef="c79_From1Jan2014To31Jan2014_ConvertibleDebenturesDueNovember2016Member" decimals="0">840000</us-gaap:GainsLossesOnExtinguishmentOfDebt>
  <us-gaap:AmortizationOfDebtDiscountPremium unitRef="usd" contextRef="c80_From1Nov2013To31Jan2014_ConvertibleDebenturesDueNovember2016Member" decimals="0">98000</us-gaap:AmortizationOfDebtDiscountPremium>
  <us-gaap:ConvertibleDebtTableTextBlock contextRef="c8_From1Nov2013To31Jan2014">&lt;table style=&quot;WIDTH: 50%; MARGIN-LEFT: 47.35pt&quot; border=&quot;0&quot; cellspacing=&quot;0&quot; cellpadding=&quot;0&quot;&gt;
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              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Face value of Convertible Debenture due January 2015&lt;/font&gt;
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                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
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              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
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              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
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                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
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              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;1,765,000&amp;#160;&lt;/font&gt;
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                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Fair value of embedded conversion feature&lt;/font&gt;
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                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;1,180,000&lt;/font&gt;
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                &lt;font style=&quot;line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
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              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
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              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
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                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
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                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;214,819&lt;/font&gt;
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              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
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              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
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              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
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              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BACKGROUND-IMAGE: none; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; BACKGROUND-ATTACHMENT: scroll; PADDING-RIGHT: 0in; BACKGROUND-REPEAT: repeat; BACKGROUND-POSITION: 0% 0%; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;1,394,819&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BACKGROUND-IMAGE: none; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; BACKGROUND-ATTACHMENT: scroll; PADDING-RIGHT: 0in; BACKGROUND-REPEAT: repeat; BACKGROUND-POSITION: 0% 0%; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BACKGROUND-IMAGE: none; BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; BACKGROUND-ATTACHMENT: scroll; PADDING-RIGHT: 0in; BACKGROUND-REPEAT: repeat; BACKGROUND-POSITION: 0% 0%; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BACKGROUND-IMAGE: none; BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; BACKGROUND-ATTACHMENT: scroll; PADDING-RIGHT: 0in; BACKGROUND-REPEAT: repeat; BACKGROUND-POSITION: 0% 0%; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;(1,394,819)&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;72%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Proceeds attributable to the Convertible Debenture due January 2015&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0.8pt 0pt 0in&quot;&gt;
                &lt;font style=&quot;line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 2pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 2pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;370,181&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
        &lt;/table&gt;&lt;table style=&quot;WIDTH: 50%; BORDER-COLLAPSE: collapse; MARGIN-LEFT: 47.1pt&quot; border=&quot;0&quot; cellspacing=&quot;0&quot; cellpadding=&quot;0&quot;&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;67%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Face value of Convertible Debenture due November 2016&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;14%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;13%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;3,500,000&amp;#160;&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;67%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 11.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Fair value of embedded conversion feature&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;14%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;1,570,000&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;13%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;67%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 11.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Relative fair value of Convertible Debenture Warrant&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: black 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: black 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;14%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;515,936&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;13%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;67%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 11.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Discount&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;14%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;2,085,936&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;13%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;(2,085,936)&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;67%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Proceeds attributable to the Convertible Debenture due November 2016&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;14%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0.8pt 0pt 0in&quot;&gt;
                &lt;font style=&quot;line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;13%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;1,414,064&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
        &lt;/table&gt;</us-gaap:ConvertibleDebtTableTextBlock>
  <us-gaap:DebtInstrumentUnamortizedDiscount unitRef="usd" contextRef="c64_AsOf31Jan2013_ConvertibleDebentureDueJanuary2015Member" decimals="0">-1394819</us-gaap:DebtInstrumentUnamortizedDiscount>
  <us-gaap:DebtInstrumentFaceAmount unitRef="usd" contextRef="c81_AsOf30Nov2013_ConvertibleDebentureDueSeptember2016Member" decimals="0">3500000</us-gaap:DebtInstrumentFaceAmount>
  <us-gaap:EmbeddedDerivativeFairValueOfEmbeddedDerivativeLiability unitRef="usd" contextRef="c81_AsOf30Nov2013_ConvertibleDebentureDueSeptember2016Member" decimals="0">1570000</us-gaap:EmbeddedDerivativeFairValueOfEmbeddedDerivativeLiability>
  <copy:WarrantsNotSettleableInCashRelativeFairValueDisclosure unitRef="usd" contextRef="c81_AsOf30Nov2013_ConvertibleDebentureDueSeptember2016Member" decimals="0">515936</copy:WarrantsNotSettleableInCashRelativeFairValueDisclosure>
  <us-gaap:DebtInstrumentUnamortizedDiscount unitRef="usd" contextRef="c81_AsOf30Nov2013_ConvertibleDebentureDueSeptember2016Member" decimals="0">-2085936</us-gaap:DebtInstrumentUnamortizedDiscount>
  <us-gaap:ConvertibleDebt unitRef="usd" contextRef="c81_AsOf30Nov2013_ConvertibleDebentureDueSeptember2016Member" decimals="0">1414064</us-gaap:ConvertibleDebt>
  <us-gaap:ScheduleOfAssumptionsForFairValueAsOfBalanceSheetDateOfInterestsContinuedToBeHeldByTransferorServicingAssetsOrServicingLiabilitiesTextBlock contextRef="c82_From1Nov2013To31Jan2014_EmbededDerivativesConversionFeaturesMember">&lt;table style=&quot;WIDTH: 50%; BORDER-COLLAPSE: collapse; MARGIN-LEFT: 47.1pt&quot; border=&quot;0&quot; cellspacing=&quot;0&quot; cellpadding=&quot;0&quot;&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: black 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;14%&quot; colspan=&quot;2&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;As of&lt;/font&gt;
              &lt;/p&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;January 25,&lt;/font&gt;
              &lt;/p&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;2013&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;14%&quot; colspan=&quot;2&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Stock price on valuation date&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;0.21&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Conversion price&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;0.15&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Stock premium for liquidity&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;57%&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Term (years)&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;2.00&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Expected volatility&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;110%&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Weighted average risk-free interest rate&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;0.3%&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Trials&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;100,000&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Aggregate fair value&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;1,180,000&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: white; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: white; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: white; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
        &lt;/table&gt;&lt;table style=&quot;WIDTH: 50%; BORDER-COLLAPSE: collapse; MARGIN-LEFT: 47.1pt&quot; border=&quot;0&quot; cellspacing=&quot;0&quot; cellpadding=&quot;0&quot;&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: black 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;14%&quot; colspan=&quot;2&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;As of&lt;/font&gt;
              &lt;/p&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;January 31,&lt;/font&gt;
              &lt;/p&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;2014&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;14%&quot; colspan=&quot;2&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Stock price used for valuation&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 3.7pt 0pt 0in&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;0.303&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Conversion price&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 3.7pt 0pt 0in&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;0.15&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Discount for marketability&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;38.3%&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Term (years)&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;1.00&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Expected volatility&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;87.7%&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Weighted average risk-free interest rate&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;0.1%&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Trials&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 3.7pt 0pt 0in&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;100,000&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Aggregate fair value&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 3.7pt 0pt 0in&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;1,020,000&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: white; PADDING-TOP: 0in&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0.8pt 0pt 0in&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: white; PADDING-TOP: 0in&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: white; PADDING-TOP: 0in&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0.8pt 0pt 0in&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
        &lt;/table&gt;&lt;table style=&quot;WIDTH: 50%; BORDER-COLLAPSE: collapse; MARGIN-LEFT: 6.75pt; MARGIN-RIGHT: 6.75pt&quot; border=&quot;0&quot; cellspacing=&quot;0&quot; cellpadding=&quot;0&quot;&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: black 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;14%&quot; colspan=&quot;2&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;As of&lt;/font&gt;
              &lt;/p&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;November 11,&lt;/font&gt;
              &lt;/p&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;2013&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;14%&quot; colspan=&quot;2&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Stock price on valuation date&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;0.20&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Conversion price&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;0.189&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Discount for lack of marketability&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;35.5%&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Term (years)&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;3.00&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Expected volatility&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;102.8%&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Weighted average risk-free interest rate&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;0.62%&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Trials&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;100,000&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Aggregate fair value&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;1,570,000&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: white; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: white; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: white; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
        &lt;/table&gt;&lt;table style=&quot;WIDTH: 50%; MARGIN-LEFT: 47.1pt&quot; border=&quot;0&quot; cellspacing=&quot;0&quot; cellpadding=&quot;0&quot;&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: black 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;14%&quot; colspan=&quot;2&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;January 31,&lt;/font&gt;
              &lt;/p&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;2014&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;14%&quot; colspan=&quot;2&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Stock price used for valuation&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 3.7pt 0pt 0in&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;0.303&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Conversion price&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 3.7pt 0pt 0in&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;0.189&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Discount for lack of marketability&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;38.3%&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Term (years)&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;2.8&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Expected volatility&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;105%&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Weighted average risk-free interest rate&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;0.6%&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Trials&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 3.7pt 0pt 0in&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;100,000&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Aggregate fair value&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 3.7pt 0pt 0in&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;2,410,000&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: white; PADDING-TOP: 0in&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0.8pt 0pt 0in&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: white; PADDING-TOP: 0in&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: white; PADDING-TOP: 0in&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0.8pt 0pt 0in&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
        &lt;/table&gt;</us-gaap:ScheduleOfAssumptionsForFairValueAsOfBalanceSheetDateOfInterestsContinuedToBeHeldByTransferorServicingAssetsOrServicingLiabilitiesTextBlock>
  <us-gaap:SharePrice unitRef="usdPershares" contextRef="c83_AsOf25Jan2013_ConvertibleDebentureDueJanuary2015Member_ConvertibleDebenturesEmbeddedConversionFeatureMember" decimals="2">0.21</us-gaap:SharePrice>
  <us-gaap:SharePrice unitRef="usdPershares" contextRef="c84_AsOf31Jan2014_ConvertibleDebentureDueJanuary2015Member_ConvertibleDebenturesEmbeddedConversionFeatureMember" decimals="3">0.303</us-gaap:SharePrice>
  <us-gaap:SharePrice unitRef="usdPershares" contextRef="c85_AsOf11Nov2013_ConvertibleDebenturesDueNovember2016Member_ConvertibleDebenturesEmbeddedConversionFeatureMember" decimals="2">0.20</us-gaap:SharePrice>
  <us-gaap:SharePrice unitRef="usdPershares" contextRef="c86_AsOf31Jan2014_ConvertibleDebenturesDueNovember2016Member_ConvertibleDebenturesEmbeddedConversionFeatureMember" decimals="3">0.303</us-gaap:SharePrice>
  <us-gaap:DebtInstrumentConvertibleConversionPrice1 unitRef="usdPershares" contextRef="c83_AsOf25Jan2013_ConvertibleDebentureDueJanuary2015Member_ConvertibleDebenturesEmbeddedConversionFeatureMember" decimals="2">0.15</us-gaap:DebtInstrumentConvertibleConversionPrice1>
  <us-gaap:DebtInstrumentConvertibleConversionPrice1 unitRef="usdPershares" contextRef="c84_AsOf31Jan2014_ConvertibleDebentureDueJanuary2015Member_ConvertibleDebenturesEmbeddedConversionFeatureMember" decimals="2">0.15</us-gaap:DebtInstrumentConvertibleConversionPrice1>
  <us-gaap:DebtInstrumentConvertibleConversionPrice1 unitRef="usdPershares" contextRef="c85_AsOf11Nov2013_ConvertibleDebenturesDueNovember2016Member_ConvertibleDebenturesEmbeddedConversionFeatureMember" decimals="3">0.189</us-gaap:DebtInstrumentConvertibleConversionPrice1>
  <us-gaap:DebtInstrumentConvertibleConversionPrice1 unitRef="usdPershares" contextRef="c86_AsOf31Jan2014_ConvertibleDebenturesDueNovember2016Member_ConvertibleDebenturesEmbeddedConversionFeatureMember" decimals="3">0.189</us-gaap:DebtInstrumentConvertibleConversionPrice1>
  <copy:StockPremiumForLiquidity unitRef="pure" contextRef="c87_From24Jan2013To25Jan2013_ConvertibleDebentureDueJanuary2015Member_ConvertibleDebenturesEmbeddedConversionFeatureMember" decimals="2">0.57</copy:StockPremiumForLiquidity>
  <copy:StockPremiumForLiquidity unitRef="pure" contextRef="c88_From30Jan2014To31Jan2014_ConvertibleDebentureDueJanuary2015Member_ConvertibleDebenturesEmbeddedConversionFeatureMember" decimals="3">0.383</copy:StockPremiumForLiquidity>
  <copy:StockPremiumForLiquidity unitRef="pure" contextRef="c89_From10Nov2013To11Nov2013_ConvertibleDebenturesDueNovember2016Member_ConvertibleDebenturesEmbeddedConversionFeatureMember" decimals="3">0.355</copy:StockPremiumForLiquidity>
  <copy:StockPremiumForLiquidity unitRef="pure" contextRef="c90_From30Jan2014To31Jan2014_ConvertibleDebenturesDueNovember2016Member_ConvertibleDebenturesEmbeddedConversionFeatureMember" decimals="3">0.383</copy:StockPremiumForLiquidity>
  <us-gaap:FairValueAssumptionsExpectedTerm contextRef="c87_From24Jan2013To25Jan2013_ConvertibleDebentureDueJanuary2015Member_ConvertibleDebenturesEmbeddedConversionFeatureMember">P2Y</us-gaap:FairValueAssumptionsExpectedTerm>
  <us-gaap:FairValueAssumptionsExpectedTerm contextRef="c88_From30Jan2014To31Jan2014_ConvertibleDebentureDueJanuary2015Member_ConvertibleDebenturesEmbeddedConversionFeatureMember">P1Y</us-gaap:FairValueAssumptionsExpectedTerm>
  <us-gaap:FairValueAssumptionsExpectedTerm contextRef="c89_From10Nov2013To11Nov2013_ConvertibleDebenturesDueNovember2016Member_ConvertibleDebenturesEmbeddedConversionFeatureMember">P3Y</us-gaap:FairValueAssumptionsExpectedTerm>
  <us-gaap:FairValueAssumptionsExpectedTerm contextRef="c90_From30Jan2014To31Jan2014_ConvertibleDebenturesDueNovember2016Member_ConvertibleDebenturesEmbeddedConversionFeatureMember">P2Y292D</us-gaap:FairValueAssumptionsExpectedTerm>
  <us-gaap:FairValueAssumptionsExpectedVolatilityRate unitRef="pure" contextRef="c87_From24Jan2013To25Jan2013_ConvertibleDebentureDueJanuary2015Member_ConvertibleDebenturesEmbeddedConversionFeatureMember" decimals="2">1.10</us-gaap:FairValueAssumptionsExpectedVolatilityRate>
  <us-gaap:FairValueAssumptionsExpectedVolatilityRate unitRef="pure" contextRef="c88_From30Jan2014To31Jan2014_ConvertibleDebentureDueJanuary2015Member_ConvertibleDebenturesEmbeddedConversionFeatureMember" decimals="3">0.877</us-gaap:FairValueAssumptionsExpectedVolatilityRate>
  <us-gaap:FairValueAssumptionsExpectedVolatilityRate unitRef="pure" contextRef="c89_From10Nov2013To11Nov2013_ConvertibleDebenturesDueNovember2016Member_ConvertibleDebenturesEmbeddedConversionFeatureMember" decimals="3">1.028</us-gaap:FairValueAssumptionsExpectedVolatilityRate>
  <us-gaap:FairValueAssumptionsExpectedVolatilityRate unitRef="pure" contextRef="c90_From30Jan2014To31Jan2014_ConvertibleDebenturesDueNovember2016Member_ConvertibleDebenturesEmbeddedConversionFeatureMember" decimals="2">1.05</us-gaap:FairValueAssumptionsExpectedVolatilityRate>
  <us-gaap:FairValueAssumptionsRiskFreeInterestRate unitRef="pure" contextRef="c87_From24Jan2013To25Jan2013_ConvertibleDebentureDueJanuary2015Member_ConvertibleDebenturesEmbeddedConversionFeatureMember" decimals="3">0.003</us-gaap:FairValueAssumptionsRiskFreeInterestRate>
  <us-gaap:FairValueAssumptionsRiskFreeInterestRate unitRef="pure" contextRef="c88_From30Jan2014To31Jan2014_ConvertibleDebentureDueJanuary2015Member_ConvertibleDebenturesEmbeddedConversionFeatureMember" decimals="3">0.001</us-gaap:FairValueAssumptionsRiskFreeInterestRate>
  <us-gaap:FairValueAssumptionsRiskFreeInterestRate unitRef="pure" contextRef="c89_From10Nov2013To11Nov2013_ConvertibleDebenturesDueNovember2016Member_ConvertibleDebenturesEmbeddedConversionFeatureMember" decimals="4">0.0062</us-gaap:FairValueAssumptionsRiskFreeInterestRate>
  <us-gaap:FairValueAssumptionsRiskFreeInterestRate unitRef="pure" contextRef="c90_From30Jan2014To31Jan2014_ConvertibleDebenturesDueNovember2016Member_ConvertibleDebenturesEmbeddedConversionFeatureMember" decimals="3">0.006</us-gaap:FairValueAssumptionsRiskFreeInterestRate>
  <copy:Trials unitRef="shares" contextRef="c87_From24Jan2013To25Jan2013_ConvertibleDebentureDueJanuary2015Member_ConvertibleDebenturesEmbeddedConversionFeatureMember" decimals="INF">100000</copy:Trials>
  <copy:Trials unitRef="shares" contextRef="c88_From30Jan2014To31Jan2014_ConvertibleDebentureDueJanuary2015Member_ConvertibleDebenturesEmbeddedConversionFeatureMember" decimals="INF">100000</copy:Trials>
  <copy:Trials unitRef="shares" contextRef="c89_From10Nov2013To11Nov2013_ConvertibleDebenturesDueNovember2016Member_ConvertibleDebenturesEmbeddedConversionFeatureMember" decimals="INF">100000</copy:Trials>
  <copy:Trials unitRef="shares" contextRef="c90_From30Jan2014To31Jan2014_ConvertibleDebenturesDueNovember2016Member_ConvertibleDebenturesEmbeddedConversionFeatureMember" decimals="INF">100000</copy:Trials>
  <us-gaap:EmbeddedDerivativeFairValueOfEmbeddedDerivativeLiability unitRef="usd" contextRef="c83_AsOf25Jan2013_ConvertibleDebentureDueJanuary2015Member_ConvertibleDebenturesEmbeddedConversionFeatureMember" decimals="0">1180000</us-gaap:EmbeddedDerivativeFairValueOfEmbeddedDerivativeLiability>
  <us-gaap:EmbeddedDerivativeFairValueOfEmbeddedDerivativeLiability unitRef="usd" contextRef="c84_AsOf31Jan2014_ConvertibleDebentureDueJanuary2015Member_ConvertibleDebenturesEmbeddedConversionFeatureMember" decimals="0">1020000</us-gaap:EmbeddedDerivativeFairValueOfEmbeddedDerivativeLiability>
  <us-gaap:EmbeddedDerivativeFairValueOfEmbeddedDerivativeLiability unitRef="usd" contextRef="c85_AsOf11Nov2013_ConvertibleDebenturesDueNovember2016Member_ConvertibleDebenturesEmbeddedConversionFeatureMember" decimals="0">1570000</us-gaap:EmbeddedDerivativeFairValueOfEmbeddedDerivativeLiability>
  <us-gaap:EmbeddedDerivativeFairValueOfEmbeddedDerivativeLiability unitRef="usd" contextRef="c86_AsOf31Jan2014_ConvertibleDebenturesDueNovember2016Member_ConvertibleDebenturesEmbeddedConversionFeatureMember" decimals="0">2410000</us-gaap:EmbeddedDerivativeFairValueOfEmbeddedDerivativeLiability>
  <us-gaap:ScheduleOfAssumptionsForFairValueAsOfBalanceSheetDateOfInterestsContinuedToBeHeldByTransferorServicingAssetsOrServicingLiabilitiesTextBlock contextRef="c91_From1Nov2013To31Jan2014_ConvertibleDebentureWarrantMember">&lt;table style=&quot;WIDTH: 50%; BORDER-COLLAPSE: collapse; MARGIN-LEFT: 47.1pt&quot; border=&quot;0&quot; cellspacing=&quot;0&quot; cellpadding=&quot;0&quot;&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: black 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;14%&quot; colspan=&quot;2&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;As of&lt;/font&gt;
              &lt;/p&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;January 25,&lt;/font&gt;
              &lt;/p&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;2013&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;14%&quot; colspan=&quot;2&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Stock price on valuation date&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;0.21&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Exercise price&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;0.30&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Stock premium for liquidity&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;38%&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Term (years)&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;3.00&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Warrant exercise trigger price&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;41%&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Expected volatility&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;95%&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Weighted average risk-free interest rate&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;0.4%&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Number of warrants&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;5,882,745&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Aggregate fair value&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;370,000&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
        &lt;/table&gt;&lt;table style=&quot;WIDTH: 50%; BORDER-COLLAPSE: collapse; MARGIN-LEFT: 10.7pt&quot; border=&quot;0&quot; cellspacing=&quot;0&quot; cellpadding=&quot;0&quot;&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: black 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;14%&quot; colspan=&quot;2&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;As of&lt;/font&gt;
              &lt;/p&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;November 11,&lt;/font&gt;
              &lt;/p&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;2013&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;14%&quot; colspan=&quot;2&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Stock price on valuation date&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;0.20&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Exercise price&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;0.378&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Discount for lack of marketability&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;22%&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Term (years)&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;3.00&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Expected volatility&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;102.8%&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Weighted average risk-free interest rate&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;0.6%&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Number of warrants&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;9,249,472&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Aggregate fair value&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;740,000&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
        &lt;/table&gt;</us-gaap:ScheduleOfAssumptionsForFairValueAsOfBalanceSheetDateOfInterestsContinuedToBeHeldByTransferorServicingAssetsOrServicingLiabilitiesTextBlock>
  <us-gaap:SharePrice unitRef="usdPershares" contextRef="c92_AsOf25Jan2013_ConvertibleDebentureWarrantMember" decimals="2">0.21</us-gaap:SharePrice>
  <us-gaap:FairValueAssumptionsExercisePrice unitRef="usdPershares" contextRef="c92_AsOf25Jan2013_ConvertibleDebentureWarrantMember" decimals="2">0.30</us-gaap:FairValueAssumptionsExercisePrice>
  <copy:StockPremiumForLiquidity unitRef="pure" contextRef="c93_From24Jan2013To25Jan2013_ConvertibleDebentureWarrantMember" decimals="2">0.38</copy:StockPremiumForLiquidity>
  <us-gaap:FairValueAssumptionsExpectedTerm contextRef="c93_From24Jan2013To25Jan2013_ConvertibleDebentureWarrantMember">P3Y</us-gaap:FairValueAssumptionsExpectedTerm>
  <copy:WarrantExerciseTriggerPrice unitRef="pure" contextRef="c93_From24Jan2013To25Jan2013_ConvertibleDebentureWarrantMember" decimals="2">0.41</copy:WarrantExerciseTriggerPrice>
  <us-gaap:FairValueAssumptionsExpectedVolatilityRate unitRef="pure" contextRef="c93_From24Jan2013To25Jan2013_ConvertibleDebentureWarrantMember" decimals="2">0.95</us-gaap:FairValueAssumptionsExpectedVolatilityRate>
  <us-gaap:FairValueAssumptionsRiskFreeInterestRate unitRef="pure" contextRef="c93_From24Jan2013To25Jan2013_ConvertibleDebentureWarrantMember" decimals="3">0.004</us-gaap:FairValueAssumptionsRiskFreeInterestRate>
  <us-gaap:ClassOfWarrantOrRightOutstanding unitRef="shares" contextRef="c92_AsOf25Jan2013_ConvertibleDebentureWarrantMember" decimals="INF">5882745</us-gaap:ClassOfWarrantOrRightOutstanding>
  <us-gaap:WarrantsNotSettleableInCashFairValueDisclosure unitRef="usd" contextRef="c92_AsOf25Jan2013_ConvertibleDebentureWarrantMember" decimals="0">370000</us-gaap:WarrantsNotSettleableInCashFairValueDisclosure>
  <us-gaap:SharePrice unitRef="usdPershares" contextRef="c94_AsOf11Nov2013_ConvertibleDebentureWarrantMember" decimals="2">0.20</us-gaap:SharePrice>
  <us-gaap:FairValueAssumptionsExercisePrice unitRef="usdPershares" contextRef="c94_AsOf11Nov2013_ConvertibleDebentureWarrantMember" decimals="3">0.378</us-gaap:FairValueAssumptionsExercisePrice>
  <copy:DiscountForLackOfMarketability unitRef="pure" contextRef="c95_From10Nov2013To11Nov2013_ConvertibleDebentureWarrantMember" decimals="2">0.22</copy:DiscountForLackOfMarketability>
  <us-gaap:FairValueAssumptionsExpectedTerm contextRef="c95_From10Nov2013To11Nov2013_ConvertibleDebentureWarrantMember">P3Y</us-gaap:FairValueAssumptionsExpectedTerm>
  <us-gaap:FairValueAssumptionsExpectedVolatilityRate unitRef="pure" contextRef="c95_From10Nov2013To11Nov2013_ConvertibleDebentureWarrantMember" decimals="3">1.028</us-gaap:FairValueAssumptionsExpectedVolatilityRate>
  <us-gaap:FairValueAssumptionsRiskFreeInterestRate unitRef="pure" contextRef="c95_From10Nov2013To11Nov2013_ConvertibleDebentureWarrantMember" decimals="3">0.006</us-gaap:FairValueAssumptionsRiskFreeInterestRate>
  <us-gaap:ClassOfWarrantOrRightOutstanding unitRef="shares" contextRef="c94_AsOf11Nov2013_ConvertibleDebentureWarrantMember" decimals="INF">9249472</us-gaap:ClassOfWarrantOrRightOutstanding>
  <us-gaap:WarrantsNotSettleableInCashFairValueDisclosure unitRef="usd" contextRef="c94_AsOf11Nov2013_ConvertibleDebentureWarrantMember" decimals="0">740000</us-gaap:WarrantsNotSettleableInCashFairValueDisclosure>
  <copy:ScheduleOfDebtIssuanceCostTableTextBlock contextRef="c8_From1Nov2013To31Jan2014">&lt;table style=&quot;WIDTH: 50%; MARGIN-LEFT: 47.1pt&quot; border=&quot;0&quot; cellspacing=&quot;0&quot; cellpadding=&quot;0&quot;&gt;
          &lt;tr&gt;
            &lt;td style=&quot;BORDER-BOTTOM: black 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;36%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Attributable to:&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: black 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;38%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Accounting Treatment&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: black 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;22%&quot; colspan=&quot;2&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Amount&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;36%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;38%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;20%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;36%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;The embedded conversion feature (derivative)&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0.8pt 0pt 0in&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;38%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Expensed as incurred&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;20%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;55, 999&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;36%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;The 8% Convertible Debenture Warrant&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;38%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Charged to additional paid-in capital&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;20%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;10,194&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;36%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;38%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;20%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;36%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;The 8% Convertible Debenture&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;38%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Recorded as deferred issuance costs and amortized under the interest method over the term of the 8% Convertible Debenture&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0.8pt 0pt 0in&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0.8pt 0pt 0in&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;20%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;17,567&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;36%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 11.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Total&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;38%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 2pt double; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 2pt double; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;20%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;83,760&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
        &lt;/table&gt;&lt;table style=&quot;WIDTH: 50%; MARGIN-LEFT: 47.1pt&quot; border=&quot;0&quot; cellspacing=&quot;0&quot; cellpadding=&quot;0&quot;&gt;
          &lt;tr&gt;
            &lt;td style=&quot;BORDER-BOTTOM: black 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;38%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Attributable to:&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: black 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;40%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Accounting Treatment&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: black 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;18%&quot; colspan=&quot;2&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Amount&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;38%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;40%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;16%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;38%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;The embedded conversion feature (derivative)&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0.8pt 0pt 0in&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;40%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Expensed as incurred&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;16%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;8,593&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;38%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;The 8% Convertible Debenture Warrant&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;40%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Charged to additional paid-in capital&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;16%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;2,824&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;38%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;40%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;16%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;38%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;The 8% Convertible Debenture&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;40%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Recorded as deferred issuance costs and amortized under the interest method over the term of the 8% Convertible Debenture&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0.8pt 0pt 0in&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0.8pt 0pt 0in&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;16%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;7,739&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;38%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 11.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Total&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;40%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 2pt double; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt 1.5pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 2pt double; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;16%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;19,156&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
        &lt;/table&gt;</copy:ScheduleOfDebtIssuanceCostTableTextBlock>
  <us-gaap:DebtIssuanceCosts unitRef="usd" contextRef="c96_From1Jan2013To31Jan2013_ExpensedAsIncurredMember_ConvertibleDebentureDueJanuary2015Member_EmbededDerivativesConversionFeaturesMember" decimals="0">55999</us-gaap:DebtIssuanceCosts>
  <us-gaap:DebtIssuanceCosts unitRef="usd" contextRef="c97_From1Jan2013To31Jan2013_ChargedToAdditionalPaidInCapitalMember_ConvertibleDebentureDueJanuary2015Member_ConvertibleDebentureWarrantMember" decimals="0">10194</us-gaap:DebtIssuanceCosts>
  <us-gaap:DebtIssuanceCosts unitRef="usd" contextRef="c98_From1Jan2013To31Jan2013_RecordedAsDeferredIssuanceCostsAndAmortizedUnderTheInterestMethodOverTheTermOfThe8ConvertibleDebentureMember_ConvertibleDebentureDueJanuary2015Member" decimals="0">17567</us-gaap:DebtIssuanceCosts>
  <us-gaap:DebtIssuanceCosts unitRef="usd" contextRef="c99_From1Nov2013To30Nov2013_ExpensedAsIncurredMember_ConvertibleDebenturesDueNovember2016Member_EmbededDerivativesConversionFeaturesMember" decimals="0">8593</us-gaap:DebtIssuanceCosts>
  <us-gaap:DebtIssuanceCosts unitRef="usd" contextRef="c100_From1Nov2013To30Nov2013_ChargedToAdditionalPaidInCapitalMember_ConvertibleDebenturesDueNovember2016Member_ConvertibleDebentureWarrantMember" decimals="0">2824</us-gaap:DebtIssuanceCosts>
  <us-gaap:DebtIssuanceCosts unitRef="usd" contextRef="c101_From1Nov2013To30Nov2013_RecordedAsDeferredIssuanceCostsAndAmortizedUnderTheInterestMethodOverTheTermOfThe8ConvertibleDebentureMember_ConvertibleDebenturesDueNovember2016Member" decimals="0">7739</us-gaap:DebtIssuanceCosts>
  <us-gaap:DebtIssuanceCosts unitRef="usd" contextRef="c74_From1Nov2013To30Nov2013_ConvertibleDebenturesDueNovember2016Member" decimals="0">19156</us-gaap:DebtIssuanceCosts>
<!-- [WMV4][XcpuxYn59dz7vgYynUDuwG7r97K2jUTysl7vcz0lJt+1Vq3zhhUlfDeP/RQUzUZiwGeWjArceQuNJCcoSrnvg1zZ2bnEGC/0CXNulEUOt4kxXQonY3eM3gRJAY5udZHXKMeBI6kREJtRRh9oYzp43F+8qkRDMsFNwy+Ho3L8ZKM6pOOdTg/9QZ2M3YhMR5Fx3n3cJ1A/rimLKtBdBrppF2P/unRqDjyKZq4duwOTBCU=] CSR-->
  <us-gaap:DisclosureOfCompensationRelatedCostsShareBasedPaymentsTextBlock contextRef="c8_From1Nov2013To31Jan2014">&lt;p style=&quot;MARGIN: 0in 0in 12pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;3.&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&lt;/font&gt; &lt;u&gt;&lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;STOCK BASED COMPENSATION&lt;/font&gt;&lt;/u&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;We maintain stock equity incentive plans under which we may grant non-qualified stock options, stock appreciation rights, stock awards, performance awards, or stock units to employees, directors and consultants.&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;u&gt;&lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;Stock Option Compensation Expense&lt;/font&gt;&lt;/u&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;On November 8, 2013,&lt;/font&gt; &lt;font style=&quot;letter-spacing: -0.15pt; font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;the Board of Directors approved an amendment to stock options subject to market conditions awarded on September 19, 2012 to&lt;/font&gt; &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;the President and Chief Executive Officer, Senior Vice President of Engineering, and a consultant and director of the Company. &amp;#160;The amendment modified the option award&amp;#8217;s vesting conditions to provide that the unvested portion of the stock options vest in 23 consecutive monthly installments commencing November 30, 2013. &amp;#160;Prior to the amendment, the option awards had provided that the stock options would vest if two separate price targets were met. &amp;#160;The fair value of these options was recalculated to reflect the change to service based options as of November 8, 2013 and the
        unrecognized compensation amount was adjusted to reflect the increase in fair value.&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;We account for stock options granted to employees and directors using the accounting guidance in ASC 718 &amp;#8220;Stock Compensation&amp;#8221; (&amp;#8220;ASC 718&amp;#8221;).&amp;#160;&lt;/font&gt; &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot; color=&quot;black&quot;&gt;In accordance with ASC 718, we estimate the fair value of service based stock options and performance based options on the date of grant, using the Black-Scholes pricing model.&amp;#160; For options vesting if the trading price of the Company&amp;#8217;s common stock exceeds price targets we use a Monte Carlo Simulation in estimating the fair value at grant date.&amp;#160;&lt;/font&gt; &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;We recognize compensation expense for&lt;/font&gt; &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot; color=&quot;black&quot;&gt;service based stock options and options subject to market conditions&lt;/font&gt; &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;over the requisite or implied service period of the grant.&amp;#160; For performance based awards, compensation expense is recognized over the requisite or implied service period of the grant when the performance target is deemed probable.&amp;#160;&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;text-autospace: ideograph-numeric; font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;We recorded stock-based compensation expense, related to stock options granted to employees and directors, of approximately $466,000 and $473,000, during the three months ended January 31, 2014 and 2013, respectively, which included stock-based compensation expense of approximately $383,000 and $401,000, respectively, related to the amortization of compensation cost for stock options granted in prior periods.&amp;#160; &amp;#160;As of January 31, 2014, there was unrecognized compensation cost related to non-vested stock options granted to employees and directors, related to service based options of approximately $3,134,000, which will be recognized over a weighted-average period of 2.0 years. &amp;#160;&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160; We account for stock options granted to consultants using the accounting guidance included in ASC 505-50 &amp;#8220;Equity-Based Payments to Non-Employees&amp;#8221; (&amp;#8220;ASC 505-50&amp;#8221;).&amp;#160; In accordance with ASC 505-50,&lt;/font&gt; &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot; color=&quot;black&quot;&gt;we estimate the fair value of service based&lt;/font&gt; &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot; color=&quot;black&quot;&gt;stock options and performance based options at each reporting period, using the Black-Scholes pricing model.&amp;#160; F&lt;/font&gt;&lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;or options vesting if the trading price of the Company&amp;#8217;s common stock exceeds price targets we estimate the fair value at each reporting period using a Monte Carlo Simulation. &amp;#160;We recognize compensation expense for&lt;/font&gt; &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot; color=&quot;black&quot;&gt;service based stock options and options subject to market conditions&lt;/font&gt;&lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;over the requisite or implied service period of the grant.&amp;#160; For performance based awards, compensation expense is recognized when the performance target is achieved.&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;text-align: justify; text-indent: 0.5in; margin: 0in 0in 0pt;&quot;&gt;
      &lt;font style=&quot;text-autospace: ideograph-numeric; font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;We recorded consulting expense, related to stock options granted to consultants, of approximately $255,000 and $242,000, during the three months ended January 31, 2014 and 2013, respectively, which included consulting expense of approximately $236,000 and $242,000, respectively, related to stock options granted in prior periods.&amp;#160;&amp;#160;As of January 31, 2014, there was unrecognized consulting expense related to non-vested stock options granted to consultants, related to service based options of approximately $2,168,000, which will be recognized over a weighted-average period of 1.8 years.&amp;#160;&lt;/font&gt;
    &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;u&gt;&lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;Fair Value Determination&amp;#160;&lt;/font&gt;&lt;/u&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;We use the Black-Scholes pricing model in estimating the fair value of stock options which vest over a specific period of time or upon achieving performance targets.&amp;#160;&lt;/font&gt; &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot; color=&quot;black&quot;&gt;To determine the weighted average fair value of stock options on the date of grant, employees and directors are included in a single group.&amp;#160; The fair value of stock options granted to consultants is determined on an individual basis.&amp;#160; The stock options we granted during the three months ended January 31, 2014 consisted of awards with 10-year terms that vest over one year and options with 10-year terms that vest over 36 months. &amp;#160;The stock options we granted during the three months ended January 31, 2013 consisted of options with 10-year terms that vested over one year or of options with 10-year terms that vested one-third on the at date of
        grant and the remainder in two annual installments.&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 6pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: times new roman;&quot; lang=&quot;EN-US&quot;&gt;The following weighted average assumptions were used in estimating the fair value of stock options granted during the three months ended January 31, 2014 and 2013.&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;table style=&quot;WIDTH: 50%; BORDER-COLLAPSE: collapse&quot; border=&quot;0&quot; cellspacing=&quot;0&quot; cellpadding=&quot;0&quot;&gt;
            &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;74%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; rowspan=&quot;2&quot; width=&quot;26%&quot; colspan=&quot;5&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot;&gt;For the Three Months&lt;/font&gt;&lt;br /&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot;&gt;Ended January 31,&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;74%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;74%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot; colspan=&quot;2&quot; align=&quot;center&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot;&gt;2014&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot; colspan=&quot;2&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot;&gt;2013&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;74%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Weighted average fair value at grant date&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;0.17&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;0.17&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;74%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Valuation assumptions:&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;74%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt 10pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Expected life ( years)&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;5.69&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;5.12&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;74%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt 10pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Expected volatility&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;115.4%&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;115.7%&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;74%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt 10pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Risk-free interest rate&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;1.76%&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;.58%&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;74%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt 10pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Expected dividend yield&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;0&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;0&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
          &lt;/table&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;The expected term of stock options represents the weighted average period the stock options are expected to remain outstanding.&amp;#160;We use the simplified method to determine expected term.&amp;#160; The simplified method was adopted since we do not believe that&lt;/font&gt; &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;historical experience is representative of future performance because of the impact of the changes in our operations and the change in terms from historical options which vested immediately to terms including vesting periods of up to three years.&amp;#160;Under the Black-Scholes pricing model we estimated the expected volatility of our shares of common stock based upon the historical volatility of our share price over a period of time equal to the expected term of the options.&amp;#160; We estimated the risk-free interest rate based on the implied yield available on the applicable grant date of
        a U.S. Treasury note with a term equal to the expected term of the underlying grants.&amp;#160;We made the dividend yield assumption based on our history of not paying dividends and our expectation not to pay dividends in the future.&amp;#160;&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;Under ASC 718, the amount of stock-based compensation expense recognized is based on the portion of the awards that are ultimately expected to vest.&amp;#160; Accordingly, if deemed necessary, we reduce the fair value of the stock option awards for expected forfeitures, which are forfeitures of the unvested portion of surrendered options.&amp;#160; Based on our historical experience we have not reduced the amount of stock-based compensation expenses for anticipated forfeitures.&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;We will reconsider use of the Black-Scholes pricing model if additional information becomes available in the future that indicates another model would be more appropriate.&amp;#160; If factors change and we employ different assumptions in the application of ASC 718 and ASC 505-50 in future periods, the compensation expense that we record may differ significantly from what we have recorded in the current period.&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;For options vesting if the trading price of the Company&amp;#8217;s common stock exceeds price targets we used a Monte Carlo Simulation in estimating expected term and fair value.&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;u&gt;&lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;Stock Option Activity&lt;/font&gt;&lt;/u&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;During the three-month periods ended January 31, 2014 and 2013, we granted options to purchase 7,710,000 and 1,180,000 shares, respectively, of common stock at weighted average exercise prices of $0.20 and $0.21 per share, respectively, pursuant to the CopyTele, Inc. 2010 Share Incentive Plan (the &quot;2010 Share Plan).&amp;#160; No stock options were exercised during the three month periods ended January 31, 2014 and 2013.&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;MARGIN: 0in 0in 12pt&quot; align=&quot;left&quot;&gt;
        &lt;u&gt;&lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;Stock&amp;#160;Option&amp;#160;Plans&lt;/font&gt;&lt;/u&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;As of January 31, 2014, we have two stock option plans: &amp;#160;the CopyTele, Inc. 2003 Share Incentive Plan (the &quot;2003 Share Plan&quot;) and the 2010 Share Plan, which were adopted by our Board of Directors on April 21, 2003 and July 14, 2010, respectively.&amp;#160;&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;The 2003 Share Plan provides for the grant of nonqualified stock options, stock appreciation rights, stock awards, performance awards and stock units to key employees and consultants.&amp;#160; The maximum number of shares of common stock available for issuance under the 2003 Share Plan is 70,000,000 shares. The 2003 Share Plan was administered by the Stock Option Committee through June 2004, from June 2004 through July 2010, by the Board of Directors, from July 2010 through August 2012, by the Stock Option Committee, from August 2012 through November 2012, by the Executive Committee of the Board of&lt;/font&gt; &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;Directors and since November 2012, by the Board of Directors, which determines the option price, term and provisions of each option.&amp;#160; The exercise price with respect to all of the options granted under the 2003 Share Plan since its inception
        was equal to the fair market value of the underlying common stock at the grant date. &amp;#160;In accordance with the provisions of the 2003 Share Plan, the plan terminated with respect to the grant of future options on April 21, 2013. &amp;#160;Information regarding the 2003 Share Plan for the three months ended January 31, 2014 is as follows:&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;table style=&quot;WIDTH: 50%&quot; border=&quot;0&quot; cellspacing=&quot;0&quot; cellpadding=&quot;0&quot;&gt;
        &lt;tr style=&quot;HEIGHT: 14.5pt&quot;&gt;
          &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;50%&quot;&gt;
            &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;14%&quot;&gt;
            &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
            &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;BORDER-BOTTOM: #000000 1px solid&quot; valign=&quot;bottom&quot; rowspan=&quot;2&quot; width=&quot;16%&quot;&gt;
            &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Weighted&lt;/font&gt;&lt;br /&gt;
            &lt;/p&gt;
            &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot;&gt;Average Exercise&lt;/font&gt;&lt;br /&gt;
            &lt;/p&gt;
            &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot;&gt;Price Per Share&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;BORDER-BOTTOM: #000000 1px solid&quot; valign=&quot;bottom&quot; rowspan=&quot;2&quot; width=&quot;15%&quot; colspan=&quot;2&quot;&gt;
            &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
            &lt;/p&gt;
            &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot;&gt;Aggregate&lt;/font&gt;&lt;br /&gt;
            &lt;/p&gt;
            &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot;&gt;&lt;/font&gt;
            &lt;/p&gt;
            &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot;&gt;Intrinsic&lt;/font&gt;&lt;br /&gt;
            &lt;/p&gt;
            &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot;&gt;&lt;/font&gt;
            &lt;/p&gt;
            &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot;&gt;Value&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
        &lt;/tr&gt;
        &lt;tr style=&quot;HEIGHT: 14.5pt&quot;&gt;
          &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;50%&quot;&gt;
            &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;14%&quot;&gt;
            &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Shares&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
            &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
        &lt;/tr&gt;
        &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
          &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;50%&quot;&gt;
            &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Options Outstanding at October 31, 2013&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;14%&quot;&gt;
            &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;15,638,845&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
            &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 12pt; text-decoration: none; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;16%&quot;&gt;
            &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$0.72&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
            &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
            &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
        &lt;/tr&gt;
        &lt;tr style=&quot;HEIGHT: 15.95pt&quot;&gt;
          &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;50%&quot;&gt;
            &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Options Outstanding and exercisable at January 31, 2014&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;14%&quot;&gt;
            &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;15,638,845&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
            &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 12pt; text-decoration: none; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;16%&quot;&gt;
            &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$0.72&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
            &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
            &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;461,000&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
        &lt;/tr&gt;
      &lt;/table&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: times new roman;&quot; lang=&quot;EN-US&quot;&gt;The following table summarizes information about stock options outstanding under the 2003 Share Plan as of January 31, 2014:&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;table style=&quot;WIDTH: 50%&quot; border=&quot;0&quot; cellspacing=&quot;0&quot; cellpadding=&quot;0&quot;&gt;
            &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;100%&quot; colspan=&quot;7&quot; align=&quot;center&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot;&gt;Stock&lt;/font&gt; &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot;&gt;Options Outstanding&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 14.5pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;28%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;24%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: #000000 1px solid&quot; valign=&quot;bottom&quot; rowspan=&quot;3&quot; width=&quot;21%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Weighted&lt;/font&gt;&lt;br /&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Average&lt;/font&gt;&lt;br /&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Remaining&lt;/font&gt;&lt;br /&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Contractual Life&lt;/font&gt;&lt;br /&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;(in years)&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: #000000 1px solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; rowspan=&quot;3&quot; width=&quot;21%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Weighted&lt;/font&gt;&lt;br /&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Average&lt;/font&gt;&lt;br /&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Exercise Price&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 14.5pt&quot;&gt;
              &lt;td style=&quot;BORDER-BOTTOM: #000000 1px solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; rowspan=&quot;2&quot; width=&quot;28%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Range of&lt;/font&gt;&lt;br /&gt;
                &lt;/p&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Exercise&lt;/font&gt;
                &lt;/p&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;&amp;#160;Prices&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: #000000 1px solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; rowspan=&quot;2&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: #000000 1px solid&quot; valign=&quot;bottom&quot; rowspan=&quot;2&quot; width=&quot;24%&quot; align=&quot;center&quot;&gt;
                &amp;#160;&lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Number&lt;br /&gt;
                &lt;/font&gt;&lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Outstanding&lt;/font&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 14.5pt&quot;&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 14.5pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;28%&quot; align=&quot;center&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$0.07 - $0.37&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;24%&quot; align=&quot;center&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;1,860,000&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;21%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;2.95&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;21%&quot; align=&quot;center&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$0.15&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 14.5pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;28%&quot; align=&quot;center&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$0.43 - $0.70&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;24%&quot; align=&quot;center&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;5,384,770&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;21%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;1.7&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;21%&quot; align=&quot;center&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$0.60&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 14.5pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;28%&quot; align=&quot;center&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$0.74 - $0.92&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;24%&quot; align=&quot;center&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;6,139,075&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;21%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;2.56&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;21%&quot; align=&quot;center&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$0.85&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 14.5pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;28%&quot; align=&quot;center&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$1.04 - $1.46&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;24%&quot; align=&quot;center&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;2,255,000&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;21%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;1.98&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;21%&quot; align=&quot;center&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$1.10&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
          &lt;/table&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;&lt;br /&gt;
        &amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;The 2010 Share Plan provides for the grant of nonqualified stock options, stock appreciation rights, stock awards, performance awards and stock units to key employees and consultants.&amp;#160;The maximum number of shares of common stock available for issuance under the 2010 Share Plan was initially 15,000,000 shares. On July 6, 2011, the 2010 Share Plan was amended by our Board of Directors to increase the maximum number of shares of common stock that may be granted to 27,000,000 shares, on August 29, 2012, the maximum number of shares was further increased to 30,000,000 shares.&amp;#160;On November 8, 2013 the Board of Directors approved an amendment to provide that effective November 8, 2013, the maximum aggregate number of shares available for issuance will be 20,000,000 shares and that on the first business day in 2014 and on the first business day of each calendar year thereafter the maximum aggregate number
        of shares available for issuance shall be replenished such that 20,000,000 shares will be available for issuance. Accordingly, during that three month ended January 31, 2014, the number of share in the 2010 Share Plan was increased by 25,634,980 shares to 55,634,980 shares.&amp;#160; In addition, on November 8, 2013 the 2010 Share Plan was amended to provide that on January 2nd of each year commencing on January 2, 2014, each non-employee director of the Company at that time shall automatically be granted a 10 year stock option to purchase 300,000 shares&lt;/font&gt; &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;of common stock (400,000 for the Chairman) that will vest in four equal quarterly installments. The 2010 Share Plan was administered by the Stock Option Committee through August 2012, from August 2012 through November 2012, by the Executive Committee of the Board of Directors and since November 2012, by the Board of Directors, which determines the option
        price, term and provisions of each option. The exercise price with respect to all of the options granted under the 2010 Share Plan was equal to the fair market value of the underlying common stock at the grant date.&amp;#160;As of January 31, 2014, the 2010 Share Plan had 19,000,000 shares available for future grants.&amp;#160; Information regarding the 2010 Share Plan for the three months ended January 31, 2014 is as follows:&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;table style=&quot;width: 50%;&quot; border=&quot;0&quot; cellspacing=&quot;0&quot; cellpadding=&quot;0&quot;&gt;

        &lt;tr style=&quot;height: 14.5pt;&quot;&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;50%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;border-bottom: #000000 1px solid;&quot; rowspan=&quot;2&quot; colspan=&quot;2&quot; valign=&quot;bottom&quot; width=&quot;18%&quot;&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot;&gt;Weighted&lt;/font&gt;
            &lt;/p&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot;&gt;Average Exercise&lt;/font&gt;
            &lt;/p&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot;&gt;Price Per Share&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;border-bottom: #000000 1px solid;&quot; rowspan=&quot;2&quot; colspan=&quot;2&quot; valign=&quot;bottom&quot; width=&quot;17%&quot;&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot;&gt;Aggregate&lt;/font&gt;
            &lt;/p&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot;&gt;Intrinsic&lt;/font&gt;
            &lt;/p&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot;&gt;Value&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
        &lt;/tr&gt;
        &lt;tr style=&quot;height: 14.5pt;&quot;&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;50%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;border-bottom: windowtext 1pt solid; padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;&quot;&gt;Shares&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
        &lt;/tr&gt;
        &lt;tr style=&quot;height: 14.5pt;&quot;&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;50%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;16%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;15%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
        &lt;/tr&gt;
        &lt;tr style=&quot;height: 14.5pt;&quot;&gt;
          &lt;td style=&quot;padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;50%&quot;&gt;
            &lt;p style=&quot;margin: 0in 0in 0pt;&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;&quot;&gt;Options Outstanding at October 31, 2013&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;&quot;&gt;2,984,000&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; align=&quot;left&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;margin: 0in 0in 0pt;&quot; align=&quot;left&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;&quot;&gt;$&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;16%&quot;&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;&quot;&gt;0.25&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;15%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
        &lt;/tr&gt;
        &lt;tr style=&quot;height: 14.5pt;&quot;&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;50%&quot;&gt;
            &lt;p style=&quot;margin: 0in 0in 0pt 10pt;&quot;&gt;
              &lt;font style=&quot;font-size: 11pt; font-family: times new roman; color: #000000;&quot;&gt;Granted&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;border-bottom: windowtext 1pt solid; padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;&quot;&gt;7,710,000&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; align=&quot;left&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;margin: 0in 0in 0pt;&quot; align=&quot;left&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;&quot;&gt;$&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;16%&quot;&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;&quot;&gt;0.20&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;15%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
        &lt;/tr&gt;
        &lt;tr style=&quot;height: 15.25pt;&quot;&gt;
          &lt;td style=&quot;padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;50%&quot;&gt;
            &lt;p style=&quot;margin: 0in 0in 0pt;&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;&quot;&gt;Options Outstanding at January 31, 2014&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;border-bottom: windowtext 2.25pt double; padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;&quot;&gt;10,694,000&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;&quot; align=&quot;left&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;margin: 0in 0in 0pt;&quot; align=&quot;left&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;&quot;&gt;$&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;16%&quot;&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;&quot;&gt;0.21&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;&quot; align=&quot;left&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;margin: 0in 0in 0pt;&quot; align=&quot;left&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;&quot;&gt;$&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;15%&quot;&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;&quot;&gt;1,980,000&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
        &lt;/tr&gt;
        &lt;tr style=&quot;height: 15.95pt;&quot;&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.95pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;50%&quot;&gt;
            &lt;p style=&quot;margin: 0in 0in 0pt;&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;&quot;&gt;Options Exercisable at January 31, 2014&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;border-bottom: windowtext 2.25pt double; padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.95pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;&quot;&gt;2,881,778&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.95pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.95pt; padding-top: 0in;&quot; align=&quot;left&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;margin: 0in 0in 0pt;&quot; align=&quot;left&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;&quot;&gt;$&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.95pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;16%&quot;&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;&quot;&gt;0.24&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.95pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.95pt; padding-top: 0in;&quot; align=&quot;left&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;margin: 0in 0in 0pt;&quot; align=&quot;left&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;&quot;&gt;$&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.95pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;15%&quot;&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;&quot;&gt;444,000&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
        &lt;/tr&gt;
        &lt;tr style=&quot;height: 15.25pt;&quot;&gt;
          &lt;td style=&quot;padding-bottom: 0in; background-color: #ffffff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;50%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; background-color: #ffffff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; background-color: #ffffff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; background-color: #ffffff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; background-color: #ffffff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;16%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; background-color: #ffffff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; background-color: #ffffff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; background-color: #ffffff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;15%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
        &lt;/tr&gt;

    &lt;/table&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;&lt;br /&gt;
        The following table summarizes information about stock options outstanding under the 2010 Share Plan as of January 31, 2014:&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;table style=&quot;WIDTH: 50%&quot; border=&quot;0&quot; cellspacing=&quot;0&quot; cellpadding=&quot;0&quot;&gt;
            &lt;tr&gt;
              &lt;td valign=&quot;bottom&quot; width=&quot;14%&quot;&gt;
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                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
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                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
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                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Options Outstanding&lt;/font&gt;
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              &lt;td valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
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                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
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              &lt;td style=&quot;BORDER-BOTTOM: #000000 1px solid&quot; valign=&quot;bottom&quot; width=&quot;45%&quot; colspan=&quot;6&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
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                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Options Exercisable&lt;/font&gt;
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                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
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                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
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                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
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                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
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              &lt;td style=&quot;BORDER-BOTTOM: #000000 1px solid&quot; valign=&quot;bottom&quot; rowspan=&quot;4&quot; width=&quot;12%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Weighted&lt;/font&gt;&lt;br /&gt;
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                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Average&lt;/font&gt;&lt;br /&gt;
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                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Remaining&lt;/font&gt;&lt;br /&gt;
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                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;(in years)&lt;/font&gt;
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                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
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                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
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                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
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                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
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                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
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              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
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                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Weighted&lt;/font&gt;&lt;br /&gt;
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                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Average&lt;/font&gt;&lt;br /&gt;
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                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Remaining&lt;/font&gt;&lt;br /&gt;
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                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Contractual Life (in years)&lt;/font&gt;
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                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
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                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
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                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
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                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &amp;#160;
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                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
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              &lt;td style=&quot;BORDER-BOTTOM: #000000 1px solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; rowspan=&quot;2&quot; width=&quot;9%&quot;&gt;
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                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Number&lt;/font&gt;&lt;br /&gt;
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                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Outstanding&lt;/font&gt;
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              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
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                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
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              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
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              &lt;td style=&quot;BORDER-BOTTOM: #000000 1px solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; rowspan=&quot;2&quot; width=&quot;10%&quot;&gt;
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                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Number&lt;/font&gt;&lt;br /&gt;
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                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Exercisable&lt;/font&gt;
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                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
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              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
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              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
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              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
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              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
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              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
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            &lt;tr style=&quot;HEIGHT: 14.5pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;14%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
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              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;9%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
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              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
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              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
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              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
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              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
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              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
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              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
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              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;15%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;14%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
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            &lt;tr style=&quot;HEIGHT: 14.5pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;14%&quot;&gt;
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                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$0.12 - $0.37&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
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              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;9%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;10,694,000&lt;/font&gt;
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              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;8.59&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;0.21&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;2,881,778&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;15%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;5.51&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;14%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;0.24&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
          &lt;/table&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 12pt&quot;&gt;
        &lt;font style=&quot;text-autospace: ideograph-numeric; font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;In addition to options granted under the 2003 Share Plan and the 2010 Share Plan, in September 2012, the Board of Directors approved the grant of stock options to purchase 41,500,000 shares and, during the year ended October 31, 2013, the Board of Directors approved the grant of stock options to purchase 3,000,000 shares.&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;Of the stock options granted in September 2012, nonqualified options to purchase 40,000,000 shares were issued to our new executive team, consisting of 16,000,000 stock options issued to our new President and Chief Executive Officer, 8,000,000 stock options issued to our new Senior Vice President of Engineering and 16,000,000 stock options issued to a new strategic advisor to the Company who is also a Director.&amp;#160; These stock options have an&lt;/font&gt; &lt;font style=&quot;letter-spacing: -0.15pt; font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;exercise price of $0.2175 (the average of the high and the low sales price of the common stock on the trading day immediately preceding the approval of such options by the Board of Directors) and&lt;/font&gt; &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;have a term of ten years.&amp;#160;&lt;/font&gt; &lt;font style=&quot;letter-spacing: -0.15pt; font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;Half of these stock options vest in 36 equal monthly installments commencing on October 31, 2012, provided that if the grantees are terminated by the Company without cause, an additional 12 months of vesting will be accelerated and such accelerated options will become immediately exercisable.&amp;#160; The balance of the stock options will vest in three equal installments upon achievement of a cash&lt;/font&gt; &lt;font style=&quot;letter-spacing: -0.15pt; font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;milestone, which was satisfied in the fourth quarter of fiscal 2013, and two stock price targets, which were not achieved in fiscal 2013. In November 2013, in light of the cost and expense of revaluing the unvested portion of the performance-based stock options on a quarterly basis for financial reporting purposes, the Board of Directors approved an amendment to the performance-based stock options awarded on September 19, 2012 to&lt;/font&gt; &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;the President and Chief Executive Officer, Senior Vice President of Engineering and the strategic advisor. The amendment modifies the option award&amp;#8217;s vesting conditions to provide that the unvested portion of the stock options vest in 23 consecutive monthly installments commencing November 30, 2013. &amp;#160;As of January 31, 2014, the outstanding options to purchase 40,000,000 shares had an intrinsic value of $7,176,000.&amp;#160; A&lt;/font&gt;&lt;font style=&quot;letter-spacing: -0.15pt; font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;s of January 31, 2014, 17,294,686 of these stock options were exercisable with an aggregate intrinsic value of approximately $3,103,000.&amp;#160; These stock options otherwise have the same terms and conditions as options granted under the Company&amp;#8217;s 2010 Share Incentive Plan.&amp;#160;&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 12pt&quot;&gt;
        &lt;font style=&quot;letter-spacing: -0.15pt; text-autospace: ideograph-numeric; font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;The remaining&lt;/font&gt; &lt;font style=&quot;text-autospace: ideograph-numeric; font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;nonqualified&amp;#160;&lt;/font&gt; &lt;font style=&quot;letter-spacing: -0.15pt; text-autospace: ideograph-numeric; font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;stock options granted in September 2012 to purchase 1,500,000 shares consisted of grants of 750,000 stock options to our Chairman in compensation for his service as interim Chief Executive Officer of the Company and as compensation for his prior service as a director, and 750,000 stock options to a director in compensation for his service in recruiting the Company&amp;#8217;s new management team.&amp;#160; These stock options have an exercise price of $0.2225 (&lt;/font&gt;&lt;font style=&quot;text-autospace: ideograph-numeric; font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;the average of the high
        and low sales price on September 21, 2012) and an intrinsic value as of January 31, 2014 of approximately $262,000.&amp;#160; The options vest in 3 equal annual installments of 250,000 commencing on September 21, 2012 and have a term of ten years.&amp;#160;&lt;/font&gt; &lt;font style=&quot;letter-spacing: -0.15pt; text-autospace: ideograph-numeric; font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;&amp;#160;As of January 31, 2014, 1,000,000 options were exercisable with an aggregate intrinsic value of approximately $174,000.&amp;#160; These stock options otherwise have the same terms and conditions as options granted under the Company&amp;#8217;s 2010 Share Incentive Plan.&amp;#160;&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 12pt&quot;&gt;
        &lt;font style=&quot;letter-spacing: -0.15pt; text-autospace: ideograph-numeric; font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;During the year ended October 31, 2013, nonqualified stock options to purchase 3,000,000 shares were granted to our outside directors for service rendered to our Company.&amp;#160; Of these options,&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 12pt&quot;&gt;
        &lt;font style=&quot;letter-spacing: -0.15pt; text-autospace: ideograph-numeric; font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;(a)&amp;#160; In November 2012, nonqualified stock options to purchase 1,000,000 shares were issued to one of our directors as additional compensation for service in recruiting the Company&amp;#8217;s new management team. These options have an exercise price of $0.211 (&lt;/font&gt;&lt;font style=&quot;text-autospace: ideograph-numeric; font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;the average of the high and low sales price on date of grant) and vest 333,334 shares upon grant and 333,333 shares in two annual installments commencing November 30, 2013.&amp;#160;&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 12pt&quot;&gt;
        &lt;font style=&quot;letter-spacing: -0.15pt; text-autospace: ideograph-numeric; font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;(b) In February 2013, nonqualified stock options to purchase 1,000,000 shares were issued to the Chairman of the Board.&amp;#160; These stock options have an exercise price of $0.235 (&lt;/font&gt;&lt;font style=&quot;text-autospace: ideograph-numeric; font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;the average of the high and low sales price on date of grant) and vest 333,334 shares upon grant and 333,333 shares in two annual installments commencing February 15, 2014.&amp;#160;&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;text-align: justify; text-indent: 0.5in; margin: 0in 0in 12pt;&quot;&gt;
      &lt;font style=&quot;text-autospace: ideograph-numeric; font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;(c)&lt;/font&gt; &lt;font style=&quot;letter-spacing: -0.15pt; text-autospace: ideograph-numeric; font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;In March 2013, nonqualified stock options to purchase an aggregate of 1,000,000 shares were granted to the Company&amp;#8217;s three outside directors.&amp;#160; Each of these stock options has an exercise price of $0.195 (&lt;/font&gt;&lt;font style=&quot;text-autospace: ideograph-numeric; font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;the average of the high and low sales price on date of grant) and vest in four equal quarterly installments commencing March 31, 2013.&lt;/font&gt;
    &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;text-align: justify; text-indent: 0.5in; margin: 0in 0in 12pt;&quot;&gt;
      &lt;font style=&quot;text-autospace: ideograph-numeric; font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;&lt;font style=&quot;text-autospace: ideograph-numeric; font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;As of January 31, 2014, the options to purchase 3,000,000 shares had an intrinsic value of approximately $550,000 and the portion exercisable of 2,000,000 shares had an intrinsic value of approximately $380,000.&amp;#160;&lt;/font&gt;&lt;font style=&quot;letter-spacing: -0.15pt; text-autospace: ideograph-numeric; font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;These options otherwise have the same terms and conditions as options granted under the Company&amp;#8217;s 2010 Share Incentive Plan.&lt;/font&gt;&lt;/font&gt;
    &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 12pt&quot;&gt;
        &lt;font style=&quot;text-autospace: ideograph-numeric; font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;The following table summarizes information about the above stock options outstanding that were not granted under the 2003 Share Plan or the 2010 Share Plan as of January 31, 2014:&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;table style=&quot;WIDTH: 50%; BORDER-COLLAPSE: collapse&quot; border=&quot;0&quot; cellspacing=&quot;0&quot; cellpadding=&quot;0&quot;&gt;
            &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;41%&quot; colspan=&quot;5&quot; align=&quot;center&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Options Outstanding&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;42%&quot; colspan=&quot;5&quot; align=&quot;center&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Options Exercisable&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 14.5pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;13%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: #000000 1px solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; rowspan=&quot;4&quot; width=&quot;13%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Weighted&lt;/font&gt;&lt;br /&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Average&lt;/font&gt;&lt;br /&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Remaining&lt;/font&gt;&lt;br /&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Contractual Life&lt;/font&gt;&lt;br /&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;(in years)&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;9%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;15%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
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                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
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                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
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                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
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                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
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                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
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                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
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                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
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                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Weighted&lt;/font&gt;&lt;br /&gt;
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                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Average&lt;/font&gt;
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                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Exercise Price&lt;/font&gt;
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                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
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                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
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                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
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                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Weighted&lt;/font&gt;&lt;br /&gt;
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                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Average&lt;/font&gt;&lt;br /&gt;
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                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Remaining&lt;/font&gt;&lt;br /&gt;
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                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Contractual Life&lt;/font&gt;
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                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;&amp;#160;(in years)&lt;/font&gt;
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                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
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                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Exercise Price&lt;/font&gt;
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              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 24.6pt&quot;&gt;
              &lt;td style=&quot;BORDER-BOTTOM: #000000 1px solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 24.6pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; rowspan=&quot;2&quot; width=&quot;11%&quot;&gt;
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                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Exercise Prices&lt;/font&gt;
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                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: #000000 1px solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 24.6pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; rowspan=&quot;2&quot; width=&quot;13%&quot;&gt;
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                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Outstanding&lt;/font&gt;
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              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 24.6pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
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              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 24.6pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
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              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 24.6pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: #000000 1px solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 24.6pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; rowspan=&quot;2&quot; width=&quot;12%&quot;&gt;
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                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Number&lt;/font&gt;&lt;br /&gt;
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                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Exercisable&lt;/font&gt;
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                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 24.6pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;13%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;13%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;9%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;15%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;9%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 14.5pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$0.21-$0.235&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;13%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;44,500,000&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;13%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;8.66&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;9%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$0.22&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;20,294,687&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;15%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;8.67&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;9%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$0.22&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
          &lt;/table&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;u&gt;&lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot; color=&quot;black&quot;&gt;Stock Awards&lt;/font&gt;&lt;/u&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;We account for stock awards granted to employees and consultants based on their grant date fair value, in accordance with ASC 718 and ASC 505-50, respectively.&amp;#160; During the three-month periods ended January 31, 2014 and 2013, we issued 90,000 shares and 125,000 shares, respectively, of common stock to consultants for services rendered pursuant to the 2010 Share Plan.&amp;#160;We recorded consulting expense for the three-month periods ended January 31, 2014 and 2013 of approximately $28,000 and $26,000, respectively for the shares of common stock issued to consultants.&amp;#160;&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;</us-gaap:DisclosureOfCompensationRelatedCostsShareBasedPaymentsTextBlock>
  <us-gaap:ShareBasedCompensation unitRef="usd" contextRef="c102_From1Nov2013To31Jan2014_StockOptionsGrantedToEmployeesAndDirectorsMember" decimals="0">466000</us-gaap:ShareBasedCompensation>
  <us-gaap:ShareBasedCompensation unitRef="usd" contextRef="c103_From1Nov2012To31Jan2013_StockOptionsGrantedToEmployeesAndDirectorsMember" decimals="0">473000</us-gaap:ShareBasedCompensation>
  <copy:AmortizationRelatedToCompensationCost unitRef="usd" contextRef="c104_From1Nov2013To31Jan2014_StockOptionsGrantedToEmployeesAndDirectorsMember" decimals="0">383000</copy:AmortizationRelatedToCompensationCost>
  <copy:AmortizationRelatedToCompensationCost unitRef="usd" contextRef="c105_From1Nov2012To31Jan2013_StockOptionsGrantedToEmployeesAndDirectorsMember" decimals="0">401000</copy:AmortizationRelatedToCompensationCost>
  <us-gaap:EmployeeServiceShareBasedCompensationNonvestedAwardsTotalCompensationCostNotYetRecognizedStockOptions unitRef="usd" contextRef="c106_AsOf31Jan2014_ServiceBasedOptionsMember" decimals="0">3134000</us-gaap:EmployeeServiceShareBasedCompensationNonvestedAwardsTotalCompensationCostNotYetRecognizedStockOptions>
  <us-gaap:SharebasedCompensationArrangementBySharebasedPaymentAwardOptionsVestedAndExpectedToVestExercisableWeightedAverageRemainingContractualTerm1 contextRef="c107_From1Nov2013To31Jan2014_ServiceBasedOptionsMember">P2Y</us-gaap:SharebasedCompensationArrangementBySharebasedPaymentAwardOptionsVestedAndExpectedToVestExercisableWeightedAverageRemainingContractualTerm1>
  <copy:ConsultationFeesRelatedToOptions unitRef="usd" contextRef="c108_From1Nov2013To31Jan2014_StockAwardGrantedToEmployeesAndConsultantsMember" decimals="0">255000</copy:ConsultationFeesRelatedToOptions>
  <copy:ConsultationFeesRelatedToOptions unitRef="usd" contextRef="c109_From1Nov2012To31Jan2013_StockAwardGrantedToEmployeesAndConsultantsMember" decimals="0">242000</copy:ConsultationFeesRelatedToOptions>
  <copy:UnrecognizedConsultingExpensesRelatedToNonVestedShareBasedCompensation unitRef="usd" contextRef="c107_From1Nov2013To31Jan2014_ServiceBasedOptionsMember" decimals="0">2168000</copy:UnrecognizedConsultingExpensesRelatedToNonVestedShareBasedCompensation>
  <copy:ConsultingExpensesRecognizedOverWeightedAverageRemainingContractualTerm contextRef="c107_From1Nov2013To31Jan2014_ServiceBasedOptionsMember">P1Y292D</copy:ConsultingExpensesRecognizedOverWeightedAverageRemainingContractualTerm>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsGrantsInPeriodGross unitRef="shares" contextRef="c110_From1Nov2013To31Jan2014_StockOption.Member_P2010SharePlanMember" decimals="INF">7710000</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsGrantsInPeriodGross>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsGrantsInPeriodGross unitRef="shares" contextRef="c111_From1Nov2012To31Jan2013_StockOption.Member_P2010SharePlanMember" decimals="INF">1180000</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsGrantsInPeriodGross>
  <us-gaap:ShareBasedCompensationArrangementsByShareBasedPaymentAwardOptionsGrantsInPeriodWeightedAverageExercisePrice unitRef="usdPershares" contextRef="c110_From1Nov2013To31Jan2014_StockOption.Member_P2010SharePlanMember" decimals="2">0.20</us-gaap:ShareBasedCompensationArrangementsByShareBasedPaymentAwardOptionsGrantsInPeriodWeightedAverageExercisePrice>
  <us-gaap:ShareBasedCompensationArrangementsByShareBasedPaymentAwardOptionsGrantsInPeriodWeightedAverageExercisePrice unitRef="usdPershares" contextRef="c111_From1Nov2012To31Jan2013_StockOption.Member_P2010SharePlanMember" decimals="2">0.21</us-gaap:ShareBasedCompensationArrangementsByShareBasedPaymentAwardOptionsGrantsInPeriodWeightedAverageExercisePrice>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardNumberOfSharesAuthorized unitRef="shares" contextRef="c112_AsOf31Jan2014_SharePlan2003Member" decimals="INF">70000000</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardNumberOfSharesAuthorized>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardNumberOfSharesAuthorized unitRef="shares" contextRef="c113_AsOf5Jul2011_SharePlan2010Member" decimals="INF">15000000</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardNumberOfSharesAuthorized>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardNumberOfSharesAuthorized unitRef="shares" contextRef="c114_AsOf28Aug2011_SharePlan2010Member" decimals="INF">27000000</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardNumberOfSharesAuthorized>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardNumberOfSharesAuthorized unitRef="shares" contextRef="c115_AsOf31Jan2014_SharePlan2010Member" decimals="INF">30000000</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardNumberOfSharesAuthorized>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardNumberOfSharesAuthorized unitRef="shares" contextRef="c116_AsOf8Nov2013_P2010SharePlanMember_AmendmentMember" decimals="INF">20000000</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardNumberOfSharesAuthorized>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsGrantsInPeriodGross unitRef="shares" contextRef="c8_From1Nov2013To31Jan2014" decimals="INF">25634980</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsGrantsInPeriodGross>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardNumberOfSharesAuthorized unitRef="shares" contextRef="c0_AsOf31Jan2014" decimals="INF">55634980</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardNumberOfSharesAuthorized>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsGrantsInPeriodGross unitRef="shares" contextRef="c117_From1Nov2013To31Jan2014_EmployeesMember" decimals="INF">300000</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsGrantsInPeriodGross>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsGrantsInPeriodGross unitRef="shares" contextRef="c118_From1Nov2013To31Jan2014_ChairmansCompensationMember" decimals="INF">400000</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsGrantsInPeriodGross>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardNumberOfSharesAvailableForGrant unitRef="shares" contextRef="c115_AsOf31Jan2014_SharePlan2010Member" decimals="INF">19000000</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardNumberOfSharesAvailableForGrant>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardSharesPurchasedForAward unitRef="shares" contextRef="c119_From1Nov2013To31Jan2014_OptionsGrantedUnderThe2003PlanAnd2010PlanMember" decimals="INF">41500000</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardSharesPurchasedForAward>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsGrantsInPeriodGross unitRef="shares" contextRef="c120_From1Nov2013To31Jan2014_OptionsGrantedUnderThe2003PlanAnd2010PlanMember_BoardOfDirectorsChairmanMember" decimals="INF">3000000</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsGrantsInPeriodGross>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardSharesPurchasedForAward unitRef="shares" contextRef="c121_From1Nov2013To31Jan2014_NonqualifiedStockOptionMember" decimals="INF">40000000</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardSharesPurchasedForAward>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardSharesPurchasedForAward unitRef="shares" contextRef="c122_From1Nov2013To31Jan2014_NonqualifiedStockOptionMember_NewPresidentandChiefExecutiveOfficerMember" decimals="INF">16000000</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardSharesPurchasedForAward>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardSharesPurchasedForAward unitRef="shares" contextRef="c123_From1Nov2013To31Jan2014_NonqualifiedStockOptionMember_NewSeniorVicePresidentandEngineeringMember" decimals="INF">8000000</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardSharesPurchasedForAward>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardSharesPurchasedForAward unitRef="shares" contextRef="c124_From1Nov2013To31Jan2014_NonqualifiedStockOptionMember_StrategicAdvisorMember" decimals="INF">16000000</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardSharesPurchasedForAward>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardPerShareWeightedAveragePriceOfSharesPurchased unitRef="usdPershares" contextRef="c125_AsOf31Jan2014_NonqualifiedStockOptionMember" decimals="4">0.2175</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardPerShareWeightedAveragePriceOfSharesPurchased>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingNumber unitRef="shares" contextRef="c126_AsOf31Jan2014_NonqualifiedStockOptionMember_SharePlan2010Member" decimals="INF">40000000</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingNumber>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingIntrinsicValue unitRef="usd" contextRef="c126_AsOf31Jan2014_NonqualifiedStockOptionMember_SharePlan2010Member" decimals="0">7176000</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingIntrinsicValue>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsExercisableNumber unitRef="shares" contextRef="c126_AsOf31Jan2014_NonqualifiedStockOptionMember_SharePlan2010Member" decimals="INF">17294686</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsExercisableNumber>
  <us-gaap:SharebasedCompensationArrangementBySharebasedPaymentAwardOptionsExercisableIntrinsicValue1 unitRef="usd" contextRef="c126_AsOf31Jan2014_NonqualifiedStockOptionMember_SharePlan2010Member" decimals="0">3103000</us-gaap:SharebasedCompensationArrangementBySharebasedPaymentAwardOptionsExercisableIntrinsicValue1>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsGrantsInPeriodGross unitRef="shares" contextRef="c121_From1Nov2013To31Jan2014_NonqualifiedStockOptionMember" decimals="INF">1500000</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsGrantsInPeriodGross>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsGrantsInPeriodGross unitRef="shares" contextRef="c127_From1Nov2013To31Jan2014_NonqualifiedStockOptionMember_ChairmansCompensationMember" decimals="INF">750000</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsGrantsInPeriodGross>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsGrantsInPeriodGross unitRef="shares" contextRef="c128_From1Nov2013To31Jan2014_NonqualifiedStockOptionMember_DirectorsCompensationMember" decimals="INF">750000</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsGrantsInPeriodGross>
  <us-gaap:ShareBasedCompensationArrangementsByShareBasedPaymentAwardOptionsGrantsInPeriodWeightedAverageExercisePrice unitRef="usdPershares" contextRef="c121_From1Nov2013To31Jan2014_NonqualifiedStockOptionMember" decimals="4">0.2225</us-gaap:ShareBasedCompensationArrangementsByShareBasedPaymentAwardOptionsGrantsInPeriodWeightedAverageExercisePrice>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsExercisesInPeriodTotalIntrinsicValue unitRef="usd" contextRef="c121_From1Nov2013To31Jan2014_NonqualifiedStockOptionMember" decimals="0">262000</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsExercisesInPeriodTotalIntrinsicValue>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsVestedAndExpectedToVestOutstandingNumber unitRef="shares" contextRef="c126_AsOf31Jan2014_NonqualifiedStockOptionMember_SharePlan2010Member" decimals="INF">250000</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsVestedAndExpectedToVestOutstandingNumber>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsVestedAndExpectedToVestExercisableNumber unitRef="shares" contextRef="c126_AsOf31Jan2014_NonqualifiedStockOptionMember_SharePlan2010Member" decimals="INF">1000000</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsVestedAndExpectedToVestExercisableNumber>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsVestedAndExpectedToVestExercisableAggregateIntrinsicValue unitRef="usd" contextRef="c129_AsOf31Jan2014_NonqualifiedStockOptionMember_SharePlan2010Member" decimals="0">174000</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsVestedAndExpectedToVestExercisableAggregateIntrinsicValue>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsGrantsInPeriodGross unitRef="shares" contextRef="c130_From1Nov2013To31Jan2014_NonqualifiedStockOptionMember_DirectorMember" decimals="INF">3000000</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsGrantsInPeriodGross>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardSharesIssuedInPeriod unitRef="shares" contextRef="c131_From1Nov2012To30Nov2012_NonqualifiedStockOptionMember_ThreeOutsideDirectorsMember" decimals="INF">1000000</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardSharesIssuedInPeriod>
  <us-gaap:ShareBasedCompensationArrangementsByShareBasedPaymentAwardOptionsGrantsInPeriodWeightedAverageExercisePrice unitRef="usdPershares" contextRef="c131_From1Nov2012To30Nov2012_NonqualifiedStockOptionMember_ThreeOutsideDirectorsMember" decimals="3">0.211</us-gaap:ShareBasedCompensationArrangementsByShareBasedPaymentAwardOptionsGrantsInPeriodWeightedAverageExercisePrice>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardNumberOfSharesAvailableForGrant unitRef="shares" contextRef="c132_AsOf30Nov2012_NonqualifiedStockOptionMember_BoardOfDirectorsChairmanMember" decimals="INF">333334</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardNumberOfSharesAvailableForGrant>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsVestedAndExpectedToVestOutstandingNumber unitRef="shares" contextRef="c132_AsOf30Nov2012_NonqualifiedStockOptionMember_BoardOfDirectorsChairmanMember" decimals="INF">333333</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsVestedAndExpectedToVestOutstandingNumber>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardSharesIssuedInPeriod unitRef="shares" contextRef="c133_From1Feb2013To28Feb2013_NonqualifiedStockOptionMember_ThreeOutsideDirectorsMember" decimals="INF">1000000</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardSharesIssuedInPeriod>
  <us-gaap:ShareBasedCompensationArrangementsByShareBasedPaymentAwardOptionsGrantsInPeriodWeightedAverageExercisePrice unitRef="usdPershares" contextRef="c134_From1Feb2013To28Feb2013_NonqualifiedStockOptionMember_BoardOfDirectorsChairmanMember" decimals="3">0.235</us-gaap:ShareBasedCompensationArrangementsByShareBasedPaymentAwardOptionsGrantsInPeriodWeightedAverageExercisePrice>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardNumberOfSharesAvailableForGrant unitRef="shares" contextRef="c135_AsOf28Feb2013_NonqualifiedStockOptionMember_BoardOfDirectorsChairmanMember" decimals="INF">333334</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardNumberOfSharesAvailableForGrant>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsVestedAndExpectedToVestOutstandingNumber unitRef="shares" contextRef="c136_AsOf15Feb2013_NonqualifiedStockOptionMember_BoardOfDirectorsChairmanMember" decimals="INF">333333</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsVestedAndExpectedToVestOutstandingNumber>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardSharesIssuedInPeriod unitRef="shares" contextRef="c137_From1Mar2013To28Mar2013_NonqualifiedStockOptionMember_ThreeOutsideDirectorsMember" decimals="INF">1000000</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardSharesIssuedInPeriod>
  <copy:StockPurchaseAgreementVolumeWeightedAveragePricePurchaseThresholdPercentageofVolumeTraded unitRef="pure" contextRef="c138_AsOf28Mar2013" decimals="5">0.00195</copy:StockPurchaseAgreementVolumeWeightedAveragePricePurchaseThresholdPercentageofVolumeTraded>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingNumber unitRef="shares" contextRef="c138_AsOf28Mar2013" decimals="INF">3000000</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingNumber>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingIntrinsicValue unitRef="usd" contextRef="c138_AsOf28Mar2013" decimals="0">550000</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingIntrinsicValue>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsExercisableNumber unitRef="shares" contextRef="c138_AsOf28Mar2013" decimals="INF">2000000</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsExercisableNumber>
  <us-gaap:SharebasedCompensationArrangementBySharebasedPaymentAwardOptionsExercisableIntrinsicValue1 unitRef="usd" contextRef="c138_AsOf28Mar2013" decimals="0">380000</us-gaap:SharebasedCompensationArrangementBySharebasedPaymentAwardOptionsExercisableIntrinsicValue1>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardSharesIssuedInPeriod unitRef="shares" contextRef="c8_From1Nov2013To31Jan2014" decimals="INF">90000</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardSharesIssuedInPeriod>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardSharesIssuedInPeriod unitRef="shares" contextRef="c9_From1Nov2012To31Jan2013" decimals="INF">125000</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardSharesIssuedInPeriod>
  <copy:ConsultationFeesRelatedToOptions unitRef="usd" contextRef="c8_From1Nov2013To31Jan2014" decimals="0">28000</copy:ConsultationFeesRelatedToOptions>
  <us-gaap:AllocatedShareBasedCompensationExpense unitRef="usd" contextRef="c9_From1Nov2012To31Jan2013" decimals="0">26000</us-gaap:AllocatedShareBasedCompensationExpense>
  <us-gaap:ScheduleOfShareBasedPaymentAwardStockOptionsValuationAssumptionsTableTextBlock contextRef="c8_From1Nov2013To31Jan2014">&lt;table style=&quot;WIDTH: 50%; BORDER-COLLAPSE: collapse&quot; border=&quot;0&quot; cellspacing=&quot;0&quot; cellpadding=&quot;0&quot;&gt;
            &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;74%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; rowspan=&quot;2&quot; width=&quot;26%&quot; colspan=&quot;5&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot;&gt;For the Three Months&lt;/font&gt;&lt;br /&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot;&gt;Ended January 31,&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;74%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;74%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot; colspan=&quot;2&quot; align=&quot;center&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot;&gt;2014&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot; colspan=&quot;2&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot;&gt;2013&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;74%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Weighted average fair value at grant date&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;0.17&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;0.17&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;74%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Valuation assumptions:&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;74%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt 10pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Expected life ( years)&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;5.69&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;5.12&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;74%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt 10pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Expected volatility&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;115.4%&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;115.7%&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;74%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt 10pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Risk-free interest rate&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;1.76%&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;.58%&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;74%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt 10pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Expected dividend yield&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;0&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;0&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
          &lt;/table&gt;</us-gaap:ScheduleOfShareBasedPaymentAwardStockOptionsValuationAssumptionsTableTextBlock>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsGrantsInPeriodWeightedAverageGrantDateFairValue unitRef="usdPershares" contextRef="c8_From1Nov2013To31Jan2014" decimals="2">0.17</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsGrantsInPeriodWeightedAverageGrantDateFairValue>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsGrantsInPeriodWeightedAverageGrantDateFairValue unitRef="usdPershares" contextRef="c9_From1Nov2012To31Jan2013" decimals="2">0.17</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsGrantsInPeriodWeightedAverageGrantDateFairValue>
  <us-gaap:SharebasedCompensationArrangementBySharebasedPaymentAwardFairValueAssumptionsExpectedTerm1 contextRef="c8_From1Nov2013To31Jan2014">P5Y251D</us-gaap:SharebasedCompensationArrangementBySharebasedPaymentAwardFairValueAssumptionsExpectedTerm1>
  <us-gaap:SharebasedCompensationArrangementBySharebasedPaymentAwardFairValueAssumptionsExpectedTerm1 contextRef="c9_From1Nov2012To31Jan2013">P5Y43D</us-gaap:SharebasedCompensationArrangementBySharebasedPaymentAwardFairValueAssumptionsExpectedTerm1>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardFairValueAssumptionsExpectedVolatilityRate unitRef="pure" contextRef="c8_From1Nov2013To31Jan2014" decimals="3">1.154</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardFairValueAssumptionsExpectedVolatilityRate>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardFairValueAssumptionsExpectedVolatilityRate unitRef="pure" contextRef="c9_From1Nov2012To31Jan2013" decimals="3">1.157</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardFairValueAssumptionsExpectedVolatilityRate>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardFairValueAssumptionsRiskFreeInterestRate unitRef="pure" contextRef="c8_From1Nov2013To31Jan2014" decimals="4">0.0176</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardFairValueAssumptionsRiskFreeInterestRate>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardFairValueAssumptionsRiskFreeInterestRate unitRef="pure" contextRef="c9_From1Nov2012To31Jan2013" decimals="4">0.0058</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardFairValueAssumptionsRiskFreeInterestRate>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardFairValueAssumptionsExpectedDividendRate unitRef="pure" contextRef="c8_From1Nov2013To31Jan2014" decimals="2">0.00</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardFairValueAssumptionsExpectedDividendRate>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardFairValueAssumptionsExpectedDividendRate unitRef="pure" contextRef="c9_From1Nov2012To31Jan2013" decimals="2">0.00</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardFairValueAssumptionsExpectedDividendRate>
  <us-gaap:ScheduleOfShareBasedCompensationStockOptionsActivityTableTextBlock contextRef="c8_From1Nov2013To31Jan2014">&lt;table style=&quot;WIDTH: 50%&quot; border=&quot;0&quot; cellspacing=&quot;0&quot; cellpadding=&quot;0&quot;&gt;
        &lt;tr style=&quot;HEIGHT: 14.5pt&quot;&gt;
          &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;50%&quot;&gt;
            &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;14%&quot;&gt;
            &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
            &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;BORDER-BOTTOM: #000000 1px solid&quot; valign=&quot;bottom&quot; rowspan=&quot;2&quot; width=&quot;16%&quot;&gt;
            &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Weighted&lt;/font&gt;&lt;br /&gt;
            &lt;/p&gt;
            &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot;&gt;Average Exercise&lt;/font&gt;&lt;br /&gt;
            &lt;/p&gt;
            &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot;&gt;Price Per Share&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;BORDER-BOTTOM: #000000 1px solid&quot; valign=&quot;bottom&quot; rowspan=&quot;2&quot; width=&quot;15%&quot; colspan=&quot;2&quot;&gt;
            &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
            &lt;/p&gt;
            &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot;&gt;Aggregate&lt;/font&gt;&lt;br /&gt;
            &lt;/p&gt;
            &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot;&gt;&lt;/font&gt;
            &lt;/p&gt;
            &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot;&gt;Intrinsic&lt;/font&gt;&lt;br /&gt;
            &lt;/p&gt;
            &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot;&gt;&lt;/font&gt;
            &lt;/p&gt;
            &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot;&gt;Value&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
        &lt;/tr&gt;
        &lt;tr style=&quot;HEIGHT: 14.5pt&quot;&gt;
          &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;50%&quot;&gt;
            &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;14%&quot;&gt;
            &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Shares&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
            &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
        &lt;/tr&gt;
        &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
          &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;50%&quot;&gt;
            &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Options Outstanding at October 31, 2013&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;14%&quot;&gt;
            &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;15,638,845&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
            &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 12pt; text-decoration: none; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;16%&quot;&gt;
            &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$0.72&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
            &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
            &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
        &lt;/tr&gt;
        &lt;tr style=&quot;HEIGHT: 15.95pt&quot;&gt;
          &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;50%&quot;&gt;
            &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Options Outstanding and exercisable at January 31, 2014&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;14%&quot;&gt;
            &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;15,638,845&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
            &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 12pt; text-decoration: none; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;16%&quot;&gt;
            &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$0.72&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
            &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
            &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;461,000&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
        &lt;/tr&gt;
      &lt;/table&gt;&lt;table style=&quot;width: 50%;&quot; border=&quot;0&quot; cellspacing=&quot;0&quot; cellpadding=&quot;0&quot;&gt;

        &lt;tr style=&quot;height: 14.5pt;&quot;&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;50%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;border-bottom: #000000 1px solid;&quot; rowspan=&quot;2&quot; colspan=&quot;2&quot; valign=&quot;bottom&quot; width=&quot;18%&quot;&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot;&gt;Weighted&lt;/font&gt;
            &lt;/p&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot;&gt;Average Exercise&lt;/font&gt;
            &lt;/p&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot;&gt;Price Per Share&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;border-bottom: #000000 1px solid;&quot; rowspan=&quot;2&quot; colspan=&quot;2&quot; valign=&quot;bottom&quot; width=&quot;17%&quot;&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot;&gt;Aggregate&lt;/font&gt;
            &lt;/p&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot;&gt;Intrinsic&lt;/font&gt;
            &lt;/p&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot;&gt;Value&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
        &lt;/tr&gt;
        &lt;tr style=&quot;height: 14.5pt;&quot;&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;50%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;border-bottom: windowtext 1pt solid; padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;&quot;&gt;Shares&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
        &lt;/tr&gt;
        &lt;tr style=&quot;height: 14.5pt;&quot;&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;50%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;16%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;15%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
        &lt;/tr&gt;
        &lt;tr style=&quot;height: 14.5pt;&quot;&gt;
          &lt;td style=&quot;padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;50%&quot;&gt;
            &lt;p style=&quot;margin: 0in 0in 0pt;&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;&quot;&gt;Options Outstanding at October 31, 2013&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;&quot;&gt;2,984,000&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; align=&quot;left&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;margin: 0in 0in 0pt;&quot; align=&quot;left&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;&quot;&gt;$&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;16%&quot;&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;&quot;&gt;0.25&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;15%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
        &lt;/tr&gt;
        &lt;tr style=&quot;height: 14.5pt;&quot;&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;50%&quot;&gt;
            &lt;p style=&quot;margin: 0in 0in 0pt 10pt;&quot;&gt;
              &lt;font style=&quot;font-size: 11pt; font-family: times new roman; color: #000000;&quot;&gt;Granted&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;border-bottom: windowtext 1pt solid; padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;&quot;&gt;7,710,000&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; align=&quot;left&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;margin: 0in 0in 0pt;&quot; align=&quot;left&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;&quot;&gt;$&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;16%&quot;&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;&quot;&gt;0.20&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;15%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
        &lt;/tr&gt;
        &lt;tr style=&quot;height: 15.25pt;&quot;&gt;
          &lt;td style=&quot;padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;50%&quot;&gt;
            &lt;p style=&quot;margin: 0in 0in 0pt;&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;&quot;&gt;Options Outstanding at January 31, 2014&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;border-bottom: windowtext 2.25pt double; padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;&quot;&gt;10,694,000&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;&quot; align=&quot;left&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;margin: 0in 0in 0pt;&quot; align=&quot;left&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;&quot;&gt;$&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;16%&quot;&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;&quot;&gt;0.21&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;&quot; align=&quot;left&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;margin: 0in 0in 0pt;&quot; align=&quot;left&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;&quot;&gt;$&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;15%&quot;&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;&quot;&gt;1,980,000&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
        &lt;/tr&gt;
        &lt;tr style=&quot;height: 15.95pt;&quot;&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.95pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;50%&quot;&gt;
            &lt;p style=&quot;margin: 0in 0in 0pt;&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;&quot;&gt;Options Exercisable at January 31, 2014&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;border-bottom: windowtext 2.25pt double; padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.95pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;&quot;&gt;2,881,778&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.95pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.95pt; padding-top: 0in;&quot; align=&quot;left&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;margin: 0in 0in 0pt;&quot; align=&quot;left&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;&quot;&gt;$&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.95pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;16%&quot;&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;&quot;&gt;0.24&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.95pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.95pt; padding-top: 0in;&quot; align=&quot;left&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;margin: 0in 0in 0pt;&quot; align=&quot;left&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;&quot;&gt;$&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.95pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;15%&quot;&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;&quot;&gt;444,000&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
        &lt;/tr&gt;
        &lt;tr style=&quot;height: 15.25pt;&quot;&gt;
          &lt;td style=&quot;padding-bottom: 0in; background-color: #ffffff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;50%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; background-color: #ffffff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; background-color: #ffffff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; background-color: #ffffff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; background-color: #ffffff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;16%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; background-color: #ffffff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; background-color: #ffffff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding-bottom: 0in; background-color: #ffffff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;&quot; valign=&quot;bottom&quot; width=&quot;15%&quot;&gt;
            &lt;p style=&quot;text-align: right; margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
        &lt;/tr&gt;

    &lt;/table&gt;</us-gaap:ScheduleOfShareBasedCompensationStockOptionsActivityTableTextBlock>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingNumber unitRef="shares" contextRef="c139_AsOf31Oct2013_SharePlan2003Member" decimals="INF">15638845</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingNumber>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingWeightedAverageExercisePrice unitRef="usdPershares" contextRef="c139_AsOf31Oct2013_SharePlan2003Member" decimals="2">0.72</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingWeightedAverageExercisePrice>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingNumber unitRef="shares" contextRef="c112_AsOf31Jan2014_SharePlan2003Member" decimals="INF">15638845</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingNumber>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingWeightedAverageExercisePrice unitRef="usdPershares" contextRef="c112_AsOf31Jan2014_SharePlan2003Member" decimals="2">0.72</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingWeightedAverageExercisePrice>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingIntrinsicValue unitRef="usd" contextRef="c112_AsOf31Jan2014_SharePlan2003Member" decimals="0">461000</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingIntrinsicValue>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingNumber unitRef="shares" contextRef="c140_AsOf31Oct2013_SharePlan2010Member" decimals="INF">2984000</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingNumber>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingWeightedAverageExercisePrice unitRef="usdPershares" contextRef="c140_AsOf31Oct2013_SharePlan2010Member" decimals="2">0.25</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingWeightedAverageExercisePrice>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsGrantsInPeriodGross unitRef="shares" contextRef="c141_From1Nov2013To31Jan2014_SharePlan2010Member" decimals="INF">7710000</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsGrantsInPeriodGross>
  <us-gaap:ShareBasedCompensationArrangementsByShareBasedPaymentAwardOptionsGrantsInPeriodWeightedAverageExercisePrice unitRef="usdPershares" contextRef="c141_From1Nov2013To31Jan2014_SharePlan2010Member" decimals="2">0.20</us-gaap:ShareBasedCompensationArrangementsByShareBasedPaymentAwardOptionsGrantsInPeriodWeightedAverageExercisePrice>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingNumber unitRef="shares" contextRef="c115_AsOf31Jan2014_SharePlan2010Member" decimals="INF">10694000</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingNumber>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingWeightedAverageExercisePrice unitRef="usdPershares" contextRef="c115_AsOf31Jan2014_SharePlan2010Member" decimals="2">0.21</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingWeightedAverageExercisePrice>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingIntrinsicValue unitRef="usd" contextRef="c115_AsOf31Jan2014_SharePlan2010Member" decimals="0">1980000</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingIntrinsicValue>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsExercisableNumber unitRef="shares" contextRef="c115_AsOf31Jan2014_SharePlan2010Member" decimals="INF">2881778</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsExercisableNumber>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsExercisableWeightedAverageExercisePrice unitRef="usdPershares" contextRef="c115_AsOf31Jan2014_SharePlan2010Member" decimals="2">0.24</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsExercisableWeightedAverageExercisePrice>
  <us-gaap:SharebasedCompensationArrangementBySharebasedPaymentAwardOptionsExercisableIntrinsicValue1 unitRef="usd" contextRef="c115_AsOf31Jan2014_SharePlan2010Member" decimals="0">444000</us-gaap:SharebasedCompensationArrangementBySharebasedPaymentAwardOptionsExercisableIntrinsicValue1>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsVestedAndExpectedToVestOutstandingAndExercisableTableTextBlock contextRef="c8_From1Nov2013To31Jan2014">&lt;table style=&quot;WIDTH: 50%&quot; border=&quot;0&quot; cellspacing=&quot;0&quot; cellpadding=&quot;0&quot;&gt;
            &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;100%&quot; colspan=&quot;7&quot; align=&quot;center&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
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                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot;&gt;Stock&lt;/font&gt; &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: times new roman;&quot;&gt;Options Outstanding&lt;/font&gt;
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            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 14.5pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;28%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
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              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;24%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
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              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
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              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: #000000 1px solid&quot; valign=&quot;bottom&quot; rowspan=&quot;3&quot; width=&quot;21%&quot;&gt;
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                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
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                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Remaining&lt;/font&gt;&lt;br /&gt;
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                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Contractual Life&lt;/font&gt;&lt;br /&gt;
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                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;(in years)&lt;/font&gt;
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              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: #000000 1px solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; rowspan=&quot;3&quot; width=&quot;21%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Weighted&lt;/font&gt;&lt;br /&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Average&lt;/font&gt;&lt;br /&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Exercise Price&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 14.5pt&quot;&gt;
              &lt;td style=&quot;BORDER-BOTTOM: #000000 1px solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; rowspan=&quot;2&quot; width=&quot;28%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Range of&lt;/font&gt;&lt;br /&gt;
                &lt;/p&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Exercise&lt;/font&gt;
                &lt;/p&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;&amp;#160;Prices&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: #000000 1px solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; rowspan=&quot;2&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: #000000 1px solid&quot; valign=&quot;bottom&quot; rowspan=&quot;2&quot; width=&quot;24%&quot; align=&quot;center&quot;&gt;
                &amp;#160;&lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Number&lt;br /&gt;
                &lt;/font&gt;&lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Outstanding&lt;/font&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 14.5pt&quot;&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 14.5pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;28%&quot; align=&quot;center&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$0.07 - $0.37&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;24%&quot; align=&quot;center&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;1,860,000&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;21%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;2.95&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;21%&quot; align=&quot;center&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$0.15&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 14.5pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;28%&quot; align=&quot;center&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$0.43 - $0.70&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;24%&quot; align=&quot;center&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;5,384,770&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;21%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;1.7&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;21%&quot; align=&quot;center&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$0.60&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 14.5pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;28%&quot; align=&quot;center&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$0.74 - $0.92&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;24%&quot; align=&quot;center&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;6,139,075&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;21%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;2.56&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;21%&quot; align=&quot;center&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$0.85&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 14.5pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;28%&quot; align=&quot;center&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$1.04 - $1.46&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;24%&quot; align=&quot;center&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;2,255,000&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;21%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;1.98&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;21%&quot; align=&quot;center&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$1.10&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
          &lt;/table&gt;</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsVestedAndExpectedToVestOutstandingAndExercisableTableTextBlock>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingNumber unitRef="shares" contextRef="c142_AsOf31Jan2014_RangeOfExercisePrices0.070.37Member_SharePlan2003Member" decimals="INF">1860000</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingNumber>
  <us-gaap:SharebasedCompensationArrangementBySharebasedPaymentAwardOptionsOutstandingWeightedAverageRemainingContractualTerm2 contextRef="c143_From1Nov2013To31Jan2014_RangeOfExercisePrices0.070.37Member_SharePlan2003Member">P2Y346D</us-gaap:SharebasedCompensationArrangementBySharebasedPaymentAwardOptionsOutstandingWeightedAverageRemainingContractualTerm2>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingWeightedAverageExercisePrice unitRef="usdPershares" contextRef="c142_AsOf31Jan2014_RangeOfExercisePrices0.070.37Member_SharePlan2003Member" decimals="2">0.15</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingWeightedAverageExercisePrice>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingNumber unitRef="shares" contextRef="c144_AsOf31Jan2014_RangeOfExercisePrices0.430.70Member_SharePlan2003Member" decimals="INF">5384770</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingNumber>
  <us-gaap:SharebasedCompensationArrangementBySharebasedPaymentAwardOptionsOutstandingWeightedAverageRemainingContractualTerm2 contextRef="c145_From1Nov2013To31Jan2014_RangeOfExercisePrices0.430.70Member_SharePlan2003Member">P1Y255D</us-gaap:SharebasedCompensationArrangementBySharebasedPaymentAwardOptionsOutstandingWeightedAverageRemainingContractualTerm2>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingWeightedAverageExercisePrice unitRef="usdPershares" contextRef="c144_AsOf31Jan2014_RangeOfExercisePrices0.430.70Member_SharePlan2003Member" decimals="2">0.60</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingWeightedAverageExercisePrice>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingNumber unitRef="shares" contextRef="c146_AsOf31Jan2014_RangeOfExercisePrices0.740.92Member_SharePlan2003Member" decimals="INF">6139075</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingNumber>
  <us-gaap:SharebasedCompensationArrangementBySharebasedPaymentAwardOptionsOutstandingWeightedAverageRemainingContractualTerm2 contextRef="c147_From1Nov2013To31Jan2014_RangeOfExercisePrices0.740.92Member_SharePlan2003Member">P2Y204D</us-gaap:SharebasedCompensationArrangementBySharebasedPaymentAwardOptionsOutstandingWeightedAverageRemainingContractualTerm2>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingWeightedAverageExercisePrice unitRef="usdPershares" contextRef="c146_AsOf31Jan2014_RangeOfExercisePrices0.740.92Member_SharePlan2003Member" decimals="2">0.85</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingWeightedAverageExercisePrice>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingNumber unitRef="shares" contextRef="c148_AsOf31Jan2014_RangeOfExercisePrices1.041.46Member_SharePlan2003Member" decimals="INF">2255000</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingNumber>
  <us-gaap:SharebasedCompensationArrangementBySharebasedPaymentAwardOptionsOutstandingWeightedAverageRemainingContractualTerm2 contextRef="c149_From1Nov2013To31Jan2014_RangeOfExercisePrices1.041.46Member_SharePlan2003Member">P1Y357D</us-gaap:SharebasedCompensationArrangementBySharebasedPaymentAwardOptionsOutstandingWeightedAverageRemainingContractualTerm2>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingWeightedAverageExercisePrice unitRef="usdPershares" contextRef="c148_AsOf31Jan2014_RangeOfExercisePrices1.041.46Member_SharePlan2003Member" decimals="2">1.10</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingWeightedAverageExercisePrice>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsVestedAndExpectedToVestOutstandingAndExercisableTableTextBlock contextRef="c141_From1Nov2013To31Jan2014_SharePlan2010Member">&lt;table style=&quot;WIDTH: 50%&quot; border=&quot;0&quot; cellspacing=&quot;0&quot; cellpadding=&quot;0&quot;&gt;
            &lt;tr&gt;
              &lt;td valign=&quot;bottom&quot; width=&quot;14%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: #000000 1px solid&quot; valign=&quot;bottom&quot; width=&quot;37%&quot; colspan=&quot;6&quot; align=&quot;center&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Options Outstanding&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: #000000 1px solid&quot; valign=&quot;bottom&quot; width=&quot;45%&quot; colspan=&quot;6&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Options Exercisable&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 14.5pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;14%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;9%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: #000000 1px solid&quot; valign=&quot;bottom&quot; rowspan=&quot;4&quot; width=&quot;12%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Weighted&lt;/font&gt;&lt;br /&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Average&lt;/font&gt;&lt;br /&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Remaining&lt;/font&gt;&lt;br /&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Contractual Life&lt;/font&gt;&lt;br /&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;(in years)&lt;/font&gt;
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              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
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              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: #000000 1px solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; rowspan=&quot;4&quot; width=&quot;15%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Weighted&lt;/font&gt;&lt;br /&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Average&lt;/font&gt;&lt;br /&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Remaining&lt;/font&gt;&lt;br /&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Contractual Life (in years)&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;14%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 14.5pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;14%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;9%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &amp;#160;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: #000000 1px solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; rowspan=&quot;3&quot; width=&quot;12%&quot; colspan=&quot;2&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Weighted&lt;/font&gt;&lt;br /&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Average&lt;/font&gt;&lt;br /&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Exercise Price&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: #000000 1px solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; rowspan=&quot;3&quot; width=&quot;16%&quot; colspan=&quot;2&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Weighted&lt;/font&gt;&lt;br /&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Average&lt;/font&gt;&lt;br /&gt;
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                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Exercise Price&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 14.5pt&quot;&gt;
              &lt;td style=&quot;BORDER-BOTTOM: #000000 1px solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; rowspan=&quot;2&quot; width=&quot;14%&quot;&gt;
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                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Range of&lt;/font&gt;&lt;br /&gt;
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                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Exercise Prices&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: #000000 1px solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; rowspan=&quot;2&quot; width=&quot;9%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Number&lt;/font&gt;&lt;br /&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Outstanding&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
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              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: #000000 1px solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; rowspan=&quot;2&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Number&lt;/font&gt;&lt;br /&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Exercisable&lt;/font&gt;
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              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 14.5pt&quot;&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 14.5pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;14%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;9%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;15%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;14%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 14.5pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;14%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$0.12 - $0.37&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;9%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;10,694,000&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;8.59&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;0.21&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;2,881,778&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;15%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;5.51&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;14%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;0.24&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
          &lt;/table&gt;&lt;table style=&quot;WIDTH: 50%; BORDER-COLLAPSE: collapse&quot; border=&quot;0&quot; cellspacing=&quot;0&quot; cellpadding=&quot;0&quot;&gt;
            &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;41%&quot; colspan=&quot;5&quot; align=&quot;center&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Options Outstanding&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;42%&quot; colspan=&quot;5&quot; align=&quot;center&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Options Exercisable&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 14.5pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;13%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: #000000 1px solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; rowspan=&quot;4&quot; width=&quot;13%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Weighted&lt;/font&gt;&lt;br /&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Average&lt;/font&gt;&lt;br /&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Remaining&lt;/font&gt;&lt;br /&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Contractual Life&lt;/font&gt;&lt;br /&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;(in years)&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;9%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;15%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;9%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 14.5pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;13%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: #000000 1px solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; rowspan=&quot;3&quot; width=&quot;9%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Weighted&lt;/font&gt;&lt;br /&gt;
                &lt;/p&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Average&lt;/font&gt;
                &lt;/p&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Exercise Price&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: #000000 1px solid&quot; valign=&quot;bottom&quot; rowspan=&quot;3&quot; width=&quot;15%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Weighted&lt;/font&gt;&lt;br /&gt;
                &lt;/p&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Average&lt;/font&gt;&lt;br /&gt;
                &lt;/p&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Remaining&lt;/font&gt;&lt;br /&gt;
                &lt;/p&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Contractual Life&lt;/font&gt;
                &lt;/p&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;&amp;#160;(in years)&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: #000000 1px solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; rowspan=&quot;3&quot; width=&quot;9%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Weighted&lt;/font&gt;
                &lt;/p&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Average&lt;/font&gt;&lt;br /&gt;
                &lt;/p&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Exercise Price&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 24.6pt&quot;&gt;
              &lt;td style=&quot;BORDER-BOTTOM: #000000 1px solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 24.6pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; rowspan=&quot;2&quot; width=&quot;11%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Range of&lt;/font&gt;&lt;br /&gt;
                &lt;/p&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Exercise Prices&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 24.6pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: #000000 1px solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 24.6pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; rowspan=&quot;2&quot; width=&quot;13%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Number&lt;/font&gt;&lt;br /&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Outstanding&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 24.6pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 24.6pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 24.6pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: #000000 1px solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 24.6pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; rowspan=&quot;2&quot; width=&quot;12%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Number&lt;/font&gt;&lt;br /&gt;
                &lt;/p&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot;&gt;Exercisable&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 24.6pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 24.6pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;13%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;13%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;9%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;15%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;9%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 14.5pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$0.21-$0.235&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;13%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;44,500,000&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;13%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;8.66&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;9%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$0.22&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;20,294,687&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;15%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;8.67&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;9%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$0.22&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
          &lt;/table&gt;</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsVestedAndExpectedToVestOutstandingAndExercisableTableTextBlock>
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  <us-gaap:SharebasedCompensationSharesAuthorizedUnderStockOptionPlansExercisePriceRangeOutstandingOptionsWeightedAverageRemainingContractualTerm2 contextRef="c151_From1Nov2013To31Jan2014_RangeOfExercisePrices0.120.37Member_SharePlan2010Member">P8Y215D</us-gaap:SharebasedCompensationSharesAuthorizedUnderStockOptionPlansExercisePriceRangeOutstandingOptionsWeightedAverageRemainingContractualTerm2>
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  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingWeightedAverageExercisePrice unitRef="usdPershares" contextRef="c152_AsOf31Jan2014_RangeOfExercisePrices0.210.235Member_StockOptionsNotGrantedUnder2003SharePlanOr2010SharePlanMember" decimals="2">0.22</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingWeightedAverageExercisePrice>
  <us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsExercisableNumber unitRef="shares" contextRef="c152_AsOf31Jan2014_RangeOfExercisePrices0.210.235Member_StockOptionsNotGrantedUnder2003SharePlanOr2010SharePlanMember" decimals="INF">20294687</us-gaap:ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsExercisableNumber>
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  <us-gaap:FairValueDisclosuresTextBlock contextRef="c8_From1Nov2013To31Jan2014">&lt;p style=&quot;TEXT-ALIGN: justify; MARGIN: 0in 0in 12pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;4.&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&lt;/font&gt; &lt;u&gt;&lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;FAIR VALUE MEASUREMENTS&lt;/font&gt;&lt;/u&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot; color=&quot;black&quot;&gt;ASC 820 &amp;#8220;Fair Value Measurements and Disclosures&amp;#8221; (&amp;#8220;ASC 820&amp;#8221;)&lt;/font&gt; &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;defines fair value, establishes a framework for measuring fair value under GAAP, and expands disclosures about fair value measurements.&amp;#160; In accordance with ASC 820, we have categorized our financial assets, based on the priority of the inputs to the valuation technique, into a three-level fair value hierarchy as set forth below.&amp;#160; If the inputs used to measure the financial instruments fall within different levels of the hierarchy, the categorization is based on the lowest level input that is significant to the fair value measurement of the instrument.&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;Financial assets and liabilities recorded in the accompanying condensed consolidated balance sheets are categorized based on the inputs to the valuation techniques as follows:&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; MARGIN: 0in 0in 0pt 0.5in&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;Level 1 - Financial instruments whose values are based on unadjusted quoted prices for identical assets or liabilities in an active market which we have the ability to access at the measurement date.&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; MARGIN: 0in 0in 0pt 0.5in&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;Level 2 - Financial instruments whose values are based on quoted market prices in markets where trading occurs infrequently or whose values are based on quoted prices of instruments with similar attributes in active markets.&amp;#160;&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; MARGIN: 0in 0in 0pt 0.5in&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;Level 3 &amp;#8211; Financial instruments whose values are based on prices or valuation techniques that require inputs that are both unobservable and significant to the overall fair value measurement.&amp;#160;These inputs reflect management&amp;#8217;s own assumptions about the assumptions a market participant would use in pricing the instruments.&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;The following table presents the hierarchy for our financial assets measured at fair value on a recurring basis as of January 31, 2014:&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;table style=&quot;WIDTH: 50%&quot; border=&quot;0&quot; cellspacing=&quot;0&quot; cellpadding=&quot;0&quot;&gt;
            &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;43%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&amp;#160;&lt;/font&gt;&lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&amp;#160;&amp;#160;&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;13%&quot; colspan=&quot;2&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot;&gt;Level 1&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;13%&quot; colspan=&quot;2&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot;&gt;Level 2&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;13%&quot; colspan=&quot;2&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot;&gt;Level 3&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;12%&quot; colspan=&quot;2&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot;&gt;Total&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;43%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;11%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
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                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
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                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
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                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
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                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;Money market funds &amp;#8211; Cash and cash equivalents&lt;/font&gt;
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                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;$&lt;/font&gt;
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                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;776,141&lt;/font&gt;
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                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
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                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;$&lt;/font&gt;
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                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;-&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
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              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
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                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;$&lt;/font&gt;
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                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;-&lt;/font&gt;
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                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
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                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;$&lt;/font&gt;
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                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;776,141&lt;/font&gt;
                &lt;/p&gt;
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                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
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                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
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                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;
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                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
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                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
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                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
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                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
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                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
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                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
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                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;Certificates of deposit Short-term investments&lt;/font&gt;
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                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;2,450,000&lt;/font&gt;
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                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
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                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;-&lt;/font&gt;
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              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
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                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
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                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;-&lt;/font&gt;
                &lt;/p&gt;
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              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;2,450,000&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;43%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
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              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
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              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;11%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
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              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
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              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;11%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
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              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
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              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
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                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
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              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
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              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;43%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;Videocon Industries Limited global depository receipts&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;11%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;3,986,427&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;11%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;-&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;11%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;-&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;3,986,427&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 15.95pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;43%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt 10pt&quot;&gt;
                  &lt;font style=&quot;font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;Total financial assets&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;$&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;11%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;7,212,568&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;$&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;11%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;-&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;$&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;11%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;-&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;$&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;7,212,568&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
          &lt;/table&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;&lt;br /&gt;
        The following table presents the hierarchy for our financial assets measured at fair value on a recurring basis as of October 31, 2013:&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;table style=&quot;WIDTH: 50%; BORDER-COLLAPSE: collapse&quot; border=&quot;0&quot; cellspacing=&quot;0&quot; cellpadding=&quot;0&quot;&gt;
            &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;46%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot; colspan=&quot;2&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot;&gt;Level 1&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot; colspan=&quot;2&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot;&gt;Level 2&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot; colspan=&quot;2&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot;&gt;Level 3&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot; colspan=&quot;2&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot;&gt;Total&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;46%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
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              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
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              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;46%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Money market funds &amp;#8211; Cash and cash equivalents&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;898,172&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;-&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;-&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;898,172&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;46%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Videocon Industries Limited global depository receipts&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;4,197,341&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;-&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;-&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;4,197,341&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 15.95pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;46%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt 10pt&quot;&gt;
                  &lt;font style=&quot;font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Total financial assets&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;5,095,513&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;-&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;-&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;5,095,513&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;46%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
          &lt;/table&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
          &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;The following table presents the hierarchy for our financial liabilities measured at fair value on a recurring basis as of January 31, 2014:&lt;/font&gt;
        &lt;/p&gt;&lt;br/&gt;&lt;table style=&quot;WIDTH: 50%&quot; border=&quot;0&quot; cellspacing=&quot;0&quot; cellpadding=&quot;0&quot;&gt;
          &lt;tr style=&quot;HEIGHT: 14.5pt&quot;&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;24%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;4%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;14%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;4%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;13%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;4%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;13%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;24%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&amp;#160;&amp;#160;&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;18%&quot; colspan=&quot;2&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
              &lt;/p&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot;&gt;Level 1&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;17%&quot; colspan=&quot;2&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
              &lt;/p&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot;&gt;Level 2&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;17%&quot; colspan=&quot;2&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
              &lt;/p&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot;&gt;Level 3&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;15%&quot; colspan=&quot;2&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
              &lt;/p&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot;&gt;Total&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;24%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;4%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;14%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;4%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;13%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;4%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;13%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;24%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Derivative liability&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;4%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;14%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;-&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;4%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;13%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;-&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;4%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;13%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;3,430,000&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;3,430,000&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;24%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Patent acquisition obligation&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;4%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;14%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;-&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;4%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;13%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;-&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;4%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;13%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;2,936,977&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;2,936,977&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr style=&quot;HEIGHT: 15.95pt&quot;&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;24%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: left; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Total&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;4%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;14%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;-&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;4%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;13%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;-&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;4%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;13%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;6,366,977&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: left; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;6,366,977&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
        &lt;/table&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;The following table presents the hierarchy for our financial liabilities measured at fair value on a recurring basis as of October 31, 2013:&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;table style=&quot;WIDTH: 50%&quot; border=&quot;0&quot; cellspacing=&quot;0&quot; cellpadding=&quot;0&quot;&gt;
            &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;42%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&amp;#160;&amp;#160;&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;13%&quot; colspan=&quot;2&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot;&gt;Level 1&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;13%&quot; colspan=&quot;2&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot;&gt;Level 2&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;13%&quot; colspan=&quot;2&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot;&gt;Level 3&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;13%&quot; colspan=&quot;2&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot;&gt;Total&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;42%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 15.95pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;42%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Derivative liability&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;-&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;-&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;540,000&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;540,000&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
          &lt;/table&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 40.5pt; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;The following table sets forth a summary of the changes in the fair value of the Company&amp;#8217;s Level 3 financial liabilities that are measured at fair value on a recurring basis:&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;table style=&quot;width: 50%;&quot; border=&quot;0&quot; cellspacing=&quot;0&quot; cellpadding=&quot;0&quot;&gt;

        &lt;tr&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 5.4pt; padding-right: 5.4pt; padding-top: 0in;&quot; valign=&quot;top&quot; width=&quot;83%&quot;&gt;
            &lt;p style=&quot;text-align: justify; margin: 0in 0in 0pt;&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
            &lt;p style=&quot;text-align: justify; margin: 0in 0in 0pt;&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;border-bottom: #000000 1px solid;&quot; colspan=&quot;2&quot; valign=&quot;top&quot; width=&quot;17%&quot;&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;For the Three Months&lt;/font&gt;
            &lt;/p&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Ended January 31, 2014&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
        &lt;/tr&gt;
        &lt;tr valign=&quot;bottom&quot;&gt;
          &lt;td style=&quot;padding-bottom: 0in; background-color: #cceeff; padding-left: 5.4pt; padding-right: 5.4pt; padding-top: 0in;&quot; valign=&quot;top&quot; width=&quot;83%&quot;&gt;
            &lt;p style=&quot;text-align: justify; margin: 0in 0in 0pt;&quot;&gt;
              &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Beginning balance&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;background-color: #cceeff;&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;margin: 0in 0in 0pt;&quot;&gt;
              &amp;#160;
            &lt;/p&gt;&lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding: 0in 5.4pt; background-color: #cceeff; width: 15%;&quot; align=&quot;right&quot; valign=&quot;bottom&quot;&gt;
            &lt;p style=&quot;margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&amp;#160;540,000&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
        &lt;/tr&gt;
        &lt;tr valign=&quot;bottom&quot;&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 5.4pt; padding-right: 5.4pt; padding-top: 0in;&quot; valign=&quot;top&quot; width=&quot;83%&quot;&gt;
            &lt;p style=&quot;text-align: justify; margin: 0in 0in 0pt;&quot;&gt;
              &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Fair value of patent acquistion obligation&lt;br /&gt;
              &lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td valign=&quot;top&quot; width=&quot;2%&quot;&gt;
            &amp;#160;
          &lt;/td&gt;
          &lt;td style=&quot;padding: 0in 5.4pt; width: 15%;&quot; align=&quot;right&quot; valign=&quot;bottom&quot;&gt;
            &lt;p style=&quot;margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;2,936,977&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
        &lt;/tr&gt;
        &lt;tr valign=&quot;bottom&quot;&gt;
          &lt;td style=&quot;padding-bottom: 0in; background-color: #cceeff; padding-left: 5.4pt; padding-right: 5.4pt; padding-top: 0in;&quot; valign=&quot;top&quot; width=&quot;83%&quot;&gt;
            &lt;p style=&quot;text-align: justify; margin: 0in 0in 0pt;&quot;&gt;
              &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Aggregate fair value of bifurcated conversion feature issued&lt;/font&gt;&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;background-color: #cceeff; width: 2%;&quot; valign=&quot;top&quot;&gt;
            &amp;#160;
          &lt;/td&gt;
          &lt;td style=&quot;padding: 0in 5.4pt; background-color: #cceeff; width: 15%;&quot; align=&quot;right&quot; valign=&quot;bottom&quot;&gt;
            &lt;p style=&quot;margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;1,570,000&lt;/font&gt;&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
        &lt;/tr&gt;
        &lt;tr&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 5.4pt; padding-right: 5.4pt; padding-top: 0in;&quot; valign=&quot;top&quot; width=&quot;83%&quot;&gt;
            &lt;p style=&quot;text-align: justify; margin: 0in 0in 0pt;&quot;&gt;
              &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Change in fair value of bifurcated conversion feature&lt;/font&gt;&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;border-bottom: #000000 1px solid; ; width: 2%;&quot; valign=&quot;top&quot;&gt;
            &lt;p style=&quot;margin: 0in 0in 0pt;&quot;&gt;
              &amp;#160;
            &lt;/p&gt;&lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
          &lt;/td&gt;
          &lt;td style=&quot;border-bottom: #000000 1px solid; ; padding: 0in 5.4pt; width: 15%;&quot; align=&quot;right&quot; valign=&quot;bottom&quot;&gt;
            &lt;p style=&quot;margin: 0in 0in 0pt; text-align: right;&quot;&gt;
              &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&amp;#160;&lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;1,320,000&lt;/font&gt;&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
        &lt;/tr&gt;
        &lt;tr&gt;
          &lt;td style=&quot;padding-bottom: 0in; background-color: #cceeff; padding-left: 5.4pt; padding-right: 5.4pt; padding-top: 0in;&quot; valign=&quot;top&quot; width=&quot;83%&quot;&gt;
            &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Ending balance&lt;/font&gt;&lt;/font&gt;
          &lt;/td&gt;
          &lt;td style=&quot;background-color: #cceeff; border-bottom: #000000 3px double;&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
            &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
          &lt;/td&gt;
          &lt;td style=&quot;border-bottom: #000000 3px double; padding: 0in 5.4pt; width: 15%;&quot; align=&quot;right&quot; valign=&quot;bottom&quot;&gt;
            &lt;p style=&quot;margin: 0in 0in 0pt; text-align: right;&quot;&gt;
              &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&amp;#160;&lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;3,430,000&lt;/font&gt;&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
        &lt;/tr&gt;

    &lt;/table&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;The bifurcated conversion feature is accounted for as a derivative liability and is measured at fair value using a Monte Carlo simulation model and is classified within Level 3 of the valuation hierarchy.&amp;#160; The patent acquisition obligation is measured at fair value based on a discounted present value and is classified within Level 3 of the valuation hierarchy.&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;The significant assumptions and valuation methods that the Company used to determine fair value and the change in fair value of the Company&amp;#8217;s derivative financial instrument are discussed in Note 2 &amp;#8220;Convertible Debentures&amp;#8221;. The development and determination of the unobservable inputs for Level 3 fair value measurements and fair value calculations are the responsibility of the Company&amp;#8217;s Principal Financial Officer with support from the Company&amp;#8217;s consultants.&amp;#160;&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 6pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;In accordance with the provisions of ASC 815, the Company presents the bifurcated conversion feature liability at fair value in its condensed consolidated balance sheet, with the corresponding changes in fair value, if any, recorded in the Company&amp;#8217;s condensed statements of operations for the applicable reporting periods. &amp;#160;As disclosed in Note 2, the Company computed the fair value of the derivative liability at the date of&lt;/font&gt; &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;issuance and the reporting date of January 31, 2014 using the Monte Carlo simulation model.&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 6pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;The Company developed the assumptions that were used as follows: The stock price on the valuation date of the Company&amp;#8217;s common stock was derived from the trading history of the Company&amp;#8217;s common stock.&amp;#160; The stock premium for liquidity was computed as the premium required to adjust for the effect of the additional time that it would be expected to take for the market to absorb the converted shares and warrant exercises, given the Company&amp;#8217;s current trading volume.&amp;#160; The term represents the remaining contractual term of the derivative; the volatility rate was developed based on analysis of the Company&amp;#8217;s historical volatility&lt;/font&gt;&lt;b&gt;&lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;;&amp;#160;&lt;/font&gt;&lt;/b&gt; &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;the risk free interest rate was obtained from publicly available US Treasury yield curve rates; the
        dividend yield is zero because the Company has not paid dividends and does not expect to pay dividends in the foreseeable future.&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;Our non financial assets that are measured on a non-recurring basis include our property and equipment which are measured using fair value techniques whenever events or changes in circumstances indicate a condition of impairment exists.&amp;#160; The estimated fair value of accounts payable and accrued liabilities approximates their individual carrying amounts due to the short term nature of these measurements.&amp;#160; It is impractical to determine the fair value of the loan receivable and loan payable to the related party given the nature of these loans.&amp;#160; The convertible debentures have been reported net of the discount for the beneficial conversion features and related warrants.&amp;#160; Cash and cash equivalents are stated at carrying value which approximates fair value. &amp;#160;These assets and liabilities were not presented in the preceding table.&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;</us-gaap:FairValueDisclosuresTextBlock>
  <us-gaap:FairValueAssumptionsExpectedDividendRate unitRef="pure" contextRef="c8_From1Nov2013To31Jan2014" decimals="2">0.00</us-gaap:FairValueAssumptionsExpectedDividendRate>
  <us-gaap:FairValueAssetsMeasuredOnRecurringBasisTextBlock contextRef="c8_From1Nov2013To31Jan2014">&lt;table style=&quot;WIDTH: 50%&quot; border=&quot;0&quot; cellspacing=&quot;0&quot; cellpadding=&quot;0&quot;&gt;
            &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;43%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&amp;#160;&lt;/font&gt;&lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&amp;#160;&amp;#160;&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;13%&quot; colspan=&quot;2&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 10pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot;&gt;Level 1&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;13%&quot; colspan=&quot;2&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot;&gt;Level 2&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;13%&quot; colspan=&quot;2&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot;&gt;Level 3&lt;/font&gt;
                &lt;/p&gt;
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              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;12%&quot; colspan=&quot;2&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot;&gt;Total&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;43%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;11%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
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              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;11%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;11%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;43%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;Money market funds &amp;#8211; Cash and cash equivalents&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;$&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;11%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;776,141&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;$&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;11%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;-&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;$&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;11%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;-&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;$&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;776,141&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;43%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;11%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
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                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;Certificates of deposit Short-term investments&lt;/font&gt;
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                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;2,450,000&lt;/font&gt;
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                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
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                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;-&lt;/font&gt;
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                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;2,450,000&lt;/font&gt;
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                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;Videocon Industries Limited global depository receipts&lt;/font&gt;
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                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
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                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;3,986,427&lt;/font&gt;
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                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;-&lt;/font&gt;
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                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;11%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;-&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;3,986,427&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 15.95pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;43%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt 10pt&quot;&gt;
                  &lt;font style=&quot;font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;Total financial assets&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;$&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;11%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;7,212,568&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;$&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;11%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;-&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;$&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;11%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;-&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;$&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;black&quot;&gt;7,212,568&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
          &lt;/table&gt;&lt;table style=&quot;WIDTH: 50%; BORDER-COLLAPSE: collapse&quot; border=&quot;0&quot; cellspacing=&quot;0&quot; cellpadding=&quot;0&quot;&gt;
            &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;46%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot; colspan=&quot;2&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot;&gt;Level 1&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot; colspan=&quot;2&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot;&gt;Level 2&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot; colspan=&quot;2&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot;&gt;Level 3&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot; colspan=&quot;2&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot;&gt;Total&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;46%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;46%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Money market funds &amp;#8211; Cash and cash equivalents&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;898,172&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;-&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;-&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;898,172&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;46%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Videocon Industries Limited global depository receipts&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;4,197,341&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;-&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;-&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;4,197,341&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 15.95pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;46%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt 10pt&quot;&gt;
                  &lt;font style=&quot;font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Total financial assets&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;5,095,513&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;-&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;-&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;5,095,513&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;46%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;10%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
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            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;24%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;4%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;14%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;4%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;13%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;4%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;13%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;24%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Derivative liability&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;4%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;14%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;-&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;4%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;13%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;-&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;4%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;13%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;3,430,000&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;3,430,000&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;24%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Patent acquisition obligation&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;4%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;14%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;-&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;4%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;13%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;-&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;4%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;13%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;2,936,977&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;2,936,977&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr style=&quot;HEIGHT: 15.95pt&quot;&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;24%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: left; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Total&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;4%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;14%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;-&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;4%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;13%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;-&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;4%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;13%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;6,366,977&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;3%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: left; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;12%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;6,366,977&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
        &lt;/table&gt;&lt;table style=&quot;WIDTH: 50%&quot; border=&quot;0&quot; cellspacing=&quot;0&quot; cellpadding=&quot;0&quot;&gt;
            &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;42%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&amp;#160;&amp;#160;&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;13%&quot; colspan=&quot;2&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot;&gt;Level 1&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;13%&quot; colspan=&quot;2&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot;&gt;Level 2&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;13%&quot; colspan=&quot;2&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot;&gt;Level 3&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;13%&quot; colspan=&quot;2&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
                &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot;&gt;Total&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;42%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
            &lt;tr style=&quot;HEIGHT: 15.95pt&quot;&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;42%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Derivative liability&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;-&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;-&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;540,000&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
                &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
              &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
                &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                  &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;540,000&lt;/font&gt;
                &lt;/p&gt;
              &lt;/td&gt;
            &lt;/tr&gt;
          &lt;/table&gt;</us-gaap:ScheduleOfFairValueAssetsAndLiabilitiesMeasuredOnRecurringBasisTableTextBlock>
  <us-gaap:DerivativeLiabilities unitRef="usd" contextRef="c162_AsOf31Jan2014_FairValueInputsLevel1Member" xs:nil="true"/>
  <us-gaap:DerivativeLiabilities unitRef="usd" contextRef="c163_AsOf31Jan2014_FairValueInputsLevel2Member" xs:nil="true"/>
  <us-gaap:DerivativeLiabilities unitRef="usd" contextRef="c164_AsOf31Jan2014_FairValueInputsLevel3Member" decimals="0">3430000</us-gaap:DerivativeLiabilities>
  <us-gaap:DerivativeLiabilities unitRef="usd" contextRef="c0_AsOf31Jan2014" decimals="0">3430000</us-gaap:DerivativeLiabilities>
  <copy:PatentAcquisitionObligation unitRef="usd" contextRef="c162_AsOf31Jan2014_FairValueInputsLevel1Member" xs:nil="true"/>
  <copy:PatentAcquisitionObligation unitRef="usd" contextRef="c163_AsOf31Jan2014_FairValueInputsLevel2Member" xs:nil="true"/>
  <copy:PatentAcquisitionObligation unitRef="usd" contextRef="c164_AsOf31Jan2014_FairValueInputsLevel3Member" decimals="0">2936977</copy:PatentAcquisitionObligation>
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  <us-gaap:FinancialLiabilitiesFairValueDisclosure unitRef="usd" contextRef="c163_AsOf31Jan2014_FairValueInputsLevel2Member" xs:nil="true"/>
  <us-gaap:FinancialLiabilitiesFairValueDisclosure unitRef="usd" contextRef="c164_AsOf31Jan2014_FairValueInputsLevel3Member" decimals="0">6366977</us-gaap:FinancialLiabilitiesFairValueDisclosure>
  <us-gaap:FinancialLiabilitiesFairValueDisclosure unitRef="usd" contextRef="c0_AsOf31Jan2014" decimals="0">6366977</us-gaap:FinancialLiabilitiesFairValueDisclosure>
  <us-gaap:DerivativeLiabilities unitRef="usd" contextRef="c169_AsOf31Oct2013_FairValueInputsLevel1Member" xs:nil="true"/>
  <us-gaap:DerivativeLiabilities unitRef="usd" contextRef="c170_AsOf31Oct2013_FairValueInputsLevel2Member" xs:nil="true"/>
  <us-gaap:DerivativeLiabilities unitRef="usd" contextRef="c171_AsOf31Oct2013_FairValueInputsLevel3Member" decimals="0">540000</us-gaap:DerivativeLiabilities>
  <us-gaap:DerivativeLiabilities unitRef="usd" contextRef="c1_AsOf31Oct2013" decimals="0">540000</us-gaap:DerivativeLiabilities>
  <us-gaap:FairValueAssetsMeasuredOnRecurringBasisUnobservableInputReconciliationTextBlock contextRef="c8_From1Nov2013To31Jan2014">&lt;table style=&quot;width: 50%;&quot; border=&quot;0&quot; cellspacing=&quot;0&quot; cellpadding=&quot;0&quot;&gt;

        &lt;tr&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 5.4pt; padding-right: 5.4pt; padding-top: 0in;&quot; valign=&quot;top&quot; width=&quot;83%&quot;&gt;
            &lt;p style=&quot;text-align: justify; margin: 0in 0in 0pt;&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
            &lt;p style=&quot;text-align: justify; margin: 0in 0in 0pt;&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;border-bottom: #000000 1px solid;&quot; colspan=&quot;2&quot; valign=&quot;top&quot; width=&quot;17%&quot;&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &amp;#160;
            &lt;/p&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;For the Three Months&lt;/font&gt;
            &lt;/p&gt;
            &lt;p style=&quot;text-align: center; margin: 0in 0in 0pt;&quot; align=&quot;center&quot;&gt;
              &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Ended January 31, 2014&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
        &lt;/tr&gt;
        &lt;tr valign=&quot;bottom&quot;&gt;
          &lt;td style=&quot;padding-bottom: 0in; background-color: #cceeff; padding-left: 5.4pt; padding-right: 5.4pt; padding-top: 0in;&quot; valign=&quot;top&quot; width=&quot;83%&quot;&gt;
            &lt;p style=&quot;text-align: justify; margin: 0in 0in 0pt;&quot;&gt;
              &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Beginning balance&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;background-color: #cceeff;&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
            &lt;p style=&quot;margin: 0in 0in 0pt;&quot;&gt;
              &amp;#160;
            &lt;/p&gt;&lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
          &lt;/td&gt;
          &lt;td style=&quot;padding: 0in 5.4pt; background-color: #cceeff; width: 15%;&quot; align=&quot;right&quot; valign=&quot;bottom&quot;&gt;
            &lt;p style=&quot;margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&amp;#160;540,000&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
        &lt;/tr&gt;
        &lt;tr valign=&quot;bottom&quot;&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 5.4pt; padding-right: 5.4pt; padding-top: 0in;&quot; valign=&quot;top&quot; width=&quot;83%&quot;&gt;
            &lt;p style=&quot;text-align: justify; margin: 0in 0in 0pt;&quot;&gt;
              &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Fair value of patent acquistion obligation&lt;br /&gt;
              &lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td valign=&quot;top&quot; width=&quot;2%&quot;&gt;
            &amp;#160;
          &lt;/td&gt;
          &lt;td style=&quot;padding: 0in 5.4pt; width: 15%;&quot; align=&quot;right&quot; valign=&quot;bottom&quot;&gt;
            &lt;p style=&quot;margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;2,936,977&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
        &lt;/tr&gt;
        &lt;tr valign=&quot;bottom&quot;&gt;
          &lt;td style=&quot;padding-bottom: 0in; background-color: #cceeff; padding-left: 5.4pt; padding-right: 5.4pt; padding-top: 0in;&quot; valign=&quot;top&quot; width=&quot;83%&quot;&gt;
            &lt;p style=&quot;text-align: justify; margin: 0in 0in 0pt;&quot;&gt;
              &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Aggregate fair value of bifurcated conversion feature issued&lt;/font&gt;&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;background-color: #cceeff; width: 2%;&quot; valign=&quot;top&quot;&gt;
            &amp;#160;
          &lt;/td&gt;
          &lt;td style=&quot;padding: 0in 5.4pt; background-color: #cceeff; width: 15%;&quot; align=&quot;right&quot; valign=&quot;bottom&quot;&gt;
            &lt;p style=&quot;margin: 0in 0in 0pt;&quot; align=&quot;right&quot;&gt;
              &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;1,570,000&lt;/font&gt;&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
        &lt;/tr&gt;
        &lt;tr&gt;
          &lt;td style=&quot;padding-bottom: 0in; padding-left: 5.4pt; padding-right: 5.4pt; padding-top: 0in;&quot; valign=&quot;top&quot; width=&quot;83%&quot;&gt;
            &lt;p style=&quot;text-align: justify; margin: 0in 0in 0pt;&quot;&gt;
              &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Change in fair value of bifurcated conversion feature&lt;/font&gt;&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
          &lt;td style=&quot;border-bottom: #000000 1px solid; ; width: 2%;&quot; valign=&quot;top&quot;&gt;
            &lt;p style=&quot;margin: 0in 0in 0pt;&quot;&gt;
              &amp;#160;
            &lt;/p&gt;&lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
          &lt;/td&gt;
          &lt;td style=&quot;border-bottom: #000000 1px solid; ; padding: 0in 5.4pt; width: 15%;&quot; align=&quot;right&quot; valign=&quot;bottom&quot;&gt;
            &lt;p style=&quot;margin: 0in 0in 0pt; text-align: right;&quot;&gt;
              &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&amp;#160;&lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;1,320,000&lt;/font&gt;&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
        &lt;/tr&gt;
        &lt;tr&gt;
          &lt;td style=&quot;padding-bottom: 0in; background-color: #cceeff; padding-left: 5.4pt; padding-right: 5.4pt; padding-top: 0in;&quot; valign=&quot;top&quot; width=&quot;83%&quot;&gt;
            &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Ending balance&lt;/font&gt;&lt;/font&gt;
          &lt;/td&gt;
          &lt;td style=&quot;background-color: #cceeff; border-bottom: #000000 3px double;&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
            &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;$&lt;/font&gt;
          &lt;/td&gt;
          &lt;td style=&quot;border-bottom: #000000 3px double; padding: 0in 5.4pt; width: 15%;&quot; align=&quot;right&quot; valign=&quot;bottom&quot;&gt;
            &lt;p style=&quot;margin: 0in 0in 0pt; text-align: right;&quot;&gt;
              &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;&amp;#160;&lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;3,430,000&lt;/font&gt;&lt;/font&gt;
            &lt;/p&gt;
          &lt;/td&gt;
        &lt;/tr&gt;

    &lt;/table&gt;</us-gaap:FairValueAssetsMeasuredOnRecurringBasisUnobservableInputReconciliationTextBlock>
  <us-gaap:FairValueLiabilitiesMeasuredOnRecurringBasisObligations unitRef="usd" contextRef="c0_AsOf31Jan2014" decimals="0">2936977</us-gaap:FairValueLiabilitiesMeasuredOnRecurringBasisObligations>
  <us-gaap:DebtConversionConvertedInstrumentAmount1 unitRef="usd" contextRef="c8_From1Nov2013To31Jan2014" decimals="0">1570000</us-gaap:DebtConversionConvertedInstrumentAmount1>
  <us-gaap:FairValueMeasuredOnRecurringBasisGainLossIncludedInEarnings unitRef="usd" contextRef="c8_From1Nov2013To31Jan2014" decimals="0">1320000</us-gaap:FairValueMeasuredOnRecurringBasisGainLossIncludedInEarnings>
  <invest:InvestmentTextBlock contextRef="c8_From1Nov2013To31Jan2014">&lt;p style=&quot;TEXT-ALIGN: justify; MARGIN: 0in 0in 12pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot; color=&quot;black&quot;&gt;5.&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&lt;/font&gt; &lt;u&gt;&lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot; color=&quot;black&quot;&gt;INVESTMENTS&amp;#160;&lt;/font&gt;&lt;/u&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;u&gt;&lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot; color=&quot;black&quot;&gt;Short-term Investments&lt;/font&gt;&lt;/u&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;At January 31, 2014, we had marketable securities consisting of&lt;/font&gt; &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot; color=&quot;black&quot;&gt;certificates of deposit&lt;/font&gt; &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;of approximately $2,450,000, which were classified as&lt;/font&gt; &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot; color=&quot;black&quot;&gt;&quot;available-for-sale securities&quot; and reported at fair value.&lt;/font&gt; &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;&amp;#160;&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;u&gt;&lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot; color=&quot;black&quot;&gt;Investment in Videocon&lt;/font&gt;&lt;/u&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;Our investment in Videocon is classified as an &quot;available-for-sale security&quot; and reported at fair value, with unrealized gains and losses excluded from operations and reported as a component of accumulated other comprehensive income (loss) in shareholders&amp;#8217; equity.&amp;#160; The original cost basis of $16,200,000 was determined using the specific identification method.&amp;#160; The fair value of the Videocon GDRs is based on the price on the Luxembourg Stock Exchange, which price is based on the underlying price of Videocon&amp;#8217;s equity shares which are traded on stock exchanges in India with prices quoted in rupees.&amp;#160;&amp;#160;&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;ASC 320 &amp;#8220;Investments-Debt and Equity Securities&amp;#8221; (&amp;#8220;ASC 320&amp;#8221;) and SEC guidance on other than temporary impairments of certain investments in equity securities requires an evaluation to determine if the decline in fair value of an investment is either temporary or other than temporary.&amp;#160; Unless evidence exists to support a realizable value equal to or greater than the carrying cost of the investment, an other than temporary impairment should be recorded.&amp;#160; At each reporting period we assess our investment in Videocon to determine if a decline that is other than temporary has occurred. &amp;#160;In evaluating our investment in Videocon at October 31, 2013, we determined that based on both the duration and the continuing magnitude of the market price decline compared to the carrying cost basis of approximately $5,382,000, and the uncertainty of its recovery, a write-down of the investment
        of approximately $1,185,000 should be recorded as of October 31, 2013, and a new cost basis of approximately $4,197,000 should be established.&amp;#160;&amp;#160; An other than temporary impairment of approximately $12,003,000, on a cumulative basis, has been recorded as of October 31, 2013.&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;&amp;#160;The fair value of investment in Videocon as of January 31, 2014 and October 31, 2013, and the unrealized loss for the three month period ended January 31, 2014, are as follows:&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;table style=&quot;WIDTH: 50%; MARGIN-LEFT: 0.7in&quot; border=&quot;0&quot; cellspacing=&quot;0&quot; cellpadding=&quot;0&quot;&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 5.4pt; PADDING-RIGHT: 5.4pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: justify; MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: #000000 1px solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 5.4pt; PADDING-RIGHT: 5.4pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;14%&quot; colspan=&quot;2&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: justify; MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
              &lt;/p&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Investment in&lt;/font&gt;
              &lt;/p&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Videocon&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 5.4pt; PADDING-RIGHT: 5.4pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: justify; MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; color=&quot;black&quot;&gt;Fair Value as of October 31, 2013&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 5.4pt; PADDING-RIGHT: 5.4pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: justify; MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; color=&quot;black&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 5.4pt; PADDING-RIGHT: 5.4pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;12%&quot; align=&quot;right&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; color=&quot;#000000&quot;&gt;4,197,341&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 5.4pt; PADDING-RIGHT: 5.4pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: justify; MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; color=&quot;black&quot;&gt;Unrealized loss&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: #000000 1px solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 5.4pt; PADDING-RIGHT: 5.4pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: justify; MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 5.4pt; PADDING-RIGHT: 5.4pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;12%&quot; align=&quot;right&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; color=&quot;#000000&quot;&gt;210,914&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 5.4pt; PADDING-RIGHT: 5.4pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: justify; MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; color=&quot;black&quot;&gt;Fair Value as of January 31, 2014&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: #000000 3px double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 5.4pt; PADDING-RIGHT: 5.4pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: justify; MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; color=&quot;black&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 2pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 5.4pt; PADDING-RIGHT: 5.4pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;12%&quot; align=&quot;right&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; color=&quot;#000000&quot;&gt;&amp;#160;3,926,427&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
        &lt;/table&gt;&lt;br/&gt;&lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;u&gt;&lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;Investment in ZQX Advisors, LLC&lt;/font&gt;&lt;/u&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;In August 2009, we entered into an Engagement Agreement with ZQX Advisors, LLC (&amp;#8220;ZQX&amp;#8221;) to assist us in seeking business opportunities and licenses for our electrophoretic display technology.&amp;#160; Concurrently with entering into the Engagement Agreement, we acquired a 19.5% ownership interest in ZQX.&amp;#160; On January 21, 2013, we terminated the Engagement Agreement with ZQX, but currently retain our 19.5% interest in ZQX. We have classified our interest in ZQX of approximately $48,000 as a reduction of additional paid-in capital within shareholders&amp;#8217; deficiency since this investment in ZQX consists entirely of our equity securities.&amp;#160;&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;</invest:InvestmentTextBlock>
  <us-gaap:CertificatesOfDepositAtCarryingValue unitRef="usd" contextRef="c0_AsOf31Jan2014" decimals="0">2450000</us-gaap:CertificatesOfDepositAtCarryingValue>
  <us-gaap:EquityMethodInvestmentAggregateCost unitRef="usd" contextRef="c172_AsOf31Jan2014_AvailableforsaleSecuritiesMember_InvestmentInVideoconMember" decimals="0">16200000</us-gaap:EquityMethodInvestmentAggregateCost>
  <us-gaap:AvailableForSaleEquitySecuritiesAmortizedCostBasis unitRef="usd" contextRef="c173_AsOf31Oct2013_InvestmentInVideoconMember" decimals="0">5382000</us-gaap:AvailableForSaleEquitySecuritiesAmortizedCostBasis>
  <us-gaap:ImpairmentOfInvestments unitRef="usd" contextRef="c174_From1Nov2012To31Oct2013_InvestmentInVideoconMember" decimals="0">1185000</us-gaap:ImpairmentOfInvestments>
  <us-gaap:InvestmentsFairValueDisclosure unitRef="usd" contextRef="c173_AsOf31Oct2013_InvestmentInVideoconMember" decimals="0">4197000</us-gaap:InvestmentsFairValueDisclosure>
  <copy:AccumulatedOtherThanTemporaryImpairmentAvailableForSaleSecurities unitRef="usd" contextRef="c173_AsOf31Oct2013_InvestmentInVideoconMember" decimals="0">12003000</copy:AccumulatedOtherThanTemporaryImpairmentAvailableForSaleSecurities>
  <us-gaap:EquityMethodInvestmentOwnershipPercentage unitRef="pure" contextRef="c175_AsOf30Aug2009_InvestmentInZQXAdvisorsLLCMember" decimals="3">0.195</us-gaap:EquityMethodInvestmentOwnershipPercentage>
  <us-gaap:AdjustmentsToAdditionalPaidInCapitalOther unitRef="usd" contextRef="c176_From1Nov2013To31Jan2014_InvestmentInZQXAdvisorsLLCMember" decimals="0">-48000</us-gaap:AdjustmentsToAdditionalPaidInCapitalOther>
  <us-gaap:ScheduleOfFairValueOfSeparateAccountsByMajorCategoryOfInvestmentTextBlock contextRef="c8_From1Nov2013To31Jan2014">&lt;table style=&quot;WIDTH: 50%; MARGIN-LEFT: 0.7in&quot; border=&quot;0&quot; cellspacing=&quot;0&quot; cellpadding=&quot;0&quot;&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 5.4pt; PADDING-RIGHT: 5.4pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: justify; MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: #000000 1px solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 5.4pt; PADDING-RIGHT: 5.4pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;14%&quot; colspan=&quot;2&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: justify; MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
              &lt;/p&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Investment in&lt;/font&gt;
              &lt;/p&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot;&gt;Videocon&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 5.4pt; PADDING-RIGHT: 5.4pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: justify; MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; color=&quot;black&quot;&gt;Fair Value as of October 31, 2013&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 5.4pt; PADDING-RIGHT: 5.4pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: justify; MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; color=&quot;black&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 5.4pt; PADDING-RIGHT: 5.4pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;12%&quot; align=&quot;right&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; color=&quot;#000000&quot;&gt;4,197,341&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 5.4pt; PADDING-RIGHT: 5.4pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: justify; MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; color=&quot;black&quot;&gt;Unrealized loss&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: #000000 1px solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 5.4pt; PADDING-RIGHT: 5.4pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: justify; MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; color=&quot;black&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 5.4pt; PADDING-RIGHT: 5.4pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;12%&quot; align=&quot;right&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; color=&quot;#000000&quot;&gt;210,914&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 5.4pt; PADDING-RIGHT: 5.4pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;86%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: justify; MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; color=&quot;black&quot;&gt;Fair Value as of January 31, 2014&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: #000000 3px double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 5.4pt; PADDING-RIGHT: 5.4pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: justify; MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; color=&quot;black&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 2pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 5.4pt; PADDING-RIGHT: 5.4pt; PADDING-TOP: 0in&quot; valign=&quot;top&quot; width=&quot;12%&quot; align=&quot;right&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; color=&quot;#000000&quot;&gt;&amp;#160;3,926,427&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
        &lt;/table&gt;</us-gaap:ScheduleOfFairValueOfSeparateAccountsByMajorCategoryOfInvestmentTextBlock>
  <us-gaap:UnrealizedGainLossOnInvestments unitRef="usd" contextRef="c177_From1Nov2013To31Jan2014_InvestmentInVideoconMember" decimals="0">-210914</us-gaap:UnrealizedGainLossOnInvestments>
  <us-gaap:InvestmentsFairValueDisclosure unitRef="usd" contextRef="c178_AsOf31Jan2014_InvestmentInVideoconMember" decimals="0">3926427</us-gaap:InvestmentsFairValueDisclosure>
  <us-gaap:AccountsPayableAndAccruedLiabilitiesDisclosureTextBlock contextRef="c8_From1Nov2013To31Jan2014">&lt;p style=&quot;TEXT-ALIGN: justify; MARGIN: 0in 0in 12pt&quot;&gt;
        &lt;font style=&quot;text-autospace: ideograph-numeric; font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;6.&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&lt;/font&gt; &lt;u&gt;&lt;font style=&quot;text-autospace: ideograph-numeric; font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;ACCOUNTS PAYABLE AND ACCRUED EXPENSES&lt;/font&gt;&lt;/u&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;text-autospace: ideograph-numeric; font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;Accounts payable and accrued expense consist of the following as of:&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;table style=&quot;WIDTH: 50%&quot; border=&quot;0&quot; cellspacing=&quot;0&quot; cellpadding=&quot;0&quot;&gt;
          &lt;tr style=&quot;HEIGHT: 12.5pt&quot;&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;72%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: #000000 1px solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; rowspan=&quot;2&quot; width=&quot;13%&quot; colspan=&quot;2&quot; align=&quot;center&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
              &lt;/p&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot;&gt;January 31,&lt;/font&gt;
              &lt;/p&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot;&gt;2014&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: #000000 1px solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; rowspan=&quot;2&quot; width=&quot;13%&quot; colspan=&quot;2&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
              &lt;/p&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot;&gt;October 31,&lt;/font&gt;&lt;br /&gt;
              &lt;/p&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot;&gt;&lt;/font&gt;
              &lt;/p&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot;&gt;2013&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;72%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;72%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Accounts payable&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;491,773&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;527,208&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;72%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Payroll and related expenses&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;349,586&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;345,484&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;72%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Accrued litigation expense, consulting and other professional fees&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;205,906&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;248,730&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;72%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Accrued other&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;169,160&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;155,048&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr style=&quot;HEIGHT: 15.95pt&quot;&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;72%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: left; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Total&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;1,216,425&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;1,276,470&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
        &lt;/table&gt;&lt;br/&gt;</us-gaap:AccountsPayableAndAccruedLiabilitiesDisclosureTextBlock>
  <us-gaap:ScheduleOfAccountsPayableAndAccruedLiabilitiesTableTextBlock contextRef="c8_From1Nov2013To31Jan2014">&lt;table style=&quot;WIDTH: 50%&quot; border=&quot;0&quot; cellspacing=&quot;0&quot; cellpadding=&quot;0&quot;&gt;
          &lt;tr style=&quot;HEIGHT: 12.5pt&quot;&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;72%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: #000000 1px solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; rowspan=&quot;2&quot; width=&quot;13%&quot; colspan=&quot;2&quot; align=&quot;center&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
              &lt;/p&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot;&gt;January 31,&lt;/font&gt;
              &lt;/p&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot;&gt;2014&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: #000000 1px solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; rowspan=&quot;2&quot; width=&quot;13%&quot; colspan=&quot;2&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;
              &lt;/p&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot;&gt;October 31,&lt;/font&gt;&lt;br /&gt;
              &lt;/p&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot;&gt;&lt;/font&gt;
              &lt;/p&gt;
              &lt;p style=&quot;TEXT-ALIGN: center; MARGIN: 0in 0in 0pt&quot; align=&quot;center&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot;&gt;2013&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;72%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;72%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Accounts payable&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;491,773&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;527,208&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;72%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Payroll and related expenses&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;349,586&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;345,484&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;72%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Accrued litigation expense, consulting and other professional fees&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;205,906&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;248,730&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr style=&quot;HEIGHT: 15.25pt&quot;&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;72%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Accrued other&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;169,160&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;155,048&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
          &lt;tr style=&quot;HEIGHT: 15.95pt&quot;&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;72%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: left; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;Total&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;1,216,425&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;&lt;/font&gt;&amp;#160;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;2%&quot;&gt;
              &lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;$&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
            &lt;td style=&quot;BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in&quot; valign=&quot;bottom&quot; width=&quot;11%&quot;&gt;
              &lt;p style=&quot;TEXT-ALIGN: right; MARGIN: 0in 0in 0pt&quot; align=&quot;right&quot;&gt;
                &lt;font style=&quot;line-height: normal; font-size: 12pt; font-family: times new roman;&quot; color=&quot;#000000&quot;&gt;1,276,470&lt;/font&gt;
              &lt;/p&gt;
            &lt;/td&gt;
          &lt;/tr&gt;
        &lt;/table&gt;</us-gaap:ScheduleOfAccountsPayableAndAccruedLiabilitiesTableTextBlock>
  <us-gaap:AccountsPayableCurrent unitRef="usd" contextRef="c0_AsOf31Jan2014" decimals="0">491773</us-gaap:AccountsPayableCurrent>
  <us-gaap:AccountsPayableCurrent unitRef="usd" contextRef="c1_AsOf31Oct2013" decimals="0">527208</us-gaap:AccountsPayableCurrent>
  <us-gaap:EmployeeRelatedLiabilitiesCurrent unitRef="usd" contextRef="c0_AsOf31Jan2014" decimals="0">349586</us-gaap:EmployeeRelatedLiabilitiesCurrent>
  <us-gaap:EmployeeRelatedLiabilitiesCurrent unitRef="usd" contextRef="c1_AsOf31Oct2013" decimals="0">345484</us-gaap:EmployeeRelatedLiabilitiesCurrent>
  <us-gaap:AccruedProfessionalFeesCurrent unitRef="usd" contextRef="c0_AsOf31Jan2014" decimals="0">205906</us-gaap:AccruedProfessionalFeesCurrent>
  <us-gaap:AccruedProfessionalFeesCurrent unitRef="usd" contextRef="c1_AsOf31Oct2013" decimals="0">248730</us-gaap:AccruedProfessionalFeesCurrent>
  <us-gaap:OtherAccruedLiabilitiesCurrent unitRef="usd" contextRef="c0_AsOf31Jan2014" decimals="0">169160</us-gaap:OtherAccruedLiabilitiesCurrent>
  <us-gaap:OtherAccruedLiabilitiesCurrent unitRef="usd" contextRef="c1_AsOf31Oct2013" decimals="0">155048</us-gaap:OtherAccruedLiabilitiesCurrent>
  <us-gaap:EarningsPerShareTextBlock contextRef="c8_From1Nov2013To31Jan2014">&lt;p style=&quot;TEXT-ALIGN: justify; MARGIN: 0in 0in 12pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;7.&amp;#160;&amp;#160; &amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&lt;/font&gt; &lt;u&gt;&lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;&amp;#160;NET LOSS PER SHARE OF COMMON STOCK&lt;/font&gt;&lt;/u&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;In accordance with ASC 260, &amp;#8220;Earnings Per Share&amp;#8221;, basic net loss per common share (&amp;#8220;Basic EPS&amp;#8221;) is computed by dividing net loss by the weighted average number of common shares outstanding.&amp;#160; Diluted net loss per common share (&amp;#8220;Diluted EPS&amp;#8221;) is computed by dividing net loss by the weighted average number of common shares and dilutive common share equivalents and convertible securities then outstanding.&amp;#160; Diluted EPS for all periods presented is the same as Basic EPS, as the inclusion of the effect of common share equivalents then outstanding would be anti-dilutive.&amp;#160; For this reason, excluded from the calculation of Diluted EPS for the three-month periods ended January 31, 2014 and 2013, were stock options to purchase 70,832,845 and 61,408,845 shares respectively, and warrants to purchase 19,128,231 and 13,658,759 shares, respectively and debentures convertible
        into 28,099,423 shares and 19,919,425 shares respectively.&lt;/font&gt;
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  <us-gaap:AntidilutiveSecuritiesExcludedFromComputationOfEarningsPerShareAmount unitRef="shares" contextRef="c179_From1Nov2013To31Jan2014_StockOptionMember" decimals="INF">70832845</us-gaap:AntidilutiveSecuritiesExcludedFromComputationOfEarningsPerShareAmount>
  <us-gaap:AntidilutiveSecuritiesExcludedFromComputationOfEarningsPerShareAmount unitRef="shares" contextRef="c180_From1Nov2012To31Jan2013_StockOptionMember" decimals="INF">61408845</us-gaap:AntidilutiveSecuritiesExcludedFromComputationOfEarningsPerShareAmount>
  <us-gaap:AntidilutiveSecuritiesExcludedFromComputationOfEarningsPerShareAmount unitRef="shares" contextRef="c181_From1Nov2013To31Jan2014_WarrantMember" decimals="INF">19128231</us-gaap:AntidilutiveSecuritiesExcludedFromComputationOfEarningsPerShareAmount>
  <us-gaap:AntidilutiveSecuritiesExcludedFromComputationOfEarningsPerShareAmount unitRef="shares" contextRef="c182_From1Nov2012To31Jan2013_WarrantMember" decimals="INF">13658759</us-gaap:AntidilutiveSecuritiesExcludedFromComputationOfEarningsPerShareAmount>
  <us-gaap:AntidilutiveSecuritiesExcludedFromComputationOfEarningsPerShareAmount unitRef="shares" contextRef="c183_From1Nov2013To31Jan2014_ConvertibleDebtSecuritiesMember" decimals="INF">28099423</us-gaap:AntidilutiveSecuritiesExcludedFromComputationOfEarningsPerShareAmount>
  <us-gaap:AntidilutiveSecuritiesExcludedFromComputationOfEarningsPerShareAmount unitRef="shares" contextRef="c184_From1Nov2012To31Jan2013_ConvertibleDebtSecuritiesMember" decimals="INF">19919425</us-gaap:AntidilutiveSecuritiesExcludedFromComputationOfEarningsPerShareAmount>
  <us-gaap:NewAccountingPronouncementsAndChangesInAccountingPrinciplesTextBlock contextRef="c8_From1Nov2013To31Jan2014">&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;8.&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&amp;#160;&lt;/font&gt; &lt;u&gt;&lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;EFFECT OF RECENTLY ADOPTED AND ISSUED PRONOUNCEMENTS&lt;/font&gt;&lt;/u&gt;
      &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;In December 2011, the Financial Accounting Standards Board (&amp;#8220;FASB&amp;#8221;) issued Accounting Standards Update 2011-12 (&amp;#8220;ASU 2011-12&amp;#8221;),&lt;/font&gt; &lt;i&gt;&lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;Deferral of the Effective Date for Amendments to the Presentation of Reclassifications of Items Out of Accumulated Other Comprehensive Income in Accounting Standards Update No.&amp;#160;2011-05&lt;/font&gt;&lt;/i&gt;&lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;. This amendment defers the effective date of the requirement to present separate line items on the income statement for reclassification adjustments of items out of accumulated other comprehensive income into net income. ASU 2011-12 is effective at the same time as Accounting Standards Update 2011-05, Comprehensive Income (Topic 220): Presentation of Comprehensive Income (&amp;#8220;ASU 2011-05&amp;#8221;), so that entities will not
        be required to comply with the presentation requirements in ASU 2011-05 that this ASU 2011-12 is deferring. ASUs 2011-12 and 2011-05 are effective for fiscal years, and interim periods within those years, beginning after December&amp;#160;15, 2011.&amp;#160; The Company adopted ASUs 2011-05 and 2011-12 on November&amp;#160;1, 2012.&amp;#160; The adoption of these new disclosure requirements did not have a material impact on our disclosures or consolidated financial statements.&lt;/font&gt;
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          &lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;In October 2012, the FASB issued Accounting Standards Update 2012-04 (&amp;#8220;ASU 2012-04&amp;#8221;),&lt;/font&gt; &lt;i&gt;&lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;Technical Corrections and Improvements&lt;/font&gt;&lt;/i&gt;&lt;font style=&quot;font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;. The amendments in this update cover a wide range of topics and include technical corrections and improvements to the&lt;/font&gt; &lt;font style=&quot;text-autospace: ideograph-numeric; font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;Accounting Standards Codification. The amendments in ASU 2012-04 will be effective for interim and annual reporting periods beginning after December&amp;#160;15, 2012. The Company adopted ASU 2012-04 on February&amp;#160;1, 2013. The adoption of ASU 2012-04 did not have a material impact on the Company&amp;#8217;s consolidated financial position, results of operations or cash flows. &amp;#160;&lt;/font&gt;
        &lt;/p&gt;&lt;br/&gt;&lt;p style=&quot;TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt&quot;&gt;
        &lt;font style=&quot;text-autospace: ideograph-numeric; font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;In October 2012, the FASB issued Accounting Standards Update 2012-03 (&amp;#8220;ASU 2012-03&amp;#8221;),&lt;/font&gt; &lt;i&gt;&lt;font style=&quot;text-autospace: ideograph-numeric; font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;Technical Amendments and Corrections to SEC Sections&lt;/font&gt;&lt;/i&gt;&lt;font style=&quot;text-autospace: ideograph-numeric; font-size: 12pt; font-family: Times New Roman;&quot; lang=&quot;EN-US&quot;&gt;.&amp;#160;ASU 2012-03 is issued to amend certain SEC paragraphs in the FASB Accounting Standards Codification, including Amendments to SEC Paragraphs Pursuant to SEC Staff Accounting Bulletin, Technical Amendments, and Corrections Related to FASB Accounting Codification. The amendments in ASU 2012-03 will be effective for interim and annual reporting periods beginning after December&amp;#160;15, 2012.&amp;#160; The Company adopted ASU 2012-03 on February&amp;#160;1, 2013.&amp;#160;The adoption of ASU 2012-03 did not have a
        material impact on the Company&amp;#8217;s consolidated financial position, results of operations or cash flows.&lt;/font&gt;
      &lt;/p&gt;&lt;br/&gt;</us-gaap:NewAccountingPronouncementsAndChangesInAccountingPrinciplesTextBlock>
  <us-gaap:IncomeTaxDisclosureTextBlock contextRef="c8_From1Nov2013To31Jan2014">&lt;p style=&quot;MARGIN: 0in 0in 0pt&quot;&gt;
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  <xs:element name="AccountingTreatmentAxis" type="xbrli:stringItemType" abstract="true" xbrli:periodType="duration" nillable="true" substitutionGroup="xbrldt:dimensionItem" id="copy_AccountingTreatmentAxis"/>
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  <xs:element name="InvestmentInVideoconMember" type="nonnum:domainItemType" abstract="false" xbrli:periodType="duration" nillable="true" substitutionGroup="xbrli:item" id="copy_InvestmentInVideoconMember"/>
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  <xs:element name="LoanReceivableFromRelatedPartyMember" type="nonnum:domainItemType" abstract="false" xbrli:periodType="duration" nillable="true" substitutionGroup="xbrli:item" id="copy_LoanReceivableFromRelatedPartyMember"/>
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  <xs:element name="P2010SharePlanMember" type="nonnum:domainItemType" abstract="false" xbrli:periodType="duration" nillable="true" substitutionGroup="xbrli:item" id="copy_P2010SharePlanMember"/>
  <xs:element name="PlacementAgentWarrantMember" type="nonnum:domainItemType" abstract="false" xbrli:periodType="duration" nillable="true" substitutionGroup="xbrli:item" id="copy_PlacementAgentWarrantMember"/>
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  <xs:element name="ShareSubscriptionAgreementWithMarsOverseasMember" type="nonnum:domainItemType" abstract="false" xbrli:periodType="duration" nillable="true" substitutionGroup="xbrli:item" id="copy_ShareSubscriptionAgreementWithMarsOverseasMember"/>
  <xs:element name="StockAwardGrantedToEmployeesAndConsultantsMember" type="nonnum:domainItemType" abstract="false" xbrli:periodType="duration" nillable="true" substitutionGroup="xbrli:item" id="copy_StockAwardGrantedToEmployeesAndConsultantsMember"/>
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  <xs:element name="StockOption.Member" type="nonnum:domainItemType" abstract="false" xbrli:periodType="duration" nillable="true" substitutionGroup="xbrli:item" id="copy_StockOption.Member"/>
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  <xs:element name="StrategicAdvisorMember" type="nonnum:domainItemType" abstract="false" xbrli:periodType="duration" nillable="true" substitutionGroup="xbrli:item" id="copy_StrategicAdvisorMember"/>
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  <xs:element name="ThreeOutsideDirectorsMember" type="nonnum:domainItemType" abstract="false" xbrli:periodType="duration" nillable="true" substitutionGroup="xbrli:item" id="copy_ThreeOutsideDirectorsMember"/>
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  <xs:element name="VideoconMember" type="nonnum:domainItemType" abstract="false" xbrli:periodType="duration" nillable="true" substitutionGroup="xbrli:item" id="copy_VideoconMember"/>
  <xs:element name="DocumentAndEntityInformationAbstract" type="xbrli:stringItemType" abstract="true" xbrli:periodType="duration" nillable="true" substitutionGroup="xbrli:item" id="copy_DocumentAndEntityInformationAbstract"/>
</xs:schema>
</XBRL>
</TEXT>
</DOCUMENT>
<DOCUMENT>
<TYPE>EX-101.CAL
<SEQUENCE>9
<FILENAME>copy-20140131_cal.xml
<DESCRIPTION>XBRL TAXONOMY EXTENSION CALCULATION LINKBASE DOCUMENT
<TEXT>
<XBRL>
<!-- Generated by iC(tm) - CompSci Interactive Converter - http://www.compsciresources.com -->
<!-- Created: Mon Mar 17 20:45:03 UTC 2014 -->
<linkbase xmlns="http://www.xbrl.org/2003/linkbase" xmlns:xlink="http://www.w3.org/1999/xlink" xmlns:xsi="http://www.w3.org/2001/XMLSchema-instance" xsi:schemaLocation="http://www.xbrl.org/2003/linkbase http://www.xbrl.org/2003/xbrl-linkbase-2003-12-31.xsd">
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  <roleRef xlink:type="simple" xlink:href="copy-20140131.xsd#copy_r_ConsolidatedIncomeStatement" roleURI="http://www.copytele.com/role/ConsolidatedIncomeStatement"/>
  <roleRef xlink:type="simple" xlink:href="copy-20140131.xsd#copy_r_ConsolidatedCashFlow" roleURI="http://www.copytele.com/role/ConsolidatedCashFlow"/>
  <roleRef xlink:type="simple" xlink:href="copy-20140131.xsd#copy_r_AccountspayableandaccruedexpenseTable" roleURI="http://www.copytele.com/role/AccountspayableandaccruedexpenseTable"/>
  <calculationLink xlink:type="extended" xlink:role="http://www.copytele.com/role/ConsolidatedBalanceSheet">
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    <loc xlink:type="locator" xlink:label="us-gaap_CashAndCashEquivalentsAtCarryingValue" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_CashAndCashEquivalentsAtCarryingValue"/>
    <calculationArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/summation-item" xlink:from="us-gaap_AssetsCurrent" xlink:to="us-gaap_CashAndCashEquivalentsAtCarryingValue" order="1" weight="1"/>
    <loc xlink:type="locator" xlink:label="us-gaap_ShortTermInvestments" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_ShortTermInvestments"/>
    <calculationArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/summation-item" xlink:from="us-gaap_AssetsCurrent" xlink:to="us-gaap_ShortTermInvestments" order="2" weight="1"/>
    <loc xlink:type="locator" xlink:label="us-gaap_AccountsReceivableNetCurrent" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_AccountsReceivableNetCurrent"/>
    <calculationArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/summation-item" xlink:from="us-gaap_AssetsCurrent" xlink:to="us-gaap_AccountsReceivableNetCurrent" order="3" weight="1"/>
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</DOCUMENT>
<DOCUMENT>
<TYPE>EX-101.DEF
<SEQUENCE>10
<FILENAME>copy-20140131_def.xml
<DESCRIPTION>XBRL TAXONOMY EXTENSION DEFINITION LINKBASE DOCUMENT
<TEXT>
<XBRL>
<!-- Generated by iC(tm) - CompSci Interactive Converter - http://www.compsciresources.com -->
<!-- Created: Mon Mar 17 20:45:03 UTC 2014 -->
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<SEQUENCE>11
<FILENAME>copy-20140131_lab.xml
<DESCRIPTION>XBRL TAXONOMY EXTENSION LABELS LINKBASE DOCUMENT
<TEXT>
<XBRL>
<!-- Generated by iC(tm) - CompSci Interactive Converter - http://www.compsciresources.com -->
<!-- Created: Mon Mar 17 20:45:03 UTC 2014 -->
<linkbase xmlns="http://www.xbrl.org/2003/linkbase" xmlns:xlink="http://www.w3.org/1999/xlink" xmlns:xsi="http://www.w3.org/2001/XMLSchema-instance" xsi:schemaLocation="http://www.xbrl.org/2003/linkbase http://www.xbrl.org/2003/xbrl-linkbase-2003-12-31.xsd">
  <roleRef xlink:type="simple" xlink:href="http://www.xbrl.org/lrr/role/negated-2009-12-16.xsd#negatedTerseLabel" roleURI="http://www.xbrl.org/2009/role/negatedTerseLabel"/>
  <roleRef xlink:type="simple" xlink:href="http://www.xbrl.org/lrr/role/negated-2009-12-16.xsd#negatedLabel" roleURI="http://www.xbrl.org/2009/role/negatedLabel"/>
  <labelLink xlink:type="extended" xlink:role="http://www.xbrl.org/2003/role/link">
    <loc xlink:type="locator" xlink:label="us-gaap_StatementOfFinancialPositionAbstract" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_StatementOfFinancialPositionAbstract"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_StatementOfFinancialPositionAbstract_lbl" xml:lang="en-US">Statement of Financial Position [Abstract]</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_StatementOfFinancialPositionAbstract" xlink:to="us-gaap_StatementOfFinancialPositionAbstract_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_ShortTermDebtTypeDomain" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_ShortTermDebtTypeDomain"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_ShortTermDebtTypeDomain_lbl" xml:lang="en-US">Short-term Debt, Type [Domain]</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_ShortTermDebtTypeDomain" xlink:to="us-gaap_ShortTermDebtTypeDomain_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_LongtermDebtTypeDomain" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_LongtermDebtTypeDomain"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_LongtermDebtTypeDomain_lbl" xml:lang="en-US">Long-term Debt, Type [Domain]</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_LongtermDebtTypeDomain" xlink:to="us-gaap_LongtermDebtTypeDomain_lbl"/>
    <loc xlink:type="locator" xlink:label="copy_CurrentAssetsAbstract" xlink:href="copy-20140131.xsd#copy_CurrentAssetsAbstract"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="copy_CurrentAssetsAbstract_lbl" xml:lang="en-US">Current assets:</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_CurrentAssetsAbstract" xlink:to="copy_CurrentAssetsAbstract_lbl"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="copy_CurrentAssetsAbstract_lbl0" xml:lang="en-US">Current assets: [Abstract]</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_CurrentAssetsAbstract" xlink:to="copy_CurrentAssetsAbstract_lbl0"/>
    <loc xlink:type="locator" xlink:label="us-gaap_CashAndCashEquivalentsAtCarryingValue" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_CashAndCashEquivalentsAtCarryingValue"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_CashAndCashEquivalentsAtCarryingValue_lbl" xml:lang="en-US">Cash and cash equivalents</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_CashAndCashEquivalentsAtCarryingValue" xlink:to="us-gaap_CashAndCashEquivalentsAtCarryingValue_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_ShortTermInvestments" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_ShortTermInvestments"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_ShortTermInvestments_lbl" xml:lang="en-US">Short-term investments in certificates of deposit</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_ShortTermInvestments" xlink:to="us-gaap_ShortTermInvestments_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_AccountsReceivableNetCurrent" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_AccountsReceivableNetCurrent"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_AccountsReceivableNetCurrent_lbl" xml:lang="en-US">Accounts receivable</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_AccountsReceivableNetCurrent" xlink:to="us-gaap_AccountsReceivableNetCurrent_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_PrepaidExpenseAndOtherAssetsCurrent" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_PrepaidExpenseAndOtherAssetsCurrent"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_PrepaidExpenseAndOtherAssetsCurrent_lbl" xml:lang="en-US">Prepaid expenses and other current assets</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_PrepaidExpenseAndOtherAssetsCurrent" xlink:to="us-gaap_PrepaidExpenseAndOtherAssetsCurrent_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_AssetsCurrent" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_AssetsCurrent"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/totalLabel" xlink:label="us-gaap_AssetsCurrent_lbl" xml:lang="en-US">Total current assets</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_AssetsCurrent" xlink:to="us-gaap_AssetsCurrent_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_AvailableForSaleSecuritiesNoncurrent" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_AvailableForSaleSecuritiesNoncurrent"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_AvailableForSaleSecuritiesNoncurrent_lbl" xml:lang="en-US">Investment in Videocon Industries Limited global depository receipts, at market value</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_AvailableForSaleSecuritiesNoncurrent" xlink:to="us-gaap_AvailableForSaleSecuritiesNoncurrent_lbl"/>
    <loc xlink:type="locator" xlink:label="copy_FiniteLivedPatentsNet" xlink:href="copy-20140131.xsd#copy_FiniteLivedPatentsNet"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/documentation" xlink:label="copy_FiniteLivedPatentsNet_lbl" xml:lang="en-US">Net carrying amount after accumulated amortization as of the balance sheet date of the costs pertaining to the exclusive legal rights granted to the owner of the patent to exploit an invention or a process for a period of time specified by law. Such costs may have been expended to directly apply and receive patent rights, or to acquire such rights.</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_FiniteLivedPatentsNet" xlink:to="copy_FiniteLivedPatentsNet_lbl"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="copy_FiniteLivedPatentsNet_lbl0" xml:lang="en-US">Patents, net of accumulated amortization of $70,481</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_FiniteLivedPatentsNet" xlink:to="copy_FiniteLivedPatentsNet_lbl0"/>
    <loc xlink:type="locator" xlink:label="us-gaap_PropertyPlantAndEquipmentNet" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_PropertyPlantAndEquipmentNet"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_PropertyPlantAndEquipmentNet_lbl" xml:lang="en-US">Property and equipment, net of accumulated depreciation of $46,382 and $45,654 respectively</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_PropertyPlantAndEquipmentNet" xlink:to="us-gaap_PropertyPlantAndEquipmentNet_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_Assets" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_Assets"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/totalLabel" xlink:label="us-gaap_Assets_lbl" xml:lang="en-US">Total assets</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_Assets" xlink:to="us-gaap_Assets_lbl"/>
    <loc xlink:type="locator" xlink:label="copy_LiabilitiesAndShareholdersDeficiencyAbstract" xlink:href="copy-20140131.xsd#copy_LiabilitiesAndShareholdersDeficiencyAbstract"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="copy_LiabilitiesAndShareholdersDeficiencyAbstract_lbl" xml:lang="en-US">LIABILITIES AND SHAREHOLDERS&apos; DEFICIENCY</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_LiabilitiesAndShareholdersDeficiencyAbstract" xlink:to="copy_LiabilitiesAndShareholdersDeficiencyAbstract_lbl"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="copy_LiabilitiesAndShareholdersDeficiencyAbstract_lbl0" xml:lang="en-US">LIABILITIES AND SHAREHOLDERS&apos; DEFICIENCY [Abstract]</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_LiabilitiesAndShareholdersDeficiencyAbstract" xlink:to="copy_LiabilitiesAndShareholdersDeficiencyAbstract_lbl0"/>
    <loc xlink:type="locator" xlink:label="copy_CurrentLiabilitiesAbstract" xlink:href="copy-20140131.xsd#copy_CurrentLiabilitiesAbstract"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="copy_CurrentLiabilitiesAbstract_lbl" xml:lang="en-US">Current liabilities:</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_CurrentLiabilitiesAbstract" xlink:to="copy_CurrentLiabilitiesAbstract_lbl"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="copy_CurrentLiabilitiesAbstract_lbl0" xml:lang="en-US">Current liabilities: [Abstract]</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_CurrentLiabilitiesAbstract" xlink:to="copy_CurrentLiabilitiesAbstract_lbl0"/>
    <loc xlink:type="locator" xlink:label="us-gaap_AccountsPayableAndAccruedLiabilitiesCurrent" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_AccountsPayableAndAccruedLiabilitiesCurrent"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_AccountsPayableAndAccruedLiabilitiesCurrent_lbl" xml:lang="en-US">Accounts payable and accrued expenses</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_AccountsPayableAndAccruedLiabilitiesCurrent" xlink:to="us-gaap_AccountsPayableAndAccruedLiabilitiesCurrent_lbl"/>
    <loc xlink:type="locator" xlink:label="copy_RoyaltiesAndContingentLegalFeesPayable" xlink:href="copy-20140131.xsd#copy_RoyaltiesAndContingentLegalFeesPayable"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/documentation" xlink:label="copy_RoyaltiesAndContingentLegalFeesPayable_lbl" xml:lang="en-US">Royalties and contingent legal fees payable.</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_RoyaltiesAndContingentLegalFeesPayable" xlink:to="copy_RoyaltiesAndContingentLegalFeesPayable_lbl"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="copy_RoyaltiesAndContingentLegalFeesPayable_lbl0" xml:lang="en-US">Royalties and contingent legal fees payable</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_RoyaltiesAndContingentLegalFeesPayable" xlink:to="copy_RoyaltiesAndContingentLegalFeesPayable_lbl0"/>
    <loc xlink:type="locator" xlink:label="us-gaap_ConvertibleDebtCurrent" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_ConvertibleDebtCurrent"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_ConvertibleDebtCurrent_lbl" xml:lang="en-US">Current portion of convertible debentures</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_ConvertibleDebtCurrent" xlink:to="us-gaap_ConvertibleDebtCurrent_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_DerivativeLiabilitiesCurrent" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_DerivativeLiabilitiesCurrent"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_DerivativeLiabilitiesCurrent_lbl" xml:lang="en-US">Derivative liabilities, at fair value</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_DerivativeLiabilitiesCurrent" xlink:to="us-gaap_DerivativeLiabilitiesCurrent_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_DueToRelatedPartiesCurrent" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_DueToRelatedPartiesCurrent"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_DueToRelatedPartiesCurrent_lbl" xml:lang="en-US">Loan payable to related party (Note 1)</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_DueToRelatedPartiesCurrent" xlink:to="us-gaap_DueToRelatedPartiesCurrent_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_DeferredRevenueCurrent" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_DeferredRevenueCurrent"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_DeferredRevenueCurrent_lbl" xml:lang="en-US">Deferred revenue, non-refundable license fees</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_DeferredRevenueCurrent" xlink:to="us-gaap_DeferredRevenueCurrent_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_LiabilitiesCurrent" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_LiabilitiesCurrent"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/totalLabel" xlink:label="us-gaap_LiabilitiesCurrent_lbl" xml:lang="en-US">Total current liabilities</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_LiabilitiesCurrent" xlink:to="us-gaap_LiabilitiesCurrent_lbl"/>
    <loc xlink:type="locator" xlink:label="copy_ContingenciesNote11Abstract" xlink:href="copy-20140131.xsd#copy_ContingenciesNote11Abstract"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="copy_ContingenciesNote11Abstract_lbl" xml:lang="en-US">Contingencies (Note 11)</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_ContingenciesNote11Abstract" xlink:to="copy_ContingenciesNote11Abstract_lbl"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="copy_ContingenciesNote11Abstract_lbl0" xml:lang="en-US">Contingencies (Note 11) [Abstract]</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_ContingenciesNote11Abstract" xlink:to="copy_ContingenciesNote11Abstract_lbl0"/>
    <loc xlink:type="locator" xlink:label="us-gaap_ConvertibleDebtNoncurrent" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_ConvertibleDebtNoncurrent"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_ConvertibleDebtNoncurrent_lbl" xml:lang="en-US">Convertible debentures</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_ConvertibleDebtNoncurrent" xlink:to="us-gaap_ConvertibleDebtNoncurrent_lbl"/>
    <loc xlink:type="locator" xlink:label="copy_PatentAcquisitionObligation" xlink:href="copy-20140131.xsd#copy_PatentAcquisitionObligation"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/documentation" xlink:label="copy_PatentAcquisitionObligation_lbl" xml:lang="en-US">Patent acquisition obligation.</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_PatentAcquisitionObligation" xlink:to="copy_PatentAcquisitionObligation_lbl"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="copy_PatentAcquisitionObligation_lbl0" xml:lang="en-US">Patent acquisition obligation</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_PatentAcquisitionObligation" xlink:to="copy_PatentAcquisitionObligation_lbl0"/>
    <loc xlink:type="locator" xlink:label="us-gaap_DueToRelatedPartiesNoncurrent" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_DueToRelatedPartiesNoncurrent"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="us-gaap_DueToRelatedPartiesNoncurrent_lbl" xml:lang="en-US">Loan payable to related party (Note 1)</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_DueToRelatedPartiesNoncurrent" xlink:to="us-gaap_DueToRelatedPartiesNoncurrent_lbl"/>
    <loc xlink:type="locator" xlink:label="copy_ShareholdersDeficiencyAbstract" xlink:href="copy-20140131.xsd#copy_ShareholdersDeficiencyAbstract"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="copy_ShareholdersDeficiencyAbstract_lbl" xml:lang="en-US">Shareholders&#8217; deficiency:</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_ShareholdersDeficiencyAbstract" xlink:to="copy_ShareholdersDeficiencyAbstract_lbl"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="copy_ShareholdersDeficiencyAbstract_lbl0" xml:lang="en-US">Shareholders&#8217; deficiency: [Abstract]</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_ShareholdersDeficiencyAbstract" xlink:to="copy_ShareholdersDeficiencyAbstract_lbl0"/>
    <loc xlink:type="locator" xlink:label="us-gaap_PreferredStockValue" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_PreferredStockValue"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_PreferredStockValue_lbl" xml:lang="en-US">Preferred stock, par value $100 per share; 500,000 shares authorized; no shares issued or outstanding</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_PreferredStockValue" xlink:to="us-gaap_PreferredStockValue_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_CommonStockValue" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_CommonStockValue"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_CommonStockValue_lbl" xml:lang="en-US">Common stock, par value $.01 per share; 600,000,000 shares authorized; 210,517,530 and 209,276,745 shares issued and outstanding, respectively</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_CommonStockValue" xlink:to="us-gaap_CommonStockValue_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_AdditionalPaidInCapital" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_AdditionalPaidInCapital"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_AdditionalPaidInCapital_lbl" xml:lang="en-US">Additional paid-in capital</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_AdditionalPaidInCapital" xlink:to="us-gaap_AdditionalPaidInCapital_lbl"/>
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    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/documentation" xlink:label="copy_LoanReceivableFromRelatedPartyInConnectionWithSaleOfCommonStock_lbl" xml:lang="en-US">The element is for a receivable for the issuance of equity which refers to ASC topic 505, subtopic 10 subsection 45.2.</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_LoanReceivableFromRelatedPartyInConnectionWithSaleOfCommonStock" xlink:to="copy_LoanReceivableFromRelatedPartyInConnectionWithSaleOfCommonStock_lbl"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2009/role/negatedLabel" xlink:label="copy_LoanReceivableFromRelatedPartyInConnectionWithSaleOfCommonStock_lbl0" xml:lang="en-US">Loan receivable from related party (Note 1)</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_LoanReceivableFromRelatedPartyInConnectionWithSaleOfCommonStock" xlink:to="copy_LoanReceivableFromRelatedPartyInConnectionWithSaleOfCommonStock_lbl0"/>
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    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_RetainedEarningsAccumulatedDeficit" xlink:to="us-gaap_RetainedEarningsAccumulatedDeficit_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_AccumulatedOtherComprehensiveIncomeLossNetOfTax" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_AccumulatedOtherComprehensiveIncomeLossNetOfTax"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_AccumulatedOtherComprehensiveIncomeLossNetOfTax_lbl" xml:lang="en-US">Accumulated other comprehensive (loss)</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_AccumulatedOtherComprehensiveIncomeLossNetOfTax" xlink:to="us-gaap_AccumulatedOtherComprehensiveIncomeLossNetOfTax_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_StockholdersEquity" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_StockholdersEquity"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/totalLabel" xlink:label="us-gaap_StockholdersEquity_lbl" xml:lang="en-US">Total shareholders&#8217; deficiency</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_StockholdersEquity" xlink:to="us-gaap_StockholdersEquity_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_LiabilitiesAndStockholdersEquity" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_LiabilitiesAndStockholdersEquity"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/totalLabel" xlink:label="us-gaap_LiabilitiesAndStockholdersEquity_lbl" xml:lang="en-US">Total liabilities and shareholders&#8217; deficiency</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_LiabilitiesAndStockholdersEquity" xlink:to="us-gaap_LiabilitiesAndStockholdersEquity_lbl"/>
    <loc xlink:type="locator" xlink:label="copy_ConvertibleDebtDueDateOfDebtMonthAndYear" xlink:href="copy-20140131.xsd#copy_ConvertibleDebtDueDateOfDebtMonthAndYear"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/documentation" xlink:label="copy_ConvertibleDebtDueDateOfDebtMonthAndYear_lbl" xml:lang="en-US">The month and year (YYYY-MM) in which the convertible debt is scheduled to mature.</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_ConvertibleDebtDueDateOfDebtMonthAndYear" xlink:to="copy_ConvertibleDebtDueDateOfDebtMonthAndYear_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_FiniteLivedIntangibleAssetsAccumulatedAmortization" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_FiniteLivedIntangibleAssetsAccumulatedAmortization"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_FiniteLivedIntangibleAssetsAccumulatedAmortization_lbl" xml:lang="en-US">Patents, accumulated amortization (in Dollars)</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_FiniteLivedIntangibleAssetsAccumulatedAmortization" xlink:to="us-gaap_FiniteLivedIntangibleAssetsAccumulatedAmortization_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_AccumulatedDepreciationDepletionAndAmortizationPropertyPlantAndEquipment" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_AccumulatedDepreciationDepletionAndAmortizationPropertyPlantAndEquipment"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_AccumulatedDepreciationDepletionAndAmortizationPropertyPlantAndEquipment_lbl" xml:lang="en-US">Property and equipment, accumulated depreciation (in Dollars)</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_AccumulatedDepreciationDepletionAndAmortizationPropertyPlantAndEquipment" xlink:to="us-gaap_AccumulatedDepreciationDepletionAndAmortizationPropertyPlantAndEquipment_lbl"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="copy_ConvertibleDebtDueDateOfDebtMonthAndYear_lbl0" xml:lang="en-US">Convertible debentures due date</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_ConvertibleDebtDueDateOfDebtMonthAndYear" xlink:to="copy_ConvertibleDebtDueDateOfDebtMonthAndYear_lbl0"/>
    <loc xlink:type="locator" xlink:label="us-gaap_DebtInstrumentUnamortizedDiscount" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_DebtInstrumentUnamortizedDiscount"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_DebtInstrumentUnamortizedDiscount_lbl" xml:lang="en-US">Convertible debentures, discount (in Dollars)</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_DebtInstrumentUnamortizedDiscount" xlink:to="us-gaap_DebtInstrumentUnamortizedDiscount_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_PreferredStockParOrStatedValuePerShare" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_PreferredStockParOrStatedValuePerShare"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_PreferredStockParOrStatedValuePerShare_lbl" xml:lang="en-US">Preferred stock par value (in Dollars per share)</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_PreferredStockParOrStatedValuePerShare" xlink:to="us-gaap_PreferredStockParOrStatedValuePerShare_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_PreferredStockSharesAuthorized" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_PreferredStockSharesAuthorized"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_PreferredStockSharesAuthorized_lbl" xml:lang="en-US">Preferred stock, shares authorized</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_PreferredStockSharesAuthorized" xlink:to="us-gaap_PreferredStockSharesAuthorized_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_PreferredStockSharesIssued" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_PreferredStockSharesIssued"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_PreferredStockSharesIssued_lbl" xml:lang="en-US">Preferred stock, shares issued</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_PreferredStockSharesIssued" xlink:to="us-gaap_PreferredStockSharesIssued_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_PreferredStockSharesOutstanding" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_PreferredStockSharesOutstanding"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_PreferredStockSharesOutstanding_lbl" xml:lang="en-US">Preferred stock, shares outstanding</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_PreferredStockSharesOutstanding" xlink:to="us-gaap_PreferredStockSharesOutstanding_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_CommonStockParOrStatedValuePerShare" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_CommonStockParOrStatedValuePerShare"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_CommonStockParOrStatedValuePerShare_lbl" xml:lang="en-US">Common stock par value (in Dollars per share)</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_CommonStockParOrStatedValuePerShare" xlink:to="us-gaap_CommonStockParOrStatedValuePerShare_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_CommonStockSharesAuthorized" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_CommonStockSharesAuthorized"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_CommonStockSharesAuthorized_lbl" xml:lang="en-US">Common stock, shares authorized</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_CommonStockSharesAuthorized" xlink:to="us-gaap_CommonStockSharesAuthorized_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_CommonStockSharesIssued" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_CommonStockSharesIssued"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_CommonStockSharesIssued_lbl" xml:lang="en-US">Common stock, shares issued</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_CommonStockSharesIssued" xlink:to="us-gaap_CommonStockSharesIssued_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_CommonStockSharesOutstanding" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_CommonStockSharesOutstanding"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_CommonStockSharesOutstanding_lbl" xml:lang="en-US">Common stock, shares outstanding</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_CommonStockSharesOutstanding" xlink:to="us-gaap_CommonStockSharesOutstanding_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_IncomeStatementAbstract" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_IncomeStatementAbstract"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_IncomeStatementAbstract_lbl" xml:lang="en-US">Income Statement [Abstract]</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_IncomeStatementAbstract" xlink:to="us-gaap_IncomeStatementAbstract_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_IncomeStatementLocationDomain" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_IncomeStatementLocationDomain"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_IncomeStatementLocationDomain_lbl" xml:lang="en-US">Income Statement Location [Domain]</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_IncomeStatementLocationDomain" xlink:to="us-gaap_IncomeStatementLocationDomain_lbl"/>
    <loc xlink:type="locator" xlink:label="copy_RevenueFromPatentAssertionActivities" xlink:href="copy-20140131.xsd#copy_RevenueFromPatentAssertionActivities"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/documentation" xlink:label="copy_RevenueFromPatentAssertionActivities_lbl" xml:lang="en-US">Amount of revenue recognized from patent assertion activities.</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_RevenueFromPatentAssertionActivities" xlink:to="copy_RevenueFromPatentAssertionActivities_lbl"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="copy_RevenueFromPatentAssertionActivities_lbl0" xml:lang="en-US">Revenue from patent assertion activities</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_RevenueFromPatentAssertionActivities" xlink:to="copy_RevenueFromPatentAssertionActivities_lbl0"/>
    <loc xlink:type="locator" xlink:label="us-gaap_OperatingCostsAndExpensesAbstract" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_OperatingCostsAndExpensesAbstract"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="us-gaap_OperatingCostsAndExpensesAbstract_lbl" xml:lang="en-US">Operating costs and expenses:</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_OperatingCostsAndExpensesAbstract" xlink:to="us-gaap_OperatingCostsAndExpensesAbstract_lbl"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_OperatingCostsAndExpensesAbstract_lbl0" xml:lang="en-US">Operating costs and expenses: [Abstract]</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_OperatingCostsAndExpensesAbstract" xlink:to="us-gaap_OperatingCostsAndExpensesAbstract_lbl0"/>
    <loc xlink:type="locator" xlink:label="copy_LitigationAndLicensingExpenses" xlink:href="copy-20140131.xsd#copy_LitigationAndLicensingExpenses"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/documentation" xlink:label="copy_LitigationAndLicensingExpenses_lbl" xml:lang="en-US">Litigation and licensing expenses.</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_LitigationAndLicensingExpenses" xlink:to="copy_LitigationAndLicensingExpenses_lbl"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="copy_LitigationAndLicensingExpenses_lbl0" xml:lang="en-US">Litigation and licensing expenses</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_LitigationAndLicensingExpenses" xlink:to="copy_LitigationAndLicensingExpenses_lbl0"/>
    <loc xlink:type="locator" xlink:label="us-gaap_SellingGeneralAndAdministrativeExpense" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_SellingGeneralAndAdministrativeExpense"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_SellingGeneralAndAdministrativeExpense_lbl" xml:lang="en-US">Marketing, general and administrative expenses (including non-cash stock option compensation expense of $720,638 and $714,203, respectively)</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_SellingGeneralAndAdministrativeExpense" xlink:to="us-gaap_SellingGeneralAndAdministrativeExpense_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_CostsAndExpenses" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_CostsAndExpenses"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/totalLabel" xlink:label="us-gaap_CostsAndExpenses_lbl" xml:lang="en-US">Total operating costs and expenses</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_CostsAndExpenses" xlink:to="us-gaap_CostsAndExpenses_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_OperatingIncomeLoss" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_OperatingIncomeLoss"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/totalLabel" xlink:label="us-gaap_OperatingIncomeLoss_lbl" xml:lang="en-US">Loss from operations</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_OperatingIncomeLoss" xlink:to="us-gaap_OperatingIncomeLoss_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_DerivativeGainLossOnDerivativeNet" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_DerivativeGainLossOnDerivativeNet"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_DerivativeGainLossOnDerivativeNet_lbl" xml:lang="en-US">Change in value of derivative liabilities</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_DerivativeGainLossOnDerivativeNet" xlink:to="us-gaap_DerivativeGainLossOnDerivativeNet_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_InterestExpense" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_InterestExpense"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2009/role/negatedLabel" xlink:label="us-gaap_InterestExpense_lbl" xml:lang="en-US">Interest expense</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_InterestExpense" xlink:to="us-gaap_InterestExpense_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_InvestmentIncomeDividend" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_InvestmentIncomeDividend"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_InvestmentIncomeDividend_lbl" xml:lang="en-US">Dividend Income</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_InvestmentIncomeDividend" xlink:to="us-gaap_InvestmentIncomeDividend_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_InvestmentIncomeInterest" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_InvestmentIncomeInterest"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_InvestmentIncomeInterest_lbl" xml:lang="en-US">Interest income</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_InvestmentIncomeInterest" xlink:to="us-gaap_InvestmentIncomeInterest_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_IncomeLossFromContinuingOperationsBeforeIncomeTaxesMinorityInterestAndIncomeLossFromEquityMethodInvestments" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_IncomeLossFromContinuingOperationsBeforeIncomeTaxesMinorityInterestAndIncomeLossFromEquityMethodInvestments"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/totalLabel" xlink:label="us-gaap_IncomeLossFromContinuingOperationsBeforeIncomeTaxesMinorityInterestAndIncomeLossFromEquityMethodInvestments_lbl" xml:lang="en-US">Loss before income taxes</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_IncomeLossFromContinuingOperationsBeforeIncomeTaxesMinorityInterestAndIncomeLossFromEquityMethodInvestments" xlink:to="us-gaap_IncomeLossFromContinuingOperationsBeforeIncomeTaxesMinorityInterestAndIncomeLossFromEquityMethodInvestments_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_IncomeTaxExpenseBenefit" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_IncomeTaxExpenseBenefit"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_IncomeTaxExpenseBenefit_lbl" xml:lang="en-US">Provision for income taxes</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_IncomeTaxExpenseBenefit" xlink:to="us-gaap_IncomeTaxExpenseBenefit_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_NetIncomeLoss" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_NetIncomeLoss"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/totalLabel" xlink:label="us-gaap_NetIncomeLoss_lbl" xml:lang="en-US">Net loss</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_NetIncomeLoss" xlink:to="us-gaap_NetIncomeLoss_lbl"/>
    <loc xlink:type="locator" xlink:label="copy_OtherComprehensiveIncomeLossAbstract" xlink:href="copy-20140131.xsd#copy_OtherComprehensiveIncomeLossAbstract"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="copy_OtherComprehensiveIncomeLossAbstract_lbl" xml:lang="en-US">Other comprehensive income (loss):</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_OtherComprehensiveIncomeLossAbstract" xlink:to="copy_OtherComprehensiveIncomeLossAbstract_lbl"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="copy_OtherComprehensiveIncomeLossAbstract_lbl0" xml:lang="en-US">Other comprehensive income (loss): [Abstract]</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_OtherComprehensiveIncomeLossAbstract" xlink:to="copy_OtherComprehensiveIncomeLossAbstract_lbl0"/>
    <loc xlink:type="locator" xlink:label="us-gaap_OtherComprehensiveIncomeUnrealizedHoldingGainLossOnSecuritiesArisingDuringPeriodNetOfTax" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_OtherComprehensiveIncomeUnrealizedHoldingGainLossOnSecuritiesArisingDuringPeriodNetOfTax"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_OtherComprehensiveIncomeUnrealizedHoldingGainLossOnSecuritiesArisingDuringPeriodNetOfTax_lbl" xml:lang="en-US">Unrealized gain (loss) on investment in Videocon Industries Limited global depository receipts</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_OtherComprehensiveIncomeUnrealizedHoldingGainLossOnSecuritiesArisingDuringPeriodNetOfTax" xlink:to="us-gaap_OtherComprehensiveIncomeUnrealizedHoldingGainLossOnSecuritiesArisingDuringPeriodNetOfTax_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_ComprehensiveIncomeNetOfTax" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_ComprehensiveIncomeNetOfTax"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/totalLabel" xlink:label="us-gaap_ComprehensiveIncomeNetOfTax_lbl" xml:lang="en-US">Total comprehensive loss</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_ComprehensiveIncomeNetOfTax" xlink:to="us-gaap_ComprehensiveIncomeNetOfTax_lbl"/>
    <loc xlink:type="locator" xlink:label="copy_NetLossPerShareAbstract" xlink:href="copy-20140131.xsd#copy_NetLossPerShareAbstract"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="copy_NetLossPerShareAbstract_lbl" xml:lang="en-US">Net loss per share:</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_NetLossPerShareAbstract" xlink:to="copy_NetLossPerShareAbstract_lbl"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="copy_NetLossPerShareAbstract_lbl0" xml:lang="en-US">Net loss per share: [Abstract]</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_NetLossPerShareAbstract" xlink:to="copy_NetLossPerShareAbstract_lbl0"/>
    <loc xlink:type="locator" xlink:label="us-gaap_EarningsPerShareBasicAndDiluted" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_EarningsPerShareBasicAndDiluted"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_EarningsPerShareBasicAndDiluted_lbl" xml:lang="en-US">Basic and diluted (in Dollars per share)</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_EarningsPerShareBasicAndDiluted" xlink:to="us-gaap_EarningsPerShareBasicAndDiluted_lbl"/>
    <loc xlink:type="locator" xlink:label="copy_WeightedAverageCommonSharesOutstandingAbstract" xlink:href="copy-20140131.xsd#copy_WeightedAverageCommonSharesOutstandingAbstract"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="copy_WeightedAverageCommonSharesOutstandingAbstract_lbl" xml:lang="en-US">Weighted average common shares outstanding:</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_WeightedAverageCommonSharesOutstandingAbstract" xlink:to="copy_WeightedAverageCommonSharesOutstandingAbstract_lbl"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="copy_WeightedAverageCommonSharesOutstandingAbstract_lbl0" xml:lang="en-US">Weighted average common shares outstanding: [Abstract]</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_WeightedAverageCommonSharesOutstandingAbstract" xlink:to="copy_WeightedAverageCommonSharesOutstandingAbstract_lbl0"/>
    <loc xlink:type="locator" xlink:label="us-gaap_WeightedAverageNumberOfShareOutstandingBasicAndDiluted" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_WeightedAverageNumberOfShareOutstandingBasicAndDiluted"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_WeightedAverageNumberOfShareOutstandingBasicAndDiluted_lbl" xml:lang="en-US">Basic and diluted (in Shares)</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_WeightedAverageNumberOfShareOutstandingBasicAndDiluted" xlink:to="us-gaap_WeightedAverageNumberOfShareOutstandingBasicAndDiluted_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_StockOptionPlanExpense" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_StockOptionPlanExpense"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_StockOptionPlanExpense_lbl" xml:lang="en-US">Non-cash stock option compensation expense</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_StockOptionPlanExpense" xlink:to="us-gaap_StockOptionPlanExpense_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_StatementOfStockholdersEquityAbstract" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_StatementOfStockholdersEquityAbstract"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_StatementOfStockholdersEquityAbstract_lbl" xml:lang="en-US">Statement of Stockholders&apos; Equity [Abstract]</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_StatementOfStockholdersEquityAbstract" xlink:to="us-gaap_StatementOfStockholdersEquityAbstract_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_EquityComponentDomain" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_EquityComponentDomain"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_EquityComponentDomain_lbl" xml:lang="en-US">Equity Component [Domain]</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_EquityComponentDomain" xlink:to="us-gaap_EquityComponentDomain_lbl"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/periodStartLabel" xlink:label="us-gaap_StockholdersEquity_lbl0" xml:lang="en-US">Balance</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_StockholdersEquity" xlink:to="us-gaap_StockholdersEquity_lbl0"/>
    <loc xlink:type="locator" xlink:label="us-gaap_SharesIssued" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_SharesIssued"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/periodStartLabel" xlink:label="us-gaap_SharesIssued_lbl" xml:lang="en-US">Balance (in Shares)</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_SharesIssued" xlink:to="us-gaap_SharesIssued_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_AdjustmentsToAdditionalPaidInCapitalSharebasedCompensationRequisiteServicePeriodRecognitionValue" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_AdjustmentsToAdditionalPaidInCapitalSharebasedCompensationRequisiteServicePeriodRecognitionValue"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_AdjustmentsToAdditionalPaidInCapitalSharebasedCompensationRequisiteServicePeriodRecognitionValue_lbl" xml:lang="en-US">Stock option compensation to employees</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_AdjustmentsToAdditionalPaidInCapitalSharebasedCompensationRequisiteServicePeriodRecognitionValue" xlink:to="us-gaap_AdjustmentsToAdditionalPaidInCapitalSharebasedCompensationRequisiteServicePeriodRecognitionValue_lbl"/>
    <loc xlink:type="locator" xlink:label="copy_EquityBasedPaymentToNonEmployeesStockOptions" xlink:href="copy-20140131.xsd#copy_EquityBasedPaymentToNonEmployeesStockOptions"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/documentation" xlink:label="copy_EquityBasedPaymentToNonEmployeesStockOptions_lbl" xml:lang="en-US">Equity based payment to non employees-stock options. This element refers to ASC topic 505 subtopic 50, section 50.1.</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_EquityBasedPaymentToNonEmployeesStockOptions" xlink:to="copy_EquityBasedPaymentToNonEmployeesStockOptions_lbl"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="copy_EquityBasedPaymentToNonEmployeesStockOptions_lbl0" xml:lang="en-US">Stock option compensation to consultants</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_EquityBasedPaymentToNonEmployeesStockOptions" xlink:to="copy_EquityBasedPaymentToNonEmployeesStockOptions_lbl0"/>
    <loc xlink:type="locator" xlink:label="copy_EquityBasedPaymentToNonEmployeesStockGrants" xlink:href="copy-20140131.xsd#copy_EquityBasedPaymentToNonEmployeesStockGrants"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/documentation" xlink:label="copy_EquityBasedPaymentToNonEmployeesStockGrants_lbl" xml:lang="en-US">Equity based payment to nonemployees-stock grants. This element refers to ASC topic 505 subtopic 50, section 50.1</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_EquityBasedPaymentToNonEmployeesStockGrants" xlink:to="copy_EquityBasedPaymentToNonEmployeesStockGrants_lbl"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="copy_EquityBasedPaymentToNonEmployeesStockGrants_lbl0" xml:lang="en-US">Common stock issued to consultants</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_EquityBasedPaymentToNonEmployeesStockGrants" xlink:to="copy_EquityBasedPaymentToNonEmployeesStockGrants_lbl0"/>
    <loc xlink:type="locator" xlink:label="copy_EquityBasedPaymentToNonemployeesStockGrantsShares" xlink:href="copy-20140131.xsd#copy_EquityBasedPaymentToNonemployeesStockGrantsShares"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/documentation" xlink:label="copy_EquityBasedPaymentToNonemployeesStockGrantsShares_lbl" xml:lang="en-US">Equity based payment to nonemployees-stock grants. This element refers to ASC topic 505 subtopic 50, section 50.1.</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_EquityBasedPaymentToNonemployeesStockGrantsShares" xlink:to="copy_EquityBasedPaymentToNonemployeesStockGrantsShares_lbl"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="copy_EquityBasedPaymentToNonemployeesStockGrantsShares_lbl0" xml:lang="en-US">Common stock issued to consultants (in Shares)</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_EquityBasedPaymentToNonemployeesStockGrantsShares" xlink:to="copy_EquityBasedPaymentToNonemployeesStockGrantsShares_lbl0"/>
    <loc xlink:type="locator" xlink:label="copy_StockIssuedDuringPeriodInLieuOfInterestOnConvertibleSecurities" xlink:href="copy-20140131.xsd#copy_StockIssuedDuringPeriodInLieuOfInterestOnConvertibleSecurities"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/documentation" xlink:label="copy_StockIssuedDuringPeriodInLieuOfInterestOnConvertibleSecurities_lbl" xml:lang="en-US">The value of stock issued during the period in lieu of interest on convertible securities.</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_StockIssuedDuringPeriodInLieuOfInterestOnConvertibleSecurities" xlink:to="copy_StockIssuedDuringPeriodInLieuOfInterestOnConvertibleSecurities_lbl"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="copy_StockIssuedDuringPeriodInLieuOfInterestOnConvertibleSecurities_lbl0" xml:lang="en-US">Common stock issued as payment of interest on convertible debentures</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_StockIssuedDuringPeriodInLieuOfInterestOnConvertibleSecurities" xlink:to="copy_StockIssuedDuringPeriodInLieuOfInterestOnConvertibleSecurities_lbl0"/>
    <loc xlink:type="locator" xlink:label="copy_StockIssuedDuringPeriodSharesInLieuOfInterestOnConvertibleSecurities" xlink:href="copy-20140131.xsd#copy_StockIssuedDuringPeriodSharesInLieuOfInterestOnConvertibleSecurities"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/documentation" xlink:label="copy_StockIssuedDuringPeriodSharesInLieuOfInterestOnConvertibleSecurities_lbl" xml:lang="en-US">The total number of shares issued during the period in lieu of interest  on convertible securities.</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_StockIssuedDuringPeriodSharesInLieuOfInterestOnConvertibleSecurities" xlink:to="copy_StockIssuedDuringPeriodSharesInLieuOfInterestOnConvertibleSecurities_lbl"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="copy_StockIssuedDuringPeriodSharesInLieuOfInterestOnConvertibleSecurities_lbl0" xml:lang="en-US">Common stock issued as payment of interest on convertible debentures (in Shares)</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_StockIssuedDuringPeriodSharesInLieuOfInterestOnConvertibleSecurities" xlink:to="copy_StockIssuedDuringPeriodSharesInLieuOfInterestOnConvertibleSecurities_lbl0"/>
    <loc xlink:type="locator" xlink:label="us-gaap_AdjustmentsToAdditionalPaidInCapitalWarrantIssued" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_AdjustmentsToAdditionalPaidInCapitalWarrantIssued"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_AdjustmentsToAdditionalPaidInCapitalWarrantIssued_lbl" xml:lang="en-US">Warrants issued in connection with issuance of convertible debentures</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_AdjustmentsToAdditionalPaidInCapitalWarrantIssued" xlink:to="us-gaap_AdjustmentsToAdditionalPaidInCapitalWarrantIssued_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_StockIssuedDuringPeriodValueAcquisitions" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_StockIssuedDuringPeriodValueAcquisitions"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_StockIssuedDuringPeriodValueAcquisitions_lbl" xml:lang="en-US">Common stock issued to acquire patents</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_StockIssuedDuringPeriodValueAcquisitions" xlink:to="us-gaap_StockIssuedDuringPeriodValueAcquisitions_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_StockIssuedDuringPeriodSharesAcquisitions" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_StockIssuedDuringPeriodSharesAcquisitions"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="us-gaap_StockIssuedDuringPeriodSharesAcquisitions_lbl" xml:lang="en-US">Common stock issued to acquire patents (in Shares)</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_StockIssuedDuringPeriodSharesAcquisitions" xlink:to="us-gaap_StockIssuedDuringPeriodSharesAcquisitions_lbl"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="us-gaap_OtherComprehensiveIncomeUnrealizedHoldingGainLossOnSecuritiesArisingDuringPeriodNetOfTax_lbl0" xml:lang="en-US">Unrealized loss on investment in Videocon Industries Limited global depository receipts (Note 4)</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_OtherComprehensiveIncomeUnrealizedHoldingGainLossOnSecuritiesArisingDuringPeriodNetOfTax" xlink:to="us-gaap_OtherComprehensiveIncomeUnrealizedHoldingGainLossOnSecuritiesArisingDuringPeriodNetOfTax_lbl0"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_NetIncomeLoss_lbl0" xml:lang="en-US">Net loss</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_NetIncomeLoss" xlink:to="us-gaap_NetIncomeLoss_lbl0"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/periodEndLabel" xlink:label="us-gaap_StockholdersEquity_lbl1" xml:lang="en-US">Balance</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_StockholdersEquity" xlink:to="us-gaap_StockholdersEquity_lbl1"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/periodEndLabel" xlink:label="us-gaap_SharesIssued_lbl0" xml:lang="en-US">Balance (in Shares)</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_SharesIssued" xlink:to="us-gaap_SharesIssued_lbl0"/>
    <loc xlink:type="locator" xlink:label="us-gaap_StatementOfCashFlowsAbstract" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_StatementOfCashFlowsAbstract"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_StatementOfCashFlowsAbstract_lbl" xml:lang="en-US">Statement of Cash Flows [Abstract]</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_StatementOfCashFlowsAbstract" xlink:to="us-gaap_StatementOfCashFlowsAbstract_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_DerivativeNameDomain" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_DerivativeNameDomain"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_DerivativeNameDomain_lbl" xml:lang="en-US">Derivative, Name [Domain]</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_DerivativeNameDomain" xlink:to="us-gaap_DerivativeNameDomain_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_TransfersAndServicingOfFinancialInstrumentsTypesOfFinancialInstrumentsDomain" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_TransfersAndServicingOfFinancialInstrumentsTypesOfFinancialInstrumentsDomain"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_TransfersAndServicingOfFinancialInstrumentsTypesOfFinancialInstrumentsDomain_lbl" xml:lang="en-US">Financial Instruments [Domain]</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_TransfersAndServicingOfFinancialInstrumentsTypesOfFinancialInstrumentsDomain" xlink:to="us-gaap_TransfersAndServicingOfFinancialInstrumentsTypesOfFinancialInstrumentsDomain_lbl"/>
    <loc xlink:type="locator" xlink:label="copy_ReconciliationOfNetLossToNetCashUsedByOperatingActivitiesAbstract" xlink:href="copy-20140131.xsd#copy_ReconciliationOfNetLossToNetCashUsedByOperatingActivitiesAbstract"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="copy_ReconciliationOfNetLossToNetCashUsedByOperatingActivitiesAbstract_lbl" xml:lang="en-US">Reconciliation of net loss to net cash used by operating activities:</label>
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    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="copy_ReconciliationOfNetLossToNetCashUsedByOperatingActivitiesAbstract_lbl0" xml:lang="en-US">Reconciliation of net loss to net cash used by operating activities: [Abstract]</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_ReconciliationOfNetLossToNetCashUsedByOperatingActivitiesAbstract" xlink:to="copy_ReconciliationOfNetLossToNetCashUsedByOperatingActivitiesAbstract_lbl0"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="us-gaap_NetIncomeLoss_lbl1" xml:lang="en-US">Net loss</label>
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    <loc xlink:type="locator" xlink:label="us-gaap_ShareBasedCompensation" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_ShareBasedCompensation"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="us-gaap_ShareBasedCompensation_lbl" xml:lang="en-US">Stock option compensation to employees</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_ShareBasedCompensation" xlink:to="us-gaap_ShareBasedCompensation_lbl"/>
    <loc xlink:type="locator" xlink:label="copy_CommonStockIssuedToPayInterestOnConvertibleDebentures" xlink:href="copy-20140131.xsd#copy_CommonStockIssuedToPayInterestOnConvertibleDebentures"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/documentation" xlink:label="copy_CommonStockIssuedToPayInterestOnConvertibleDebentures_lbl" xml:lang="en-US">Common stock issued to pay interest on convertible debentures.</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_CommonStockIssuedToPayInterestOnConvertibleDebentures" xlink:to="copy_CommonStockIssuedToPayInterestOnConvertibleDebentures_lbl"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="copy_CommonStockIssuedToPayInterestOnConvertibleDebentures_lbl0" xml:lang="en-US">Common stock issued to pay interest on convertible debentures</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_CommonStockIssuedToPayInterestOnConvertibleDebentures" xlink:to="copy_CommonStockIssuedToPayInterestOnConvertibleDebentures_lbl0"/>
    <loc xlink:type="locator" xlink:label="us-gaap_AmortizationOfIntangibleAssets" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_AmortizationOfIntangibleAssets"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_AmortizationOfIntangibleAssets_lbl" xml:lang="en-US">Amortization of patents</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_AmortizationOfIntangibleAssets" xlink:to="us-gaap_AmortizationOfIntangibleAssets_lbl"/>
    <loc xlink:type="locator" xlink:label="copy_AmortizedInterestOnPatentAcquisitionObligationsToInterestExpense" xlink:href="copy-20140131.xsd#copy_AmortizedInterestOnPatentAcquisitionObligationsToInterestExpense"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/documentation" xlink:label="copy_AmortizedInterestOnPatentAcquisitionObligationsToInterestExpense_lbl" xml:lang="en-US">Amortized interest on patent acquisition obligations to interest expense.</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_AmortizedInterestOnPatentAcquisitionObligationsToInterestExpense" xlink:to="copy_AmortizedInterestOnPatentAcquisitionObligationsToInterestExpense_lbl"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="copy_AmortizedInterestOnPatentAcquisitionObligationsToInterestExpense_lbl0" xml:lang="en-US">Amortized interest on patent acquisition obligations to interest expense</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_AmortizedInterestOnPatentAcquisitionObligationsToInterestExpense" xlink:to="copy_AmortizedInterestOnPatentAcquisitionObligationsToInterestExpense_lbl0"/>
    <loc xlink:type="locator" xlink:label="us-gaap_AmortizationOfDebtDiscountPremium" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_AmortizationOfDebtDiscountPremium"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_AmortizationOfDebtDiscountPremium_lbl" xml:lang="en-US">Amortization of convertible debenture discount to interest expense</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_AmortizationOfDebtDiscountPremium" xlink:to="us-gaap_AmortizationOfDebtDiscountPremium_lbl"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2009/role/negatedLabel" xlink:label="us-gaap_DerivativeGainLossOnDerivativeNet_lbl0" xml:lang="en-US">Change in value of derivative liabilities</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_DerivativeGainLossOnDerivativeNet" xlink:to="us-gaap_DerivativeGainLossOnDerivativeNet_lbl0"/>
    <loc xlink:type="locator" xlink:label="us-gaap_OtherNoncashIncomeExpense" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_OtherNoncashIncomeExpense"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2009/role/negatedLabel" xlink:label="us-gaap_OtherNoncashIncomeExpense_lbl" xml:lang="en-US">Other</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_OtherNoncashIncomeExpense" xlink:to="us-gaap_OtherNoncashIncomeExpense_lbl"/>
    <loc xlink:type="locator" xlink:label="copy_ChangeInOperatingAssetsAndLiabilitiesAbstract" xlink:href="copy-20140131.xsd#copy_ChangeInOperatingAssetsAndLiabilitiesAbstract"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="copy_ChangeInOperatingAssetsAndLiabilitiesAbstract_lbl" xml:lang="en-US">Change in operating assets and liabilities:</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_ChangeInOperatingAssetsAndLiabilitiesAbstract" xlink:to="copy_ChangeInOperatingAssetsAndLiabilitiesAbstract_lbl"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="copy_ChangeInOperatingAssetsAndLiabilitiesAbstract_lbl0" xml:lang="en-US">Change in operating assets and liabilities: [Abstract]</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_ChangeInOperatingAssetsAndLiabilitiesAbstract" xlink:to="copy_ChangeInOperatingAssetsAndLiabilitiesAbstract_lbl0"/>
    <loc xlink:type="locator" xlink:label="us-gaap_IncreaseDecreaseInAccountsReceivable" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_IncreaseDecreaseInAccountsReceivable"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2009/role/negatedTerseLabel" xlink:label="us-gaap_IncreaseDecreaseInAccountsReceivable_lbl" xml:lang="en-US">Accounts receivable</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_IncreaseDecreaseInAccountsReceivable" xlink:to="us-gaap_IncreaseDecreaseInAccountsReceivable_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_IncreaseDecreaseInPrepaidDeferredExpenseAndOtherAssets" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_IncreaseDecreaseInPrepaidDeferredExpenseAndOtherAssets"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2009/role/negatedTerseLabel" xlink:label="us-gaap_IncreaseDecreaseInPrepaidDeferredExpenseAndOtherAssets_lbl" xml:lang="en-US">Prepaid expenses and other current assets</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_IncreaseDecreaseInPrepaidDeferredExpenseAndOtherAssets" xlink:to="us-gaap_IncreaseDecreaseInPrepaidDeferredExpenseAndOtherAssets_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_IncreaseDecreaseInAccountsPayableAndAccruedLiabilities" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_IncreaseDecreaseInAccountsPayableAndAccruedLiabilities"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="us-gaap_IncreaseDecreaseInAccountsPayableAndAccruedLiabilities_lbl" xml:lang="en-US">Accounts payable and accrued expenses</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_IncreaseDecreaseInAccountsPayableAndAccruedLiabilities" xlink:to="us-gaap_IncreaseDecreaseInAccountsPayableAndAccruedLiabilities_lbl"/>
    <loc xlink:type="locator" xlink:label="copy_IncreaseDecreaseInRoyaltiesAndContingentLegalFeesPayable" xlink:href="copy-20140131.xsd#copy_IncreaseDecreaseInRoyaltiesAndContingentLegalFeesPayable"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/documentation" xlink:label="copy_IncreaseDecreaseInRoyaltiesAndContingentLegalFeesPayable_lbl" xml:lang="en-US">The increase (decrease) during the reporting period in the aggregate amount of liabilities incurred for royalties and legal fees.</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_IncreaseDecreaseInRoyaltiesAndContingentLegalFeesPayable" xlink:to="copy_IncreaseDecreaseInRoyaltiesAndContingentLegalFeesPayable_lbl"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="copy_IncreaseDecreaseInRoyaltiesAndContingentLegalFeesPayable_lbl0" xml:lang="en-US">Royalties and contingent legal fees payable</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_IncreaseDecreaseInRoyaltiesAndContingentLegalFeesPayable" xlink:to="copy_IncreaseDecreaseInRoyaltiesAndContingentLegalFeesPayable_lbl0"/>
    <loc xlink:type="locator" xlink:label="us-gaap_NetCashProvidedByUsedInOperatingActivities" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_NetCashProvidedByUsedInOperatingActivities"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/totalLabel" xlink:label="us-gaap_NetCashProvidedByUsedInOperatingActivities_lbl" xml:lang="en-US">Net cash used by operating activities</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_NetCashProvidedByUsedInOperatingActivities" xlink:to="us-gaap_NetCashProvidedByUsedInOperatingActivities_lbl"/>
    <loc xlink:type="locator" xlink:label="copy_CashFlowsFromInvestingActivitiesAbstract" xlink:href="copy-20140131.xsd#copy_CashFlowsFromInvestingActivitiesAbstract"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="copy_CashFlowsFromInvestingActivitiesAbstract_lbl" xml:lang="en-US">Cash flows from investing activities:</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_CashFlowsFromInvestingActivitiesAbstract" xlink:to="copy_CashFlowsFromInvestingActivitiesAbstract_lbl"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="copy_CashFlowsFromInvestingActivitiesAbstract_lbl0" xml:lang="en-US">Cash flows from investing activities: [Abstract]</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_CashFlowsFromInvestingActivitiesAbstract" xlink:to="copy_CashFlowsFromInvestingActivitiesAbstract_lbl0"/>
    <loc xlink:type="locator" xlink:label="us-gaap_PaymentsToAcquireShortTermInvestments" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_PaymentsToAcquireShortTermInvestments"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2009/role/negatedLabel" xlink:label="us-gaap_PaymentsToAcquireShortTermInvestments_lbl" xml:lang="en-US">Disbursements to acquire short-term investments in certificates of deposit</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_PaymentsToAcquireShortTermInvestments" xlink:to="us-gaap_PaymentsToAcquireShortTermInvestments_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_ProceedsFromSaleOfShortTermInvestments" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_ProceedsFromSaleOfShortTermInvestments"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_ProceedsFromSaleOfShortTermInvestments_lbl" xml:lang="en-US">Proceeds from sales of short-term investments in certificates of deposit</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_ProceedsFromSaleOfShortTermInvestments" xlink:to="us-gaap_ProceedsFromSaleOfShortTermInvestments_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_PaymentsForProceedsFromOtherInvestingActivities" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_PaymentsForProceedsFromOtherInvestingActivities"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2009/role/negatedTerseLabel" xlink:label="us-gaap_PaymentsForProceedsFromOtherInvestingActivities_lbl" xml:lang="en-US">Other</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_PaymentsForProceedsFromOtherInvestingActivities" xlink:to="us-gaap_PaymentsForProceedsFromOtherInvestingActivities_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_NetCashProvidedByUsedInInvestingActivities" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_NetCashProvidedByUsedInInvestingActivities"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/totalLabel" xlink:label="us-gaap_NetCashProvidedByUsedInInvestingActivities_lbl" xml:lang="en-US">Net cash (used in) provided by investing activities</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_NetCashProvidedByUsedInInvestingActivities" xlink:to="us-gaap_NetCashProvidedByUsedInInvestingActivities_lbl"/>
    <loc xlink:type="locator" xlink:label="copy_CashFlowsFromFinancingActivitiesAbstract" xlink:href="copy-20140131.xsd#copy_CashFlowsFromFinancingActivitiesAbstract"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="copy_CashFlowsFromFinancingActivitiesAbstract_lbl" xml:lang="en-US">Cash flows from financing activities:</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_CashFlowsFromFinancingActivitiesAbstract" xlink:to="copy_CashFlowsFromFinancingActivitiesAbstract_lbl"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="copy_CashFlowsFromFinancingActivitiesAbstract_lbl0" xml:lang="en-US">Cash flows from financing activities: [Abstract]</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_CashFlowsFromFinancingActivitiesAbstract" xlink:to="copy_CashFlowsFromFinancingActivitiesAbstract_lbl0"/>
    <loc xlink:type="locator" xlink:label="us-gaap_ProceedsFromConvertibleDebt" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_ProceedsFromConvertibleDebt"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_ProceedsFromConvertibleDebt_lbl" xml:lang="en-US">Proceeds from issuance of convertible debentures</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_ProceedsFromConvertibleDebt" xlink:to="us-gaap_ProceedsFromConvertibleDebt_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_NetCashProvidedByUsedInFinancingActivities" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_NetCashProvidedByUsedInFinancingActivities"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/totalLabel" xlink:label="us-gaap_NetCashProvidedByUsedInFinancingActivities_lbl" xml:lang="en-US">Net cash provided by financing activities</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_NetCashProvidedByUsedInFinancingActivities" xlink:to="us-gaap_NetCashProvidedByUsedInFinancingActivities_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_CashAndCashEquivalentsPeriodIncreaseDecrease" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_CashAndCashEquivalentsPeriodIncreaseDecrease"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/totalLabel" xlink:label="us-gaap_CashAndCashEquivalentsPeriodIncreaseDecrease_lbl" xml:lang="en-US">Net (decrease) increase in cash and cash equivalents</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_CashAndCashEquivalentsPeriodIncreaseDecrease" xlink:to="us-gaap_CashAndCashEquivalentsPeriodIncreaseDecrease_lbl"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/periodStartLabel" xlink:label="us-gaap_CashAndCashEquivalentsAtCarryingValue_lbl0" xml:lang="en-US">Cash and cash equivalents at beginning of year</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_CashAndCashEquivalentsAtCarryingValue" xlink:to="us-gaap_CashAndCashEquivalentsAtCarryingValue_lbl0"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/periodEndLabel" xlink:label="us-gaap_CashAndCashEquivalentsAtCarryingValue_lbl1" xml:lang="en-US">Cash and cash equivalents at end of period</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_CashAndCashEquivalentsAtCarryingValue" xlink:to="us-gaap_CashAndCashEquivalentsAtCarryingValue_lbl1"/>
    <loc xlink:type="locator" xlink:label="copy_SupplementalDisclosureOfFinancingActivitiesAbstract" xlink:href="copy-20140131.xsd#copy_SupplementalDisclosureOfFinancingActivitiesAbstract"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="copy_SupplementalDisclosureOfFinancingActivitiesAbstract_lbl" xml:lang="en-US">Supplemental disclosure of financing activities:</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_SupplementalDisclosureOfFinancingActivitiesAbstract" xlink:to="copy_SupplementalDisclosureOfFinancingActivitiesAbstract_lbl"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="copy_SupplementalDisclosureOfFinancingActivitiesAbstract_lbl0" xml:lang="en-US">Supplemental disclosure of financing activities: [Abstract]</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_SupplementalDisclosureOfFinancingActivitiesAbstract" xlink:to="copy_SupplementalDisclosureOfFinancingActivitiesAbstract_lbl0"/>
    <loc xlink:type="locator" xlink:label="us-gaap_DebtConversionConvertedInstrumentAmount1" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_DebtConversionConvertedInstrumentAmount1"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_DebtConversionConvertedInstrumentAmount1_lbl" xml:lang="en-US">Stock Issued upon Conversion</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_DebtConversionConvertedInstrumentAmount1" xlink:to="us-gaap_DebtConversionConvertedInstrumentAmount1_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_AccountingPoliciesAbstract" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_AccountingPoliciesAbstract"/>
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    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_ScheduleOfShareBasedCompensationStockOptionsActivityTableTextBlock" xlink:to="us-gaap_ScheduleOfShareBasedCompensationStockOptionsActivityTableTextBlock_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsVestedAndExpectedToVestOutstandingAndExercisableTableTextBlock" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsVestedAndExpectedToVestOutstandingAndExercisableTableTextBlock"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsVestedAndExpectedToVestOutstandingAndExercisableTableTextBlock_lbl" xml:lang="en-US">Share-based Compensation Arrangement by Share-based Payment Award, Options, Vested and Expected to Vest, Outstanding and Exercisable [Table Text Block]</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsVestedAndExpectedToVestOutstandingAndExercisableTableTextBlock" xlink:to="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsVestedAndExpectedToVestOutstandingAndExercisableTableTextBlock_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_FairValueAssetsMeasuredOnRecurringBasisTextBlock" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_FairValueAssetsMeasuredOnRecurringBasisTextBlock"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="us-gaap_FairValueAssetsMeasuredOnRecurringBasisTextBlock_lbl" xml:lang="en-US">Fair Value, Assets Measured on Recurring Basis [Table Text Block]</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_FairValueAssetsMeasuredOnRecurringBasisTextBlock" xlink:to="us-gaap_FairValueAssetsMeasuredOnRecurringBasisTextBlock_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_ScheduleOfFairValueAssetsAndLiabilitiesMeasuredOnRecurringBasisTableTextBlock" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_ScheduleOfFairValueAssetsAndLiabilitiesMeasuredOnRecurringBasisTableTextBlock"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="us-gaap_ScheduleOfFairValueAssetsAndLiabilitiesMeasuredOnRecurringBasisTableTextBlock_lbl" xml:lang="en-US">Schedule of Fair Value, Assets and Liabilities Measured on Recurring Basis [Table Text Block]</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_ScheduleOfFairValueAssetsAndLiabilitiesMeasuredOnRecurringBasisTableTextBlock" xlink:to="us-gaap_ScheduleOfFairValueAssetsAndLiabilitiesMeasuredOnRecurringBasisTableTextBlock_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_FairValueAssetsMeasuredOnRecurringBasisUnobservableInputReconciliationTextBlock" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_FairValueAssetsMeasuredOnRecurringBasisUnobservableInputReconciliationTextBlock"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="us-gaap_FairValueAssetsMeasuredOnRecurringBasisUnobservableInputReconciliationTextBlock_lbl" xml:lang="en-US">Fair Value, Assets Measured on Recurring Basis, Unobservable Input Reconciliation [Table Text Block]</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_FairValueAssetsMeasuredOnRecurringBasisUnobservableInputReconciliationTextBlock" xlink:to="us-gaap_FairValueAssetsMeasuredOnRecurringBasisUnobservableInputReconciliationTextBlock_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_ScheduleOfFairValueOfSeparateAccountsByMajorCategoryOfInvestmentTextBlock" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_ScheduleOfFairValueOfSeparateAccountsByMajorCategoryOfInvestmentTextBlock"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="us-gaap_ScheduleOfFairValueOfSeparateAccountsByMajorCategoryOfInvestmentTextBlock_lbl" xml:lang="en-US">Schedule of Fair Value of Separate Accounts by Major Category of Investment [Table Text Block]</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_ScheduleOfFairValueOfSeparateAccountsByMajorCategoryOfInvestmentTextBlock" xlink:to="us-gaap_ScheduleOfFairValueOfSeparateAccountsByMajorCategoryOfInvestmentTextBlock_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_ScheduleOfAccountsPayableAndAccruedLiabilitiesTableTextBlock" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_ScheduleOfAccountsPayableAndAccruedLiabilitiesTableTextBlock"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="us-gaap_ScheduleOfAccountsPayableAndAccruedLiabilitiesTableTextBlock_lbl" xml:lang="en-US">Schedule of Accounts Payable and Accrued Liabilities [Table Text Block]</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_ScheduleOfAccountsPayableAndAccruedLiabilitiesTableTextBlock" xlink:to="us-gaap_ScheduleOfAccountsPayableAndAccruedLiabilitiesTableTextBlock_lbl"/>
    <loc xlink:type="locator" xlink:label="copy_ConvertibleDebentureAbstract" xlink:href="copy-20140131.xsd#copy_ConvertibleDebentureAbstract"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="copy_ConvertibleDebentureAbstract_lbl" xml:lang="en-US">Convertible Debenture</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_ConvertibleDebentureAbstract" xlink:to="copy_ConvertibleDebentureAbstract_lbl"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="copy_ConvertibleDebentureAbstract_lbl0" xml:lang="en-US">Convertible Debenture [Abstract]</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_ConvertibleDebentureAbstract" xlink:to="copy_ConvertibleDebentureAbstract_lbl0"/>
    <loc xlink:type="locator" xlink:label="us-gaap_DebtInstrumentNameDomain" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_DebtInstrumentNameDomain"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_DebtInstrumentNameDomain_lbl" xml:lang="en-US">Debt Instrument, Name [Domain]</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_DebtInstrumentNameDomain" xlink:to="us-gaap_DebtInstrumentNameDomain_lbl"/>
    <loc xlink:type="locator" xlink:label="copy_CONVERTIBLEDEBENTURESDetailsConvertibleDebentureTable" xlink:href="copy-20140131.xsd#copy_CONVERTIBLEDEBENTURESDetailsConvertibleDebentureTable"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="copy_CONVERTIBLEDEBENTURESDetailsConvertibleDebentureTable_lbl" xml:lang="en-US">CONVERTIBLE DEBENTURES (Details) - Convertible Debenture [Table]</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_CONVERTIBLEDEBENTURESDetailsConvertibleDebentureTable" xlink:to="copy_CONVERTIBLEDEBENTURESDetailsConvertibleDebentureTable_lbl"/>
    <loc xlink:type="locator" xlink:label="copy_CONVERTIBLEDEBENTURESDetailsConvertibleDebentureLineItems" xlink:href="copy-20140131.xsd#copy_CONVERTIBLEDEBENTURESDetailsConvertibleDebentureLineItems"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="copy_CONVERTIBLEDEBENTURESDetailsConvertibleDebentureLineItems_lbl" xml:lang="en-US">CONVERTIBLE DEBENTURES (Details) - Convertible Debenture [Line Items]</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_CONVERTIBLEDEBENTURESDetailsConvertibleDebentureLineItems" xlink:to="copy_CONVERTIBLEDEBENTURESDetailsConvertibleDebentureLineItems_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_DebtInstrumentFaceAmount" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_DebtInstrumentFaceAmount"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_DebtInstrumentFaceAmount_lbl" xml:lang="en-US">Face value of Convertible Debenture</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_DebtInstrumentFaceAmount" xlink:to="us-gaap_DebtInstrumentFaceAmount_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_EmbeddedDerivativeFairValueOfEmbeddedDerivativeLiability" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_EmbeddedDerivativeFairValueOfEmbeddedDerivativeLiability"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="us-gaap_EmbeddedDerivativeFairValueOfEmbeddedDerivativeLiability_lbl" xml:lang="en-US">Fair value of embedded conversion feature</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_EmbeddedDerivativeFairValueOfEmbeddedDerivativeLiability" xlink:to="us-gaap_EmbeddedDerivativeFairValueOfEmbeddedDerivativeLiability_lbl"/>
    <loc xlink:type="locator" xlink:label="copy_WarrantsNotSettleableInCashRelativeFairValueDisclosure" xlink:href="copy-20140131.xsd#copy_WarrantsNotSettleableInCashRelativeFairValueDisclosure"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/documentation" xlink:label="copy_WarrantsNotSettleableInCashRelativeFairValueDisclosure_lbl" xml:lang="en-US">Warrants not Settleled in Cash Relative Fair Value Disclosure.</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_WarrantsNotSettleableInCashRelativeFairValueDisclosure" xlink:to="copy_WarrantsNotSettleableInCashRelativeFairValueDisclosure_lbl"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="copy_WarrantsNotSettleableInCashRelativeFairValueDisclosure_lbl0" xml:lang="en-US">Relative fair value of Convertible Debenture Warrant</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_WarrantsNotSettleableInCashRelativeFairValueDisclosure" xlink:to="copy_WarrantsNotSettleableInCashRelativeFairValueDisclosure_lbl0"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2009/role/negatedLabel" xlink:label="us-gaap_DebtInstrumentUnamortizedDiscount_lbl0" xml:lang="en-US">Discount</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_DebtInstrumentUnamortizedDiscount" xlink:to="us-gaap_DebtInstrumentUnamortizedDiscount_lbl0"/>
    <loc xlink:type="locator" xlink:label="us-gaap_ConvertibleDebt" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_ConvertibleDebt"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_ConvertibleDebt_lbl" xml:lang="en-US">Proceeds attributable to the Convertible Debenture</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_ConvertibleDebt" xlink:to="us-gaap_ConvertibleDebt_lbl"/>
    <loc xlink:type="locator" xlink:label="copy_FairValueOfTheEmbeddedConversionFeatureOfTheConvertibleDebentureAbstract" xlink:href="copy-20140131.xsd#copy_FairValueOfTheEmbeddedConversionFeatureOfTheConvertibleDebentureAbstract"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="copy_FairValueOfTheEmbeddedConversionFeatureOfTheConvertibleDebentureAbstract_lbl" xml:lang="en-US">Fair value of the embedded conversion feature of the Convertible Debenture</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_FairValueOfTheEmbeddedConversionFeatureOfTheConvertibleDebentureAbstract" xlink:to="copy_FairValueOfTheEmbeddedConversionFeatureOfTheConvertibleDebentureAbstract_lbl"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="copy_FairValueOfTheEmbeddedConversionFeatureOfTheConvertibleDebentureAbstract_lbl0" xml:lang="en-US">Fair value of the embedded conversion feature of the Convertible Debenture [Abstract]</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_FairValueOfTheEmbeddedConversionFeatureOfTheConvertibleDebentureAbstract" xlink:to="copy_FairValueOfTheEmbeddedConversionFeatureOfTheConvertibleDebentureAbstract_lbl0"/>
    <loc xlink:type="locator" xlink:label="us-gaap_DerivativeContractTypeDomain" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_DerivativeContractTypeDomain"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_DerivativeContractTypeDomain_lbl" xml:lang="en-US">Derivative Contract [Domain]</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_DerivativeContractTypeDomain" xlink:to="us-gaap_DerivativeContractTypeDomain_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_AssumptionForFairValueAsOfBalanceSheetDateOfInterestsContinuedToBeHeldByTransferorServicingAssetsOrLiabilitiesTable" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_AssumptionForFairValueAsOfBalanceSheetDateOfInterestsContinuedToBeHeldByTransferorServicingAssetsOrLiabilitiesTable"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_AssumptionForFairValueAsOfBalanceSheetDateOfInterestsContinuedToBeHeldByTransferorServicingAssetsOrLiabilitiesTable_lbl" xml:lang="en-US">Schedule of Assumptions for Fair Value as of Balance Sheet Date of Assets or Liabilities that relate to Transferor&apos;s Continuing Involvement [Table]</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_AssumptionForFairValueAsOfBalanceSheetDateOfInterestsContinuedToBeHeldByTransferorServicingAssetsOrLiabilitiesTable" xlink:to="us-gaap_AssumptionForFairValueAsOfBalanceSheetDateOfInterestsContinuedToBeHeldByTransferorServicingAssetsOrLiabilitiesTable_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_AssumptionForFairValueAsOfBalanceSheetDateOfInterestsContinuedToBeHeldByTransferorServicingAssetsOrLiabilitiesLineItems" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_AssumptionForFairValueAsOfBalanceSheetDateOfInterestsContinuedToBeHeldByTransferorServicingAssetsOrLiabilitiesLineItems"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_AssumptionForFairValueAsOfBalanceSheetDateOfInterestsContinuedToBeHeldByTransferorServicingAssetsOrLiabilitiesLineItems_lbl" xml:lang="en-US">Assumption for Fair Value as of Balance Sheet Date of Assets or Liabilities that relate to Transferor&apos;s Continuing Involvement [Line Items]</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_AssumptionForFairValueAsOfBalanceSheetDateOfInterestsContinuedToBeHeldByTransferorServicingAssetsOrLiabilitiesLineItems" xlink:to="us-gaap_AssumptionForFairValueAsOfBalanceSheetDateOfInterestsContinuedToBeHeldByTransferorServicingAssetsOrLiabilitiesLineItems_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_SharePrice" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_SharePrice"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_SharePrice_lbl" xml:lang="en-US">Stock price on valuation date (in Dollars per share)</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_SharePrice" xlink:to="us-gaap_SharePrice_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_DebtInstrumentConvertibleConversionPrice1" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_DebtInstrumentConvertibleConversionPrice1"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_DebtInstrumentConvertibleConversionPrice1_lbl" xml:lang="en-US">Conversion price (in Dollars per share)</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_DebtInstrumentConvertibleConversionPrice1" xlink:to="us-gaap_DebtInstrumentConvertibleConversionPrice1_lbl"/>
    <loc xlink:type="locator" xlink:label="copy_StockPremiumForLiquidity" xlink:href="copy-20140131.xsd#copy_StockPremiumForLiquidity"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/documentation" xlink:label="copy_StockPremiumForLiquidity_lbl" xml:lang="en-US">Stock premium for liquidity rate.</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_StockPremiumForLiquidity" xlink:to="copy_StockPremiumForLiquidity_lbl"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="copy_StockPremiumForLiquidity_lbl0" xml:lang="en-US">Stock premium for liquidity</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_StockPremiumForLiquidity" xlink:to="copy_StockPremiumForLiquidity_lbl0"/>
    <loc xlink:type="locator" xlink:label="us-gaap_FairValueAssumptionsExpectedTerm" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_FairValueAssumptionsExpectedTerm"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_FairValueAssumptionsExpectedTerm_lbl" xml:lang="en-US">Term (years)</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_FairValueAssumptionsExpectedTerm" xlink:to="us-gaap_FairValueAssumptionsExpectedTerm_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_FairValueAssumptionsExpectedVolatilityRate" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_FairValueAssumptionsExpectedVolatilityRate"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="us-gaap_FairValueAssumptionsExpectedVolatilityRate_lbl" xml:lang="en-US">Expected volatility</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_FairValueAssumptionsExpectedVolatilityRate" xlink:to="us-gaap_FairValueAssumptionsExpectedVolatilityRate_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_FairValueAssumptionsRiskFreeInterestRate" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_FairValueAssumptionsRiskFreeInterestRate"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_FairValueAssumptionsRiskFreeInterestRate_lbl" xml:lang="en-US">Weighted average risk-free interest rate</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_FairValueAssumptionsRiskFreeInterestRate" xlink:to="us-gaap_FairValueAssumptionsRiskFreeInterestRate_lbl"/>
    <loc xlink:type="locator" xlink:label="copy_Trials" xlink:href="copy-20140131.xsd#copy_Trials"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/documentation" xlink:label="copy_Trials_lbl" xml:lang="en-US">Trials.</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_Trials" xlink:to="copy_Trials_lbl"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="copy_Trials_lbl0" xml:lang="en-US">Trials (in Shares)</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_Trials" xlink:to="copy_Trials_lbl0"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_EmbeddedDerivativeFairValueOfEmbeddedDerivativeLiability_lbl0" xml:lang="en-US">Aggregate fair value (in Dollars)</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_EmbeddedDerivativeFairValueOfEmbeddedDerivativeLiability" xlink:to="us-gaap_EmbeddedDerivativeFairValueOfEmbeddedDerivativeLiability_lbl0"/>
    <loc xlink:type="locator" xlink:label="copy_FairValueOfTheConvertibleDebentureWarrantIssuedAbstract" xlink:href="copy-20140131.xsd#copy_FairValueOfTheConvertibleDebentureWarrantIssuedAbstract"/>
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    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_FairValueOfTheConvertibleDebentureWarrantIssuedAbstract" xlink:to="copy_FairValueOfTheConvertibleDebentureWarrantIssuedAbstract_lbl"/>
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    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_FairValueAssumptionsExercisePrice_lbl" xml:lang="en-US">Exercise price (in Dollars per share)</label>
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    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_WarrantExerciseTriggerPrice" xlink:to="copy_WarrantExerciseTriggerPrice_lbl"/>
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    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_WarrantExerciseTriggerPrice" xlink:to="copy_WarrantExerciseTriggerPrice_lbl0"/>
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    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_ClassOfWarrantOrRightOutstanding" xlink:to="us-gaap_ClassOfWarrantOrRightOutstanding_lbl"/>
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    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_WarrantsNotSettleableInCashFairValueDisclosure" xlink:to="us-gaap_WarrantsNotSettleableInCashFairValueDisclosure_lbl"/>
    <loc xlink:type="locator" xlink:label="copy_DiscountForLackOfMarketability" xlink:href="copy-20140131.xsd#copy_DiscountForLackOfMarketability"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/documentation" xlink:label="copy_DiscountForLackOfMarketability_lbl" xml:lang="en-US">Discount for lack of marketability.</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_DiscountForLackOfMarketability" xlink:to="copy_DiscountForLackOfMarketability_lbl"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="copy_DiscountForLackOfMarketability_lbl0" xml:lang="en-US">Discount for lack of marketability</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_DiscountForLackOfMarketability" xlink:to="copy_DiscountForLackOfMarketability_lbl0"/>
    <loc xlink:type="locator" xlink:label="copy_IssuanceCostAllocatationAbstract" xlink:href="copy-20140131.xsd#copy_IssuanceCostAllocatationAbstract"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="copy_IssuanceCostAllocatationAbstract_lbl" xml:lang="en-US">Issuance cost allocatation</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_IssuanceCostAllocatationAbstract" xlink:to="copy_IssuanceCostAllocatationAbstract_lbl"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="copy_IssuanceCostAllocatationAbstract_lbl0" xml:lang="en-US">Issuance cost allocatation [Abstract]</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_IssuanceCostAllocatationAbstract" xlink:to="copy_IssuanceCostAllocatationAbstract_lbl0"/>
    <loc xlink:type="locator" xlink:label="copy_AccountingTreatmentDomain" xlink:href="copy-20140131.xsd#copy_AccountingTreatmentDomain"/>
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    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_AccountingTreatmentDomain" xlink:to="copy_AccountingTreatmentDomain_lbl"/>
    <loc xlink:type="locator" xlink:label="copy_CONVERTIBLEDEBENTURESDetailsIssuancecostallocatationTable" xlink:href="copy-20140131.xsd#copy_CONVERTIBLEDEBENTURESDetailsIssuancecostallocatationTable"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="copy_CONVERTIBLEDEBENTURESDetailsIssuancecostallocatationTable_lbl" xml:lang="en-US">CONVERTIBLE DEBENTURES (Details) - Issuance cost allocatation [Table]</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_CONVERTIBLEDEBENTURESDetailsIssuancecostallocatationTable" xlink:to="copy_CONVERTIBLEDEBENTURESDetailsIssuancecostallocatationTable_lbl"/>
    <loc xlink:type="locator" xlink:label="copy_CONVERTIBLEDEBENTURESDetailsIssuancecostallocatationLineItems" xlink:href="copy-20140131.xsd#copy_CONVERTIBLEDEBENTURESDetailsIssuancecostallocatationLineItems"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="copy_CONVERTIBLEDEBENTURESDetailsIssuancecostallocatationLineItems_lbl" xml:lang="en-US">CONVERTIBLE DEBENTURES (Details) - Issuance cost allocatation [Line Items]</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_CONVERTIBLEDEBENTURESDetailsIssuancecostallocatationLineItems" xlink:to="copy_CONVERTIBLEDEBENTURESDetailsIssuancecostallocatationLineItems_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_DebtIssuanceCosts" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_DebtIssuanceCosts"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_DebtIssuanceCosts_lbl" xml:lang="en-US">Allocated issuance costs</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_DebtIssuanceCosts" xlink:to="us-gaap_DebtIssuanceCosts_lbl"/>
    <loc xlink:type="locator" xlink:label="copy_WeightedAverageAssumptionsUsedInEstimatingTheFairValueOfStockOptionsGrantedAbstract" xlink:href="copy-20140131.xsd#copy_WeightedAverageAssumptionsUsedInEstimatingTheFairValueOfStockOptionsGrantedAbstract"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="copy_WeightedAverageAssumptionsUsedInEstimatingTheFairValueOfStockOptionsGrantedAbstract_lbl" xml:lang="en-US">Weighted average assumptions used in estimating the fair value of stock options granted</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_WeightedAverageAssumptionsUsedInEstimatingTheFairValueOfStockOptionsGrantedAbstract" xlink:to="copy_WeightedAverageAssumptionsUsedInEstimatingTheFairValueOfStockOptionsGrantedAbstract_lbl"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="copy_WeightedAverageAssumptionsUsedInEstimatingTheFairValueOfStockOptionsGrantedAbstract_lbl0" xml:lang="en-US">Weighted average assumptions used in estimating the fair value of stock options granted [Abstract]</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_WeightedAverageAssumptionsUsedInEstimatingTheFairValueOfStockOptionsGrantedAbstract" xlink:to="copy_WeightedAverageAssumptionsUsedInEstimatingTheFairValueOfStockOptionsGrantedAbstract_lbl0"/>
    <loc xlink:type="locator" xlink:label="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsGrantsInPeriodWeightedAverageGrantDateFairValue" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsGrantsInPeriodWeightedAverageGrantDateFairValue"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsGrantsInPeriodWeightedAverageGrantDateFairValue_lbl" xml:lang="en-US">Weighted average fair value at grant date (in Dollars per share)</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsGrantsInPeriodWeightedAverageGrantDateFairValue" xlink:to="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsGrantsInPeriodWeightedAverageGrantDateFairValue_lbl"/>
    <loc xlink:type="locator" xlink:label="copy_ValuationAssumptionsAbstract" xlink:href="copy-20140131.xsd#copy_ValuationAssumptionsAbstract"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="copy_ValuationAssumptionsAbstract_lbl" xml:lang="en-US">Valuation assumptions:</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_ValuationAssumptionsAbstract" xlink:to="copy_ValuationAssumptionsAbstract_lbl"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="copy_ValuationAssumptionsAbstract_lbl0" xml:lang="en-US">Valuation assumptions: [Abstract]</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_ValuationAssumptionsAbstract" xlink:to="copy_ValuationAssumptionsAbstract_lbl0"/>
    <loc xlink:type="locator" xlink:label="us-gaap_SharebasedCompensationArrangementBySharebasedPaymentAwardFairValueAssumptionsExpectedTerm1" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_SharebasedCompensationArrangementBySharebasedPaymentAwardFairValueAssumptionsExpectedTerm1"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_SharebasedCompensationArrangementBySharebasedPaymentAwardFairValueAssumptionsExpectedTerm1_lbl" xml:lang="en-US">Expected life ( years)</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_SharebasedCompensationArrangementBySharebasedPaymentAwardFairValueAssumptionsExpectedTerm1" xlink:to="us-gaap_SharebasedCompensationArrangementBySharebasedPaymentAwardFairValueAssumptionsExpectedTerm1_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardFairValueAssumptionsExpectedVolatilityRate" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardFairValueAssumptionsExpectedVolatilityRate"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardFairValueAssumptionsExpectedVolatilityRate_lbl" xml:lang="en-US">Expected volatility</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardFairValueAssumptionsExpectedVolatilityRate" xlink:to="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardFairValueAssumptionsExpectedVolatilityRate_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardFairValueAssumptionsRiskFreeInterestRate" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardFairValueAssumptionsRiskFreeInterestRate"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardFairValueAssumptionsRiskFreeInterestRate_lbl" xml:lang="en-US">Risk-free interest rate</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardFairValueAssumptionsRiskFreeInterestRate" xlink:to="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardFairValueAssumptionsRiskFreeInterestRate_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardFairValueAssumptionsExpectedDividendRate" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardFairValueAssumptionsExpectedDividendRate"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardFairValueAssumptionsExpectedDividendRate_lbl" xml:lang="en-US">Expected dividend yield</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardFairValueAssumptionsExpectedDividendRate" xlink:to="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardFairValueAssumptionsExpectedDividendRate_lbl"/>
    <loc xlink:type="locator" xlink:label="copy_The2003SharePlanAbstract" xlink:href="copy-20140131.xsd#copy_The2003SharePlanAbstract"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="copy_The2003SharePlanAbstract_lbl" xml:lang="en-US">The 2003 Share Plan</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_The2003SharePlanAbstract" xlink:to="copy_The2003SharePlanAbstract_lbl"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="copy_The2003SharePlanAbstract_lbl0" xml:lang="en-US">The 2003 Share Plan [Abstract]</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_The2003SharePlanAbstract" xlink:to="copy_The2003SharePlanAbstract_lbl0"/>
    <loc xlink:type="locator" xlink:label="copy_STOCKBASEDCOMPENSATIONDetailsThe2003SharePlanTable" xlink:href="copy-20140131.xsd#copy_STOCKBASEDCOMPENSATIONDetailsThe2003SharePlanTable"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="copy_STOCKBASEDCOMPENSATIONDetailsThe2003SharePlanTable_lbl" xml:lang="en-US">STOCK BASED COMPENSATION (Details) - The 2003 Share Plan [Table]</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_STOCKBASEDCOMPENSATIONDetailsThe2003SharePlanTable" xlink:to="copy_STOCKBASEDCOMPENSATIONDetailsThe2003SharePlanTable_lbl"/>
    <loc xlink:type="locator" xlink:label="copy_STOCKBASEDCOMPENSATIONDetailsThe2003SharePlanLineItems" xlink:href="copy-20140131.xsd#copy_STOCKBASEDCOMPENSATIONDetailsThe2003SharePlanLineItems"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="copy_STOCKBASEDCOMPENSATIONDetailsThe2003SharePlanLineItems_lbl" xml:lang="en-US">STOCK BASED COMPENSATION (Details) - The 2003 Share Plan [Line Items]</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_STOCKBASEDCOMPENSATIONDetailsThe2003SharePlanLineItems" xlink:to="copy_STOCKBASEDCOMPENSATIONDetailsThe2003SharePlanLineItems_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingNumber" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingNumber"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/periodStartLabel" xlink:label="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingNumber_lbl" xml:lang="en-US">Options Outstanding, Shares</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingNumber" xlink:to="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingNumber_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingWeightedAverageExercisePrice" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingWeightedAverageExercisePrice"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/periodStartLabel" xlink:label="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingWeightedAverageExercisePrice_lbl" xml:lang="en-US">Options Outstanding, Weighted Average Exercise Price Per Share</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingWeightedAverageExercisePrice" xlink:to="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingWeightedAverageExercisePrice_lbl"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/periodEndLabel" xlink:label="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingNumber_lbl0" xml:lang="en-US">Options Outstanding, Shares</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingNumber" xlink:to="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingNumber_lbl0"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/periodEndLabel" xlink:label="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingWeightedAverageExercisePrice_lbl0" xml:lang="en-US">Options Outstanding, Weighted Average Exercise Price Per Share</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingWeightedAverageExercisePrice" xlink:to="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingWeightedAverageExercisePrice_lbl0"/>
    <loc xlink:type="locator" xlink:label="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingIntrinsicValue" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingIntrinsicValue"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/periodEndLabel" xlink:label="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingIntrinsicValue_lbl" xml:lang="en-US">Options Outstanding, Aggregate Intrinsic Value</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingIntrinsicValue" xlink:to="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingIntrinsicValue_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsGrantsInPeriodGross" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsGrantsInPeriodGross"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsGrantsInPeriodGross_lbl" xml:lang="en-US">Granted</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsGrantsInPeriodGross" xlink:to="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsGrantsInPeriodGross_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_ShareBasedCompensationArrangementsByShareBasedPaymentAwardOptionsGrantsInPeriodWeightedAverageExercisePrice" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_ShareBasedCompensationArrangementsByShareBasedPaymentAwardOptionsGrantsInPeriodWeightedAverageExercisePrice"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="us-gaap_ShareBasedCompensationArrangementsByShareBasedPaymentAwardOptionsGrantsInPeriodWeightedAverageExercisePrice_lbl" xml:lang="en-US">Granted</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_ShareBasedCompensationArrangementsByShareBasedPaymentAwardOptionsGrantsInPeriodWeightedAverageExercisePrice" xlink:to="us-gaap_ShareBasedCompensationArrangementsByShareBasedPaymentAwardOptionsGrantsInPeriodWeightedAverageExercisePrice_lbl"/>
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    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="copy_TheFairValueOfInvestmentAbstract_lbl0" xml:lang="en-US">The fair value of investment [Abstract]</label>
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    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="copy_AccountsPayableAndAccruedExpenseAbstract_lbl0" xml:lang="en-US">Accounts payable and accrued expense [Abstract]</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_AccountsPayableAndAccruedExpenseAbstract" xlink:to="copy_AccountsPayableAndAccruedExpenseAbstract_lbl0"/>
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    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_AccountsPayableCurrent" xlink:to="us-gaap_AccountsPayableCurrent_lbl"/>
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    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_EmployeeRelatedLiabilitiesCurrent" xlink:to="us-gaap_EmployeeRelatedLiabilitiesCurrent_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_AccruedProfessionalFeesCurrent" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_AccruedProfessionalFeesCurrent"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_AccruedProfessionalFeesCurrent_lbl" xml:lang="en-US">Accrued litigation expense, consulting and other professional fees</label>
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    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_OtherAccruedLiabilitiesCurrent" xlink:to="us-gaap_OtherAccruedLiabilitiesCurrent_lbl"/>
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    <loc xlink:type="locator" xlink:label="us-gaap_SaleOfStockNameOfTransactionDomain" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_SaleOfStockNameOfTransactionDomain"/>
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    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="us-gaap_RelatedPartyTransactionDomain_lbl" xml:lang="en-US">Related Party Transaction [Domain]</label>
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    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="us-gaap_ConvertibleDebt_lbl0" xml:lang="en-US">Convertible Debt</label>
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    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="us-gaap_DebtInstrumentFaceAmount_lbl0" xml:lang="en-US">Debt Instrument, Face Amount</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_DebtInstrumentFaceAmount" xlink:to="us-gaap_DebtInstrumentFaceAmount_lbl0"/>
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    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="us-gaap_FairValueInputsDiscountRate_lbl" xml:lang="en-US">Fair Value Inputs, Discount Rate</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_FairValueInputsDiscountRate" xlink:to="us-gaap_FairValueInputsDiscountRate_lbl"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="us-gaap_DerivativeLiabilitiesCurrent_lbl2" xml:lang="en-US">Derivative Liability, Current</label>
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    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="copy_CashFeeCompensationPlacementAgent_lbl" xml:lang="en-US">Cash Fee Compensation Placement Agent</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_CashFeeCompensationPlacementAgent" xlink:to="copy_CashFeeCompensationPlacementAgent_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_LegalFees" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_LegalFees"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="us-gaap_LegalFees_lbl" xml:lang="en-US">Legal Fees</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_LegalFees" xlink:to="us-gaap_LegalFees_lbl"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="us-gaap_DebtIssuanceCosts_lbl0" xml:lang="en-US">Debt Issuance Cost</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_DebtIssuanceCosts" xlink:to="us-gaap_DebtIssuanceCosts_lbl0"/>
    <loc xlink:type="locator" xlink:label="us-gaap_DebtInstrumentConvertibleThresholdPercentageOfStockPriceTrigger" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_DebtInstrumentConvertibleThresholdPercentageOfStockPriceTrigger"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="us-gaap_DebtInstrumentConvertibleThresholdPercentageOfStockPriceTrigger_lbl" xml:lang="en-US">Debt Instrument, Convertible, Threshold Percentage of Stock Price Trigger</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_DebtInstrumentConvertibleThresholdPercentageOfStockPriceTrigger" xlink:to="us-gaap_DebtInstrumentConvertibleThresholdPercentageOfStockPriceTrigger_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_DebtInstrumentFairValue" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_DebtInstrumentFairValue"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="us-gaap_DebtInstrumentFairValue_lbl" xml:lang="en-US">Debt Instrument, Fair Value Disclosure</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_DebtInstrumentFairValue" xlink:to="us-gaap_DebtInstrumentFairValue_lbl"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/verboseLabel" xlink:label="us-gaap_WarrantsNotSettleableInCashFairValueDisclosure_lbl0" xml:lang="en-US">Warrants Not Settleable in Cash, Fair Value Disclosure</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_WarrantsNotSettleableInCashFairValueDisclosure" xlink:to="us-gaap_WarrantsNotSettleableInCashFairValueDisclosure_lbl0"/>
    <loc xlink:type="locator" xlink:label="us-gaap_GainsLossesOnExtinguishmentOfDebt" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_GainsLossesOnExtinguishmentOfDebt"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="us-gaap_GainsLossesOnExtinguishmentOfDebt_lbl" xml:lang="en-US">Gains (Losses) on Extinguishment of Debt</label>
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    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/documentation" xlink:label="copy_DebtInstrumentPrepaymentNoticePeriod_lbl0" xml:lang="en-US">Debt instrument prepayment notice period.</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_DebtInstrumentPrepaymentNoticePeriod" xlink:to="copy_DebtInstrumentPrepaymentNoticePeriod_lbl0"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/documentation" xlink:label="copy_DebtConversionConvertedInstrumentAdditionalSharesIssued_lbl0" xml:lang="en-US">Debt Conversion Converted Instrument Additional Shares Issued.</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_DebtConversionConvertedInstrumentAdditionalSharesIssued" xlink:to="copy_DebtConversionConvertedInstrumentAdditionalSharesIssued_lbl0"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/documentation" xlink:label="copy_DebtInstrumentPrepaymentThresholdTradingDaysEndingPriorToPrepaymentNotice_lbl0" xml:lang="en-US">The specified number of days prior to which the threshold number of trading days for prepayment stock price trigger must end.</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_DebtInstrumentPrepaymentThresholdTradingDaysEndingPriorToPrepaymentNotice" xlink:to="copy_DebtInstrumentPrepaymentThresholdTradingDaysEndingPriorToPrepaymentNotice_lbl0"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/documentation" xlink:label="copy_ConvertibleDebtInstrumentIncludingEmbeddedDerivativeFairValue_lbl0" xml:lang="en-US">Fair value of convertible debt instrument including embedded derivative.</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_ConvertibleDebtInstrumentIncludingEmbeddedDerivativeFairValue" xlink:to="copy_ConvertibleDebtInstrumentIncludingEmbeddedDerivativeFairValue_lbl0"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/documentation" xlink:label="copy_ConvertibleDebtInstrumentIncludingEmbeddedDerivativeRelativeFairValue_lbl0" xml:lang="en-US">Convertible Debt Instrument Including Embedded Derivative Relative Fair Value.</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_ConvertibleDebtInstrumentIncludingEmbeddedDerivativeRelativeFairValue" xlink:to="copy_ConvertibleDebtInstrumentIncludingEmbeddedDerivativeRelativeFairValue_lbl0"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/documentation" xlink:label="copy_CashFeeCompensationPlacementAgent_lbl0" xml:lang="en-US">Cash fee compensation provided to the placement agent.</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_CashFeeCompensationPlacementAgent" xlink:to="copy_CashFeeCompensationPlacementAgent_lbl0"/>
    <loc xlink:type="locator" xlink:label="copy_STOCKBASEDCOMPENSATIONDetailsTable" xlink:href="copy-20140131.xsd#copy_STOCKBASEDCOMPENSATIONDetailsTable"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="copy_STOCKBASEDCOMPENSATIONDetailsTable_lbl" xml:lang="en-US">STOCK BASED COMPENSATION (Details) [Table]</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_STOCKBASEDCOMPENSATIONDetailsTable" xlink:to="copy_STOCKBASEDCOMPENSATIONDetailsTable_lbl"/>
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    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/label" xlink:label="copy_STOCKBASEDCOMPENSATIONDetailsLineItems_lbl" xml:lang="en-US">STOCK BASED COMPENSATION (Details) [Line Items]</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_STOCKBASEDCOMPENSATIONDetailsLineItems" xlink:to="copy_STOCKBASEDCOMPENSATIONDetailsLineItems_lbl"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/verboseLabel" xlink:label="us-gaap_ShareBasedCompensation_lbl0" xml:lang="en-US">Share-based Compensation (in Dollars)</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_ShareBasedCompensation" xlink:to="us-gaap_ShareBasedCompensation_lbl0"/>
    <loc xlink:type="locator" xlink:label="copy_AmortizationRelatedToCompensationCost" xlink:href="copy-20140131.xsd#copy_AmortizationRelatedToCompensationCost"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="copy_AmortizationRelatedToCompensationCost_lbl" xml:lang="en-US">Amortization Related to Compensation Cost (in Dollars)</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_AmortizationRelatedToCompensationCost" xlink:to="copy_AmortizationRelatedToCompensationCost_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_EmployeeServiceShareBasedCompensationNonvestedAwardsTotalCompensationCostNotYetRecognizedStockOptions" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_EmployeeServiceShareBasedCompensationNonvestedAwardsTotalCompensationCostNotYetRecognizedStockOptions"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="us-gaap_EmployeeServiceShareBasedCompensationNonvestedAwardsTotalCompensationCostNotYetRecognizedStockOptions_lbl" xml:lang="en-US">Employee Service Share-based Compensation, Nonvested Awards, Compensation Not yet Recognized, Stock Options (in Dollars)</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_EmployeeServiceShareBasedCompensationNonvestedAwardsTotalCompensationCostNotYetRecognizedStockOptions" xlink:to="us-gaap_EmployeeServiceShareBasedCompensationNonvestedAwardsTotalCompensationCostNotYetRecognizedStockOptions_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_SharebasedCompensationArrangementBySharebasedPaymentAwardOptionsVestedAndExpectedToVestExercisableWeightedAverageRemainingContractualTerm1" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_SharebasedCompensationArrangementBySharebasedPaymentAwardOptionsVestedAndExpectedToVestExercisableWeightedAverageRemainingContractualTerm1"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="us-gaap_SharebasedCompensationArrangementBySharebasedPaymentAwardOptionsVestedAndExpectedToVestExercisableWeightedAverageRemainingContractualTerm1_lbl" xml:lang="en-US">Share-based Compensation Arrangement by Share-based Payment Award, Options, Vested and Expected to Vest, Exercisable, Weighted Average Remaining Contractual Term</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_SharebasedCompensationArrangementBySharebasedPaymentAwardOptionsVestedAndExpectedToVestExercisableWeightedAverageRemainingContractualTerm1" xlink:to="us-gaap_SharebasedCompensationArrangementBySharebasedPaymentAwardOptionsVestedAndExpectedToVestExercisableWeightedAverageRemainingContractualTerm1_lbl"/>
    <loc xlink:type="locator" xlink:label="copy_ConsultationFeesRelatedToOptions" xlink:href="copy-20140131.xsd#copy_ConsultationFeesRelatedToOptions"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="copy_ConsultationFeesRelatedToOptions_lbl" xml:lang="en-US">Consultation Fees Related to Options (in Dollars)</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_ConsultationFeesRelatedToOptions" xlink:to="copy_ConsultationFeesRelatedToOptions_lbl"/>
    <loc xlink:type="locator" xlink:label="copy_UnrecognizedConsultingExpensesRelatedToNonVestedShareBasedCompensation" xlink:href="copy-20140131.xsd#copy_UnrecognizedConsultingExpensesRelatedToNonVestedShareBasedCompensation"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="copy_UnrecognizedConsultingExpensesRelatedToNonVestedShareBasedCompensation_lbl" xml:lang="en-US">Unrecognized Consulting Expenses Related To Non Vested Share Based Compensation (in Dollars)</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_UnrecognizedConsultingExpensesRelatedToNonVestedShareBasedCompensation" xlink:to="copy_UnrecognizedConsultingExpensesRelatedToNonVestedShareBasedCompensation_lbl"/>
    <loc xlink:type="locator" xlink:label="copy_ConsultingExpensesRecognizedOverWeightedAverageRemainingContractualTerm" xlink:href="copy-20140131.xsd#copy_ConsultingExpensesRecognizedOverWeightedAverageRemainingContractualTerm"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="copy_ConsultingExpensesRecognizedOverWeightedAverageRemainingContractualTerm_lbl" xml:lang="en-US">Consulting Expenses Recognized Over Weighted Average Remaining Contractual Term</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="copy_ConsultingExpensesRecognizedOverWeightedAverageRemainingContractualTerm" xlink:to="copy_ConsultingExpensesRecognizedOverWeightedAverageRemainingContractualTerm_lbl"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsGrantsInPeriodGross_lbl0" xml:lang="en-US">Share-based Compensation Arrangement by Share-based Payment Award, Options, Grants in Period, Gross</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsGrantsInPeriodGross" xlink:to="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsGrantsInPeriodGross_lbl0"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/verboseLabel" xlink:label="us-gaap_ShareBasedCompensationArrangementsByShareBasedPaymentAwardOptionsGrantsInPeriodWeightedAverageExercisePrice_lbl0" xml:lang="en-US">Share-based Compensation Arrangements by Share-based Payment Award, Options, Grants in Period, Weighted Average Exercise Price (in Dollars per share)</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_ShareBasedCompensationArrangementsByShareBasedPaymentAwardOptionsGrantsInPeriodWeightedAverageExercisePrice" xlink:to="us-gaap_ShareBasedCompensationArrangementsByShareBasedPaymentAwardOptionsGrantsInPeriodWeightedAverageExercisePrice_lbl0"/>
    <loc xlink:type="locator" xlink:label="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardNumberOfSharesAuthorized" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardNumberOfSharesAuthorized"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardNumberOfSharesAuthorized_lbl" xml:lang="en-US">Share-based Compensation Arrangement by Share-based Payment Award, Number of Shares Authorized</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardNumberOfSharesAuthorized" xlink:to="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardNumberOfSharesAuthorized_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardNumberOfSharesAvailableForGrant" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardNumberOfSharesAvailableForGrant"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardNumberOfSharesAvailableForGrant_lbl" xml:lang="en-US">Share-based Compensation Arrangement by Share-based Payment Award, Number of Shares Available for Grant</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardNumberOfSharesAvailableForGrant" xlink:to="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardNumberOfSharesAvailableForGrant_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardSharesPurchasedForAward" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardSharesPurchasedForAward"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardSharesPurchasedForAward_lbl" xml:lang="en-US">Share-based Compensation Arrangement by Share-based Payment Award, Shares Purchased for Award</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardSharesPurchasedForAward" xlink:to="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardSharesPurchasedForAward_lbl"/>
    <loc xlink:type="locator" xlink:label="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardPerShareWeightedAveragePriceOfSharesPurchased" xlink:href="http://xbrl.fasb.org/us-gaap/2013/elts/us-gaap-2013-01-31.xsd#us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardPerShareWeightedAveragePriceOfSharesPurchased"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/terseLabel" xlink:label="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardPerShareWeightedAveragePriceOfSharesPurchased_lbl" xml:lang="en-US">Share-based Compensation Arrangement by Share-based Payment Award, Per Share Weighted Average Price of Shares Purchased (in Dollars per share)</label>
    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardPerShareWeightedAveragePriceOfSharesPurchased" xlink:to="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardPerShareWeightedAveragePriceOfSharesPurchased_lbl"/>
    <label xlink:type="resource" xlink:role="http://www.xbrl.org/2003/role/verboseLabel" xlink:label="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingNumber_lbl3" xml:lang="en-US">Share-based Compensation Arrangement by Share-based Payment Award, Options, Outstanding, Number</label>
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    <labelArc xlink:type="arc" xlink:arcrole="http://www.xbrl.org/2003/arcrole/concept-label" xlink:from="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardPerShareWeightedAveragePriceOfSharesPurchased" xlink:to="us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardPerShareWeightedAveragePriceOfSharesPurchased_lbl0"/>
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</DOCUMENT>
<DOCUMENT>
<TYPE>EX-101.PRE
<SEQUENCE>12
<FILENAME>copy-20140131_pre.xml
<DESCRIPTION>XBRL TAXONOMY EXTENSION PRESENTATION LINKBASE DOCUMENT
<TEXT>
<XBRL>
<!-- Generated by iC(tm) - CompSci Interactive Converter - http://www.compsciresources.com -->
<!-- Created: Mon Mar 17 20:45:03 UTC 2014 -->
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        <th class="th" colspan="1">12 Months Ended</th>
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</div>
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</div>
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        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">5,382,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_ImpairmentOfInvestments', window );">Other than Temporary Impairment Losses, Investments</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">1,185,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_InvestmentsFairValueDisclosure', window );">Investments, Fair Value Disclosure</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">4,197,000<span></span></td>
        <td class="nump">3,926,427<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_AccumulatedOtherThanTemporaryImpairmentAvailableForSaleSecurities', window );">Accumulated Other than Temporary Impairment Available for Sale Securities</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">12,003,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_EquityMethodInvestmentOwnershipPercentage', window );">Equity Method Investment, Ownership Percentage</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">19.50%<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_AdjustmentsToAdditionalPaidInCapitalOther', window );">Adjustments to Additional Paid in Capital, Other</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="num">$ (48,000)<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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    <div style="display: none;">
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            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Accumulated other than temporary impairment on available for sale securities.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
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                <table border="0" cellpadding="0" cellspacing="0">
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                    <td>duration</td>
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        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
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        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Amount of other increase (decrease) in additional paid in capital (APIC).</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
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                    <td><strong> Name:</strong></td>
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                    <td><strong> Data Type:</strong></td>
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                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
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                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
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      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_AvailableForSaleEquitySecuritiesAmortizedCostBasis">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>This item represents the cost of equity securities, which are categorized neither as held-to-maturity nor trading, net of adjustments for other-than-temporary impairments recognized in earnings (less any cumulative-effect adjustments recognized, as defined), and fair value hedge accounting adjustments, if any.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
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                    <td><strong> Name:</strong></td>
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                    <td><strong> Data Type:</strong></td>
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                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
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                    <td>instant</td>
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        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
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        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>A savings certificate entitling the Entity (that is, bearer) to receive interest at an established maturity date, based upon a fixed interest rate.  A certificate of deposit may be issued in any denomination. Certificates of deposit are generally issued by commercial banks and, therefore, insured by the FDIC (up to the prescribed limit).  Certificates of deposit generally restrict holders from withdrawing funds on demand without the incurrence of penalties.  Generally, only certificates of deposit with original maturities of three months or less qualify as cash equivalents. Original maturity means original maturity to the entity holding the investment. As a related example, both a three-month US Treasury bill and a three-year Treasury note purchased three months from maturity qualify as cash equivalents. However, a Treasury note purchased three-years ago does not become a cash equivalent when its remaining maturity is three months.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Glossary Cash Equivalents<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6507016<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 02<br><br> -Paragraph 1<br><br> -Article 5<br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 210<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SX 210.5-02.1)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6877327&amp;loc=d3e13212-122682<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_CertificatesOfDepositAtCarryingValue</nobr></td>
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                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
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                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
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                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
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                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
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              </div>
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          </td>
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      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_EquityMethodInvestmentAggregateCost">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
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        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>This element represents the aggregate cost of investments accounted for under the equity method of accounting.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 210<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SX 210.5-02.12)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6877327&amp;loc=d3e13212-122682<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 02<br><br> -Paragraph 12<br><br> -Article 5<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_EquityMethodInvestmentAggregateCost</nobr></td>
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                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
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                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
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                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
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                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
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        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
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        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The percentage of ownership of common stock or equity participation in the investee accounted for under the equity method of accounting.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 323<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 3<br><br> -Subparagraph (a)(1)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6382943&amp;loc=d3e33918-111571<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_EquityMethodInvestmentOwnershipPercentage</nobr></td>
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                    <td><strong> Data Type:</strong></td>
                    <td>num:percentItemType</td>
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                    <td><strong> Balance Type:</strong></td>
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                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
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        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
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        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The amount by which the fair value of an investment is less than the amortized cost basis or carrying amount of that investment at the balance sheet date and the decline in fair value is deemed to be other than temporary, before considering whether or not such amount is recognized in earnings or other comprehensive income.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 230<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 28<br><br> -Subparagraph (b)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=31042434&amp;loc=d3e3602-108585<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 320<br><br> -SubTopic 10<br><br> -Section 35<br><br> -Paragraph 34<br><br> -URI http://asc.fasb.org/extlink&amp;oid=27723805&amp;loc=d3e25351-111560<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_ImpairmentOfInvestments</nobr></td>
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                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
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                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
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                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
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                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
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        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Fair value portion of investment securities, including, but not limited to, marketable securities, derivative financial instruments, and investments accounted for under the equity method.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Glossary Available-for-Sale Securities<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6505594<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Glossary Trading Securities<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6526789<br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 320<br><br> -SubTopic 10<br><br> -Section 25<br><br> -Paragraph 1<br><br> -URI http://asc.fasb.org/extlink&amp;oid=28360136&amp;loc=d3e22054-111558<br><br><br><br>Reference 4: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 03<br><br> -Paragraph 1<br><br> -Subparagraph a, f, g<br><br> -Article 7<br><br><br><br>Reference 5: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 320<br><br> -SubTopic 10<br><br> -Section 35<br><br> -Paragraph 1<br><br> -URI http://asc.fasb.org/extlink&amp;oid=27723805&amp;loc=d3e24584-111560<br><br><br><br></p>
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  <body><span style="display: none;">v2.4.0.8</span><table class="report" border="0" cellspacing="2" id="ID0EANAE">
      <tr>
        <th class="tl" colspan="1" rowspan="2">
          <div style="width: 200px;"><strong>STOCK BASED COMPENSATION (Details) - Stock options outstanding under the 2003 Share Plan (USD $)<br></strong></div>
        </th>
        <th class="th" colspan="1"></th>
        <th class="th" colspan="4">3 Months Ended</th>
        <th class="th" colspan="1"></th>
        <th class="th" colspan="1"></th>
      </tr>
      <tr>
        <th class="th">
          <div>Mar. 28, 2013</div>
        </th>
        <th class="th">
          <div>Jan. 31, 2014

</div>
          <div>Range of Exercise Prices 0. 07 - 0. 37 [Member]

</div>
          <div>2003 Share Plan [Member]</div>
        </th>
        <th class="th">
          <div>Jan. 31, 2014

</div>
          <div>Range of Exercise Prices 0. 43 - 0. 70 [Member]

</div>
          <div>2003 Share Plan [Member]</div>
        </th>
        <th class="th">
          <div>Jan. 31, 2014

</div>
          <div>Range of Exercise Prices 0. 74 - 0. 92 [Member]

</div>
          <div>2003 Share Plan [Member]</div>
        </th>
        <th class="th">
          <div>Jan. 31, 2014

</div>
          <div>Range of Exercise Prices 1. 04 - 1. 46 [Member]

</div>
          <div>2003 Share Plan [Member]</div>
        </th>
        <th class="th">
          <div>Jan. 31, 2014

</div>
          <div>2003 Share Plan [Member]</div>
        </th>
        <th class="th">
          <div>Oct. 31, 2013

</div>
          <div>2003 Share Plan [Member]</div>
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        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_STOCKBASEDCOMPENSATIONDetailsStockoptionsoutstandingunderthe2003SharePlanLineItems', window );"><strong>STOCK BASED COMPENSATION (Details) - Stock options outstanding under the 2003 Share Plan [Line Items]</strong></a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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        <td class="nump">3,000,000<span></span></td>
        <td class="nump">1,860,000<span></span></td>
        <td class="nump">5,384,770<span></span></td>
        <td class="nump">6,139,075<span></span></td>
        <td class="nump">2,255,000<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
        <td class="text">2 years 346 days<span></span></td>
        <td class="text">1 year 255 days<span></span></td>
        <td class="text">2 years 204 days<span></span></td>
        <td class="text">1 year 357 days<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingWeightedAverageExercisePrice', window );">Options Outstanding, Weighted Average Exercise Price</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">$ 0.15<span></span></td>
        <td class="nump">$ 0.60<span></span></td>
        <td class="nump">$ 0.85<span></span></td>
        <td class="nump">$ 1.10<span></span></td>
        <td class="nump">$ 0.72<span></span></td>
        <td class="nump">$ 0.72<span></span></td>
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            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Details</a><div>
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                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_STOCKBASEDCOMPENSATIONDetailsStockoptionsoutstandingunderthe2003SharePlanLineItems</nobr></td>
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            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Number of options outstanding, including both vested and non-vested options.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 718<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6415400&amp;loc=d3e5070-113901<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 718<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -Subparagraph (c)(1)(i)-(ii)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6415400&amp;loc=d3e5070-113901<br><br><br><br></p>
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            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Weighted average price at which grantees can acquire the shares reserved for issuance under the stock option plan.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 718<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -Subparagraph (c)(1)(i)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6415400&amp;loc=d3e5070-113901<br><br><br><br></p>
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                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
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            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Weighted average remaining contractual term for option awards outstanding, in 'PnYnMnDTnHnMnS' format, for example, 'P1Y5M13D' represents the reported fact of one year, five months, and thirteen days.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 718<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -Subparagraph (e)(1)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6415400&amp;loc=d3e5070-113901<br><br><br><br></p>
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          <div style="width: 200px;"><strong>CONVERTIBLE DEBENTURES (Details) (USD $)<br></strong></div>
        </th>
        <th class="th" colspan="1">1 Months Ended</th>
        <th class="th" colspan="2">3 Months Ended</th>
        <th class="th" colspan="1"></th>
        <th class="th" colspan="2"></th>
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        <th class="th" colspan="1"></th>
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        <th class="th" colspan="1"></th>
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        <th class="th" colspan="1">12 Months Ended</th>
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</div>
          <div>Placement Agent Warrant [Member]

</div>
          <div>Common Stock [Member]

</div>
          <div>Convertible Debenture Due January 2015 [Member]</div>
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</div>
          <div>Placement Agent Warrant [Member]

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</div>
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</div>
          <div>Convertible Debenture Due September 2016 [Member]</div>
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          <div>Convertible Debenture Due January 2015 [Member]</div>
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</div>
          <div>Convertible Debenture Warrant [Member]

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          <div>Convertible Debenture Warrant [Member]</div>
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</div>
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          <div>Convertible Debenture Due January 2015 [Member]</div>
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          <div>Convertible Debenture Due January 2015 [Member]</div>
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          <div>Thirty Trading Days Immediately Preceding the Interest Payment Date [Member]

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          <div>Convertible Debentures Due November 2016 [Member]</div>
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          <div>Convertible Debenture Due September 2016 [Member]</div>
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          <div>Convertible Debenture Due January 2015 [Member]</div>
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          <div>Convertible Debentures Due November 2016 [Member]</div>
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          <div>Convertible Debentures Due November 2016 [Member]</div>
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          <div>Convertible Debentures Due November 2016 [Member]</div>
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        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
        <td class="nump">$ 3,500,000<span></span></td>
        <td class="nump">$ 1,765,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">$ 300,000<span></span></td>
        <td class="nump">$ 250,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">$ 750,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">$ 1,765,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">$ 3,500,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
        <td class="nump">8.00%<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">8.00%<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">8.00%<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">6.00%<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">Sep. 12,
				 2016<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">$ 0.092<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">$ 0.15<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
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        <td class="num">(1,394,819)<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">2,085,936<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_DebtInstrumentPrepaymentNoticePeriod', window );">Debt Instrument Prepayment Notice Period</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">30 days<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">30 days<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_DebtConversionOriginalDebtAmount1', window );">Debt Conversion, Original Debt, Amount</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">750,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_DebtConversionConvertedInstrumentSharesIssued1', window );">Debt Conversion, Converted Instrument, Shares Issued (in Shares)</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">8,152,170<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_DebtConversionConvertedInstrumentAdditionalSharesIssued', window );">Debt Conversion Converted Instrument Additional Shares Issued (in Shares)</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">100,725<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_PaidInKindInterest', window );">Paid-in-Kind Interest</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">9,300<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_InterestExpenseDebt', window );">Interest Expense, Debt</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_DebtInstrumentConvertibleStockPriceTrigger', window );">Debt Instrument, Convertible, Stock Price Trigger (in Dollars per share)</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">$ 0.15<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">$ 0.142<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_DebtInstrumentConvertibleThresholdTradingDays', window );">Debt Instrument, Convertible, Threshold Trading Days</a></td>
        <td class="nump">10<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_SharePrice', window );">Share Price (in Dollars per share)</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">$ 0.20<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">$ 0.21<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">$ 30<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_DebtInstrumentPrepaymentThresholdTradingDaysEndingPriorToPrepaymentNotice', window );">Debt Instrument Prepayment Threshold Trading Days Ending Prior to Prepayment Notice</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">15<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_ClassOfWarrantOrRightNumberOfSecuritiesCalledByWarrantsOrRights', window );">Class of Warrant or Right, Number of Securities Called by Warrants or Rights (in Shares)</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">1,400,000<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">5,882,745<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">9,249,472<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_ClassOfWarrantOrRightNumberOfSecuritiesCalledByEachWarrantOrRight', window );">Class of Warrant or Right, Number of Securities Called by Each Warrant or Right (in Shares)</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">1<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_ClassOfWarrantOrRightExercisePriceOfWarrantsOrRights', window );">Class of Warrant or Right, Exercise Price of Warrants or Rights (in Dollars per Share)</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">$ 0.178<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">$ 0.30<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">$ 0.3784<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_ConvertibleDebtInstrumentIncludingEmbeddedDerivativeFairValue', window );">Convertible Debt Instrument Including Embedded Derivative Fair Value</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">4,280,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_EmbeddedDerivativeFairValueOfEmbeddedDerivativeLiability', window );">Embedded Derivative, Fair Value of Embedded Derivative Liability</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">1,570,000<span></span></td>
        <td class="nump">1,180,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">165,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">1,570,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_EquityFairValueDisclosure', window );">Equity, Fair Value Disclosure</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">740,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">370,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_ConvertibleDebtFairValueDisclosures', window );">Convertible Debt, Fair Value Disclosures</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">1,414,064<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_WarrantsNotSettleableInCashRelativeFairValueDisclosure', window );">Warrants Not Settleable in Cash Relative Fair Value Disclosure</a></td>
        <td class="text">&#xA0;<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">17,360<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">515,936<span></span></td>
        <td class="nump">214,819<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">515,936<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_ConvertibleDebtInstrumentIncludingEmbeddedDerivativeRelativeFairValue', window );">Convertible Debt Instrument Including Embedded Derivative Relative Fair Value</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">1,550,181<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">2,984,064<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_ConvertibleDebt', window );">Convertible Debt</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">1,414,064<span></span></td>
        <td class="nump">370,181<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_DebtInstrumentFaceAmount', window );">Debt Instrument, Face Amount</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">3,500,000<span></span></td>
        <td class="nump">1,765,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">3,500,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_FairValueInputsDiscountRate', window );">Fair Value Inputs, Discount Rate</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">18.60%<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">16.00%<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_DerivativeLiabilitiesCurrent', window );">Derivative Liability, Current</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">3,430,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">540,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">540,000<span></span></td>
        <td class="nump">2,410,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">2,410,000<span></span></td>
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      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_DerivativeGainLossOnDerivativeNet', window );">Derivative, Gain (Loss) on Derivative, Net</a></td>
        <td class="text">&#xA0;<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">480,000<span></span></td>
        <td class="nump">475,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_AmortizationOfDebtDiscountPremium', window );">Amortization of Debt Discount (Premium)</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">217,316<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">98,000<span></span></td>
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      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_CashFeeCompensationPlacementAgent', window );">Cash Fee Compensation Placement Agent</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">41,400<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_LegalFees', window );">Legal Fees</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">25,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_DebtIssuanceCosts', window );">Debt Issuance Cost</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">83,760<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">19,156<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_DebtInstrumentConvertibleThresholdPercentageOfStockPriceTrigger', window );">Debt Instrument, Convertible, Threshold Percentage of Stock Price Trigger</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">90.00%<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_DebtInstrumentFairValue', window );">Debt Instrument, Fair Value Disclosure</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">2,710,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_WarrantsNotSettleableInCashFairValueDisclosure', window );">Warrants Not Settleable in Cash, Fair Value Disclosure</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">740,000<span></span></td>
        <td class="nump">740,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">370,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_GainsLossesOnExtinguishmentOfDebt', window );">Gains (Losses) on Extinguishment of Debt</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">$ 840,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
    </table>
    <div style="display: none;">
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_CashFeeCompensationPlacementAgent">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Cash fee compensation provided to the placement agent.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_CashFeeCompensationPlacementAgent</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>copy_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_CONVERTIBLEDEBENTURESDetailsLineItems">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Details</a><div>
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_CONVERTIBLEDEBENTURESDetailsLineItems</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>copy_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:stringItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_ConvertibleDebtInstrumentIncludingEmbeddedDerivativeFairValue">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Fair value of convertible debt instrument including embedded derivative.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_ConvertibleDebtInstrumentIncludingEmbeddedDerivativeFairValue</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>copy_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_ConvertibleDebtInstrumentIncludingEmbeddedDerivativeRelativeFairValue">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Convertible Debt Instrument Including Embedded Derivative Relative Fair Value.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_ConvertibleDebtInstrumentIncludingEmbeddedDerivativeRelativeFairValue</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>copy_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_DebtConversionConvertedInstrumentAdditionalSharesIssued">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Debt Conversion Converted Instrument Additional Shares Issued.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_DebtConversionConvertedInstrumentAdditionalSharesIssued</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>copy_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:sharesItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_DebtInstrumentPrepaymentNoticePeriod">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Debt instrument prepayment notice period.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_DebtInstrumentPrepaymentNoticePeriod</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>copy_</td>
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                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:durationItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_DebtInstrumentPrepaymentThresholdTradingDaysEndingPriorToPrepaymentNotice">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The specified number of days prior to which the threshold number of trading days for prepayment stock price trigger must end.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_DebtInstrumentPrepaymentThresholdTradingDaysEndingPriorToPrepaymentNotice</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>copy_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:integerItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_WarrantsNotSettleableInCashRelativeFairValueDisclosure">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Warrants not Settleled in Cash Relative Fair Value Disclosure.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_WarrantsNotSettleableInCashRelativeFairValueDisclosure</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>copy_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_AmortizationOfDebtDiscountPremium">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Amount of noncash expense included in interest expense to amortize debt discount and premium associated with the related debt instruments. Excludes amortization of financing costs. Alternate captions include noncash interest expense.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 835<br><br> -SubTopic 30<br><br> -Section 45<br><br> -Paragraph 1A<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6451184&amp;loc=d3e28541-108399<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 230<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 28<br><br> -Subparagraph (b)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=31042434&amp;loc=d3e3602-108585<br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 225<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 2<br><br> -Subparagraph (SX 210.5-03.8)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=26872669&amp;loc=d3e20235-122688<br><br><br><br>Reference 4: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 03<br><br> -Paragraph 8<br><br> -Article 5<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_AmortizationOfDebtDiscountPremium</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_ClassOfWarrantOrRightExercisePriceOfWarrantsOrRights">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Exercise price per share or per unit of warrants or rights outstanding.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 235<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SX 210.4-08.(i)(4))<br><br> -URI http://asc.fasb.org/extlink&amp;oid=26873400&amp;loc=d3e23780-122690<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 08<br><br> -Paragraph i<br><br> -Subparagraph 4<br><br> -Article 4<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_ClassOfWarrantOrRightExercisePriceOfWarrantsOrRights</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>us-types:perUnitItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_ClassOfWarrantOrRightNumberOfSecuritiesCalledByEachWarrantOrRight">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Number of securities into which each warrant or right may be converted. For example, but not limited to, each warrant may be converted into two shares.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_ClassOfWarrantOrRightNumberOfSecuritiesCalledByEachWarrantOrRight</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:sharesItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_ClassOfWarrantOrRightNumberOfSecuritiesCalledByWarrantsOrRights">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Number of securities into which the class of warrant or right may be converted. For example, but not limited to, 500,000 warrants may be converted into 1,000,000 shares.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 235<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SX 210.4-08.(i)(2))<br><br> -URI http://asc.fasb.org/extlink&amp;oid=26873400&amp;loc=d3e23780-122690<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 08<br><br> -Paragraph i<br><br> -Subparagraph 2<br><br> -Article 4<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_ClassOfWarrantOrRightNumberOfSecuritiesCalledByWarrantsOrRights</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:sharesItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_ConvertibleDebt">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Including the current and noncurrent portions, carrying amount of debt identified as being convertible into another form of financial instrument (typically the entity's common stock) as of the balance sheet date, which originally required full repayment more than twelve months after issuance or greater than the normal operating cycle of the company.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 942<br><br> -SubTopic 210<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SX 210.9-03.16)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6876686&amp;loc=d3e534808-122878<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 03<br><br> -Paragraph 16<br><br> -Article 9<br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 944<br><br> -SubTopic 210<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SX 210.7-03.16(a)(2))<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6879938&amp;loc=d3e572229-122910<br><br><br><br>Reference 4: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 02<br><br> -Paragraph 19, 20, 22<br><br> -Article 5<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_ConvertibleDebt</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_ConvertibleDebtFairValueDisclosures">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Fair value portion of borrowing which can be exchanged for a specified number of another security at the option of the issuer or the holder, for example, but not limited to, the entity's common stock.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Glossary Convertible Security<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6509036<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_ConvertibleDebtFairValueDisclosures</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_DebtConversionConvertedInstrumentSharesIssued1">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The number of shares issued in exchange for the original debt being converted in a noncash (or part noncash) transaction. "Part noncash" refers to that portion of the transaction not resulting in cash receipts or payments in the period.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 230<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 5<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6367179&amp;loc=d3e4332-108586<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 230<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 3<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6367179&amp;loc=d3e4304-108586<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_DebtConversionConvertedInstrumentSharesIssued1</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:sharesItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_DebtConversionOriginalDebtAmount1">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The amount of the original debt being converted in a noncash (or part noncash) transaction. "Part noncash" refers to that portion of the transaction not resulting in cash receipts or cash payments in the period.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 230<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 5<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6367179&amp;loc=d3e4332-108586<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 230<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 3<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6367179&amp;loc=d3e4304-108586<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_DebtConversionOriginalDebtAmount1</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_DebtInstrumentConvertibleConversionPrice1">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The price per share of the conversion feature embedded in the debt instrument.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 470<br><br> -SubTopic 20<br><br> -Section 50<br><br> -Paragraph 5<br><br> -Subparagraph (b)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6928298&amp;loc=SL6031898-161870<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_DebtInstrumentConvertibleConversionPrice1</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>num:perShareItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_DebtInstrumentConvertibleStockPriceTrigger">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Price of the entity's common stock which would be required to be attained for the conversion feature embedded in the debt instrument to become effective.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_DebtInstrumentConvertibleStockPriceTrigger</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>num:perShareItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_DebtInstrumentConvertibleThresholdPercentageOfStockPriceTrigger">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Minimum percentage of common stock price to conversion price of convertible debt instruments to determine eligibility of conversion.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_DebtInstrumentConvertibleThresholdPercentageOfStockPriceTrigger</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>num:percentItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_DebtInstrumentConvertibleThresholdTradingDays">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Threshold number of specified trading days that common stock price to conversion price of convertible debt instruments must exceed threshold percentage within a specified consecutive trading period to trigger conversion feature.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_DebtInstrumentConvertibleThresholdTradingDays</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:integerItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_DebtInstrumentFaceAmount">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Face (par) amount of debt instrument at time of issuance.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 835<br><br> -SubTopic 30<br><br> -Section 45<br><br> -Paragraph 2<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6451184&amp;loc=d3e28551-108399<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 835<br><br> -SubTopic 30<br><br> -Section 55<br><br> -Paragraph 8<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6584090&amp;loc=d3e28878-108400<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_DebtInstrumentFaceAmount</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_DebtInstrumentFairValue">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Fair value portion of debt instrument payable, including, but not limited to, notes payable and loans payable.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 825<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 10<br><br> -Subparagraph (a)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=28364263&amp;loc=d3e13433-108611<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 825<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 12<br><br> -URI http://asc.fasb.org/extlink&amp;oid=28364263&amp;loc=d3e13476-108611<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_DebtInstrumentFairValue</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_DebtInstrumentInterestRateStatedPercentage">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Contractual interest rate for funds borrowed, under the debt agreement.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 02<br><br> -Paragraph 22<br><br> -Article 5<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 210<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SX 210.5-02.22(a)(1))<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6877327&amp;loc=d3e13212-122682<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_DebtInstrumentInterestRateStatedPercentage</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>num:percentItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_DebtInstrumentMaturityDate">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Date when the debt instrument is scheduled to be fully repaid, in CCYY-MM-DD format.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 02<br><br> -Paragraph 22<br><br> -Article 5<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 210<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SX 210.5-02.22(a)(2))<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6877327&amp;loc=d3e13212-122682<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_DebtInstrumentMaturityDate</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:dateItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_DebtInstrumentUnamortizedDiscount">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The amount of debt discount that was originally recognized at the issuance of the instrument that has yet to be amortized.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 835<br><br> -SubTopic 30<br><br> -Section 45<br><br> -Paragraph 1A<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6451184&amp;loc=d3e28541-108399<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 835<br><br> -SubTopic 30<br><br> -Section 55<br><br> -Paragraph 8<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6584090&amp;loc=d3e28878-108400<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_DebtInstrumentUnamortizedDiscount</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_DebtIssuanceCosts">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Amount of debt issuance costs (for example, but not limited to, legal, accounting, broker, and regulatory fees).</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_DebtIssuanceCosts</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_DerivativeGainLossOnDerivativeNet">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Amount of increase (decrease) in the fair value of derivatives recognized in the income statement.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 815<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 4A<br><br> -Subparagraph (b)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=7476318&amp;loc=SL5618551-113959<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 815<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 4C<br><br> -Subparagraph (a),(c),(d),(e)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=7476318&amp;loc=SL5624171-113959<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_DerivativeGainLossOnDerivativeNet</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_DerivativeLiabilitiesCurrent">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Fair value, after the effects of master netting arrangements, of a financial liability or contract with one or more underlyings, notional amount or payment provision or both, and the contract can be net settled by means outside the contract or delivery of an asset, expected to be settled within one year or normal operating cycle, if longer. Includes assets not subject to a master netting arrangement and not elected to be offset.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Glossary Current Liabilities<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6509677<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 825<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 10<br><br> -Subparagraph (a)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=28364263&amp;loc=d3e13433-108611<br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 815<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 5<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6945355&amp;loc=d3e41228-113958<br><br><br><br>Reference 4: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 825<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 15<br><br> -URI http://asc.fasb.org/extlink&amp;oid=28364263&amp;loc=d3e13495-108611<br><br><br><br>Reference 5: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 210<br><br> -SubTopic 20<br><br> -Section 50<br><br> -Paragraph 3<br><br> -Subparagraph (c)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=20225523&amp;loc=SL20225862-175312<br><br><br><br>Reference 6: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 815<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 6<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6945355&amp;loc=d3e41271-113958<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_DerivativeLiabilitiesCurrent</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_EmbeddedDerivativeFairValueOfEmbeddedDerivativeLiability">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Fair value as of the balance sheet date of the embedded derivative or group of embedded derivatives classified as a liability.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 815<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 4B<br><br> -Subparagraph (c)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=7476318&amp;loc=SL5624163-113959<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_EmbeddedDerivativeFairValueOfEmbeddedDerivativeLiability</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_EquityFairValueDisclosure">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Fair value of the entity's equity.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 820<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -Subparagraph (a)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=25499696&amp;loc=d3e19207-110258<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_EquityFairValueDisclosure</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_FairValueInputsDiscountRate">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Interest rate used to find the present value of an amount to be paid or received in the future as an input to measure fair value.  For example, but not limited to, weighted average cost of capital (WACC), cost of capital, cost of equity and cost of debt.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
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                    <td><strong> Name:</strong></td>
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            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Difference between the fair value of payments made and the carrying amount of debt which is extinguished prior to maturity.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 230<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 28<br><br> -Subparagraph (b)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=31042434&amp;loc=d3e3602-108585<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 470<br><br> -SubTopic 50<br><br> -Section 40<br><br> -Paragraph 2<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6850294&amp;loc=d3e12317-112629<br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 470<br><br> -SubTopic 50<br><br> -Section 40<br><br> -Paragraph 4<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6850294&amp;loc=d3e12355-112629<br><br><br><br></p>
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            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Amount of the cost of borrowed funds accounted for as interest expense for debt.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 225<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 2<br><br> -Subparagraph (SX 210.5-03.8)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=26872669&amp;loc=d3e20235-122688<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 03<br><br> -Paragraph 8<br><br> -Article 5<br><br><br><br></p>
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                <p>The amount of expense provided in the period for legal costs incurred on or before the balance sheet date pertaining to resolved, pending or threatened litigation, including arbitration and mediation proceedings.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 225<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 2<br><br> -Subparagraph (SX 210.5-03.3)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=26872669&amp;loc=d3e20235-122688<br><br><br><br></p>
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                <p>Interest paid other than in cash for example by issuing additional debt securities. As a noncash item, it is added to net income when calculating cash provided by or used in operations using the indirect method.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 230<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 28<br><br> -Subparagraph (b)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=31042434&amp;loc=d3e3602-108585<br><br><br><br></p>
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                <p>The cash inflow from the issuance of a long-term debt instrument which can be exchanged for a specified amount of another security, typically the entity's common stock, at the option of the issuer or the holder.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Glossary Financing Activities<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6513228<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 230<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 14<br><br> -Subparagraph (b)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=31042434&amp;loc=d3e3255-108585<br><br><br><br></p>
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                <p>Price of a single share of a number of saleable stocks of a company.</p>
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                <p>Fair value portion of warrants not settleable in cash classified as equity.</p>
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            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Securities (including those issuable pursuant to contingent stock agreements) that could potentially dilute basic earnings per share (EPS) or earnings per unit (EPU) in the future that were not included in the computation of diluted EPS or EPU because to do so would increase EPS or EPU amounts or decrease loss per share or unit amounts for the period presented.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 260<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 1<br><br> -Subparagraph (c)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6371337&amp;loc=d3e3550-109257<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Glossary Antidilution<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6505113<br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Glossary Diluted Earnings Per Share<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6510752<br><br><br><br>Reference 4: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Glossary Contingent Stock Agreement<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6508534<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
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                    <td><nobr>us-gaap_AntidilutiveSecuritiesExcludedFromComputationOfEarningsPerShareAmount</nobr></td>
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<DOCUMENT>
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<DESCRIPTION>IDEA: XBRL DOCUMENT
<TEXT>
<html>
  <head>
    <META http-equiv="Content-Type" content="text/html; charset=us-ascii">
    <link rel="StyleSheet" type="text/css" href="report.css"><script type="text/javascript" src="Show.js">/* Do Not Remove This Comment */</script></head>
  <body><span style="display: none;">v2.4.0.8</span><table class="report" border="0" cellspacing="2" id="ID0E6ZAE">
      <tr>
        <th class="tl" colspan="1" rowspan="1">
          <div style="width: 200px;"><strong>FAIR VALUE MEASUREMENTS (Details) - The following table presents the hierarchy for our financial liabilities measured at fair value (USD $)<br></strong></div>
        </th>
        <th class="th">
          <div>Jan. 31, 2014</div>
        </th>
        <th class="th">
          <div>Oct. 31, 2013</div>
        </th>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_FAIRVALUEMEASUREMENTSDetailsThefollowingtablepresentsthehierarchyforourfinancialliabilitiesmeasuredatfairvalueLineItems', window );"><strong>FAIR VALUE MEASUREMENTS (Details) - The following table presents the hierarchy for our financial liabilities measured at fair value [Line Items]</strong></a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_DerivativeLiabilities', window );">Derivative liability</a></td>
        <td class="nump">$ 3,430,000<span></span></td>
        <td class="nump">$ 540,000<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_PatentAcquisitionObligation', window );">Patent acquisition obligation</a></td>
        <td class="nump">2,936,977<span></span></td>
        <td class="text">&nbsp;&nbsp;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_FinancialLiabilitiesFairValueDisclosure', window );">Total</a></td>
        <td class="nump">6,366,977<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="rh">
        <td class="pl" style="border-bottom: 0px;" valign="top">
          <div class="a">Fair Value, Inputs, Level 1 [Member]</div>
        </td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_FAIRVALUEMEASUREMENTSDetailsThefollowingtablepresentsthehierarchyforourfinancialliabilitiesmeasuredatfairvalueLineItems', window );"><strong>FAIR VALUE MEASUREMENTS (Details) - The following table presents the hierarchy for our financial liabilities measured at fair value [Line Items]</strong></a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_DerivativeLiabilities', window );">Derivative liability</a></td>
        <td class="text">&nbsp;&nbsp;<span></span></td>
        <td class="text">&nbsp;&nbsp;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_PatentAcquisitionObligation', window );">Patent acquisition obligation</a></td>
        <td class="text">&nbsp;&nbsp;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_FinancialLiabilitiesFairValueDisclosure', window );">Total</a></td>
        <td class="text">&nbsp;&nbsp;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="rh">
        <td class="pl" style="border-bottom: 0px;" valign="top">
          <div class="a">Fair Value, Inputs, Level 2 [Member]</div>
        </td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_FAIRVALUEMEASUREMENTSDetailsThefollowingtablepresentsthehierarchyforourfinancialliabilitiesmeasuredatfairvalueLineItems', window );"><strong>FAIR VALUE MEASUREMENTS (Details) - The following table presents the hierarchy for our financial liabilities measured at fair value [Line Items]</strong></a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_DerivativeLiabilities', window );">Derivative liability</a></td>
        <td class="text">&nbsp;&nbsp;<span></span></td>
        <td class="text">&nbsp;&nbsp;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_PatentAcquisitionObligation', window );">Patent acquisition obligation</a></td>
        <td class="text">&nbsp;&nbsp;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_FinancialLiabilitiesFairValueDisclosure', window );">Total</a></td>
        <td class="text">&nbsp;&nbsp;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="rh">
        <td class="pl" style="border-bottom: 0px;" valign="top">
          <div class="a">Fair Value, Inputs, Level 3 [Member]</div>
        </td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_FAIRVALUEMEASUREMENTSDetailsThefollowingtablepresentsthehierarchyforourfinancialliabilitiesmeasuredatfairvalueLineItems', window );"><strong>FAIR VALUE MEASUREMENTS (Details) - The following table presents the hierarchy for our financial liabilities measured at fair value [Line Items]</strong></a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_DerivativeLiabilities', window );">Derivative liability</a></td>
        <td class="nump">3,430,000<span></span></td>
        <td class="nump">540,000<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_PatentAcquisitionObligation', window );">Patent acquisition obligation</a></td>
        <td class="nump">2,936,977<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_FinancialLiabilitiesFairValueDisclosure', window );">Total</a></td>
        <td class="nump">$ 6,366,977<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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                    <td><nobr>copy_FAIRVALUEMEASUREMENTSDetailsThefollowingtablepresentsthehierarchyforourfinancialliabilitiesmeasuredatfairvalueLineItems</nobr></td>
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            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Patent acquisition obligation.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
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            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Fair value, after the effects of master netting arrangements, of a financial liability or contract with one or more underlyings, notional amount or payment provision or both, and the contract can be net settled by means outside the contract or delivery of an asset. Includes assets not subject to a master netting arrangement and not elected to be offset.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 825<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 10<br><br> -Subparagraph (a)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=28364263&amp;loc=d3e13433-108611<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 815<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 5<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6945355&amp;loc=d3e41228-113958<br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 825<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 15<br><br> -URI http://asc.fasb.org/extlink&amp;oid=28364263&amp;loc=d3e13495-108611<br><br><br><br>Reference 4: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 210<br><br> -SubTopic 20<br><br> -Section 50<br><br> -Paragraph 3<br><br> -Subparagraph (c)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=20225523&amp;loc=SL20225862-175312<br><br><br><br>Reference 5: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 815<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 6<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6945355&amp;loc=d3e41271-113958<br><br><br><br>Reference 6: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 210<br><br> -SubTopic 20<br><br> -Section 55<br><br> -Paragraph 10<br><br> -URI http://asc.fasb.org/extlink&amp;oid=28370219&amp;loc=SL20226008-175313<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_DerivativeLiabilities</nobr></td>
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            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Fair value of financial obligations, including, but not limited to, debt instruments, derivative liabilities, federal funds purchased and sold under agreements to repurchase, securities loaned or sold under agreements to repurchase, financial instruments sold not yet purchased, guarantees, line of credit, loans and notes payable, servicing liability, and trading liabilities.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
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    <META http-equiv="Content-Type" content="text/html; charset=us-ascii">
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  <body><span style="display: none;">v2.4.0.8</span><table class="report" border="0" cellspacing="2" id="ID0EME">
      <tr>
        <th class="tl" colspan="1" rowspan="2">
          <div style="width: 200px;"><strong>CONVERTIBLE DEBENTURES<br></strong></div>
        </th>
        <th class="th" colspan="1">3 Months Ended</th>
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          <div>Jan. 31, 2014</div>
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        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_DebtDisclosureAbstract', window );"><strong>Debt Disclosure [Abstract]</strong></a></td>
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        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">2.&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;</font> <u><font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">CONVERTIBLE DEBENTURES</font></u>
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        <u><font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">Convertible Instruments</font></u>
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        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">The Company accounts for hybrid contracts that feature conversion options in accordance with applicable generally accepted accounting principles (&#8220;GAAP&#8221;).&#160; ASC &#160;815 &#8220;Derivatives and Hedging Activities,&#8221; (&#8220;ASC 815&#8221;) requires companies to bifurcate conversion options from their host instruments and account for them as free standing derivative financial instruments according to certain criteria. The criteria includes circumstances in which (a) the economic characteristics and risks of the embedded derivative instrument are not clearly and closely related to the economic characteristics and risks of the host contract, (b)&#160;the hybrid instrument that embodies both the embedded derivative instrument and the host contract is not re-measured at fair value under otherwise applicable generally accepted accounting principles with changes in fair value reported in earnings
        as they occur and (c)&#160;a separate instrument with the same terms as the embedded derivative instrument would be considered a derivative instrument.&#160;</font>
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        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160; Conversion options that contain variable settlement features such as provisions to adjust the conversion price upon subsequent issuances of equity or equity linked securities at exercise prices more favorable than that featured in the hybrid contract generally result in their bifurcation from the host instrument.</font>
      </p><br/><p style="TEXT-ALIGN: justify; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160; The Company accounts for convertible instruments, when the Company has determined that the embedded conversion options should not be bifurcated from their host instruments, in accordance with ASC 470-20 &#8220;Debt with Conversion and Other Options&#8221; (&#8220;ASC 470-20&#8221;). Under ASC 470-20 the Company records, when necessary, discounts to convertible notes for the intrinsic value of conversion options embedded in debt</font> <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">instruments based upon the differences between the fair value of the underlying common stock at the commitment date of the note transaction and the effective conversion price embedded in the note. The Company accounts for convertible instruments (when the Company has determined that the embedded conversion options should be bifurcated from their host
        instruments) in accordance with ASC 815.&#160;&#160;Under ASC 815, a portion of the proceeds received upon the issuance of the hybrid contract are allocated to the fair value of the derivative. The derivative is subsequently marked to market at each reporting date based on current fair value, with the changes in fair value reported in results of operations.</font>
      </p><br/><p style="TEXT-ALIGN: justify; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160; The conversion feature of the convertible debenture issued on January 25, 2013 qualified as an embedded derivative instrument and was bifurcated from the host convertible debenture.&#160; Accordingly, this instrument has been classified as a derivative liability in the accompanying condensed consolidated balance sheet as of January 31, 2014. &#160;Derivative liabilities are initially recorded at fair value and are then re-valued at each reporting date, with changes in fair value recognized in earnings during the reporting period.</font>
      </p><br/><div>
        <u><font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">Common Stock Purchase Warrants</font></u>
      </div><br/><p style="TEXT-ALIGN: justify; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160; The Company classifies as equity any contracts that (i)&#160;require physical settlement or net-share settlement or (ii) provides a choice of net-cash settlement or settlement in the Company&#8217;s own shares (physical settlement or net-share settlement)&#160;providing that such contracts are indexed to the Company's own stock as defined in ASC 815-40 "Contracts in Entity's Own Equity". The Company classifies as assets or liabilities any contracts that (i)&#160;require net-cash settlement (including a requirement to net cash settle the contract if an event occurs and if that event is outside the Company&#8217;s control) or (ii) gives the counterparty a choice of net-cash settlement or settlement in shares (physical settlement or net-share settlement).&#160;&#160;The Company assesses classification of common stock purchase warrants and other free
        standing derivatives at each reporting date to determine whether a change in classification between assets and liabilities or equity is required.&#160;</font>
      </p><br/><p style="TEXT-ALIGN: justify; MARGIN: 12pt 0in 0pt">
        <u><font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">Convertible Debenture due September 2016</font></u>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">In September 2012, the Company received aggregate gross proceeds of $750,000 from the issuance of 8% convertible debentures due September 12, 2016 in a private placement, of which $300,000 was sold to the Company&#8217;s current Chairman and then Chief Executive Officer and one other director of the Company.&#160; The debentures paid interest quarterly and were convertible into shares of our common stock at a conversion price of $0.092 per share on or before September 12, 2016.&#160; The Company recorded a discount to the carrying amount of the debentures of approximately $717,000 related to the debentures&#8217; beneficial conversion feature.&#160; The Company was permitted to prepay the debentures at any time without penalty upon 30 days prior notice.&#160; The Company also had the option to pay interest on the debentures in common stock.&#160; During the second quarter of fiscal 2013, the entire $750,000
        principal amount of these debentures were converted into 8,152,170 shares of common stock and an additional 100,725 shares were issued in payment of approximately $9,300 of accrued interest through the conversion date.&#160; The</font> <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">conversion of the debentures resulted in a charge to interest expense of approximately $717,000 during the second quarter of fiscal 2013.&#160;</font>
      </p><br/><p style="MARGIN: 0in 0in 0pt">
          <u><font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">Convertible Debenture due January 2015</font></u>
        </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">In January 2013, the Company received aggregate gross proceeds of $1,765,000 from the issuance of 8% convertible debentures due January 25, 2015 (&#8220;Convertible Debenture due January 2015&#8221;), of which $250,000 was received from our current President, Chief Executive Officer and director, and two other directors of the Company.&#160; The debentures pay interest quarterly and are convertible into shares of our common stock at a conversion price of $0.15 per share on or before January 25, 2015.&#160; The embedded conversion feature has certain weighted average anti-dilution protection provisions which would be triggered if the Company issues its common stock, or certain common stock equivalents, (as defined) at a price below $0.15 per share.&#160; The Company has the option to pay any interest on the debentures in common stock based on the average of the closing prices of&#160; our common stock for the 10
        trading days immediately preceding the interest payment date.&#160; The Company also has the option to pay any interest on the debentures with additional debentures.&#160; The Company may prepay the debentures at any time without penalty upon 30 days prior notice but only if the sales price of the common stock is at least $.30 for 20 trading days in any 30-day trading period ending no more than 15 days before the Company&#8217;s prepayment notice.&#160; In conjunction with the issuance of the debentures, the Company issued warrants (the &#8220;Convertible Debenture Warrant&#8221;) to purchase 5,882,745 shares of its common stock.&#160; Each warrant grants the holder the right to purchase one share of the Company&#8217;s common stock at the purchase price of $0.30 per share on or before January 25, 2016.&#160; The Convertible Debenture Warrant may be exercised on a cashless basis only if there is not an effective registration statement covering such shares.</font>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">The Company determined, based upon authoritative guidance, that the conversion feature embedded within the Convertible Debenture due January 2015 should be valued separately and bifurcated from the host instrument and accounted for as a free-standing derivative liability and that the Convertible Debenture Warrant should also be valued and accounted for separately as an equity instrument.&#160;</font>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">The Company determined the fair value of each of the three elements included within the Convertible Debenture due January 2015.&#160; The debenture portion (without the conversion feature) bearing interest at 8% was determined to be a debt instrument with a fair value of $1,490,000.&#160; The embedded conversion feature was determined to be a derivative liability with a fair value of $1,180,000.&#160; The Convertible Debenture Warrant was determined to be an equity instrument with a fair value of $370,000.&#160; The Company determined the fair value of each of these instruments based upon the assumptions and methodologies as discussed below.</font>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
          <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">Since the Convertible Debenture Warrant was determined to be an equity instrument, the Company first computed the relative fair value of the Convertible Debenture due January 2015 (including the value of its conversion feature) with a fair value of $2,670,000 and the Convertible Debenture Warrant with a fair value of&#160;</font> <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">$370,000.&#160;&#160; Accordingly, the relative fair value of the Convertible Debenture Warrant and the Convertible Debenture due January 2015 (including the value of its conversion feature) was determined to be $214,819 and $1,550,181, respectively.&#160; Then, from the relative fair value of the Convertible Debenture due January 2015, the Company deducted in full the fair value of the embedded conversion feature of $1,180,000.&#160;&#160; The discount of $1,394,819 applied to the face value of the Convertible
          Debenture due January 2015 consists of the sum of the relative fair value of the Convertible Debenture Warrant of $214,819 and the full value of the bifurcated conversion option derivative liability of $1,180,000.&#160; The Convertible Debenture due January 2015 was recorded at a net value of $370,181, representing its face value of $1,765,000, less aggregate discounts for the derivative liability and warrant of $1,394,819, as summarized in the table below.</font>
        </p><br/><table style="WIDTH: 50%; MARGIN-LEFT: 47.35pt" border="0" cellspacing="0" cellpadding="0">
          <tr style="HEIGHT: 12.5pt">
            <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="72%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Face value of Convertible Debenture due January 2015</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="11%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in" align="right">
                <font style="line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">$</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="11%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">1,765,000&#160;</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="BACKGROUND-IMAGE: none; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; BACKGROUND-ATTACHMENT: scroll; PADDING-RIGHT: 0in; BACKGROUND-REPEAT: repeat; BACKGROUND-POSITION: 0% 0%; PADDING-TOP: 0in" valign="bottom" width="72%">
              <p style="MARGIN: 0in 0in 0pt 11.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Fair value of embedded conversion feature</font>
              </p>
            </td>
            <td style="BACKGROUND-IMAGE: none; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; BACKGROUND-ATTACHMENT: scroll; PADDING-RIGHT: 0in; BACKGROUND-REPEAT: repeat; BACKGROUND-POSITION: 0% 0%; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">$</font>
              </p>
            </td>
            <td style="BACKGROUND-IMAGE: none; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; BACKGROUND-ATTACHMENT: scroll; PADDING-RIGHT: 0in; BACKGROUND-REPEAT: repeat; BACKGROUND-POSITION: 0% 0%; PADDING-TOP: 0in" valign="bottom" width="11%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">1,180,000</font>
              </p>
            </td>
            <td style="BACKGROUND-IMAGE: none; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; BACKGROUND-ATTACHMENT: scroll; PADDING-RIGHT: 0in; BACKGROUND-REPEAT: repeat; BACKGROUND-POSITION: 0% 0%; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in" align="right">
                <font style="line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="BACKGROUND-IMAGE: none; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; BACKGROUND-ATTACHMENT: scroll; PADDING-RIGHT: 0in; BACKGROUND-REPEAT: repeat; BACKGROUND-POSITION: 0% 0%; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="BACKGROUND-IMAGE: none; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; BACKGROUND-ATTACHMENT: scroll; PADDING-RIGHT: 0in; BACKGROUND-REPEAT: repeat; BACKGROUND-POSITION: 0% 0%; PADDING-TOP: 0in" valign="bottom" width="11%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="72%">
              <p style="MARGIN: 0in 0in 0pt 11.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Relative fair value of Convertible Debenture Warrant</font>
              </p>
            </td>
            <td style="BORDER-BOTTOM: black 1pt solid; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="BORDER-BOTTOM: black 1pt solid; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="11%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">214,819</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in" align="right">
                <font style="line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="11%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
          </tr>
          <tr>
            <td style="BACKGROUND-IMAGE: none; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; BACKGROUND-ATTACHMENT: scroll; PADDING-RIGHT: 0in; BACKGROUND-REPEAT: repeat; BACKGROUND-POSITION: 0% 0%; PADDING-TOP: 0in" valign="bottom" width="72%">
              <p style="MARGIN: 0in 0in 0pt 11.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Discount</font>
              </p>
            </td>
            <td style="BACKGROUND-IMAGE: none; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; BACKGROUND-ATTACHMENT: scroll; PADDING-RIGHT: 0in; BACKGROUND-REPEAT: repeat; BACKGROUND-POSITION: 0% 0%; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">$</font>
              </p>
            </td>
            <td style="BACKGROUND-IMAGE: none; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; BACKGROUND-ATTACHMENT: scroll; PADDING-RIGHT: 0in; BACKGROUND-REPEAT: repeat; BACKGROUND-POSITION: 0% 0%; PADDING-TOP: 0in" valign="bottom" width="11%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">1,394,819</font>
              </p>
            </td>
            <td style="BACKGROUND-IMAGE: none; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; BACKGROUND-ATTACHMENT: scroll; PADDING-RIGHT: 0in; BACKGROUND-REPEAT: repeat; BACKGROUND-POSITION: 0% 0%; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in" align="right">
                <font style="line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="BACKGROUND-IMAGE: none; BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; BACKGROUND-ATTACHMENT: scroll; PADDING-RIGHT: 0in; BACKGROUND-REPEAT: repeat; BACKGROUND-POSITION: 0% 0%; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="BACKGROUND-IMAGE: none; BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; BACKGROUND-ATTACHMENT: scroll; PADDING-RIGHT: 0in; BACKGROUND-REPEAT: repeat; BACKGROUND-POSITION: 0% 0%; PADDING-TOP: 0in" valign="bottom" width="11%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">(1,394,819)</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="72%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Proceeds attributable to the Convertible Debenture due January 2015</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="11%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0.8pt 0pt 0in">
                <font style="line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="BORDER-BOTTOM: windowtext 2pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">$</font>
              </p>
            </td>
            <td style="BORDER-BOTTOM: windowtext 2pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="11%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">370,181</font>
              </p>
            </td>
          </tr>
        </table><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">Accordingly, the Company accounted for the full amount of the discount as an offset to the Convertible Debenture due January 2015, amortizable under the effective interest method over the term of the debenture.</font>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">The Company calculated the fair value of the embedded conversion feature of the Convertible Debenture due January 2015 using a Monte Carlo simulation, with the observable assumptions as provided in the table below.&#160;The significant unobservable inputs used in the fair value measurement of the reporting entity&#8217;s embedded conversion feature are expected stock prices, levels of trading and liquidity of the Company stock, probability of default of the host instrument, and loss severity in the event of such default. Significant increases in the expected stock prices and expected liquidity would result in a significantly higher fair value measurement.&#160;Significant increases in either the probability or severity of default of the host instrument would result in a significantly lower fair value measurement.&#160;</font>
      </p><br/><table style="WIDTH: 50%; BORDER-COLLAPSE: collapse; MARGIN-LEFT: 47.1pt" border="0" cellspacing="0" cellpadding="0">
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="BORDER-BOTTOM: black 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="14%" colspan="2">
              <p style="TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in" align="center">
                <font style="font-size: 12pt; font-family: Times New Roman;">As of</font>
              </p>
              <p style="TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in" align="center">
                <font style="font-size: 12pt; font-family: Times New Roman;">January 25,</font>
              </p>
              <p style="TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in" align="center">
                <font style="font-size: 12pt; font-family: Times New Roman;">2013</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="top" width="14%" colspan="2">
              <p style="MARGIN: 0in 0in 0pt">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Stock price on valuation date</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">$</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">0.21</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Conversion price</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">$</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">0.15</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Stock premium for liquidity</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">57%</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Term (years)</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">2.00</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Expected volatility</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">110%</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Weighted average risk-free interest rate</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">0.3%</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Trials</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">100,000</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Aggregate fair value</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">$</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">1,180,000</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: white; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: white; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: white; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
          </tr>
        </table><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">The Company calculated the fair value of the Convertible Debenture Warrant issued on January 25, 2013 using the Black-Scholes option pricing model with the following assumptions:</font>
      </p><br/><table style="WIDTH: 50%; BORDER-COLLAPSE: collapse; MARGIN-LEFT: 47.1pt" border="0" cellspacing="0" cellpadding="0">
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="BORDER-BOTTOM: black 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="14%" colspan="2">
              <p style="TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in" align="center">
                <font style="font-size: 12pt; font-family: Times New Roman;">As of</font>
              </p>
              <p style="TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in" align="center">
                <font style="font-size: 12pt; font-family: Times New Roman;">January 25,</font>
              </p>
              <p style="TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in" align="center">
                <font style="font-size: 12pt; font-family: Times New Roman;">2013</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="top" width="14%" colspan="2">
              <p style="MARGIN: 0in 0in 0pt">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Stock price on valuation date</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">$</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">0.21</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Exercise price</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">$</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">0.30</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Stock premium for liquidity</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">38%</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Term (years)</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">3.00</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Warrant exercise trigger price</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">41%</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Expected volatility</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">95%</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Weighted average risk-free interest rate</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">0.4%</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Number of warrants</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">5,882,745</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Aggregate fair value</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">$</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">370,000</font>
              </p>
            </td>
          </tr>
        </table><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">The Company determined the fair value of the Convertible Debenture due January 2015 by preparing an analysis of discounted cash flows, using a discount rate of 18.6%, which the Company deemed appropriate given the Company&#8217;s current risk scenarios.</font>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt; BACKGROUND: white">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">The derivative liability related to the embedded conversion feature is revalued at each reporting period as well as on the date of all conversions.&#160; The value of the derivative liability associated with the conversions of the Convertible Debenture due January 2015 during fiscal year 2013 was approximately $165,000.&#160; As of October 31, 2013, the Company determined the fair value of the derivative liability to be $540,000, and accordingly, during the year ended October 31, 2013, the Company recorded a gain on the change in the fair value of the derivative liability of approximately $475,000.</font>
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        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">As of January 31, 2014, the Company calculated the fair value of the embedded conversion feature of the Convertible Debenture due January 2015 using a Monte Carlo simulation, with the observable assumptions as provided in the table below. &#160;The significant unobservable inputs used in the fair value measurement of the reporting entity&#8217;s embedded conversion feature are expected stock prices, levels of trading and liquidity of the Company stock, probability of default of the host instrument, and loss severity in the event of such default. &#160;Significant increases in the expected stock prices and expected liquidity would result in a significantly higher fair value measurement.&#160; Significant increases in either the probability or severity of default of the host instrument would result in a significantly lower fair value measurement.&#160;</font>
      </p><br/><table style="WIDTH: 50%; BORDER-COLLAPSE: collapse; MARGIN-LEFT: 47.1pt" border="0" cellspacing="0" cellpadding="0">
          <tr>
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              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="BORDER-BOTTOM: black 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="14%" colspan="2">
              <p style="TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in" align="center">
                <font style="line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
              <p style="TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in" align="center">
                <font style="font-size: 12pt; font-family: Times New Roman;">As of</font>
              </p>
              <p style="TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in" align="center">
                <font style="font-size: 12pt; font-family: Times New Roman;">January 31,</font>
              </p>
              <p style="TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in" align="center">
                <font style="font-size: 12pt; font-family: Times New Roman;">2014</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="top" width="14%" colspan="2">
              <p style="MARGIN: 0in 0in 0pt">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Stock price used for valuation</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 3.7pt 0pt 0in" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">$</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">0.303</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Conversion price</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 3.7pt 0pt 0in" align="right">
                <font style="line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">0.15</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Discount for marketability</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in" align="right">
                <font style="line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">38.3%</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Term (years)</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in" align="right">
                <font style="line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">1.00</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Expected volatility</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in" align="right">
                <font style="line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">87.7%</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Weighted average risk-free interest rate</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in" align="right">
                <font style="line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">0.1%</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Trials</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 3.7pt 0pt 0in" align="right">
                <font style="line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">100,000</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Aggregate fair value</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 3.7pt 0pt 0in" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">$</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">1,020,000</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: white; PADDING-TOP: 0in" width="86%">
              <p style="MARGIN: 0in 0.8pt 0pt 0in">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: white; PADDING-TOP: 0in" width="2%">
              <p style="MARGIN: 0in 0in 0pt">
                <font style="line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: white; PADDING-TOP: 0in" width="12%">
              <p style="MARGIN: 0in 0.8pt 0pt 0in">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
          </tr>
        </table><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt; BACKGROUND: white">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">The Company recorded a loss on the change in the fair value of the derivative liability of approximately $480,000 during the three months ended January 31, 2014.</font>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt; BACKGROUND: white">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">The amortization of debt discount related to the Convertible Debenture due January 2015 was approximately $119,000 for the three months ended January 31, 2014.</font>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">In connection with the issuance of the Convertible Debenture due January 2015, the Company provided compensation to the placement agent consisting of a cash fee of $41,400 and a warrant for the purchase of 276,014 shares of the Company&#8217;s common stock (&#8220;Placement Agent Warrant&#8221;).&#160; The terms of the Placement Agent Warrant are identical to the terms of the Convertible Debenture Warrant, and using Black-Scholes, upon issuance, was determined to have a fair value of $17,360.&#160;Assumptions for the valuation of the Placement Agent Warrant were identical to those provided above for the Convertible Debenture Warrant.&#160; In addition, issuance costs included legal fees of approximately $25,000.</font>
      </p><br/><p style="TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
          <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">The sum of the issuance costs was $83,760, and this cost was allocated as provided below:</font>
        </p><br/><table style="WIDTH: 50%; MARGIN-LEFT: 47.1pt" border="0" cellspacing="0" cellpadding="0">
          <tr>
            <td style="BORDER-BOTTOM: black 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="36%">
              <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt 1.5pt" align="center">
                <font style="font-size: 12pt; font-family: Times New Roman;">Attributable to:</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt 1.5pt" align="center">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="BORDER-BOTTOM: black 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="38%">
              <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt 1.5pt" align="center">
                <font style="font-size: 12pt; font-family: Times New Roman;">Accounting Treatment</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt 1.5pt" align="center">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="BORDER-BOTTOM: black 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="22%" colspan="2">
              <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt 1.5pt" align="center">
                <font style="line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
              <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt 1.5pt" align="center">
                <font style="font-size: 12pt; font-family: Times New Roman;">Amount</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="36%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="38%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="20%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="36%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">The embedded conversion feature (derivative)</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0.8pt 0pt 0in">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="38%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Expensed as incurred</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">$</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="20%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">55, 999</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="36%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">The 8% Convertible Debenture Warrant</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="38%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Charged to additional paid-in capital</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="20%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">10,194</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="36%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="38%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="20%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="top" width="36%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">The 8% Convertible Debenture</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="top" width="38%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Recorded as deferred issuance costs and amortized under the interest method over the term of the 8% Convertible Debenture</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0.8pt 0pt 0in">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0.8pt 0pt 0in">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="20%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">17,567</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="36%">
              <p style="MARGIN: 0in 0in 0pt 11.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Total</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="38%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="BORDER-BOTTOM: windowtext 2pt double; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">$</font>
              </p>
            </td>
            <td style="BORDER-BOTTOM: windowtext 2pt double; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="20%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">83,760</font>
              </p>
            </td>
          </tr>
        </table><br/><p style="TEXT-ALIGN: justify; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160; In connection with the issuance of the Convertible Debenture due January 2015, on April 24, 2013, the Company prepared and filed a registration statement registering for resale the shares of its common stock which may be issued upon the conversion of the debentures and exercise of the warrants consistent with the terms and conditions of the registration rights agreement the Company entered into with the holders of the registrable shares listed above. The registration statement was declared effective by the SEC on June 19, 2013.</font>
      </p><br/><p style="TEXT-ALIGN: justify; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160; The Company has agreed to maintain the effectiveness of the registration statement through the earlier of three years from the date of the issuance of the Convertible Debenture due January 2015 or until Rule 144 of the Securities Act is available to the holders to allow them to sell all of their registrable securities thereunder.</font>
      </p><br/><p style="MARGIN: 0in 0in 0pt">
        <u><font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">Convertible Debenture due November 2016</font></u>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">In November 2013, the Company received aggregate gross proceeds of $3,500,000 from the issuance of 6% convertible debentures due November 11, 2016 (&#8220;Convertible Debenture due November 2016&#8221;).&#160; The debentures pay interest annually and are convertible into shares of our common stock at a conversion price of $0.1892 per share on or before November 11, 2016.&#160; The embedded conversion feature has certain weighted average anti-dilution protection provisions which would be triggered if the Company issues its common stock, or certain common stock equivalents, (as defined) at a price below $0.142 per share.&#160; The Company has the option to pay any interest on the debentures in common stock based on 90% of the volume weighted average closing sales price of our common stock for the 30 trading days immediately preceding the interest payment date.&#160; In conjunction with the issuance of the
        debentures, the Company issued warrants (the &#8220;Convertible Debenture Warrant&#8221;) to purchase 9,249,472 shares of its common stock.&#160; Each warrant grants the holder the right to purchase one share of the Company&#8217;s common stock at a fixed purchase price of $0.3784 per share on or before November 11, 2016.&#160; The</font> <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">Convertible Debenture Warrant may be exercised on a cashless basis only if there is not an effective registration statement covering such shares.</font>
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        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">The Company determined, based upon authoritative guidance, that the conversion feature embedded within the Convertible Debenture due November 2016 should be valued separately and bifurcated from the host instrument and accounted for as a free-standing derivative liability and that the Convertible Debenture Warrant should also be valued and accounted for separately as an equity instrument.&#160;</font>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">The Company determined the fair value of each of the three elements included within the Convertible Debenture due November 2016.&#160; The debenture portion (without the conversion feature) bearing interest at 6% was determined to be a debt instrument with a fair value of $2,710,000.&#160; The embedded conversion feature was determined to be a derivative liability with a fair value of $1,570,000.&#160; The Convertible Debenture Warrant was determined to be an equity instrument with a fair value of $740,000.&#160; The Company determined the fair value of each of these instruments based upon the assumptions and methodologies as discussed below.</font>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">Since the Convertible Debenture Warrant was determined to be an equity instrument, the Company first computed the relative fair value of the Convertible Debenture due November 2016 (including the value of its conversion feature) with a fair value of $4,280,000 and the Convertible Debenture Warrant with a fair value of $740,000.&#160;&#160;Accordingly, the relative fair value of the Convertible Debenture Warrant and the Convertible Debenture due November 2016 (including the value of its conversion feature) was determined to be $515,936 and $2,984,064, respectively.&#160; Then, from the relative fair value of the Convertible Debenture due November 2016, the Company deducted in full the fair value of the embedded conversion feature of $1,570,000.&#160;&#160;The discount of $2,085,936 applied to the face value of the Convertible Debenture due November 2016 consists of the sum of the relative fair value of the
        Convertible Debenture Warrant of $515,936 and the full value of the bifurcated conversion option derivative liability of $1,570,000.&#160; The Convertible Debenture due November 2016 was recorded at a net value of $1,414,064, representing its face value of $3,500,000, less aggregate discounts for the derivative liability and warrant of $2,085,936, as summarized in the table below.</font>
      </p><br/><table style="WIDTH: 50%; BORDER-COLLAPSE: collapse; MARGIN-LEFT: 47.1pt" border="0" cellspacing="0" cellpadding="0">
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="67%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Face value of Convertible Debenture due November 2016</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="14%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in" align="right">
                <font style="line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">$</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="13%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">3,500,000&#160;</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="67%">
              <p style="MARGIN: 0in 0in 0pt 11.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Fair value of embedded conversion feature</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">$</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="14%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">1,570,000</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in" align="right">
                <font style="line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="13%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="67%">
              <p style="MARGIN: 0in 0in 0pt 11.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Relative fair value of Convertible Debenture Warrant</font>
              </p>
            </td>
            <td style="BORDER-BOTTOM: black 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="BORDER-BOTTOM: black 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="14%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">515,936</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in" align="right">
                <font style="line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="13%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="67%">
              <p style="MARGIN: 0in 0in 0pt 11.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Discount</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">$</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="14%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">2,085,936</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in" align="right">
                <font style="line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="13%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">(2,085,936)</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="67%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Proceeds attributable to the Convertible Debenture due November 2016</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="14%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0.8pt 0pt 0in">
                <font style="line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">$</font>
              </p>
            </td>
            <td style="BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="13%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">1,414,064</font>
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          </tr>
        </table><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">Accordingly, the Company accounted for the full amount of the discount as an offset to the Convertible Debenture due November 2016, amortizable under the effective interest method over the term of the debenture.</font>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">The Company calculated the fair value of the embedded conversion feature of the Convertible Debenture due November 2016 using a Monte Carlo simulation, with the observable assumptions as provided in the table below.&#160;The significant unobservable inputs used in the fair value measurement of the reporting entity&#8217;s embedded conversion feature are expected stock prices, levels of trading and liquidity of the Company stock, probability of default of the host instrument, and loss severity in the event of such default. Significant increases in the expected stock prices and expected liquidity would result in a significantly higher fair value measurement.&#160;Significant increases in either the probability or severity of default of the host instrument would result in a significantly lower fair value measurement.&#160;</font>
      </p><br/><table style="WIDTH: 50%; BORDER-COLLAPSE: collapse; MARGIN-LEFT: 6.75pt; MARGIN-RIGHT: 6.75pt" border="0" cellspacing="0" cellpadding="0">
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="BORDER-BOTTOM: black 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="14%" colspan="2">
              <p style="TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in" align="center">
                <font style="font-size: 12pt; font-family: Times New Roman;">As of</font>
              </p>
              <p style="TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in" align="center">
                <font style="font-size: 12pt; font-family: Times New Roman;">November 11,</font>
              </p>
              <p style="TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in" align="center">
                <font style="font-size: 12pt; font-family: Times New Roman;">2013</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="top" width="14%" colspan="2">
              <p style="MARGIN: 0in 0in 0pt">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Stock price on valuation date</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">$</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">0.20</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Conversion price</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">$</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">0.189</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Discount for lack of marketability</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">35.5%</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Term (years)</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">3.00</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Expected volatility</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">102.8%</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Weighted average risk-free interest rate</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">0.62%</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Trials</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">100,000</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Aggregate fair value</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">$</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">1,570,000</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: white; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: white; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: white; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
          </tr>
        </table><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">The Company calculated the fair value of the Convertible Debenture Warrant issued on November 11, 2013 using a Monte Carlo simulation, with the observable assumptions as provided in the table below.&#160;The significant unobservable inputs used in the fair value measurement of the reporting entity&#8217;s warrant value are expected stock prices, levels of trading and liquidity of the Company stock, probability of default of the host instrument, and loss severity in the event of such default. Significant increases in the expected stock prices and expected liquidity would result in a significantly higher fair value measurement.&#160;Significant increases in either the probability or severity of default of the host instrument would result in a significantly lower fair value measurement:</font>
      </p><br/><table style="WIDTH: 50%; BORDER-COLLAPSE: collapse; MARGIN-LEFT: 10.7pt" border="0" cellspacing="0" cellpadding="0">
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="BORDER-BOTTOM: black 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="14%" colspan="2">
              <p style="TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in" align="center">
                <font style="font-size: 12pt; font-family: Times New Roman;">As of</font>
              </p>
              <p style="TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in" align="center">
                <font style="font-size: 12pt; font-family: Times New Roman;">November 11,</font>
              </p>
              <p style="TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in" align="center">
                <font style="font-size: 12pt; font-family: Times New Roman;">2013</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="top" width="14%" colspan="2">
              <p style="MARGIN: 0in 0in 0pt">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Stock price on valuation date</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">$</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">0.20</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Exercise price</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">$</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">0.378</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Discount for lack of marketability</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">22%</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Term (years)</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">3.00</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Expected volatility</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">102.8%</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Weighted average risk-free interest rate</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">0.6%</font>
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            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Number of warrants</font>
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            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">9,249,472</font>
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            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Aggregate fair value</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">$</font>
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            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">740,000</font>
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          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="top" width="86%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="top" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="top" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
          </tr>
        </table><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">The Company determined the fair value of the Convertible Debenture due November 2016 by preparing an analysis of discounted cash flows, using a discount rate of 16.0%, which the Company deemed appropriate given the Company&#8217;s current risk scenarios.</font>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt; BACKGROUND: white">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">The derivative liability related to the embedded conversion feature is revalued at each reporting period as well as on the date of all conversions, as discussed, below.&#160; As of January 31, 2014, the Company determined the fair value of the derivative liability to be $2,410,000, and accordingly, during the three months ended January 31, 2014, the Company recorded a loss on the change in the fair value of the derivative liability of approximately $840,000.</font>
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        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">As of January 31, 2014, the Company calculated the fair value of the embedded conversion feature of the Convertible Debenture due November 2016 using a Monte Carlo simulation, with the observable assumptions as provided in the table below. &#160;The significant unobservable inputs used in the fair value measurement of the reporting entity&#8217;s embedded conversion feature are expected stock prices, levels of trading and liquidity of the Company stock, probability of default of the host instrument, and loss severity in the event of such default. &#160;Significant increases in the expected stock prices and expected liquidity would result in a significantly higher fair value measurement.&#160; Significant increases in either the probability or severity of default of the host instrument would result in a significantly lower fair value measurement.&#160;</font>
      </p><br/><table style="WIDTH: 50%; MARGIN-LEFT: 47.1pt" border="0" cellspacing="0" cellpadding="0">
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="BORDER-BOTTOM: black 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="14%" colspan="2">
              <p style="TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in" align="center">
                <font style="line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
              <p style="TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in" align="center">
                <font style="font-size: 12pt; font-family: Times New Roman;">January 31,</font>
              </p>
              <p style="TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in" align="center">
                <font style="font-size: 12pt; font-family: Times New Roman;">2014</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="top" width="14%" colspan="2">
              <p style="MARGIN: 0in 0in 0pt">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Stock price used for valuation</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 3.7pt 0pt 0in" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">$</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">0.303</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Conversion price</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 3.7pt 0pt 0in" align="right">
                <font style="line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">0.189</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Discount for lack of marketability</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in" align="right">
                <font style="line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">38.3%</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Term (years)</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in" align="right">
                <font style="line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">2.8</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Expected volatility</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in" align="right">
                <font style="line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">105%</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Weighted average risk-free interest rate</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in" align="right">
                <font style="line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">0.6%</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Trials</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 3.7pt 0pt 0in" align="right">
                <font style="line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">100,000</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Aggregate fair value</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 3.7pt 0pt 0in" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">$</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">2,410,000</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: white; PADDING-TOP: 0in" width="86%">
              <p style="MARGIN: 0in 0.8pt 0pt 0in">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: white; PADDING-TOP: 0in" width="2%">
              <p style="MARGIN: 0in 0in 0pt">
                <font style="line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: white; PADDING-TOP: 0in" width="12%">
              <p style="MARGIN: 0in 0.8pt 0pt 0in">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
          </tr>
        </table><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt; BACKGROUND: white">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">The amortization of debt discount related to the Convertible Debenture due November 2016 was approximately $98,000 for the three months ended January 31, 2014.</font>
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        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">In connection with the issuance of the Convertible Debenture due November 2016, the Company incurred legal costs which were allocated as provided below:</font>
      </p><br/><table style="WIDTH: 50%; MARGIN-LEFT: 47.1pt" border="0" cellspacing="0" cellpadding="0">
          <tr>
            <td style="BORDER-BOTTOM: black 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="38%">
              <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt 1.5pt" align="center">
                <font style="font-size: 12pt; font-family: Times New Roman;">Attributable to:</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt 1.5pt" align="center">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="BORDER-BOTTOM: black 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="40%">
              <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt 1.5pt" align="center">
                <font style="font-size: 12pt; font-family: Times New Roman;">Accounting Treatment</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt 1.5pt" align="center">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="BORDER-BOTTOM: black 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="18%" colspan="2">
              <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt 1.5pt" align="center">
                <font style="line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
              <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt 1.5pt" align="center">
                <font style="font-size: 12pt; font-family: Times New Roman;">Amount</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="38%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="40%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="16%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="38%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">The embedded conversion feature (derivative)</font>
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        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160; In connection with the issuance of the Convertible Debenture due November 2016, on February 7, 2014, the Company prepared and filed a registration statement registering for resale the shares of its common stock which may be issued upon the conversion of the debenture and exercise of the warrant consistent with the terms and conditions of the debenture agreement the Company entered into with the holders of the registrable shares listed above.</font>
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                <p>The entire disclosure for information about short-term and long-term debt arrangements, which includes amounts of borrowings under each line of credit, note payable, commercial paper issue, bonds indenture, debenture issue, own-share lending arrangements and any other contractual agreement to repay funds, and about the underlying arrangements, rationale for a classification as long-term, including repayment terms, interest rates, collateral provided, restrictions on use of assets and activities, whether or not in compliance with debt covenants, and other matters important to users of the financial statements, such as the effects of refinancing and noncompliance with debt covenants.</p>
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        <td class="nump">$ 2,937,000<span></span></td>
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                <p>The estimated minimum amount of possible loss from the contingency.</p>
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          <div>Convertible Debenture Due January 2015 [Member]</div>
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                <p>Amount of debt issuance costs (for example, but not limited to, legal, accounting, broker, and regulatory fees).</p>
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        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_FairValueAssumptionsExpectedTerm', window );">Term (years)</a></td>
        <td class="text">3 years<span></span></td>
        <td class="text">3 years<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_WarrantExerciseTriggerPrice', window );">Warrant exercise trigger price</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">41.00%<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_FairValueAssumptionsExpectedVolatilityRate', window );">Expected volatility</a></td>
        <td class="nump">102.80%<span></span></td>
        <td class="nump">95.00%<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_FairValueAssumptionsRiskFreeInterestRate', window );">Weighted average risk-free interest rate</a></td>
        <td class="nump">0.60%<span></span></td>
        <td class="nump">0.40%<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_ClassOfWarrantOrRightOutstanding', window );">Number of warrants (in Shares)</a></td>
        <td class="nump">9,249,472<span></span></td>
        <td class="nump">5,882,745<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_WarrantsNotSettleableInCashFairValueDisclosure', window );">Aggregate fair value (in Dollars)</a></td>
        <td class="nump">$ 740,000<span></span></td>
        <td class="nump">$ 370,000<span></span></td>
      </tr>
    </table>
    <div style="display: none;">
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_DiscountForLackOfMarketability">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Discount for lack of marketability.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_DiscountForLackOfMarketability</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>copy_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>num:percentItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_StockPremiumForLiquidity">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Stock premium for liquidity rate.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_StockPremiumForLiquidity</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>copy_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>num:percentItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_WarrantExerciseTriggerPrice">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Warrant exercise trigger price percentage.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_WarrantExerciseTriggerPrice</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>copy_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>num:percentItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_AssumptionForFairValueAsOfBalanceSheetDateOfInterestsContinuedToBeHeldByTransferorServicingAssetsOrLiabilitiesLineItems">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Details</a><div>
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_AssumptionForFairValueAsOfBalanceSheetDateOfInterestsContinuedToBeHeldByTransferorServicingAssetsOrLiabilitiesLineItems</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:stringItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_ClassOfWarrantOrRightOutstanding">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Number of warrants or rights outstanding.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 235<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SX 210.4-08.(i))<br><br> -URI http://asc.fasb.org/extlink&amp;oid=26873400&amp;loc=d3e23780-122690<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 08<br><br> -Paragraph i<br><br> -Article 4<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_ClassOfWarrantOrRightOutstanding</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:sharesItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_FairValueAssumptionsExercisePrice">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Agreed upon price for the exchange of the underlying asset.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 820<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -Subparagraph (e)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=25499696&amp;loc=d3e19207-110258<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_FairValueAssumptionsExercisePrice</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>num:perShareItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_FairValueAssumptionsExpectedTerm">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Period the instrument, asset or liability is expected to be outstanding, in 'PnYnMnDTnHnMnS' format, for example, 'P1Y5M13D' represents the reported fact of one year, five months, and thirteen days.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 820<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -Subparagraph (e)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=25499696&amp;loc=d3e19207-110258<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_FairValueAssumptionsExpectedTerm</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:durationItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_FairValueAssumptionsExpectedVolatilityRate">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Measure of dispersion, in percentage terms (for instance, the standard deviation or variance), for a given stock price.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 820<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -Subparagraph (e)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=25499696&amp;loc=d3e19207-110258<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_FairValueAssumptionsExpectedVolatilityRate</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>num:percentItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_FairValueAssumptionsRiskFreeInterestRate">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Risk-free interest rate assumption used in valuing an instrument.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 820<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -Subparagraph (e)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=25499696&amp;loc=d3e19207-110258<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_FairValueAssumptionsRiskFreeInterestRate</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>num:percentItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_SharePrice">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Price of a single share of a number of saleable stocks of a company.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 820<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -Subparagraph (e)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=25499696&amp;loc=d3e19207-110258<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_SharePrice</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>num:perShareItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_WarrantsNotSettleableInCashFairValueDisclosure">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Fair value portion of warrants not settleable in cash classified as equity.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 820<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -Subparagraph (a)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=25499696&amp;loc=d3e19207-110258<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_WarrantsNotSettleableInCashFairValueDisclosure</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
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          </td>
        </tr>
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  <body><span style="display: none;">v2.4.0.8</span><table class="report" border="0" cellspacing="2" id="ID0EE5DM">
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          <div style="width: 200px;"><strong>STOCK BASED COMPENSATION (Details) (USD $)<br></strong></div>
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        <th class="th" colspan="2">3 Months Ended</th>
        <th class="th" colspan="1"></th>
        <th class="th" colspan="1"></th>
        <th class="th" colspan="7">3 Months Ended</th>
        <th class="th" colspan="1"></th>
        <th class="th" colspan="1">1 Months Ended</th>
        <th class="th" colspan="1"></th>
        <th class="th" colspan="1"></th>
        <th class="th" colspan="6">3 Months Ended</th>
        <th class="th" colspan="3">1 Months Ended</th>
        <th class="th" colspan="1"></th>
        <th class="th" colspan="1">3 Months Ended</th>
        <th class="th" colspan="1"></th>
        <th class="th" colspan="5">3 Months Ended</th>
        <th class="th" colspan="1"></th>
        <th class="th" colspan="1"></th>
        <th class="th" colspan="1">3 Months Ended</th>
        <th class="th" colspan="1"></th>
        <th class="th" colspan="1"></th>
        <th class="th" colspan="1"></th>
        <th class="th" colspan="1">3 Months Ended</th>
      </tr>
      <tr>
        <th class="th">
          <div>Jan. 31, 2014</div>
        </th>
        <th class="th">
          <div>Jan. 31, 2013</div>
        </th>
        <th class="th">
          <div>Apr. 23, 2013</div>
        </th>
        <th class="th">
          <div>Mar. 28, 2013</div>
        </th>
        <th class="th">
          <div>Jan. 31, 2014

</div>
          <div>Stock Options Granted to Employees and Directors [Member]</div>
        </th>
        <th class="th">
          <div>Jan. 31, 2013

</div>
          <div>Stock Options Granted to Employees and Directors [Member]</div>
        </th>
        <th class="th">
          <div>Jan. 31, 2014

</div>
          <div>Service Based Options [Member]</div>
        </th>
        <th class="th">
          <div>Jan. 31, 2014

</div>
          <div>Stock Award Granted to Employees and Consultants [Member]</div>
        </th>
        <th class="th">
          <div>Jan. 31, 2013

</div>
          <div>Stock Award Granted to Employees and Consultants [Member]</div>
        </th>
        <th class="th">
          <div>Jan. 31, 2014

</div>
          <div>Employees [Member]</div>
        </th>
        <th class="th">
          <div>Jan. 31, 2014

</div>
          <div>Chairmans Compensation [Member]</div>
        </th>
        <th class="th">
          <div>Jan. 31, 2014

</div>
          <div>Nonqualified Stock Option [Member]

</div>
          <div>2010 Share Plan [Member]</div>
        </th>
        <th class="th">
          <div>Feb. 28, 2013

</div>
          <div>Nonqualified Stock Option [Member]

</div>
          <div>Board of Directors Chairman [Member]</div>
        </th>
        <th class="th">
          <div>Feb. 15, 2013

</div>
          <div>Nonqualified Stock Option [Member]

</div>
          <div>Board of Directors Chairman [Member]</div>
        </th>
        <th class="th">
          <div>Nov. 30, 2012

</div>
          <div>Nonqualified Stock Option [Member]

</div>
          <div>Board of Directors Chairman [Member]</div>
        </th>
        <th class="th">
          <div>Jan. 31, 2014

</div>
          <div>Nonqualified Stock Option [Member]

</div>
          <div>New Presidentand Chief Executive Officer [Member]</div>
        </th>
        <th class="th">
          <div>Jan. 31, 2014

</div>
          <div>Nonqualified Stock Option [Member]

</div>
          <div>New Senior Vice Presidentand Engineering [Member]</div>
        </th>
        <th class="th">
          <div>Jan. 31, 2014

</div>
          <div>Nonqualified Stock Option [Member]

</div>
          <div>Strategic Advisor [Member]</div>
        </th>
        <th class="th">
          <div>Jan. 31, 2014

</div>
          <div>Nonqualified Stock Option [Member]

</div>
          <div>Chairmans Compensation [Member]</div>
        </th>
        <th class="th">
          <div>Jan. 31, 2014

</div>
          <div>Nonqualified Stock Option [Member]

</div>
          <div>Directors Compensation [Member]</div>
        </th>
        <th class="th">
          <div>Jan. 31, 2014

</div>
          <div>Nonqualified Stock Option [Member]

</div>
          <div>Director [Member]</div>
        </th>
        <th class="th">
          <div>Mar. 28, 2013

</div>
          <div>Nonqualified Stock Option [Member]

</div>
          <div>Three Outside Directors [Member]</div>
        </th>
        <th class="th">
          <div>Feb. 28, 2013

</div>
          <div>Nonqualified Stock Option [Member]

</div>
          <div>Three Outside Directors [Member]</div>
        </th>
        <th class="th">
          <div>Nov. 30, 2012

</div>
          <div>Nonqualified Stock Option [Member]

</div>
          <div>Three Outside Directors [Member]</div>
        </th>
        <th class="th">
          <div>Jan. 31, 2014

</div>
          <div>Nonqualified Stock Option [Member]

</div>
          <div>2010 Share Plan [Member]</div>
        </th>
        <th class="th">
          <div>Jan. 31, 2014

</div>
          <div>Nonqualified Stock Option [Member]</div>
        </th>
        <th class="th">
          <div>Nov. 08, 2013

</div>
          <div>Amendment [Member]

</div>
          <div>2010 Share Plan [Member]</div>
        </th>
        <th class="th">
          <div>Jan. 31, 2014

</div>
          <div>Stock Option [Member]

</div>
          <div>2010 Share Plan [Member]</div>
        </th>
        <th class="th">
          <div>Jan. 31, 2013

</div>
          <div>Stock Option [Member]

</div>
          <div>2010 Share Plan [Member]</div>
        </th>
        <th class="th">
          <div>Jan. 31, 2014

</div>
          <div>Stock Options Granted to Employees and Directors [Member]</div>
        </th>
        <th class="th">
          <div>Jan. 31, 2013

</div>
          <div>Stock Options Granted to Employees and Directors [Member]</div>
        </th>
        <th class="th">
          <div>Jan. 31, 2014

</div>
          <div>Board of Directors Chairman [Member]

</div>
          <div>Options Granted Under The 2003 Plan And 2010 Plan [Member]</div>
        </th>
        <th class="th">
          <div>Jan. 31, 2014

</div>
          <div>2003 Share Plan [Member]</div>
        </th>
        <th class="th">
          <div>Oct. 31, 2013

</div>
          <div>2003 Share Plan [Member]</div>
        </th>
        <th class="th">
          <div>Jan. 31, 2014

</div>
          <div>2010 Share Plan [Member]</div>
        </th>
        <th class="th">
          <div>Oct. 31, 2013

</div>
          <div>2010 Share Plan [Member]</div>
        </th>
        <th class="th">
          <div>Aug. 28, 2011

</div>
          <div>2010 Share Plan [Member]</div>
        </th>
        <th class="th">
          <div>Jul. 05, 2011

</div>
          <div>2010 Share Plan [Member]</div>
        </th>
        <th class="th">
          <div>Jan. 31, 2014

</div>
          <div>Options Granted Under The 2003 Plan And 2010 Plan [Member]</div>
        </th>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_STOCKBASEDCOMPENSATIONDetailsLineItems', window );"><strong>STOCK BASED COMPENSATION (Details) [Line Items]</strong></a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_ShareBasedCompensation', window );">Share-based Compensation (in Dollars)</a></td>
        <td class="nump">$ 465,519<span></span></td>
        <td class="nump">$ 473,275<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">$ 466,000<span></span></td>
        <td class="nump">$ 473,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_AmortizationRelatedToCompensationCost', window );">Amortization Related to Compensation Cost (in Dollars)</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">383,000<span></span></td>
        <td class="nump">401,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_EmployeeServiceShareBasedCompensationNonvestedAwardsTotalCompensationCostNotYetRecognizedStockOptions', window );">Employee Service Share-based Compensation, Nonvested Awards, Compensation Not yet Recognized, Stock Options (in Dollars)</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">3,134,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_SharebasedCompensationArrangementBySharebasedPaymentAwardOptionsVestedAndExpectedToVestExercisableWeightedAverageRemainingContractualTerm1', window );">Share-based Compensation Arrangement by Share-based Payment Award, Options, Vested and Expected to Vest, Exercisable, Weighted Average Remaining Contractual Term</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">2 years<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_ConsultationFeesRelatedToOptions', window );">Consultation Fees Related to Options (in Dollars)</a></td>
        <td class="nump">28,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">255,000<span></span></td>
        <td class="nump">242,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_UnrecognizedConsultingExpensesRelatedToNonVestedShareBasedCompensation', window );">Unrecognized Consulting Expenses Related To Non Vested Share Based Compensation (in Dollars)</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">2,168,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_ConsultingExpensesRecognizedOverWeightedAverageRemainingContractualTerm', window );">Consulting Expenses Recognized Over Weighted Average Remaining Contractual Term</a></td>
        <td class="text">&#xA0;<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsGrantsInPeriodGross', window );">Share-based Compensation Arrangement by Share-based Payment Award, Options, Grants in Period, Gross</a></td>
        <td class="nump">25,634,980<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">300,000<span></span></td>
        <td class="nump">400,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">750,000<span></span></td>
        <td class="nump">750,000<span></span></td>
        <td class="nump">3,000,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">1,500,000<span></span></td>
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        <td class="nump">7,710,000<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">3,000,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">7,710,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_ShareBasedCompensationArrangementsByShareBasedPaymentAwardOptionsGrantsInPeriodWeightedAverageExercisePrice', window );">Share-based Compensation Arrangements by Share-based Payment Award, Options, Grants in Period, Weighted Average Exercise Price (in Dollars per share)</a></td>
        <td class="text">&#xA0;<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">$ 0.235<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">$ 0.211<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
        <td class="nump">$ 0.20<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">$ 0.20<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardNumberOfSharesAuthorized', window );">Share-based Compensation Arrangement by Share-based Payment Award, Number of Shares Authorized</a></td>
        <td class="nump">55,634,980<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">20,000,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">70,000,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">30,000,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">27,000,000<span></span></td>
        <td class="nump">15,000,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardNumberOfSharesAvailableForGrant', window );">Share-based Compensation Arrangement by Share-based Payment Award, Number of Shares Available for Grant</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">333,334<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">333,334<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">19,000,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardSharesPurchasedForAward', window );">Share-based Compensation Arrangement by Share-based Payment Award, Shares Purchased for Award</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">16,000,000<span></span></td>
        <td class="nump">8,000,000<span></span></td>
        <td class="nump">16,000,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">40,000,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">41,500,000<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardPerShareWeightedAveragePriceOfSharesPurchased', window );">Share-based Compensation Arrangement by Share-based Payment Award, Per Share Weighted Average Price of Shares Purchased (in Dollars per share)</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingNumber', window );">Share-based Compensation Arrangement by Share-based Payment Award, Options, Outstanding, Number</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">3,000,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">40,000,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">15,638,845<span></span></td>
        <td class="nump">15,638,845<span></span></td>
        <td class="nump">10,694,000<span></span></td>
        <td class="nump">2,984,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingIntrinsicValue', window );">Share-based Compensation Arrangement by Share-based Payment Award, Options, Outstanding, Intrinsic Value (in Dollars)</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">550,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">7,176,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">461,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">1,980,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsExercisesInPeriodTotalIntrinsicValue', window );">Share-based Compensation Arrangement by Share-based Payment Award, Options, Exercises in Period, Intrinsic Value (in Dollars)</a></td>
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        <td class="text">&#xA0;<span></span></td>
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      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsVestedAndExpectedToVestExercisableNumber', window );">Share-based Compensation Arrangement by Share-based Payment Award, Options, Vested and Expected to Vest, Exercisable, Number</a></td>
        <td class="text">&#xA0;<span></span></td>
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      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsVestedAndExpectedToVestExercisableAggregateIntrinsicValue', window );">Share-based Compensation Arrangement by Share-based Payment Award, Options, Vested and Expected to Vest, Exercisable, Aggregate Intrinsic Value (in Dollars)</a></td>
        <td class="text">&#xA0;<span></span></td>
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      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardSharesIssuedInPeriod', window );">Share-based Compensation Arrangement by Share-based Payment Award, Shares Issued in Period</a></td>
        <td class="nump">90,000<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_StockPurchaseAgreementVolumeWeightedAveragePricePurchaseThresholdPercentageofVolumeTraded', window );">StockPurchaseAgreementVolumeWeightedAveragePricePurchaseThresholdPercentageofVolumeTraded</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">30.00%<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_AllocatedShareBasedCompensationExpense', window );">Allocated Share-based Compensation Expense (in Dollars)</a></td>
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        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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    </table>
    <div style="display: none;">
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_AmortizationRelatedToCompensationCost">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Amount of amortization related to compensation cost.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_AmortizationRelatedToCompensationCost</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>copy_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_ConsultationFeesRelatedToOptions">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Amount of consultation fees related to options.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_ConsultationFeesRelatedToOptions</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>copy_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_ConsultingExpensesRecognizedOverWeightedAverageRemainingContractualTerm">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Consulting fees recognized over weighted average remaining contractual term in period.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_ConsultingExpensesRecognizedOverWeightedAverageRemainingContractualTerm</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>copy_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:durationItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_STOCKBASEDCOMPENSATIONDetailsLineItems">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Details</a><div>
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_STOCKBASEDCOMPENSATIONDetailsLineItems</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>copy_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:stringItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_StockPurchaseAgreementVolumeWeightedAveragePricePurchaseThresholdPercentageofVolumeTraded">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Threshold percentage of share purchase through a volume weighted average price purchase.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_StockPurchaseAgreementVolumeWeightedAveragePricePurchaseThresholdPercentageofVolumeTraded</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>copy_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>num:percentItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_UnrecognizedConsultingExpensesRelatedToNonVestedShareBasedCompensation">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Unrecognized Consulting Expenses Related To Non Vested Share Based Compensation.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_UnrecognizedConsultingExpensesRelatedToNonVestedShareBasedCompensation</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>copy_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_AllocatedShareBasedCompensationExpense">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Represents the expense recognized during the period arising from equity-based compensation arrangements (for example, shares of stock, unit, stock options or other equity instruments) with employees, directors and certain consultants qualifying for treatment as employees.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 718<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 1<br><br> -Subparagraph (b)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6415400&amp;loc=d3e5047-113901<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 718<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SAB TOPIC 14.F)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=27013229&amp;loc=d3e301413-122809<br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 718<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -Subparagraph (h)(1)(i)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6415400&amp;loc=d3e5070-113901<br><br><br><br>Reference 4: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Staff Accounting Bulletin (SAB)<br><br> -Number Topic 14<br><br> -Section F<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_AllocatedShareBasedCompensationExpense</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_EmployeeServiceShareBasedCompensationNonvestedAwardsTotalCompensationCostNotYetRecognizedStockOptions">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Unrecognized cost of unvested options awarded to employees as compensation.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_EmployeeServiceShareBasedCompensationNonvestedAwardsTotalCompensationCostNotYetRecognizedStockOptions</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_ShareBasedCompensation">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The aggregate amount of noncash, equity-based employee remuneration. This may include the value of stock or unit options, amortization of restricted stock or units, and adjustment for officers' compensation. As noncash, this element is an add back when calculating net cash generated by operating activities using the indirect method.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 230<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 28<br><br> -Subparagraph (a)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=31042434&amp;loc=d3e3602-108585<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_ShareBasedCompensation</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardNumberOfSharesAuthorized">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The maximum number of shares (or other type of equity) originally approved (usually by shareholders and board of directors), net of any subsequent amendments and adjustments, for awards under the equity-based compensation plan. As stock or unit options and equity instruments other than options are awarded to participants, the shares or units remain authorized and become reserved for issuance under outstanding awards (not necessarily vested).</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 718<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -Subparagraph (a)(3)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6415400&amp;loc=d3e5070-113901<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardNumberOfSharesAuthorized</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:sharesItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardNumberOfSharesAvailableForGrant">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The difference between the maximum number of shares (or other type of equity) authorized for issuance under the plan (including the effects of amendments and adjustments), and the sum of: 1) the number of shares (or other type of equity) already issued upon exercise of options or other equity-based awards under the plan; and 2) shares (or other type of equity) reserved for issuance on granting of outstanding awards, net of cancellations and forfeitures, if applicable.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 718<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6415400&amp;loc=d3e5070-113901<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardNumberOfSharesAvailableForGrant</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:sharesItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_SharebasedCompensationArrangementBySharebasedPaymentAwardOptionsExercisableIntrinsicValue1">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Amount of difference between fair value of the underlying shares reserved for issuance and exercise price of vested portions of options outstanding and currently exercisable.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 718<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6415400&amp;loc=d3e5070-113901<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_SharebasedCompensationArrangementBySharebasedPaymentAwardOptionsExercisableIntrinsicValue1</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsExercisableNumber">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The number of shares into which fully or partially vested stock options outstanding as of the balance sheet date can be currently converted under the option plan.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 718<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -Subparagraph (c)(1)(iii)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6415400&amp;loc=d3e5070-113901<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsExercisableNumber</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:sharesItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsExercisesInPeriodTotalIntrinsicValue">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Amount of accumulated difference between fair value of underlying shares on dates of exercise and exercise price on options exercised (or share units converted) into shares.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 718<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -Subparagraph (d)(2)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6415400&amp;loc=d3e5070-113901<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsExercisesInPeriodTotalIntrinsicValue</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsGrantsInPeriodGross">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Gross number of share options (or share units) granted during the period.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsGrantsInPeriodGross</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:sharesItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingIntrinsicValue">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Amount by which the current fair value of the underlying stock exceeds the exercise price of options outstanding.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 718<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6415400&amp;loc=d3e5070-113901<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingIntrinsicValue</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingNumber">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Number of options outstanding, including both vested and non-vested options.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 718<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6415400&amp;loc=d3e5070-113901<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 718<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -Subparagraph (c)(1)(i)-(ii)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6415400&amp;loc=d3e5070-113901<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingNumber</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:sharesItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsVestedAndExpectedToVestExercisableAggregateIntrinsicValue">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Amount of difference between fair value of the underlying shares reserved for issuance and exercise price of fully vested and expected to vest options that are exercisable.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 718<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -Subparagraph (e)(2)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6415400&amp;loc=d3e5070-113901<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsVestedAndExpectedToVestExercisableAggregateIntrinsicValue</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsVestedAndExpectedToVestExercisableNumber">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The number of exercisable share options (fully vested and expected to vest) that may be converted as of the balance sheet date.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 718<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -Subparagraph (e)(2)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6415400&amp;loc=d3e5070-113901<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsVestedAndExpectedToVestExercisableNumber</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:sharesItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_SharebasedCompensationArrangementBySharebasedPaymentAwardOptionsVestedAndExpectedToVestExercisableWeightedAverageRemainingContractualTerm1">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Weighted average remaining contractual term for fully vested and expected to vest options that are exercisable or convertible, in 'PnYnMnDTnHnMnS' format, for example, 'P1Y5M13D' represents the reported fact of one year, five months, and thirteen days.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 718<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -Subparagraph (e)(2)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6415400&amp;loc=d3e5070-113901<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_SharebasedCompensationArrangementBySharebasedPaymentAwardOptionsVestedAndExpectedToVestExercisableWeightedAverageRemainingContractualTerm1</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:durationItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsVestedAndExpectedToVestOutstandingNumber">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>As of the balance sheet date, the number of shares into which fully vested and expected to vest stock options outstanding can be converted under the option plan.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 718<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -Subparagraph (e)(1)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6415400&amp;loc=d3e5070-113901<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsVestedAndExpectedToVestOutstandingNumber</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:sharesItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardPerShareWeightedAveragePriceOfSharesPurchased">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The weighted average of per share prices paid for shares purchased on the open market for issuance to employees under the plan.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 718<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6415400&amp;loc=d3e5070-113901<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 718<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 1<br><br> -Subparagraph (a)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6415400&amp;loc=d3e5047-113901<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardPerShareWeightedAveragePriceOfSharesPurchased</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>num:perShareItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardSharesIssuedInPeriod">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Number of share instruments newly issued under a share-based compensation plan.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 718<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6415400&amp;loc=d3e5070-113901<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardSharesIssuedInPeriod</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:sharesItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardSharesPurchasedForAward">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The number of shares purchased on the open market during the period for issuance to employees under the plan.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 718<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6415400&amp;loc=d3e5070-113901<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 718<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 1<br><br> -Subparagraph (a)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6415400&amp;loc=d3e5047-113901<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardSharesPurchasedForAward</nobr></td>
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        <tr>
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            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Weighted average per share amount at which grantees can acquire shares of common stock by exercise of options.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
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<DOCUMENT>
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    <link rel="StyleSheet" type="text/css" href="report.css"><script type="text/javascript" src="Show.js">/* Do Not Remove This Comment */</script></head>
  <body><span style="display: none;">v2.4.0.8</span><table class="report" border="0" cellspacing="2" id="ID0EFKAC">
      <tr>
        <th class="tl" colspan="1" rowspan="2">
          <div style="width: 200px;"><strong>STOCK BASED COMPENSATION (Details) - Weighted average assumptions used in estimating the fair value of stock options granted (USD $)<br></strong></div>
        </th>
        <th class="th" colspan="2">3 Months Ended</th>
      </tr>
      <tr>
        <th class="th">
          <div>Jan. 31, 2014</div>
        </th>
        <th class="th">
          <div>Jan. 31, 2013</div>
        </th>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_WeightedAverageAssumptionsUsedInEstimatingTheFairValueOfStockOptionsGrantedAbstract', window );"><strong>Weighted average assumptions used in estimating the fair value of stock options granted [Abstract]</strong></a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsGrantsInPeriodWeightedAverageGrantDateFairValue', window );">Weighted average fair value at grant date (in Dollars per share)</a></td>
        <td class="nump">$ 0.17<span></span></td>
        <td class="nump">$ 0.17<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_ValuationAssumptionsAbstract', window );"><strong>Valuation assumptions:</strong></a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_SharebasedCompensationArrangementBySharebasedPaymentAwardFairValueAssumptionsExpectedTerm1', window );">Expected life ( years)</a></td>
        <td class="text">5 years 251 days<span></span></td>
        <td class="text">5 years 43 days<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardFairValueAssumptionsExpectedVolatilityRate', window );">Expected volatility</a></td>
        <td class="nump">115.40%<span></span></td>
        <td class="nump">115.70%<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardFairValueAssumptionsRiskFreeInterestRate', window );">Risk-free interest rate</a></td>
        <td class="nump">1.76%<span></span></td>
        <td class="nump">0.58%<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardFairValueAssumptionsExpectedDividendRate', window );">Expected dividend yield</a></td>
        <td class="nump">0.00%<span></span></td>
        <td class="nump">0.00%<span></span></td>
      </tr>
    </table>
    <div style="display: none;">
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          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Details</a><div>
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_ValuationAssumptionsAbstract</nobr></td>
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            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Details</a><div>
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_WeightedAverageAssumptionsUsedInEstimatingTheFairValueOfStockOptionsGrantedAbstract</nobr></td>
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          </td>
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      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardFairValueAssumptionsExpectedDividendRate">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
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        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The estimated dividend rate (a percentage of the share price) to be paid (expected dividends) to holders of the underlying shares over the option's term.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 718<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -Subparagraph (f)(2)(iii)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6415400&amp;loc=d3e5070-113901<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardFairValueAssumptionsExpectedDividendRate</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>num:percentItemType</td>
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                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
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                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
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      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_SharebasedCompensationArrangementBySharebasedPaymentAwardFairValueAssumptionsExpectedTerm1">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
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        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Expected term of share-based compensation awards, in 'PnYnMnDTnHnMnS' format, for example, 'P1Y5M13D' represents the reported fact of one year, five months, and thirteen days.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 718<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SAB TOPIC 14.D.2)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=27013229&amp;loc=d3e301413-122809<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 718<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -Subparagraph (f)(2)(i)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6415400&amp;loc=d3e5070-113901<br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Staff Accounting Bulletin (SAB)<br><br> -Number Topic 14<br><br> -Section D<br><br> -Subsection 2<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_SharebasedCompensationArrangementBySharebasedPaymentAwardFairValueAssumptionsExpectedTerm1</nobr></td>
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                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
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                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:durationItemType</td>
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                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
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                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
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        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
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        <tr>
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            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The estimated measure of the percentage by which a share price is expected to fluctuate during a period. Volatility also may be defined as a probability-weighted measure of the dispersion of returns about the mean. The volatility of a share price is the standard deviation of the continuously compounded rates of return on the share over a specified period. That is the same as the standard deviation of the differences in the natural logarithms of the stock prices plus dividends, if any, over the period.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 718<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -Subparagraph (f)(2)(ii)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6415400&amp;loc=d3e5070-113901<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardFairValueAssumptionsExpectedVolatilityRate</nobr></td>
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                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
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        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The risk-free interest rate assumption that is used in valuing an option on its own shares.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 718<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -Subparagraph (f)(2)(iv)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6415400&amp;loc=d3e5070-113901<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardFairValueAssumptionsRiskFreeInterestRate</nobr></td>
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                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
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                    <td>na</td>
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                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
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            </div>
          </td>
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      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsGrantsInPeriodWeightedAverageGrantDateFairValue">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The weighted average grant-date fair value of options granted during the reporting period as calculated by applying the disclosed option pricing methodology.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 718<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -Subparagraph (d)(1)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6415400&amp;loc=d3e5070-113901<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsGrantsInPeriodWeightedAverageGrantDateFairValue</nobr></td>
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                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
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                    <td>duration</td>
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    <link rel="StyleSheet" type="text/css" href="report.css"><script type="text/javascript" src="Show.js">/* Do Not Remove This Comment */</script></head>
  <body><span style="display: none;">v2.4.0.8</span><table class="report" border="0" cellspacing="2" id="ID0EME">
      <tr>
        <th class="tl" colspan="1" rowspan="2">
          <div style="width: 200px;"><strong>BUSINESS AND FUNDING<br></strong></div>
        </th>
        <th class="th" colspan="1">3 Months Ended</th>
      </tr>
      <tr>
        <th class="th">
          <div>Jan. 31, 2014</div>
        </th>
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        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_AccountingPoliciesAbstract', window );"><strong>Accounting Policies [Abstract]</strong></a></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_OrganizationConsolidationBasisOfPresentationBusinessDescriptionAndAccountingPoliciesTextBlock', window );">Organization, Consolidation, Basis of Presentation, Business Description and Accounting Policies [Text Block]</a></td>
        <td class="text"><p style="MARGIN: 0in 0in 12pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">1.&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;</font> <u><font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">BUSINESS&#160;AND&#160;FUNDING&#160;</font></u>
      </p><br/><p style="MARGIN: 0in 0in 12pt">
        <u><font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">Description of Business</font></u>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">As used herein, &#8220;we,&#8221; &#8220;us,&#8221; &#8220;our,&#8221; the &#8220;Company&#8221;, &#8220;CopyTele&#8221; or &#8220;CTI&#8221; means CopyTele, Inc. and its wholly-owned subsidiaries.&#160; While in the past, the primary operations of the Company involved licensing in connection with the development of patented technologies, our principal operations are now the development, acquisition, licensing, and enforcement of patented technologies that are either owned or controlled by the Company.&#160; The Company currently owns or controls 9 patent portfolios.&#160; As part of our patent assertion activities and in the ordinary course of our business, the Company has initiated and will likely continue to initiate patent infringement lawsuits, and engage in patent infringement litigation.&#160; Since implementing our new business model in January of 2013, the Company has initiated 41 lawsuits in connection
        with 5 of our patent portfolios. Our primary source of revenue will come from licenses resulting from the unauthorized use of our patented technologies, including the settlement of patent infringement lawsuits. We entered into 4 revenue producing licenses in fiscal year 2013 and 2 additional revenue producing license since January 31, 2014, from 2 of our patent portfolios. &#160;In addition to continuing to mine and monetize our existing patents, our wholly owned subsidiary, CTI Patent Acquisition Corporation, will continue to acquire patents and the exclusive rights to license and enforce patents from third parties.&#160;</font>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">Due to arrangements previously entered into by the Company, certain of our patents contain encumbrances (see &#8220;Agreements Relating to Previous Operations&#8221; below) which may negatively impact our patent monetization and patent assertion activities. Where we are able, we will take the steps necessary to remove any encumbrances that may inhibit our patent monetization and patent assertion activities.&#160; We have obtained and we intend to continue to obtain the rights to license and enforce additional patents from third parties, and when necessary, will assist such parties in the further development of their patent portfolios through the filing of additional patent applications.</font>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">In April 2013, CopyTele, through its wholly owned subsidiary, CTI Patent Acquisition Corporation, acquired the exclusive rights to license and enforce patent portfolios relating to (i) loyalty awards programs commonly provided by airlines, credit card companies, hotels, retailers, casinos, and others, and (ii) vinyl windows with integrated J-Channels, commonly used in modular buildings, mobile homes, and conventional, new construction.&#160;</font>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="letter-spacing: -0.15pt; font-size: 12pt; font-family: Times New Roman;" lang="EN-US">In November</font> <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">2013, CTI Patent Acquisition Corporation acquired 2 patent portfolios in the rapidly expanding area of unified communications relating to (i) the multicast Internet delivery of streaming data, media, and other content, within the confines of specialized virtual private networks, and (ii) the integration of telephonic participation in web-based audio/video conferences by creating a gateway between the Internet and cellular or traditional landline telephones.&#160;</font>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="text-autospace: ideograph-numeric; font-size: 12pt; font-family: Times New Roman;" lang="EN-US">We currently own or control 9 patent portfolios which we have identified for patent monetization: Encrypted Mobile Communication; ePaper&#174; Electrophoretic Display; Internet Telephonic Gateway; J-Channel Window Frame Construction; Key Based Web Conferencing Encryption; Loyalty Conversion Systems; Micro Electro Mechanical Systems Display; Nano Field Emission Display; and VPN Multicast Communications.</font>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">On January 28, 2013, CTI initiated a patent infringement lawsuit in the United States District Court for the Northern District of California against E Ink Corporation (&#8220;E INK&#8221;), regarding certain patents owned by CTI pertaining to CTI&#8217;s ePaper&#174; Electrophoretic Display technology.&#160; CTI alleges that E Ink has infringed and continues to infringe such patents in connection with the manufacture, sale, use, and importation of electrophoretic displays. &#160;On January 28, 2013, CTI filed a separate lawsuit against AU Optronics Corp. (&#8220;AUO&#8221;) and E Ink, the AUO/E Ink Lawsuit (as defined below). In June of 2013, CTI and AUO agreed to arbitrate CTI&#8217;s charges in the AUO/E Ink Lawsuit. We believe that arbitration should result in a faster and more efficient adjudication. &#160;The Court also ordered E Ink to participate in the arbitration, for purposes of discovery.
        &#160;Because issues in the AUO/E Ink arbitration need to be resolved before the patent infringement case can proceed against E Ink, the Court dismissed the patent infringement case, without prejudice, meaning that CTI can re-file the patent infringement lawsuit, if necessary, following the arbitration.&#160;</font>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">On May 1, 2013, CTI&#8217;s wholly owned subsidiary, Secure Web Conference Corporation, initiated a patent infringement lawsuit in the United States District Court for the Eastern District of New York against Microsoft Corporation, with respect to encryption technology utilized by Microsoft&#8217;s SKYPE video conferencing service.&#160; On July 8, 2013, Secure Web Conference Corporation initiated similar lawsuits in the United States District Court for the Eastern District of New York against Citrix Systems and Logitech International.&#160;</font>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">On August 7, 2013, CTI&#8217;s wholly owned subsidiary, J-Channel Industries Corporation, filed 8 separate patent infringement lawsuits in the United States District Court for the Eastern District of Tennessee, against Lowe&#8217;s Companies, Clayton Homes, Pella Corporation, Jeld-Wen, Atrium Windows and Doors, Ply Gem Industries, RGF Industries, Tafco Corporation, Kinro Manufacturing, and Elixir Industries, all in connection with our patented J-Channel Window Frame Construction technology.</font> <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US" color="black">&#160;</font>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="background: white; font-size: 12pt; font-family: Times New Roman;" lang="EN-US" color="black">On August 20, 2013,</font> <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">CTI&#8217;s wholly owned subsidiary,</font> <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US" color="black"></font><font style="background: white; font-size: 12pt; font-family: Times New Roman;" lang="EN-US" color="black">Loyalty Conversion System Corporation, filed 10 separate patent infringement lawsuits in the United States District Court for the Eastern District of Texas, against Alaska Airlines, American Airlines, Delta</font> <font style="background: white; font-size: 12pt; font-family: Times New Roman;" lang="EN-US" color="black">Airlines, Frontier Airlines, Hawaiian Airlines, JetBlue Airways, Southwest Airlines, Spirit Airlines, United Airlines, and U.S. Airways, all in connection with our Loyalty Conversion Systems patent portfolio.&#160;</font>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">On October 9, 2013, CTI&#8217;s wholly owned subsidiary, J-Channel Industries Corporation,</font> <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN" color="black">filed 19 patent infringement lawsuits in the Federal District Court for the Eastern District of Tennessee, in connection with its patented J-Channel Window Frame Construction technology. Defendants in the lawsuits consist of retailers and window manufacturers, including: Home Depot U.S.A., Inc.; Anderson Corporation; American Builders &amp; Contractors Supply Co., Inc. (ABC Supply); Comfort View Products, LLC; Croft, LLC; Moss Supply Company; Wincore Window Company LLC; Vinylmax, LLC; Simonton Building Products, Inc.; HWD Acquisition, Inc. (Hurd Windows); Magnolia Windows and Doors, LLC; MGM Industries, Inc., MI Windows and Doors LLC; PGT Industries, Inc.; Quaker Window Products Co.; Sun Windows, Inc.; Weather Shield Manufacturing, Inc.;
        West Window Corporation; Woodgrain Millwork, Inc.; and YKK-AP American Inc.</font>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN" color="black">The Company has engaged in and will continue to engage in patent infringement lawsuits in the ordinary course of its business operations.&#160; All litigation involves a significant degree of uncertainty, and we give no assurances as to the outcome of any lawsuit or lawsuits.</font>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 40.5pt; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US" color="black">The Company has entered into 6 license agreements in connection with 2 of our patent technologies.&#160; In October 2013, we entered into a license agreement with Alaska Air Group, Inc. in connection with our Loyalty Conversion Systems technology. &#160;In addition, in October 2013 we entered into license agreements with Tafco Corporation, RGF Industries and Elixir Industries and in February and March 2014 we entered into license agreements with HWD Acquisition, Inc. and PGT Industries, Inc. in connection with our patented J-Channel Window Frame Construction technology. These licenses resolved lawsuits that were pending against the aforementioned companies.</font>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <u><font style="font-size: 12pt; font-family: times new roman;" lang="EN-US">Agreements Relating to Previous Business Operations</font></u>
      </p><br/><p style="MARGIN: 0in 0in 0pt 0.25in">
        <b><font style="font-size: 12pt; font-family: times new roman;" lang="EN-US">&#160;&#160;&#160;&#160;&#160;</font></b> <u><font style="font-size: 12pt; font-family: times new roman;" lang="EN-US">AU Optronics Corp</font></u><b><u><font style="font-size: 12pt; font-family: times new roman;" lang="EN-US">.&#160;</font></u></b>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">In May 2011, we entered into an Exclusive License Agreement (the &#8220;EPD License Agreement&#8221;) and a License Agreement (the &#8220;Nano Display License Agreement&#8221;) with AUO (together the &#8220;AUO License Agreements&#8221;). On January 28, 2013, we terminated the AUO License Agreements due to numerous alleged material and continual breaches of the agreements by AUO.&#160; On January 28, 2013, we also filed a lawsuit in the United States District Court for the Northern District of California against AUO and E Ink in connection with the AUO License Agreements, alleging breach of contract and other charges, and we are seeking compensatory, punitive, and treble damages (the &#8220;AUO/E Ink Lawsuit&#8221;).&#160; For more details on the AUO/E Ink Lawsuit, please see Note 11, &#8220;Commitment and Contingences &#8211; Litigation Matters&#8221; herein.&#160; We can give no assurance as to the outcome of
        this litigation.</font>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <u><font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">Videocon Industries Limited and Transactions with Related Parties</font></u>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">In November 2007, we entered into a license agreement (the &#8220;Videocon License Agreement&#8221;) with Videocon Industries Limited (&#8220;Videocon&#8221;).&#160; Under the Videocon License Agreement, we provided Videocon with a non-transferable, worldwide license of our Nano Field Emission Display patented technology. We are not presently involved in development efforts with Videocon and it is not anticipated that such efforts will be resumed in the future.&#160; We have entered into discussions with Videocon regarding the disposition of the Videocon License Agreement.&#160;</font>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US" color="black">At the same time we entered into the Videocon License Agreement in November 2007, we also entered into a Share Subscription Agreement (the &#8220;Share Subscription Agreement&#8221;) with Mars Overseas Limited, an affiliate of Videocon (&#8220;Mars Overseas&#8221;).&#160; Under the Share Subscription Agreement, Mars Overseas purchased 20,000,000 unregistered shares of our common stock (the &#8220;CopyTele Shares&#8221;) from us for an aggregate purchase price of $16,200,000.&#160; Also in November 2007, our wholly-owned subsidiary, CopyTele International Ltd. (&#8220;CopyTele International&#8221;), entered into a GDR Purchase Agreement with Global EPC Ventures Limited (&#8220;Global&#8221;), for CopyTele International to purchase from Global</font> <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">1,495,845 global depository receipts of Videocon (the &#8220;Videocon GDRs&#8221;) for
        an aggregate purchase price of $16,200,000.&#160;</font>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US" color="black">For the purpose of effecting a lock up of the Videocon GDRs and CopyTele Shares (collectively, the &#8220;Securities&#8221;) for a period of seven years, and therefore restricting both parties from selling or transferring the Securities during such period, CopyTele International and Mars Overseas entered into two Loan and Pledge Agreements in November 2007.&#160; The Videocon GDRs are to be held as security for a loan in the principal amount of $5,000,000 from Mars Overseas to CopyTele International, and the CopyTele Shares are similarly held as security for a loan in the principal amount of $5,000,000 from CopyTele International to Mars Overseas.&#160; The loan payable to Mars Overseas is solely a liability of CopyTele International without recourse to CopyTele, Inc., its parent company.&#160; The loans are for a period of seven years, do not bear interest, and provide for customary events of
        default, which may result in forfeiture of the Securities by the defaulting party, and also provide for the transfer to the respective parties, free and clear of any encumbrances under the agreements, any dividends, distributions, rights or other proceeds or benefits in respect of the Securities.&#160; The loan receivable from Mars Overseas is classified as a contra-equity under shareholders&#8217; deficiency in the accompanying condensed consolidated balance sheet because the loan receivable is secured by the CopyTele Shares and the Share Subscription Agreement and Loan and Pledge Agreement were entered into concurrently. We have entered into discussions with Videocon regarding the disposition of the Subscription Agreement, GDR Purchase Agreement, and Loan and Pledge Agreements. The outcome of these discussions and the disposition of the related assets and liabilities may have a material effect on our financial statements. We cannot presently estimate the timing or impact of
        any such resolution.</font>
      </p><br/><p style="MARGIN: 0in 0in 6pt">
        <u><font style="font-size: 12pt; font-family: times new roman;" lang="EN-US">Funding and Management&#8217;s Plans</font></u>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="text-autospace: ideograph-numeric; font-size: 12pt; font-family: Times New Roman;" lang="EN-US">In September 2012, we received aggregate gross proceeds of $750,000 from the issuance of 8% convertible debentures due September 12, 2016 in a private placement.&#160; During the second quarter of fiscal 2013, the entire principal amount of these debentures was converted into 8,152,170 shares of common stock.&#160; For details on these debentures, please see Note 2, &#8220;Convertible Debentures&#8221; herein.&#160;</font>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">In January 2013, we received aggregate gross proceeds of $1,765,000 from the issuance of 8% convertible debentures due January 25, 2015 in a private placement.&#160; During the third quarter of fiscal 2013, $325,000 principal amount of these debentures were converted into 2,166,775 shares of our common stock.&#160; For details on these debentures, please see Note 2, &#8220;Convertible Debentures&#8221; herein.&#160;</font>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.25in; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US" color="black">On April 23, 2013, we entered into a common stock purchase agreement (the &#8220;Stock Purchase Agreement&#8221;) with Aspire Capital Fund LLC (&#8220;Aspire Capital&#8221;), which provides that Aspire Capital is committed to purchase up to an aggregate of $10 million of shares of our common stock over the two-year term of the agreement.&#160; In consideration for entering into the Stock Purchase Agreement, concurrently with the execution of the agreement, we issued to Aspire Capital 3,500,000 shares of our common stock with a fair value of $700,000 as a commitment fee.&#160; Upon execution of the Stock Purchase Agreement, Aspire Capital purchased 2,500,000 shares for $500,000.&#160; In order to sell any additional shares under the Stock Purchase Agreement, we were required to have a registration statement covering the shares issued to Aspire Capital declared effective by the Securities and
        Exchange Commission (the &#8220;SEC&#8221;).&#160; Such registration statement was declared effective by the SEC in June 2013.&#160;</font>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 27.5pt; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US" color="black">Under the Stock Purchase Agreement there are two ways that we can elect to sell shares of common stock to Aspire Capital.&#160; On any business day we can select: (1)&#160;through a regular purchase of up to 200,000 shares (but not to exceed $200,000) at a known price based on the market price of our common stock prior to the time of each sale, and (2)&#160;through a volume-weighted average price, or VWAP, purchase of a number of shares up to 30% of the volume traded on the purchase date at a price equal to the lesser of (i) the closing sale price on the purchase date or (ii) 95% of the VWAP for such purchase date.&#160; The Company can only require a VWAP purchase if the closing sale price for our Common Stock on the notice day for the VWAP purchase is higher than $0.50.&#160; During the third and fourth quarters of fiscal year 2013 we sold an additional 2,880,000 shares of our common stock to
        Aspire Capital for approximately $592,000.&#160; We did not sell any shares of common stock to Aspire Capital during the three months ended January 31, 2014.</font>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 27.5pt; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US" color="black">The number of shares covered by and the timing of, each purchase notice are determined by us, at our sole discretion.&#160; The Company cannot execute any sales under the Stock Purchase Agreement when the closing price of our common stock is less than $0.15 per share.&#160; Aspire Capital has no right to require any sales from us, but is obligated to make purchases as directed in accordance with the Stock Purchase Agreement.&#160; The Stock Purchase Agreement may be terminated by us at any time, at our discretion, without any <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US" color="black">cost or penalty.&#160; We incurred expenses of approximately $42,000 in connection with the execution of the Stock Purchase Agreement in addition to the 3,500,000 shares of our common stock we issued as a commitment fee.</font></font>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 27.5pt; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US" color="black">On May 29, 2013, the Company offered the holders of the warrants issued in our February 2011 private placement, exercisable at a purchase price of $0.178 per share, the opportunity to exercise the warrants at a reduced exercise price of $0.16 per share (payable in cash) during the period ended July 15, 2013.&#160;&#160; In connection therewith,</font> <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">our Chairman, our Chief Financial Officer and director, and one other director of the Company</font> <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US" color="black">exercised warrants to purchase 2,380,000 shares of our Common Stock and we received gross proceeds of approximately $381,000.</font> <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">&#160;</font><font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US" color="black">Utilizing the
        Black-Scholes option-pricing model, the Company determined that the aggregate incremental fair value of the repriced warrants was immaterial and no charge was recorded.&#160;&#160;</font> <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">In addition, we issued 547,493 shares of our common stock upon the exercise, on a &#8220;cashless&#8221; basis, of warrants to purchase 1,400,000 shares</font> <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US" color="black">at a purchase price of $0.178 per share</font><font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">. &#160;</font>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">On November 11, 2013, the Company completed a private placement with a single institutional investor, pursuant to which the Company issued a $3,500,000 principal amount 6% convertible debenture due November 11, 2016. &#160;For details on this debenture, please see Note 2, &#8220;Convertible Debentures&#8221; herein.&#160;</font>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">During the three months ended January 31, 2014, cash used in operating activities was approximately $1,172,000.&#160; Cash used in investing activities during the three months ended January 31, 2014 was $2,450,000, which resulted from the purchase of certificates of deposit totaling $2,700,000 which was partially offset by the sale of certificates of deposit totaling $250,000.&#160; Our cash provided by financing activities during the three months ended January 31, 2014 was $3,500,000, which resulted from the sale of convertible debentures in a private placement. &#160;As a result, our cash, cash equivalents, and short-term investments at January 31, 2014 increased approximately $2,328,000 to approximately $3,226,000 from approximately $898,000 at the end of fiscal year 2013.&#160;</font>
      </p><br/><p style="text-align: justify; text-indent: 0.5in; margin: 0in 0in 0pt;">
      <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">Total employee compensation expense during the three months ended January 2014 and 2013 was approximately $1,044,000 and $819,000, respectively, which included approximately $466,000 and $473,000, respectively, of non-cash stock-based compensation expense, related to stock options granted to employees and directors.&#160; In addition, consulting expense incurred during the three months ended January 31, 2014 and 2013 included approximately $$255,000 and $242,000, respectively, of non-cash stock stock-based compensation expense related to stock options granted to consultants.&#160;&#160;</font>
    </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">Based on currently available information, we believe that our existing cash, cash equivalents and short-term investments, together with expected cash flows from the Stock Purchase Agreement with Aspire Capital and expected cash flows from patent licensing and enforcement, and other potential sources of cash flows will be sufficient to enable us to continue our patent licensing and enforcement activities for at least 12 months.&#160; However, our projections of future cash needs and cash flows may differ from actual results.&#160; If current cash on hand and cash that may be generated from the Stock Purchase Agreement <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">and from patent licensing and enforcement activities are insufficient to satisfy our liquidity requirements, we may seek to sell equity securities or obtain loans from various financial institutions where possible.&#160; The sale of
        additional equity securities or convertible debt could result in dilution to our shareholders.&#160; We can give no assurance that we will generate sufficient cash flows in the future (through licensing and enforcement of patents, or otherwise) to satisfy our liquidity requirements or sustain future operations, or that other sources of funding, such as sales of equity or debt, would be available, if needed, on favorable terms or at all.&#160; We can also give no assurance that we will have sufficient funds to repay our outstanding indebtedness.&#160; If we cannot obtain such funding if needed or if we cannot sufficiently reduce operating expenses, we would need to curtail or cease some or all of our operations.&#160;</font></font>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <u><font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">Basis of Presentation</font></u>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">The condensed consolidated financial statements include the accounts of CopyTele, Inc. and its wholly owned subsidiaries.&#160; All intercompany transactions have been eliminated. &#160;The results of operations for interim periods presented are not necessarily indicative of the results that may be expected for a full year or any interim period.&#160; Reference is made to the audited consolidated financial statements and notes thereto included in our Annual Report on Form 10-K for the fiscal year ended October 31, 2013, for more extensive disclosures than contained in these condensed consolidated financial statements.</font>
      </p><br/><p style="TEXT-ALIGN: justify; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US" color="black">&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;</font> <u><font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">Revenue Recognition</font></u> <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US" color="black">&#160;</font>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US" color="black">Revenue is recognized when (i) persuasive evidence of an arrangement exists, (ii) all obligations have been substantially performed pursuant to the terms of the arrangement, (iii) amounts are fixed or determinable, and (iv) the collectability of amounts is reasonably assured.</font>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
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        grant of the non-exclusive retroactive and future licenses, covenants-not-to-sue, releases, and other deliverables, including no express or implied obligation on our operating subsidiaries&#8217; part to maintain or upgrade the technology, or provide future support or services.&#160;&#160;Generally, the agreements provide for the grant of the licenses, covenants-not-to-sue, releases, and other significant deliverables upon execution of the agreement.&#160;&#160;As such, the earnings process is complete and revenue is recognized upon the execution of the</font> <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">agreement, when collectability is reasonably assured, and when all other revenue recognition criteria have been met.</font>
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        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">Inventor royalties and contingent legal fees are expensed in the condensed consolidated statements of operations in the period that the related revenues are recognized.</font>
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        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">Our only identifiable intangible assets are patents and patent rights.&#160; We capitalize patent and patent rights acquisition costs and amortize the cost over the estimated economic useful life.&#160; Patent acquisition costs capitalized during the three months ended January 31, 2014 and 2013, was approximately $3,036,000 and $-0-, respectively.&#160; Patent amortization expense during the three months ended January 31, 2014 and 2013, was approximately $70,000 and $-0-, respectively.</font>
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                <p>The entire disclosure for the general note to the financial statements for the reporting entity which may include, descriptions of the basis of presentation, business description, significant accounting policies, consolidations, reclassifications, new pronouncements not yet adopted and changes in accounting principles.</p>
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  <body><span style="display: none;">v2.4.0.8</span><table class="report" border="0" cellspacing="2" id="ID0EY1AE">
      <tr>
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          <div style="width: 200px;"><strong>STOCK BASED COMPENSATION (Details) - The 2003 Share Plan (USD $)<br></strong></div>
        </th>
        <th class="th" colspan="1">3 Months Ended</th>
        <th class="th" colspan="1"></th>
        <th class="th" colspan="1"></th>
        <th class="th" colspan="1"></th>
        <th class="th" colspan="1">3 Months Ended</th>
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      <tr>
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          <div>Jan. 31, 2014</div>
        </th>
        <th class="th">
          <div>Mar. 28, 2013</div>
        </th>
        <th class="th">
          <div>Jan. 31, 2014

</div>
          <div>2003 Share Plan [Member]</div>
        </th>
        <th class="th">
          <div>Oct. 31, 2013

</div>
          <div>2003 Share Plan [Member]</div>
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        <th class="th">
          <div>Jan. 31, 2014

</div>
          <div>2010 Share Plan [Member]</div>
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        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_STOCKBASEDCOMPENSATIONDetailsThe2003SharePlanLineItems', window );"><strong>STOCK BASED COMPENSATION (Details) - The 2003 Share Plan [Line Items]</strong></a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingNumber', window );">Options Outstanding, Shares</a></td>
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        <td class="nump">3,000,000<span></span></td>
        <td class="nump">15,638,845<span></span></td>
        <td class="nump">15,638,845<span></span></td>
        <td class="nump">2,984,000<span></span></td>
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        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingWeightedAverageExercisePrice', window );">Options Outstanding, Weighted Average Exercise Price Per Share</a></td>
        <td class="text">&#xA0;<span></span></td>
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        <td class="nump">$ 0.72<span></span></td>
        <td class="nump">$ 0.25<span></span></td>
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        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsGrantsInPeriodGross', window );">Granted</a></td>
        <td class="nump">25,634,980<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">7,710,000<span></span></td>
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        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_ShareBasedCompensationArrangementsByShareBasedPaymentAwardOptionsGrantsInPeriodWeightedAverageExercisePrice', window );">Granted</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">$ 0.20<span></span></td>
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        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingNumber', window );">Options Outstanding, Shares</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">3,000,000<span></span></td>
        <td class="nump">15,638,845<span></span></td>
        <td class="nump">15,638,845<span></span></td>
        <td class="nump">10,694,000<span></span></td>
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        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingWeightedAverageExercisePrice', window );">Options Outstanding, Weighted Average Exercise Price Per Share</a></td>
        <td class="text">&#xA0;<span></span></td>
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        <td class="nump">$ 0.72<span></span></td>
        <td class="nump">$ 0.72<span></span></td>
        <td class="nump">$ 0.21<span></span></td>
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        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingIntrinsicValue', window );">Options Outstanding, Aggregate Intrinsic Value</a></td>
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        <td class="nump">$ 550,000<span></span></td>
        <td class="nump">$ 461,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">$ 1,980,000<span></span></td>
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        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsExercisableNumber', window );">Options Exercisable at January 31, 2014</a></td>
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        <td class="text">&#xA0;<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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        <td class="nump">$ 380,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Amount of difference between fair value of the underlying shares reserved for issuance and exercise price of vested portions of options outstanding and currently exercisable.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 718<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6415400&amp;loc=d3e5070-113901<br><br><br><br></p>
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                <p>The number of shares into which fully or partially vested stock options outstanding as of the balance sheet date can be currently converted under the option plan.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 718<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -Subparagraph (c)(1)(iii)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6415400&amp;loc=d3e5070-113901<br><br><br><br></p>
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                <p>The weighted-average price as of the balance sheet date at which grantees can acquire the shares reserved for issuance on vested portions of options outstanding and currently exercisable under the stock option plan.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
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                <p>Gross number of share options (or share units) granted during the period.</p>
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      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingIntrinsicValue">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Amount by which the current fair value of the underlying stock exceeds the exercise price of options outstanding.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 718<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6415400&amp;loc=d3e5070-113901<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingIntrinsicValue</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingNumber">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Number of options outstanding, including both vested and non-vested options.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 718<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6415400&amp;loc=d3e5070-113901<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 718<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -Subparagraph (c)(1)(i)-(ii)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6415400&amp;loc=d3e5070-113901<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingNumber</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:sharesItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingWeightedAverageExercisePrice">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Weighted average price at which grantees can acquire the shares reserved for issuance under the stock option plan.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 718<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -Subparagraph (c)(1)(i)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6415400&amp;loc=d3e5070-113901<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingWeightedAverageExercisePrice</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>num:perShareItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_ShareBasedCompensationArrangementsByShareBasedPaymentAwardOptionsGrantsInPeriodWeightedAverageExercisePrice">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Weighted average per share amount at which grantees can acquire shares of common stock by exercise of options.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_ShareBasedCompensationArrangementsByShareBasedPaymentAwardOptionsGrantsInPeriodWeightedAverageExercisePrice</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>num:perShareItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
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</TEXT>
</DOCUMENT>
<DOCUMENT>
<TYPE>XML
<SEQUENCE>30
<FILENAME>R40.htm
<DESCRIPTION>IDEA: XBRL DOCUMENT
<TEXT>
<html>
  <head>
    <META http-equiv="Content-Type" content="text/html; charset=us-ascii">
    <link rel="StyleSheet" type="text/css" href="report.css"><script type="text/javascript" src="Show.js">/* Do Not Remove This Comment */</script></head>
  <body><span style="display: none;">v2.4.0.8</span><table class="report" border="0" cellspacing="2" id="ID0ELEAC">
      <tr>
        <th class="tl" colspan="1" rowspan="2">
          <div style="width: 200px;"><strong>INVESTMENTS (Details) - The fair value of investment (Investment In Videocon [Member], USD $)<br></strong></div>
        </th>
        <th class="th" colspan="1">3 Months Ended</th>
      </tr>
      <tr>
        <th class="th">
          <div>Jan. 31, 2014</div>
        </th>
      </tr>
      <tr class="rh">
        <td class="pl" style="border-bottom: 0px;" valign="top">
          <div class="a">Investment In Videocon [Member]</div>
        </td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_ScheduleOfFairValueOfSeparateAccountsByMajorCategoryOfInvestmentLineItems', window );"><strong>Schedule of Fair Value of Separate Accounts by Major Category of Investment [Line Items]</strong></a></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_InvestmentsFairValueDisclosure', window );">Fair Value as of October 31, 2013</a></td>
        <td class="nump">$ 4,197,000<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_UnrealizedGainLossOnInvestments', window );">Unrealized loss</a></td>
        <td class="nump">210,914<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_InvestmentsFairValueDisclosure', window );">Fair Value as of January 31, 2014</a></td>
        <td class="nump">$ 3,926,427<span></span></td>
      </tr>
    </table>
    <div style="display: none;">
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_InvestmentsFairValueDisclosure">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Fair value portion of investment securities, including, but not limited to, marketable securities, derivative financial instruments, and investments accounted for under the equity method.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Glossary Available-for-Sale Securities<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6505594<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Glossary Trading Securities<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6526789<br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 320<br><br> -SubTopic 10<br><br> -Section 25<br><br> -Paragraph 1<br><br> -URI http://asc.fasb.org/extlink&amp;oid=28360136&amp;loc=d3e22054-111558<br><br><br><br>Reference 4: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 03<br><br> -Paragraph 1<br><br> -Subparagraph a, f, g<br><br> -Article 7<br><br><br><br>Reference 5: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 320<br><br> -SubTopic 10<br><br> -Section 35<br><br> -Paragraph 1<br><br> -URI http://asc.fasb.org/extlink&amp;oid=27723805&amp;loc=d3e24584-111560<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_InvestmentsFairValueDisclosure</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_ScheduleOfFairValueOfSeparateAccountsByMajorCategoryOfInvestmentLineItems">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Details</a><div>
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_ScheduleOfFairValueOfSeparateAccountsByMajorCategoryOfInvestmentLineItems</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:stringItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_UnrealizedGainLossOnInvestments">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The net change in the difference between the fair value and the carrying value, or in the comparative fair values, of investments, not including unrealized gains or losses on securities separately or otherwise categorized as trading, available-for-sale, or held-to-maturity, held at each balance sheet date and included in earnings for the period.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 230<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 28<br><br> -Subparagraph (b)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=31042434&amp;loc=d3e3602-108585<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_UnrealizedGainLossOnInvestments</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
    </div>
  </body>
</html>
</TEXT>
</DOCUMENT>
<DOCUMENT>
<TYPE>XML
<SEQUENCE>31
<FILENAME>R2.htm
<DESCRIPTION>IDEA: XBRL DOCUMENT
<TEXT>
<html>
  <head>
    <META http-equiv="Content-Type" content="text/html; charset=us-ascii">
    <link rel="StyleSheet" type="text/css" href="report.css"><script type="text/javascript" src="Show.js">/* Do Not Remove This Comment */</script></head>
  <body><span style="display: none;">v2.4.0.8</span><table class="report" border="0" cellspacing="2" id="ID0EACBG">
      <tr>
        <th class="tl" colspan="1" rowspan="1">
          <div style="width: 200px;"><strong>CONDENSED CONSOLIDATED BALANCE SHEETS (USD $)<br></strong></div>
        </th>
        <th class="th">
          <div>Jan. 31, 2014</div>
        </th>
        <th class="th">
          <div>Oct. 31, 2013</div>
        </th>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_CurrentAssetsAbstract', window );"><strong>Current assets:</strong></a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_CashAndCashEquivalentsAtCarryingValue', window );">Cash and cash equivalents</a></td>
        <td class="nump">$ 776,141<span></span></td>
        <td class="nump">$ 898,172<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_ShortTermInvestments', window );">Short-term investments in certificates of deposit</a></td>
        <td class="nump">2,450,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_AccountsReceivableNetCurrent', window );">Accounts receivable</a></td>
        <td class="text">&nbsp;&nbsp;<span></span></td>
        <td class="nump">175,000<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_PrepaidExpenseAndOtherAssetsCurrent', window );">Prepaid expenses and other current assets</a></td>
        <td class="nump">141,299<span></span></td>
        <td class="nump">160,646<span></span></td>
      </tr>
      <tr class="rou">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_AssetsCurrent', window );">Total current assets</a></td>
        <td class="nump">3,367,440<span></span></td>
        <td class="nump">1,233,818<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_AvailableForSaleSecuritiesNoncurrent', window );">Investment in Videocon Industries Limited global depository receipts, at market value</a></td>
        <td class="nump">3,986,427<span></span></td>
        <td class="nump">4,197,341<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_FiniteLivedPatentsNet', window );">Patents, net of accumulated amortization of $70,481</a></td>
        <td class="nump">2,965,630<span></span></td>
        <td class="text">&nbsp;&nbsp;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_PropertyPlantAndEquipmentNet', window );">Property and equipment, net of accumulated depreciation of $46,382 and $45,654 respectively</a></td>
        <td class="nump">7,651<span></span></td>
        <td class="nump">8,379<span></span></td>
      </tr>
      <tr class="rou">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_Assets', window );">Total assets</a></td>
        <td class="nump">10,327,148<span></span></td>
        <td class="nump">5,439,538<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_CurrentLiabilitiesAbstract', window );"><strong>Current liabilities:</strong></a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_AccountsPayableAndAccruedLiabilitiesCurrent', window );">Accounts payable and accrued expenses</a></td>
        <td class="nump">1,216,425<span></span></td>
        <td class="nump">1,276,470<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_RoyaltiesAndContingentLegalFeesPayable', window );">Royalties and contingent legal fees payable</a></td>
        <td class="nump">45,885<span></span></td>
        <td class="nump">207,743<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_ConvertibleDebtCurrent', window );">Current portion of convertible debentures</a></td>
        <td class="nump">667,956<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_DerivativeLiabilitiesCurrent', window );">Derivative liabilities, at fair value</a></td>
        <td class="nump">3,430,000<span></span></td>
        <td class="nump">540,000<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_DueToRelatedPartiesCurrent', window );">Loan payable to related party (Note 1)</a></td>
        <td class="nump">5,000,000<span></span></td>
        <td class="text">&nbsp;&nbsp;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_DeferredRevenueCurrent', window );">Deferred revenue, non-refundable license fees</a></td>
        <td class="nump">1,187,320<span></span></td>
        <td class="nump">1,187,320<span></span></td>
      </tr>
      <tr class="rou">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_LiabilitiesCurrent', window );">Total current liabilities</a></td>
        <td class="nump">11,547,586<span></span></td>
        <td class="nump">3,211,533<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_ConvertibleDebtNoncurrent', window );">Convertible debentures</a></td>
        <td class="nump">1,512,022<span></span></td>
        <td class="nump">548,598<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_PatentAcquisitionObligation', window );">Patent acquisition obligation</a></td>
        <td class="nump">2,936,977<span></span></td>
        <td class="text">&nbsp;&nbsp;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_DueToRelatedPartiesNoncurrent', window );">Loan payable to related party (Note 1)</a></td>
        <td class="text">&nbsp;&nbsp;<span></span></td>
        <td class="nump">5,000,000<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_ShareholdersDeficiencyAbstract', window );"><strong>Shareholders&#x2019; deficiency:</strong></a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_PreferredStockValue', window );">Preferred stock, par value $100 per share; 500,000 shares authorized; no shares issued or outstanding</a></td>
        <td class="text">&nbsp;&nbsp;<span></span></td>
        <td class="text">&nbsp;&nbsp;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_CommonStockValue', window );">Common stock, par value $.01 per share; 600,000,000 shares authorized; 210,517,530 and 209,276,745 shares issued and outstanding, respectively</a></td>
        <td class="nump">2,105,175<span></span></td>
        <td class="nump">2,092,767<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_AdditionalPaidInCapital', window );">Additional paid-in capital</a></td>
        <td class="nump">136,214,138<span></span></td>
        <td class="nump">134,750,048<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_LoanReceivableFromRelatedPartyInConnectionWithSaleOfCommonStock', window );">Loan receivable from related party (Note 1)</a></td>
        <td class="num">(5,000,000)<span></span></td>
        <td class="num">(5,000,000)<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_RetainedEarningsAccumulatedDeficit', window );">Accumulated deficit</a></td>
        <td class="num">(138,777,836)<span></span></td>
        <td class="num">(135,163,408)<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_AccumulatedOtherComprehensiveIncomeLossNetOfTax', window );">Accumulated other comprehensive (loss)</a></td>
        <td class="num">(210,914)<span></span></td>
        <td class="text">&nbsp;&nbsp;<span></span></td>
      </tr>
      <tr class="reu">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_StockholdersEquity', window );">Total shareholders&#x2019; deficiency</a></td>
        <td class="num">(5,669,437)<span></span></td>
        <td class="num">(3,320,593)<span></span></td>
      </tr>
      <tr class="rou">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_LiabilitiesAndStockholdersEquity', window );">Total liabilities and shareholders&#x2019; deficiency</a></td>
        <td class="nump">10,327,148<span></span></td>
        <td class="nump">5,439,538<span></span></td>
      </tr>
      <tr class="rh">
        <td class="pl" style="border-bottom: 0px;" valign="top">
          <div class="a">Convertible Debenture Due January 2015 [Member]</div>
        </td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_CurrentLiabilitiesAbstract', window );"><strong>Current liabilities:</strong></a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_ConvertibleDebtCurrent', window );">Current portion of convertible debentures</a></td>
        <td class="nump">667,956<span></span></td>
        <td class="text">&nbsp;&nbsp;<span></span></td>
      </tr>
      <tr class="rh">
        <td class="pl" style="border-bottom: 0px;" valign="top">
          <div class="a">Convertible Debenture Due January 2015 [Member]</div>
        </td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_CurrentLiabilitiesAbstract', window );"><strong>Current liabilities:</strong></a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_ConvertibleDebtNoncurrent', window );">Convertible debentures</a></td>
        <td class="text">&nbsp;&nbsp;<span></span></td>
        <td class="nump">548,598<span></span></td>
      </tr>
      <tr class="rh">
        <td class="pl" style="border-bottom: 0px;" valign="top">
          <div class="a">Convertible Debentures Due November 2016 [Member]</div>
        </td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_CurrentLiabilitiesAbstract', window );"><strong>Current liabilities:</strong></a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_ConvertibleDebtNoncurrent', window );">Convertible debentures</a></td>
        <td class="nump">$ 1,512,022<span></span></td>
        <td class="text">&nbsp;&nbsp;<span></span></td>
      </tr>
    </table>
    <div style="display: none;">
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_CurrentAssetsAbstract">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Details</a><div>
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_CurrentAssetsAbstract</nobr></td>
                  </tr>
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                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>copy_</td>
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                    <td><strong> Data Type:</strong></td>
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                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
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          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_CurrentLiabilitiesAbstract">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Details</a><div>
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_CurrentLiabilitiesAbstract</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>copy_</td>
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                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:stringItemType</td>
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                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
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                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_FiniteLivedPatentsNet">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Net carrying amount after accumulated amortization as of the balance sheet date of the costs pertaining to the exclusive legal rights granted to the owner of the patent to exploit an invention or a process for a period of time specified by law. Such costs may have been expended to directly apply and receive patent rights, or to acquire such rights.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_FiniteLivedPatentsNet</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>copy_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_LoanReceivableFromRelatedPartyInConnectionWithSaleOfCommonStock">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The element is for a receivable for the issuance of equity which refers to ASC topic 505, subtopic 10 subsection 45.2.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_LoanReceivableFromRelatedPartyInConnectionWithSaleOfCommonStock</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>copy_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_PatentAcquisitionObligation">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Patent acquisition obligation.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_PatentAcquisitionObligation</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>copy_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_RoyaltiesAndContingentLegalFeesPayable">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Royalties and contingent legal fees payable.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_RoyaltiesAndContingentLegalFeesPayable</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>copy_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_ShareholdersDeficiencyAbstract">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Details</a><div>
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_ShareholdersDeficiencyAbstract</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>copy_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:stringItemType</td>
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                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_AccountsPayableAndAccruedLiabilitiesCurrent">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Sum of the carrying values as of the balance sheet date of obligations incurred through that date and due within one year (or the operating cycle, if longer), including liabilities incurred (and for which invoices have typically been received) and payable to vendors for goods and services received, taxes, interest, rent and utilities, accrued salaries and bonuses, payroll taxes and fringe benefits.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher FASB<br><br><br><br> -Name Accounting Standards Codification<br><br><br><br> -Topic 210<br><br><br><br> -SubTopic 10<br><br><br><br> -Section S99<br><br><br><br> -Paragraph 1<br><br><br><br> -Subparagraph (SX 210.5-02.19,20)<br><br><br><br> -URI http://asc.fasb.org/extlink&amp;oid=6877327&amp;loc=d3e13212-122682<br><br><br><br><br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher SEC<br><br><br><br> -Name Regulation S-X (SX)<br><br><br><br> -Number 210<br><br><br><br> -Section 02<br><br><br><br> -Paragraph 20<br><br><br><br> -Article 5<br><br><br><br><br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher SEC<br><br><br><br> -Name Regulation S-X (SX)<br><br><br><br> -Number 210<br><br><br><br> -Section 02<br><br><br><br> -Paragraph 19<br><br><br><br> -Article 5<br><br><br><br><br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_AccountsPayableAndAccruedLiabilitiesCurrent</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_AccountsReceivableNetCurrent">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Amount due from customers or clients, within one year of the balance sheet date (or the normal operating cycle, whichever is longer), for goods or services (including trade receivables) that have been delivered or sold in the normal course of business, reduced to the estimated net realizable fair value by an allowance established by the entity of the amount it deems uncertain of collection.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher FASB<br><br><br><br> -Name Accounting Standards Codification<br><br><br><br> -Topic 210<br><br><br><br> -SubTopic 10<br><br><br><br> -Section S99<br><br><br><br> -Paragraph 1<br><br><br><br> -Subparagraph (SX 210.5-02.3-4)<br><br><br><br> -URI http://asc.fasb.org/extlink&amp;oid=6877327&amp;loc=d3e13212-122682<br><br><br><br><br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher SEC<br><br><br><br> -Name Regulation S-X (SX)<br><br><br><br> -Number 210<br><br><br><br> -Section 02<br><br><br><br> -Paragraph 3<br><br><br><br> -Subparagraph a(1)<br><br><br><br> -Article 5<br><br><br><br><br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher SEC<br><br><br><br> -Name Regulation S-X (SX)<br><br><br><br> -Number 210<br><br><br><br> -Section 02<br><br><br><br> -Paragraph 4<br><br><br><br> -Article 5<br><br><br><br><br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_AccountsReceivableNetCurrent</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_AccumulatedOtherComprehensiveIncomeLossNetOfTax">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Accumulated change in equity from transactions and other events and circumstances from non-owner sources, net of tax effect, at period end. Excludes Net Income (Loss), and accumulated changes in equity from transactions resulting from investments by owners and distributions to owners. Includes foreign currency translation items, certain pension adjustments, unrealized gains and losses on certain investments in debt and equity securities, other than temporary impairment (OTTI) losses related to factors other than credit losses on available-for-sale and held-to-maturity debt securities that an entity does not intend to sell and it is not more likely than not that the entity will be required to sell before recovery of the amortized cost basis, as well as changes in the fair value of derivatives related to the effective portion of a designated cash flow hedge.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher FASB<br><br><br><br> -Name Accounting Standards Codification<br><br><br><br> -Topic 220<br><br><br><br> -SubTopic 10<br><br><br><br> -Section 45<br><br><br><br> -Paragraph 14A<br><br><br><br> -URI http://asc.fasb.org/extlink&amp;oid=28358780&amp;loc=SL7669686-108580<br><br><br><br><br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher FASB<br><br><br><br> -Name Accounting Standards Codification<br><br><br><br> -Topic 220<br><br><br><br> -SubTopic 10<br><br><br><br> -Section 45<br><br><br><br> -Paragraph 11<br><br><br><br> -URI http://asc.fasb.org/extlink&amp;oid=28358780&amp;loc=d3e637-108580<br><br><br><br><br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher FASB<br><br><br><br> -Name Accounting Standards Codification<br><br><br><br> -Topic 220<br><br><br><br> -SubTopic 10<br><br><br><br> -Section 45<br><br><br><br> -Paragraph 14<br><br><br><br> -URI http://asc.fasb.org/extlink&amp;oid=28358780&amp;loc=d3e681-108580<br><br><br><br><br><br><br><br>Reference 4: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher SEC<br><br><br><br> -Name Regulation S-X (SX)<br><br><br><br> -Number 210<br><br><br><br> -Section 02<br><br><br><br> -Paragraph 31<br><br><br><br> -Article 5<br><br><br><br><br><br><br><br>Reference 5: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher SEC<br><br><br><br> -Name Regulation S-X (SX)<br><br><br><br> -Number 210<br><br><br><br> -Section 04<br><br><br><br> -Article 3<br><br><br><br><br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_AccumulatedOtherComprehensiveIncomeLossNetOfTax</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_AdditionalPaidInCapital">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Excess of issue price over par or stated value of the entity's capital stock and amounts received from other transactions involving the entity's stock or stockholders. Includes adjustments to additional paid in capital. Some examples of such adjustments include recording the issuance of debt with a beneficial conversion feature and certain tax consequences of equity instruments awarded to employees. Use this element for the aggregate amount of additional paid-in capital associated with common and preferred stock. For additional paid-in capital associated with only common stock, use the element additional paid in capital, common stock. For additional paid-in capital associated with only preferred stock, use the element additional paid in capital, preferred stock.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher SEC<br><br><br><br> -Name Regulation S-X (SX)<br><br><br><br> -Number 210<br><br><br><br> -Section 02<br><br><br><br> -Paragraph 31<br><br><br><br> -Article 5<br><br><br><br><br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher FASB<br><br><br><br> -Name Accounting Standards Codification<br><br><br><br> -Topic 210<br><br><br><br> -SubTopic 10<br><br><br><br> -Section S99<br><br><br><br> -Paragraph 1<br><br><br><br> -Subparagraph (SX 210.5-02.30(a)(1))<br><br><br><br> -URI http://asc.fasb.org/extlink&amp;oid=6877327&amp;loc=d3e13212-122682<br><br><br><br><br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_AdditionalPaidInCapital</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_Assets">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Sum of the carrying amounts as of the balance sheet date of all assets that are recognized. Assets are probable future economic benefits obtained or controlled by an entity as a result of past transactions or events.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher FASB<br><br><br><br> -Name Accounting Standards Codification<br><br><br><br> -Topic 210<br><br><br><br> -SubTopic 10<br><br><br><br> -Section S99<br><br><br><br> -Paragraph 1<br><br><br><br> -Subparagraph (SX 210.5-02.18)<br><br><br><br> -URI http://asc.fasb.org/extlink&amp;oid=6877327&amp;loc=d3e13212-122682<br><br><br><br><br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher FASB<br><br><br><br> -Name Accounting Standards Codification<br><br><br><br> -Topic 210<br><br><br><br> -SubTopic 10<br><br><br><br> -Section S99<br><br><br><br> -Paragraph 1<br><br><br><br> -URI http://asc.fasb.org/extlink&amp;oid=6877327&amp;loc=d3e13212-122682<br><br><br><br><br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher SEC<br><br><br><br> -Name Regulation S-X (SX)<br><br><br><br> -Number 210<br><br><br><br> -Section 03<br><br><br><br> -Paragraph 12<br><br><br><br> -Article 7<br><br><br><br><br><br><br><br>Reference 4: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher SEC<br><br><br><br> -Name Regulation S-X (SX)<br><br><br><br> -Number 210<br><br><br><br> -Section 02<br><br><br><br> -Paragraph 18<br><br><br><br> -Article 5<br><br><br><br><br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_Assets</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_AssetsCurrent">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Sum of the carrying amounts as of the balance sheet date of all assets that are expected to be realized in cash, sold, or consumed within one year (or the normal operating cycle, if longer). Assets are probable future economic benefits obtained or controlled by an entity as a result of past transactions or events.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher FASB<br><br><br><br> -Name Accounting Standards Codification<br><br><br><br> -Topic 210<br><br><br><br> -SubTopic 10<br><br><br><br> -Section S99<br><br><br><br> -Paragraph 1<br><br><br><br> -Subparagraph (SX 210.5-02.9)<br><br><br><br> -URI http://asc.fasb.org/extlink&amp;oid=6877327&amp;loc=d3e13212-122682<br><br><br><br><br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher FASB<br><br><br><br> -Name Accounting Standards Codification<br><br><br><br> -Topic 210<br><br><br><br> -SubTopic 10<br><br><br><br> -Section 45<br><br><br><br> -Paragraph 3<br><br><br><br> -URI http://asc.fasb.org/extlink&amp;oid=28358313&amp;loc=d3e6801-107765<br><br><br><br><br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher FASB<br><br><br><br> -Name Accounting Standards Codification<br><br><br><br> -Topic 210<br><br><br><br> -SubTopic 10<br><br><br><br> -Section 45<br><br><br><br> -Paragraph 1<br><br><br><br> -URI http://asc.fasb.org/extlink&amp;oid=28358313&amp;loc=d3e6676-107765<br><br><br><br><br><br><br><br>Reference 4: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher SEC<br><br><br><br> -Name Regulation S-X (SX)<br><br><br><br> -Number 210<br><br><br><br> -Section 02<br><br><br><br> -Paragraph 9<br><br><br><br> -Article 5<br><br><br><br><br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_AssetsCurrent</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_AvailableForSaleSecuritiesNoncurrent">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Investments in debt and equity securities which are categorized neither as held-to-maturity nor trading and which are intended to be sold or mature more than one year from the balance sheet date or operating cycle, if longer. Such securities are reported at fair value; unrealized gains (losses) related to Available-for-sale Securities are excluded from earnings and reported in a separate component of shareholders' equity (other comprehensive income), unless the Available-for-sale security is designated as a hedge or is determined to have had an other than temporary decline in fair value below its amortized cost basis. All or a portion of the unrealized holding gain (loss) of an Available-for-sale security that is designated as being hedged in a fair value hedge is recognized in earnings during the period of the hedge, as are other than temporary declines in fair value below the cost basis for investments in equity securities and debt securities that an entity intends to sell or it is more likely than not that it will be required to sell before the recovery of its amortized cost basis. Other than temporary declines in fair value below the cost basis for debt securities categorized as Available-for-sale that an entity does not intend to sell and for which it is not more likely than not that the entity will be required to sell before the recovery of its amortized cost basis are bifurcated into credit losses and losses related to all other factors. Other than temporary declines in fair value below cost basis related to credit losses are recognized in earnings, and losses related to all other factors are recognized in other comprehensive income.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher FASB<br><br><br><br> -Name Accounting Standards Codification<br><br><br><br> -Topic 320<br><br><br><br> -SubTopic 10<br><br><br><br> -Section 45<br><br><br><br> -Paragraph 2<br><br><br><br> -URI http://asc.fasb.org/extlink&amp;oid=6871852&amp;loc=d3e26626-111562<br><br><br><br><br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher FASB<br><br><br><br> -Name Accounting Standards Codification<br><br><br><br> -Glossary Available-for-Sale Securities<br><br><br><br> -URI http://asc.fasb.org/extlink&amp;oid=6505594<br><br><br><br><br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_AvailableForSaleSecuritiesNoncurrent</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_CashAndCashEquivalentsAtCarryingValue">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Amount of currency on hand as well as demand deposits with banks or financial institutions. Includes other kinds of accounts that have the general characteristics of demand deposits. Also includes short-term, highly liquid investments that are both readily convertible to known amounts of cash and so near their maturity that they present insignificant risk of changes in value because of changes in interest rates. Excludes cash and cash equivalents within disposal group and discontinued operation.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher FASB<br><br><br><br> -Name Accounting Standards Codification<br><br><br><br> -Glossary Cash<br><br><br><br> -URI http://asc.fasb.org/extlink&amp;oid=6506951<br><br><br><br><br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher FASB<br><br><br><br> -Name Accounting Standards Codification<br><br><br><br> -Glossary Cash Equivalents<br><br><br><br> -URI http://asc.fasb.org/extlink&amp;oid=6507016<br><br><br><br><br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher SEC<br><br><br><br> -Name Regulation S-X (SX)<br><br><br><br> -Number 210<br><br><br><br> -Section 02<br><br><br><br> -Paragraph 1<br><br><br><br> -Article 5<br><br><br><br><br><br><br><br>Reference 4: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher FASB<br><br><br><br> -Name Accounting Standards Codification<br><br><br><br> -Topic 210<br><br><br><br> -SubTopic 10<br><br><br><br> -Section S99<br><br><br><br> -Paragraph 1<br><br><br><br> -Subparagraph (SX 210.5-02.1)<br><br><br><br> -URI http://asc.fasb.org/extlink&amp;oid=6877327&amp;loc=d3e13212-122682<br><br><br><br><br><br><br><br>Reference 5: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher FASB<br><br><br><br> -Name Accounting Standards Codification<br><br><br><br> -Topic 210<br><br><br><br> -SubTopic 10<br><br><br><br> -Section 45<br><br><br><br> -Paragraph 1<br><br><br><br> -Subparagraph (a)<br><br><br><br> -URI http://asc.fasb.org/extlink&amp;oid=28358313&amp;loc=d3e6676-107765<br><br><br><br><br><br><br><br>Reference 6: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher FASB<br><br><br><br> -Name Accounting Standards Codification<br><br><br><br> -Topic 230<br><br><br><br> -SubTopic 10<br><br><br><br> -Section 45<br><br><br><br> -Paragraph 4<br><br><br><br> -URI http://asc.fasb.org/extlink&amp;oid=31042434&amp;loc=d3e3044-108585<br><br><br><br><br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_CashAndCashEquivalentsAtCarryingValue</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_CommonStockValue">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Aggregate par or stated value of issued nonredeemable common stock (or common stock redeemable solely at the option of the issuer). This item includes treasury stock repurchased by the entity. Note: elements for number of nonredeemable common shares, par value and other disclosure concepts are in another section within stockholders' equity.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher FASB<br><br><br><br> -Name Accounting Standards Codification<br><br><br><br> -Topic 210<br><br><br><br> -SubTopic 10<br><br><br><br> -Section S99<br><br><br><br> -Paragraph 1<br><br><br><br> -Subparagraph (SX 210.5-02.29)<br><br><br><br> -URI http://asc.fasb.org/extlink&amp;oid=6877327&amp;loc=d3e13212-122682<br><br><br><br><br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher SEC<br><br><br><br> -Name Regulation S-X (SX)<br><br><br><br> -Number 210<br><br><br><br> -Section 02<br><br><br><br> -Paragraph 30<br><br><br><br> -Article 5<br><br><br><br><br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_CommonStockValue</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_ConvertibleDebtCurrent">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The portion of the carrying value of long-term convertible debt as of the balance sheet date that is scheduled to be repaid within one year or in the normal operating cycle if longer. Convertible debt is a financial instrument which can be exchanged for a specified amount of another security, typically the entity's common stock, at the option of the issuer or the holder.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher FASB<br><br><br><br> -Name Accounting Standards Codification<br><br><br><br> -Topic 210<br><br><br><br> -SubTopic 10<br><br><br><br> -Section S99<br><br><br><br> -Paragraph 1<br><br><br><br> -Subparagraph (SX 210.5-02.20)<br><br><br><br> -URI http://asc.fasb.org/extlink&amp;oid=6877327&amp;loc=d3e13212-122682<br><br><br><br><br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher SEC<br><br><br><br> -Name Regulation S-X (SX)<br><br><br><br> -Number 210<br><br><br><br> -Section 02<br><br><br><br> -Paragraph 19, 20<br><br><br><br> -Article 5<br><br><br><br><br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_ConvertibleDebtCurrent</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_ConvertibleDebtNoncurrent">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Carrying amount of long-term convertible debt as of the balance sheet date, net of the amount due in the next twelve months or greater than the normal operating cycle, if longer. The debt is convertible into another form of financial instrument, typically the entity's common stock.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher SEC<br><br><br><br> -Name Regulation S-X (SX)<br><br><br><br> -Number 210<br><br><br><br> -Section 02<br><br><br><br> -Paragraph 22<br><br><br><br> -Article 5<br><br><br><br><br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher FASB<br><br><br><br> -Name Accounting Standards Codification<br><br><br><br> -Topic 210<br><br><br><br> -SubTopic 10<br><br><br><br> -Section S99<br><br><br><br> -Paragraph 1<br><br><br><br> -Subparagraph (SX 210.5-02.22)<br><br><br><br> -URI http://asc.fasb.org/extlink&amp;oid=6877327&amp;loc=d3e13212-122682<br><br><br><br><br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_ConvertibleDebtNoncurrent</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_DeferredRevenueCurrent">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The carrying amount of consideration received or receivable as of the balance sheet date on potential earnings that were not recognized as revenue in conformity with GAAP, and which are expected to be recognized as such within one year or the normal operating cycle, if longer, including sales, license fees, and royalties, but excluding interest income.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher FASB<br><br><br><br> -Name Accounting Standards Codification<br><br><br><br> -Topic 605<br><br><br><br> -SubTopic 10<br><br><br><br> -Section S99<br><br><br><br> -Paragraph 1<br><br><br><br> -Subparagraph (SAB TOPIC 13.A.4(a).Q1)<br><br><br><br> -URI http://asc.fasb.org/extlink&amp;oid=27012821&amp;loc=d3e214044-122780<br><br><br><br><br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher FASB<br><br><br><br> -Name Accounting Standards Codification<br><br><br><br> -Topic 210<br><br><br><br> -SubTopic 10<br><br><br><br> -Section 45<br><br><br><br> -Paragraph 8<br><br><br><br> -Subparagraph (b)<br><br><br><br> -URI http://asc.fasb.org/extlink&amp;oid=28358313&amp;loc=d3e6935-107765<br><br><br><br><br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher SEC<br><br><br><br> -Name Staff Accounting Bulletin (SAB)<br><br><br><br> -Number Topic 13<br><br><br><br> -Section A<br><br><br><br><br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_DeferredRevenueCurrent</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_DerivativeLiabilitiesCurrent">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Fair value, after the effects of master netting arrangements, of a financial liability or contract with one or more underlyings, notional amount or payment provision or both, and the contract can be net settled by means outside the contract or delivery of an asset, expected to be settled within one year or normal operating cycle, if longer. Includes assets not subject to a master netting arrangement and not elected to be offset.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher FASB<br><br><br><br> -Name Accounting Standards Codification<br><br><br><br> -Glossary Current Liabilities<br><br><br><br> -URI http://asc.fasb.org/extlink&amp;oid=6509677<br><br><br><br><br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher FASB<br><br><br><br> -Name Accounting Standards Codification<br><br><br><br> -Topic 825<br><br><br><br> -SubTopic 10<br><br><br><br> -Section 50<br><br><br><br> -Paragraph 10<br><br><br><br> -Subparagraph (a)<br><br><br><br> -URI http://asc.fasb.org/extlink&amp;oid=28364263&amp;loc=d3e13433-108611<br><br><br><br><br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher FASB<br><br><br><br> -Name Accounting Standards Codification<br><br><br><br> -Topic 815<br><br><br><br> -SubTopic 10<br><br><br><br> -Section 45<br><br><br><br> -Paragraph 5<br><br><br><br> -URI http://asc.fasb.org/extlink&amp;oid=6945355&amp;loc=d3e41228-113958<br><br><br><br><br><br><br><br>Reference 4: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher FASB<br><br><br><br> -Name Accounting Standards Codification<br><br><br><br> -Topic 825<br><br><br><br> -SubTopic 10<br><br><br><br> -Section 50<br><br><br><br> -Paragraph 15<br><br><br><br> -URI http://asc.fasb.org/extlink&amp;oid=28364263&amp;loc=d3e13495-108611<br><br><br><br><br><br><br><br>Reference 5: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher FASB<br><br><br><br> -Name Accounting Standards Codification<br><br><br><br> -Topic 210<br><br><br><br> -SubTopic 20<br><br><br><br> -Section 50<br><br><br><br> -Paragraph 3<br><br><br><br> -Subparagraph (c)<br><br><br><br> -URI http://asc.fasb.org/extlink&amp;oid=20225523&amp;loc=SL20225862-175312<br><br><br><br><br><br><br><br>Reference 6: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher FASB<br><br><br><br> -Name Accounting Standards Codification<br><br><br><br> -Topic 815<br><br><br><br> -SubTopic 10<br><br><br><br> -Section 45<br><br><br><br> -Paragraph 6<br><br><br><br> -URI http://asc.fasb.org/extlink&amp;oid=6945355&amp;loc=d3e41271-113958<br><br><br><br><br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_DerivativeLiabilitiesCurrent</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_DueToRelatedPartiesCurrent">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Carrying amount as of the balance sheet date of obligations due all related parties. For classified balance sheets, represents the current portion of such liabilities (due within one year or within the normal operating cycle if longer).</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher FASB<br><br><br><br> -Name Accounting Standards Codification<br><br><br><br> -Topic 235<br><br><br><br> -SubTopic 10<br><br><br><br> -Section S99<br><br><br><br> -Paragraph 1<br><br><br><br> -Subparagraph (SX 210.4-08.(k)(1))<br><br><br><br> -URI http://asc.fasb.org/extlink&amp;oid=26873400&amp;loc=d3e23780-122690<br><br><br><br><br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher FASB<br><br><br><br> -Name Accounting Standards Codification<br><br><br><br> -Topic 850<br><br><br><br> -SubTopic 10<br><br><br><br> -Section 50<br><br><br><br> -Paragraph 1<br><br><br><br> -Subparagraph (d)<br><br><br><br> -URI http://asc.fasb.org/extlink&amp;oid=6457730&amp;loc=d3e39549-107864<br><br><br><br><br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher SEC<br><br><br><br> -Name Regulation S-X (SX)<br><br><br><br> -Number 210<br><br><br><br> -Section 08<br><br><br><br> -Paragraph k<br><br><br><br> -Subparagraph 1<br><br><br><br> -Article 4<br><br><br><br><br><br><br><br>Reference 4: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher SEC<br><br><br><br> -Name Regulation S-X (SX)<br><br><br><br> -Number 210<br><br><br><br> -Section 02<br><br><br><br> -Paragraph 19<br><br><br><br> -Subparagraph a<br><br><br><br> -Article 5<br><br><br><br><br><br><br><br>Reference 5: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher FASB<br><br><br><br> -Name Accounting Standards Codification<br><br><br><br> -Topic 210<br><br><br><br> -SubTopic 10<br><br><br><br> -Section S99<br><br><br><br> -Paragraph 1<br><br><br><br> -Subparagraph (SX 210.5-02.19(a))<br><br><br><br> -URI http://asc.fasb.org/extlink&amp;oid=6877327&amp;loc=d3e13212-122682<br><br><br><br><br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_DueToRelatedPartiesCurrent</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_DueToRelatedPartiesNoncurrent">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Portion of the carrying amount as of the balance sheet date of obligations due all related parties that is payable after one year or beyond the normal operating cycle if longer.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher FASB<br><br><br><br> -Name Accounting Standards Codification<br><br><br><br> -Topic 235<br><br><br><br> -SubTopic 10<br><br><br><br> -Section S99<br><br><br><br> -Paragraph 1<br><br><br><br> -Subparagraph (SX 210.4-08.(k)(1))<br><br><br><br> -URI http://asc.fasb.org/extlink&amp;oid=26873400&amp;loc=d3e23780-122690<br><br><br><br><br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher FASB<br><br><br><br> -Name Accounting Standards Codification<br><br><br><br> -Topic 850<br><br><br><br> -SubTopic 10<br><br><br><br> -Section 50<br><br><br><br> -Paragraph 1<br><br><br><br> -Subparagraph (d)<br><br><br><br> -URI http://asc.fasb.org/extlink&amp;oid=6457730&amp;loc=d3e39549-107864<br><br><br><br><br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher SEC<br><br><br><br> -Name Regulation S-X (SX)<br><br><br><br> -Number 210<br><br><br><br> -Section 08<br><br><br><br> -Paragraph k<br><br><br><br> -Subparagraph 1<br><br><br><br> -Article 4<br><br><br><br><br><br><br><br>Reference 4: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher FASB<br><br><br><br> -Name Accounting Standards Codification<br><br><br><br> -Topic 210<br><br><br><br> -SubTopic 10<br><br><br><br> -Section S99<br><br><br><br> -Paragraph 1<br><br><br><br> -Subparagraph (SX 210.5-02.23)<br><br><br><br> -URI http://asc.fasb.org/extlink&amp;oid=6877327&amp;loc=d3e13212-122682<br><br><br><br><br><br><br><br>Reference 5: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher SEC<br><br><br><br> -Name Regulation S-X (SX)<br><br><br><br> -Number 210<br><br><br><br> -Section 02<br><br><br><br> -Paragraph 23<br><br><br><br> -Article 5<br><br><br><br><br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_DueToRelatedPartiesNoncurrent</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_LiabilitiesAndStockholdersEquity">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Amount of liabilities and equity items, including the portion of equity attributable to noncontrolling interests, if any.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher FASB<br><br><br><br> -Name Accounting Standards Codification<br><br><br><br> -Topic 210<br><br><br><br> -SubTopic 10<br><br><br><br> -Section S99<br><br><br><br> -Paragraph 1<br><br><br><br> -Subparagraph (SX 210.5-02.32)<br><br><br><br> -URI http://asc.fasb.org/extlink&amp;oid=6877327&amp;loc=d3e13212-122682<br><br><br><br><br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher SEC<br><br><br><br> -Name Regulation S-X (SX)<br><br><br><br> -Number 210<br><br><br><br> -Section 03<br><br><br><br> -Paragraph 25<br><br><br><br> -Article 7<br><br><br><br><br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher SEC<br><br><br><br> -Name Regulation S-X (SX)<br><br><br><br> -Number 210<br><br><br><br> -Section 02<br><br><br><br> -Paragraph 32<br><br><br><br> -Article 5<br><br><br><br><br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_LiabilitiesAndStockholdersEquity</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_LiabilitiesCurrent">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Total obligations incurred as part of normal operations that are expected to be paid during the following twelve months or within one business cycle, if longer.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher FASB<br><br><br><br> -Name Accounting Standards Codification<br><br><br><br> -Topic 210<br><br><br><br> -SubTopic 10<br><br><br><br> -Section S99<br><br><br><br> -Paragraph 1<br><br><br><br> -Subparagraph (SX 210.5-02.21)<br><br><br><br> -URI http://asc.fasb.org/extlink&amp;oid=6877327&amp;loc=d3e13212-122682<br><br><br><br><br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher SEC<br><br><br><br> -Name Regulation S-X (SX)<br><br><br><br> -Number 210<br><br><br><br> -Section 02<br><br><br><br> -Paragraph 21<br><br><br><br> -Article 5<br><br><br><br><br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_LiabilitiesCurrent</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_PreferredStockValue">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Aggregate par or stated value of issued nonredeemable preferred stock (or preferred stock redeemable solely at the option of the issuer). This item includes treasury stock repurchased by the entity. Note: elements for number of nonredeemable preferred shares, par value and other disclosure concepts are in another section within stockholders' equity.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher SEC<br><br><br><br> -Name Regulation S-X (SX)<br><br><br><br> -Number 210<br><br><br><br> -Section 04<br><br><br><br> -Article 3<br><br><br><br><br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher FASB<br><br><br><br> -Name Accounting Standards Codification<br><br><br><br> -Topic 505<br><br><br><br> -SubTopic 10<br><br><br><br> -Section S99<br><br><br><br> -Paragraph 1<br><br><br><br> -Subparagraph (SX 210.3-04)<br><br><br><br> -URI http://asc.fasb.org/extlink&amp;oid=27012166&amp;loc=d3e187085-122770<br><br><br><br><br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher FASB<br><br><br><br> -Name Accounting Standards Codification<br><br><br><br> -Topic 210<br><br><br><br> -SubTopic 10<br><br><br><br> -Section S99<br><br><br><br> -Paragraph 1<br><br><br><br> -Subparagraph (SX 210.5-02.28)<br><br><br><br> -URI http://asc.fasb.org/extlink&amp;oid=6877327&amp;loc=d3e13212-122682<br><br><br><br><br><br><br><br>Reference 4: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher SEC<br><br><br><br> -Name Regulation S-X (SX)<br><br><br><br> -Number 210<br><br><br><br> -Section 02<br><br><br><br> -Paragraph 29<br><br><br><br> -Article 5<br><br><br><br><br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_PreferredStockValue</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_PrepaidExpenseAndOtherAssetsCurrent">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Amount of asset related to consideration paid in advance for costs that provide economic benefits in future periods, and amount of other assets that are expected to be realized or consumed within one year or the normal operating cycle, if longer.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher SEC<br><br><br><br> -Name Regulation S-X (SX)<br><br><br><br> -Number 210<br><br><br><br> -Section 02<br><br><br><br> -Paragraph 8<br><br><br><br> -Article 5<br><br><br><br><br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher FASB<br><br><br><br> -Name Accounting Standards Codification<br><br><br><br> -Topic 210<br><br><br><br> -SubTopic 10<br><br><br><br> -Section 45<br><br><br><br> -Paragraph 1<br><br><br><br> -URI http://asc.fasb.org/extlink&amp;oid=28358313&amp;loc=d3e6676-107765<br><br><br><br><br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_PrepaidExpenseAndOtherAssetsCurrent</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_PropertyPlantAndEquipmentNet">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Amount after accumulated depreciation, depletion and amortization of physical assets used in the normal conduct of business to produce goods and services and not intended for resale. Examples include, but are not limited to, land, buildings, machinery and equipment, office equipment, and furniture and fixtures.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher FASB<br><br><br><br> -Name Accounting Standards Codification<br><br><br><br> -Topic 360<br><br><br><br> -SubTopic 10<br><br><br><br> -Section 50<br><br><br><br> -Paragraph 1<br><br><br><br> -URI http://asc.fasb.org/extlink&amp;oid=6391035&amp;loc=d3e2868-110229<br><br><br><br><br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher FASB<br><br><br><br> -Name Accounting Standards Codification<br><br><br><br> -Topic 210<br><br><br><br> -SubTopic 10<br><br><br><br> -Section S99<br><br><br><br> -Paragraph 1<br><br><br><br> -Subparagraph (SX 210.5-02.13)<br><br><br><br> -URI http://asc.fasb.org/extlink&amp;oid=6877327&amp;loc=d3e13212-122682<br><br><br><br><br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher SEC<br><br><br><br> -Name Regulation S-X (SX)<br><br><br><br> -Number 210<br><br><br><br> -Section 02<br><br><br><br> -Paragraph 13<br><br><br><br> -Subparagraph a<br><br><br><br> -Article 5<br><br><br><br><br><br><br><br>Reference 4: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher SEC<br><br><br><br> -Name Regulation S-X (SX)<br><br><br><br> -Number 210<br><br><br><br> -Section 03<br><br><br><br> -Paragraph 8<br><br><br><br> -Article 7<br><br><br><br><br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_PropertyPlantAndEquipmentNet</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_RetainedEarningsAccumulatedDeficit">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The cumulative amount of the reporting entity's undistributed earnings or deficit.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher SEC<br><br><br><br> -Name Regulation S-X (SX)<br><br><br><br> -Number 210<br><br><br><br> -Section 02<br><br><br><br> -Paragraph 31<br><br><br><br> -Article 5<br><br><br><br><br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher SEC<br><br><br><br> -Name Regulation S-X (SX)<br><br><br><br> -Number 210<br><br><br><br> -Section 04<br><br><br><br> -Article 3<br><br><br><br><br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher FASB<br><br><br><br> -Name Accounting Standards Codification<br><br><br><br> -Topic 210<br><br><br><br> -SubTopic 10<br><br><br><br> -Section S99<br><br><br><br> -Paragraph 1<br><br><br><br> -Subparagraph (SX 210.5-02.31(a)(3))<br><br><br><br> -URI http://asc.fasb.org/extlink&amp;oid=6877327&amp;loc=d3e13212-122682<br><br><br><br><br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_RetainedEarningsAccumulatedDeficit</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_ShortTermInvestments">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Investments which are intended to be sold in the short term (usually less than one year or the normal operating cycle, whichever is longer) including trading securities, available-for-sale securities, held-to-maturity securities, and other short-term investments not otherwise listed in the existing taxonomy.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher FASB<br><br><br><br> -Name Accounting Standards Codification<br><br><br><br> -Topic 210<br><br><br><br> -SubTopic 10<br><br><br><br> -Section S99<br><br><br><br> -Paragraph 1<br><br><br><br> -Subparagraph (SX 210.5-02.2)<br><br><br><br> -URI http://asc.fasb.org/extlink&amp;oid=6877327&amp;loc=d3e13212-122682<br><br><br><br><br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher SEC<br><br><br><br> -Name Regulation S-X (SX)<br><br><br><br> -Number 210<br><br><br><br> -Section 03<br><br><br><br> -Paragraph 1<br><br><br><br> -Subparagraph g<br><br><br><br> -Article 7<br><br><br><br><br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_ShortTermInvestments</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_StockholdersEquity">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Total of all stockholders' equity (deficit) items, net of receivables from officers, directors, owners, and affiliates of the entity which are attributable to the parent. The amount of the economic entity's stockholders' equity attributable to the parent excludes the amount of stockholders' equity which is allocable to that ownership interest in subsidiary equity which is not attributable to the parent (noncontrolling interest, minority interest). This excludes temporary equity and is sometimes called permanent equity.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher FASB<br><br><br><br> -Name Accounting Standards Codification<br><br><br><br> -Topic 310<br><br><br><br> -SubTopic 10<br><br><br><br> -Section S99<br><br><br><br> -Paragraph 2<br><br><br><br> -Subparagraph (SAB TOPIC 4.E)<br><br><br><br> -URI http://asc.fasb.org/extlink&amp;oid=27010918&amp;loc=d3e74512-122707<br><br><br><br><br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher SEC<br><br><br><br> -Name Staff Accounting Bulletin (SAB)<br><br><br><br> -Number Topic 4<br><br><br><br> -Section E<br><br><br><br><br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher FASB<br><br><br><br> -Name Accounting Standards Codification<br><br><br><br> -Topic 210<br><br><br><br> -SubTopic 10<br><br><br><br> -Section S99<br><br><br><br> -Paragraph 1<br><br><br><br> -Subparagraph (SX 210.5-02.29-31)<br><br><br><br> -URI http://asc.fasb.org/extlink&amp;oid=6877327&amp;loc=d3e13212-122682<br><br><br><br><br><br><br><br>Reference 4: http://www.xbrl.org/2003/role/presentationRef<br><br><br><br> -Publisher SEC<br><br><br><br> -Name Regulation S-X (SX)<br><br><br><br> -Number 210<br><br><br><br> -Section 02<br><br><br><br> -Paragraph 29, 30, 31<br><br><br><br> -Article 5<br><br><br><br><br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_StockholdersEquity</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
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                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
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                    <td><strong> Balance Type:</strong></td>
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                    <td>instant</td>
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<DOCUMENT>
<TYPE>XML
<SEQUENCE>32
<FILENAME>R6.htm
<DESCRIPTION>IDEA: XBRL DOCUMENT
<TEXT>
<html>
  <head>
    <META http-equiv="Content-Type" content="text/html; charset=us-ascii">
    <link rel="StyleSheet" type="text/css" href="report.css"><script type="text/javascript" src="Show.js">/* Do Not Remove This Comment */</script></head>
  <body><span style="display: none;">v2.4.0.8</span><table class="report" border="0" cellspacing="2" id="ID0ELOBG">
      <tr>
        <th class="tl" colspan="1" rowspan="1">
          <div style="width: 200px;"><strong>CONDENSED CONSOLIDATED STATEMENT OF SHAREHOLDERS` EQUITY (USD $)<br></strong></div>
        </th>
        <th class="th">
          <div>Common Stock [Member]</div>
        </th>
        <th class="th">
          <div>Additional Paid-in Capital [Member]</div>
        </th>
        <th class="th">
          <div>Loan Receivable From Related Party [Member]</div>
        </th>
        <th class="th">
          <div>Retained Earnings [Member]</div>
        </th>
        <th class="th">
          <div>Accumulated Other Comprehensive Income (Loss) [Member]</div>
        </th>
        <th class="th">
          <div>Total</div>
        </th>
      </tr>
      <tr class="rc">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_StockholdersEquity', window );">Balance at Oct. 31, 2013</a></td>
        <td class="nump">$ 2,092,767<span></span></td>
        <td class="nump">$ 134,750,048<span></span></td>
        <td class="num">$ (5,000,000)<span></span></td>
        <td class="num">$ (135,163,408)<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="num">$ (3,320,593)<span></span></td>
      </tr>
      <tr class="rc">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_SharesIssued', window );">Balance (in Shares) at Oct. 31, 2013</a></td>
        <td class="nump">209,276,745<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_NetIncomeLoss', window );">Net loss</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="num">(3,614,428)<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="num">(3,614,428)<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_AdjustmentsToAdditionalPaidInCapitalSharebasedCompensationRequisiteServicePeriodRecognitionValue', window );">Stock option compensation to employees</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">465,519<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">465,519<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_EquityBasedPaymentToNonEmployeesStockOptions', window );">Stock option compensation to consultants</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">255,119<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">255,119<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_EquityBasedPaymentToNonEmployeesStockGrants', window );">Common stock issued to consultants</a></td>
        <td class="nump">900<span></span></td>
        <td class="nump">27,448<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">28,348<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_EquityBasedPaymentToNonemployeesStockGrantsShares', window );">Common stock issued to consultants (in Shares)</a></td>
        <td class="nump">90,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_StockIssuedDuringPeriodInLieuOfInterestOnConvertibleSecurities', window );">Common stock issued as payment of interest on convertible debentures</a></td>
        <td class="nump">1,508<span></span></td>
        <td class="nump">27,292<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">28,800<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_StockIssuedDuringPeriodSharesInLieuOfInterestOnConvertibleSecurities', window );">Common stock issued as payment of interest on convertible debentures (in Shares)</a></td>
        <td class="nump">150,785<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_AdjustmentsToAdditionalPaidInCapitalWarrantIssued', window );">Warrants issued in connection with issuance of convertible debentures</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">513,112<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">513,112<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_StockIssuedDuringPeriodValueAcquisitions', window );">Common stock issued to acquire patents</a></td>
        <td class="nump">10,000<span></span></td>
        <td class="nump">175,600<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">185,600<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_StockIssuedDuringPeriodSharesAcquisitions', window );">Common stock issued to acquire patents (in Shares)</a></td>
        <td class="nump">1,000,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_OtherComprehensiveIncomeUnrealizedHoldingGainLossOnSecuritiesArisingDuringPeriodNetOfTax', window );">Unrealized loss on investment in Videocon Industries Limited global depository receipts (Note 4)</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="num">(210,914)<span></span></td>
        <td class="num">(210,914)<span></span></td>
      </tr>
      <tr class="rc">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_StockholdersEquity', window );">Balance at Jan. 31, 2014</a></td>
        <td class="nump">$ 2,105,175<span></span></td>
        <td class="nump">$ 136,214,138<span></span></td>
        <td class="num">$ (5,000,000)<span></span></td>
        <td class="num">$ (138,777,836)<span></span></td>
        <td class="num">$ (210,914)<span></span></td>
        <td class="num">$ (5,669,437)<span></span></td>
      </tr>
      <tr class="rc">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_SharesIssued', window );">Balance (in Shares) at Jan. 31, 2014</a></td>
        <td class="nump">210,517,530<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
    </table>
    <div style="display: none;">
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_EquityBasedPaymentToNonEmployeesStockGrants">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Equity based payment to nonemployees-stock grants. This element refers to ASC topic 505 subtopic 50, section 50.1</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_EquityBasedPaymentToNonEmployeesStockGrants</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>copy_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_EquityBasedPaymentToNonemployeesStockGrantsShares">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Equity based payment to nonemployees-stock grants. This element refers to ASC topic 505 subtopic 50, section 50.1.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_EquityBasedPaymentToNonemployeesStockGrantsShares</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>copy_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:sharesItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_EquityBasedPaymentToNonEmployeesStockOptions">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Equity based payment to non employees-stock options. This element refers to ASC topic 505 subtopic 50, section 50.1.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_EquityBasedPaymentToNonEmployeesStockOptions</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>copy_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_StockIssuedDuringPeriodInLieuOfInterestOnConvertibleSecurities">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The value of stock issued during the period in lieu of interest on convertible securities.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_StockIssuedDuringPeriodInLieuOfInterestOnConvertibleSecurities</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>copy_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
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                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
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                </table>
              </div>
            </div>
          </td>
        </tr>
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      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_StockIssuedDuringPeriodSharesInLieuOfInterestOnConvertibleSecurities">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The total number of shares issued during the period in lieu of interest  on convertible securities.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_StockIssuedDuringPeriodSharesInLieuOfInterestOnConvertibleSecurities</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>copy_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:sharesItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_AdjustmentsToAdditionalPaidInCapitalSharebasedCompensationRequisiteServicePeriodRecognitionValue">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>This element represents the amount of recognized equity-based compensation during the period, that is, the amount recognized as expense in the income statement (or as asset if compensation is capitalized). Alternate captions include the words "stock-based compensation".</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 718<br><br> -SubTopic 10<br><br> -Section 35<br><br> -Paragraph 2<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6415241&amp;loc=d3e4534-113899<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 718<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 1<br><br> -Subparagraph (b)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6415400&amp;loc=d3e5047-113901<br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 718<br><br> -SubTopic 20<br><br> -Section 55<br><br> -Paragraph 12<br><br> -URI http://asc.fasb.org/extlink&amp;oid=32706628&amp;loc=d3e11149-113907<br><br><br><br>Reference 4: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 718<br><br> -SubTopic 20<br><br> -Section 55<br><br> -Paragraph 13<br><br> -URI http://asc.fasb.org/extlink&amp;oid=32706628&amp;loc=d3e11178-113907<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_AdjustmentsToAdditionalPaidInCapitalSharebasedCompensationRequisiteServicePeriodRecognitionValue</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_AdjustmentsToAdditionalPaidInCapitalWarrantIssued">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Amount of increase in additional paid in capital (APIC) resulting from the issuance of warrants. Includes allocation of proceeds of debt securities issued with detachable stock purchase warrants.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 02<br><br> -Paragraph 31<br><br> -Article 5<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 04<br><br> -Article 3<br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 505<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6928386&amp;loc=d3e21463-112644<br><br><br><br>Reference 4: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 505<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SX 210.3-04)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=27012166&amp;loc=d3e187085-122770<br><br><br><br>Reference 5: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 470<br><br> -SubTopic 20<br><br> -Section 25<br><br> -Paragraph 2<br><br> -URI http://asc.fasb.org/extlink&amp;oid=28183637&amp;loc=d3e4724-112606<br><br><br><br>Reference 6: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Glossary Warrant<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6528364<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
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          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
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        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The portion of profit or loss for the period, net of income taxes, which is attributable to the parent.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 04<br><br> -Paragraph 20<br><br> -Article 9<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 230<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 28<br><br> -URI http://asc.fasb.org/extlink&amp;oid=31042434&amp;loc=d3e3602-108585<br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Glossary Other Comprehensive Income<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6519514<br><br><br><br>Reference 4: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Glossary Net Income<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6518256<br><br><br><br>Reference 5: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 260<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 1<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6371337&amp;loc=d3e3550-109257<br><br><br><br>Reference 6: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 944<br><br> -SubTopic 225<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SX 210.7-04.19)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6879464&amp;loc=d3e573970-122913<br><br><br><br>Reference 7: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 225<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 2<br><br> -Subparagraph (SX 210.5-03.18)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=26872669&amp;loc=d3e20235-122688<br><br><br><br>Reference 8: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 944<br><br> -SubTopic 225<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SX 210.7-04.22)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6879464&amp;loc=d3e573970-122913<br><br><br><br>Reference 9: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 220<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 6<br><br> -URI http://asc.fasb.org/extlink&amp;oid=28358780&amp;loc=d3e565-108580<br><br><br><br>Reference 10: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 03<br><br> -Paragraph 19<br><br> -Article 5<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_NetIncomeLoss</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
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                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
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                    <td><strong> Balance Type:</strong></td>
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                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
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          </td>
        </tr>
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      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_OtherComprehensiveIncomeUnrealizedHoldingGainLossOnSecuritiesArisingDuringPeriodNetOfTax">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
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        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Amount after tax, before reclassification adjustments, of unrealized holding gain (loss) on available-for-sale securities.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 220<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 11<br><br> -URI http://asc.fasb.org/extlink&amp;oid=28358780&amp;loc=d3e637-108580<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 220<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 10A<br><br> -Subparagraph (e)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=28358780&amp;loc=SL7669646-108580<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_OtherComprehensiveIncomeUnrealizedHoldingGainLossOnSecuritiesArisingDuringPeriodNetOfTax</nobr></td>
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                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
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                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
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                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
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                    <td>duration</td>
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          </td>
        </tr>
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      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_SharesIssued">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Number of shares of stock issued as of the balance sheet date, including shares that had been issued and were previously outstanding but which are now held in the treasury.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 505<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6928386&amp;loc=d3e21463-112644<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_SharesIssued</nobr></td>
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                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
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                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:sharesItemType</td>
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                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_StockholdersEquity">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Total of all stockholders' equity (deficit) items, net of receivables from officers, directors, owners, and affiliates of the entity which are attributable to the parent. The amount of the economic entity's stockholders' equity attributable to the parent excludes the amount of stockholders' equity which is allocable to that ownership interest in subsidiary equity which is not attributable to the parent (noncontrolling interest, minority interest). This excludes temporary equity and is sometimes called permanent equity.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 310<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 2<br><br> -Subparagraph (SAB TOPIC 4.E)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=27010918&amp;loc=d3e74512-122707<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Staff Accounting Bulletin (SAB)<br><br> -Number Topic 4<br><br> -Section E<br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 210<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SX 210.5-02.29-31)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6877327&amp;loc=d3e13212-122682<br><br><br><br>Reference 4: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 02<br><br> -Paragraph 29, 30, 31<br><br> -Article 5<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_StockholdersEquity</nobr></td>
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                    <td>us-gaap_</td>
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                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
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        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
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        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Number of shares of stock issued during the period pursuant to acquisitions.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 04<br><br> -Article 3<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 505<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SX 210.3-04)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=27012166&amp;loc=d3e187085-122770<br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 210<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SX 210.5-02.28,29)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6877327&amp;loc=d3e13212-122682<br><br><br><br>Reference 4: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 02<br><br> -Paragraph 29, 30<br><br> -Article 5<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_StockIssuedDuringPeriodSharesAcquisitions</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
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                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:sharesItemType</td>
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                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
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                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
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          </td>
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        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
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        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Value of stock issued pursuant to acquisitions during the period.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 04<br><br> -Article 3<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 505<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6928386&amp;loc=d3e21463-112644<br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 505<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SX 210.3-04)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=27012166&amp;loc=d3e187085-122770<br><br><br><br>Reference 4: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 210<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SX 210.5-02.29-31)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6877327&amp;loc=d3e13212-122682<br><br><br><br>Reference 5: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 02<br><br> -Paragraph 29, 30, 31<br><br> -Article 5<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_StockIssuedDuringPeriodValueAcquisitions</nobr></td>
                  </tr>
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                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
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                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
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                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
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                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
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  <body><span style="display: none;">v2.4.0.8</span><table class="report" border="0" cellspacing="2" id="ID0EWE">
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          <div style="width: 200px;"><strong>FAIR VALUE MEASUREMENTS (Details)<br></strong></div>
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        <th class="th" colspan="1">3 Months Ended</th>
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      <tr>
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          <div>Jan. 31, 2014</div>
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        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
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        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Expected dividends to be paid to holders of the underlying shares or financial instruments (expressed as a percentage of the share or instrument's price).</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 820<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -Subparagraph (e)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=25499696&amp;loc=d3e19207-110258<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
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            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Details</a><div>
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<html>
  <head>
    <META http-equiv="Content-Type" content="text/html; charset=us-ascii">
    <link rel="StyleSheet" type="text/css" href="report.css"><script type="text/javascript" src="Show.js">/* Do Not Remove This Comment */</script></head>
  <body><span style="display: none;">v2.4.0.8</span><table class="report" border="0" cellspacing="2" id="ID0EME">
      <tr>
        <th class="tl" colspan="1" rowspan="2">
          <div style="width: 200px;"><strong>INVESTMENTS (Tables)<br></strong></div>
        </th>
        <th class="th" colspan="1">3 Months Ended</th>
      </tr>
      <tr>
        <th class="th">
          <div>Jan. 31, 2014</div>
        </th>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_invest_InvestmentsScheduleAbstract', window );"><strong>Investments Schedule [Abstract]</strong></a></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_ScheduleOfFairValueOfSeparateAccountsByMajorCategoryOfInvestmentTextBlock', window );">Schedule of Fair Value of Separate Accounts by Major Category of Investment [Table Text Block]</a></td>
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            <td style="BORDER-BOTTOM: #000000 1px solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 5.4pt; PADDING-RIGHT: 5.4pt; PADDING-TOP: 0in" valign="top" width="14%" colspan="2">
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                <font style="font-size: 12pt; font-family: Times New Roman;" color="#000000"></font>
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              <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                <font style="font-size: 12pt; font-family: Times New Roman;">Investment in</font>
              </p>
              <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                <font style="font-size: 12pt; font-family: Times New Roman;">Videocon</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 5.4pt; PADDING-RIGHT: 5.4pt; PADDING-TOP: 0in" valign="top" width="86%">
              <p style="TEXT-ALIGN: justify; MARGIN: 0in 0in 0pt">
                <font style="font-size: 12pt; font-family: Times New Roman;" color="black">Fair Value as of October 31, 2013</font>
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            </td>
            <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 5.4pt; PADDING-RIGHT: 5.4pt; PADDING-TOP: 0in" valign="top" width="2%">
              <p style="TEXT-ALIGN: justify; MARGIN: 0in 0in 0pt">
                <font style="font-size: 12pt; font-family: Times New Roman;" color="black">$</font>
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              <p style="MARGIN: 0in 0in 0pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;" color="#000000">4,197,341</font>
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            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 5.4pt; PADDING-RIGHT: 5.4pt; PADDING-TOP: 0in" valign="top" width="86%">
              <p style="TEXT-ALIGN: justify; MARGIN: 0in 0in 0pt">
                <font style="font-size: 12pt; font-family: Times New Roman;" color="black">Unrealized loss</font>
              </p>
            </td>
            <td style="BORDER-BOTTOM: #000000 1px solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 5.4pt; PADDING-RIGHT: 5.4pt; PADDING-TOP: 0in" valign="top" width="2%">
              <p style="TEXT-ALIGN: justify; MARGIN: 0in 0in 0pt">
                <font style="font-size: 12pt; font-family: Times New Roman;" color="black"></font>&#160;
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            <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 5.4pt; PADDING-RIGHT: 5.4pt; PADDING-TOP: 0in" valign="top" width="12%" align="right">
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                <font style="font-size: 12pt; font-family: Times New Roman;" color="#000000">210,914</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 5.4pt; PADDING-RIGHT: 5.4pt; PADDING-TOP: 0in" valign="top" width="86%">
              <p style="TEXT-ALIGN: justify; MARGIN: 0in 0in 0pt">
                <font style="font-size: 12pt; font-family: Times New Roman;" color="black">Fair Value as of January 31, 2014</font>
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              <p style="TEXT-ALIGN: justify; MARGIN: 0in 0in 0pt">
                <font style="font-size: 12pt; font-family: Times New Roman;" color="black">$</font>
              </p>
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              <p style="MARGIN: 0in 0in 0pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;" color="#000000">&#160;3,926,427</font>
              </p>
            </td>
          </tr>
        </table><span></span></td>
      </tr>
    </table>
    <div style="display: none;">
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            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Details</a><div>
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                    <td>duration</td>
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        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
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        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Tabular disclosure of the fair value of assets, by major investment asset category, supporting separate accounts with additional insurance benefits and minimum investment return guarantees as of each date for which a statement of financial position is presented. The taxonomy for investment disclosures is utilized to tag elements that represent more detailed breakdowns of the major investment categories specified in reporting regulations.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 944<br><br> -SubTopic 20<br><br> -Section 55<br><br> -Paragraph 15<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6588021&amp;loc=d3e7104-158389<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 944<br><br> -SubTopic 80<br><br> -Section 50<br><br> -Paragraph 1<br><br> -Subparagraph (e)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6484115&amp;loc=d3e19393-158473<br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 944<br><br> -SubTopic 80<br><br> -Section 50<br><br> -Paragraph 1<br><br> -Subparagraph (b)(2)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6484115&amp;loc=d3e19393-158473<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_ScheduleOfFairValueOfSeparateAccountsByMajorCategoryOfInvestmentTextBlock</nobr></td>
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                  <tr>
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<DOCUMENT>
<TYPE>XML
<SEQUENCE>35
<FILENAME>R36.htm
<DESCRIPTION>IDEA: XBRL DOCUMENT
<TEXT>
<html>
  <head>
    <META http-equiv="Content-Type" content="text/html; charset=us-ascii">
    <link rel="StyleSheet" type="text/css" href="report.css"><script type="text/javascript" src="Show.js">/* Do Not Remove This Comment */</script></head>
  <body><span style="display: none;">v2.4.0.8</span><table class="report" border="0" cellspacing="2" id="ID0E5YBG">
      <tr>
        <th class="tl" colspan="1" rowspan="1">
          <div style="width: 200px;"><strong>FAIR VALUE MEASUREMENTS (Details) - The hierarchy for our financial assets measured at fair value on a recurring basis (USD $)<br></strong></div>
        </th>
        <th class="th">
          <div>Jan. 31, 2014</div>
        </th>
        <th class="th">
          <div>Oct. 31, 2013</div>
        </th>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_FAIRVALUEMEASUREMENTSDetailsThehierarchyforourfinancialassetsmeasuredatfairvalueonarecurringbasisLineItems', window );"><strong>FAIR VALUE MEASUREMENTS (Details) - The hierarchy for our financial assets measured at fair value on a recurring basis [Line Items]</strong></a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_GlobalDepositoryReceiptsFairValueDisclosures', window );">Videocon Industries Limited global depository receipts</a></td>
        <td class="nump">$ 3,986,427<span></span></td>
        <td class="nump">$ 4,197,341<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_AssetsFairValueDisclosure', window );">Total financial assets</a></td>
        <td class="nump">7,212,568<span></span></td>
        <td class="nump">5,095,513<span></span></td>
      </tr>
      <tr class="rh">
        <td class="pl" style="border-bottom: 0px;" valign="top">
          <div class="a">Fair Value, Inputs, Level 1 [Member]</div>
        </td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_FAIRVALUEMEASUREMENTSDetailsThehierarchyforourfinancialassetsmeasuredatfairvalueonarecurringbasisLineItems', window );"><strong>FAIR VALUE MEASUREMENTS (Details) - The hierarchy for our financial assets measured at fair value on a recurring basis [Line Items]</strong></a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_GlobalDepositoryReceiptsFairValueDisclosures', window );">Videocon Industries Limited global depository receipts</a></td>
        <td class="nump">3,986,427<span></span></td>
        <td class="nump">4,197,341<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_AssetsFairValueDisclosure', window );">Total financial assets</a></td>
        <td class="nump">7,212,568<span></span></td>
        <td class="nump">5,095,513<span></span></td>
      </tr>
      <tr class="rh">
        <td class="pl" style="border-bottom: 0px;" valign="top">
          <div class="a">Fair Value, Inputs, Level 1 [Member] | Money Market Funds [Member]</div>
        </td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_FAIRVALUEMEASUREMENTSDetailsThehierarchyforourfinancialassetsmeasuredatfairvalueonarecurringbasisLineItems', window );"><strong>FAIR VALUE MEASUREMENTS (Details) - The hierarchy for our financial assets measured at fair value on a recurring basis [Line Items]</strong></a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_CashAndCashEquivalentsFairValueDisclosure', window );">Cash and cash equivalents</a></td>
        <td class="nump">776,141<span></span></td>
        <td class="nump">898,172<span></span></td>
      </tr>
      <tr class="rh">
        <td class="pl" style="border-bottom: 0px;" valign="top">
          <div class="a">Fair Value, Inputs, Level 1 [Member] | Certificates of Deposit [Member]</div>
        </td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_FAIRVALUEMEASUREMENTSDetailsThehierarchyforourfinancialassetsmeasuredatfairvalueonarecurringbasisLineItems', window );"><strong>FAIR VALUE MEASUREMENTS (Details) - The hierarchy for our financial assets measured at fair value on a recurring basis [Line Items]</strong></a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_CashAndCashEquivalentsFairValueDisclosure', window );">Cash and cash equivalents</a></td>
        <td class="nump">2,450,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="rh">
        <td class="pl" style="border-bottom: 0px;" valign="top">
          <div class="a">Fair Value, Inputs, Level 2 [Member]</div>
        </td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_FAIRVALUEMEASUREMENTSDetailsThehierarchyforourfinancialassetsmeasuredatfairvalueonarecurringbasisLineItems', window );"><strong>FAIR VALUE MEASUREMENTS (Details) - The hierarchy for our financial assets measured at fair value on a recurring basis [Line Items]</strong></a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_GlobalDepositoryReceiptsFairValueDisclosures', window );">Videocon Industries Limited global depository receipts</a></td>
        <td class="text">&nbsp;&nbsp;<span></span></td>
        <td class="text">&nbsp;&nbsp;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_AssetsFairValueDisclosure', window );">Total financial assets</a></td>
        <td class="text">&nbsp;&nbsp;<span></span></td>
        <td class="text">&nbsp;&nbsp;<span></span></td>
      </tr>
      <tr class="rh">
        <td class="pl" style="border-bottom: 0px;" valign="top">
          <div class="a">Fair Value, Inputs, Level 2 [Member] | Money Market Funds [Member]</div>
        </td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_FAIRVALUEMEASUREMENTSDetailsThehierarchyforourfinancialassetsmeasuredatfairvalueonarecurringbasisLineItems', window );"><strong>FAIR VALUE MEASUREMENTS (Details) - The hierarchy for our financial assets measured at fair value on a recurring basis [Line Items]</strong></a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_CashAndCashEquivalentsFairValueDisclosure', window );">Cash and cash equivalents</a></td>
        <td class="text">&nbsp;&nbsp;<span></span></td>
        <td class="text">&nbsp;&nbsp;<span></span></td>
      </tr>
      <tr class="rh">
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        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_GDRPurchaseAgreementGDRIssued', window );">GDR Purchase Agreement GDR Issued (in Shares)</a></td>
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        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_GDRPurchaseAgreementAggregatePurchasePrice', window );">GDR Purchase Agreement Aggregate Purchase Price</a></td>
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        <td class="text">&#xA0;<span></span></td>
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        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_PrincipalAmountOutstandingOnLoansSecuritized', window );">Principal Amount Outstanding on Loans Securitized or Asset-backed Financing Arrangement</a></td>
        <td class="text">&#xA0;<span></span></td>
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        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_ProceedsFromIssuanceOfPrivatePlacement', window );">Proceeds from Issuance of Private Placement</a></td>
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        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_DebtInstrumentInterestRateStatedPercentage', window );">Debt Instrument, Interest Rate, Stated Percentage</a></td>
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        <td class="text">&#xA0;<span></span></td>
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        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_StockIssuedDuringPeriodSharesConversionOfConvertibleSecurities', window );">Stock Issued During Period, Shares, Conversion of Convertible Securities (in Shares)</a></td>
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      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_StockIssuedDuringPeriodValueConversionOfConvertibleSecurities', window );">Stock Issued During Period, Value, Conversion of Convertible Securities</a></td>
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        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_StockPurchaseAgreementAuthorizedAmount', window );">Stock Purchase Agreement Authorized Amount</a></td>
        <td class="text">&#xA0;<span></span></td>
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      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_StockIssuedDuringPeriodSharesIssuedForServices', window );">Stock Issued During Period, Shares, Issued for Services (in Shares)</a></td>
        <td class="text">&#xA0;<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
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      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_StockIssuedDuringPeriodValueIssuedForServices', window );">Stock Issued During Period, Value, Issued for Services</a></td>
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        <td class="text">&#xA0;<span></span></td>
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      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_StockPurchaseAgreementStockIssuedDuringThePeriodShares', window );">Stock Purchase Agreement Stock Issued during the Period Shares (in Shares)</a></td>
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        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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      <tr class="re">
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        <td class="text">&#xA0;<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
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      <tr class="re">
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        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_StockPurchaseAgreementVolumeWeightedAveragePricePurchaseThresholdPercentageofVolumeTraded', window );">StockPurchaseAgreementVolumeWeightedAveragePricePurchaseThresholdPercentageofVolumeTraded</a></td>
        <td class="nump">30.00%<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_StockPurchaseAgreementVolumeWeightedAveragePricePurchasePriceSelectionPerSharePercentageOfVolumeWeightedAveragePrice', window );">Stock Purchase Agreement Volume Weighted AveragePricePurchasePriceSelectionPerShare Percentage of Volume Weighted Average Price</a></td>
        <td class="text">&#xA0;<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
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      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_StockPurchaseAgreementVolumeWeightedAveragePricePurchaseRequirementPricePerShare', window );">Stock Purchase Agreement Volume Weighted Average Price Purchase Requirement Price Per Share (in Dollars per share)</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_StockIssuedDuringPeriodSharesNewIssues', window );">Stock Issued During Period, Shares, New Issues (in Shares)</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_StockIssuedDuringPeriodValueNewIssues', window );">Stock Issued During Period, Value, New Issues</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">592,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_StockPurchaseAgreementCommonStockThresholdPricePerShare', window );">Stock Purchase Agreement Common Stock Threshold Price Per Share (in Dollars per share)</a></td>
        <td class="nump">$ 0.15<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_PaymentsOfStockIssuanceCosts', window );">Payments of Stock Issuance Costs</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">42,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_AdditionalStockpurchaseAgreementStockIssuedDuringThePeriodShares', window );">Additional Stock Purchase Agreement Stock Issued During The Period Shares (in Shares)</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">3,500,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_ClassOfWarrantOrRightExercisePriceOfWarrantsOrRights', window );">Class of Warrant or Right, Exercise Price of Warrants or Rights (in Dollars per Share)</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">$ 0.16<span></span></td>
        <td class="nump">$ 0.178<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_ClassOfWarrantOrRightNumberOfSecuritiesCalledByWarrantsOrRights', window );">Class of Warrant or Right, Number of Securities Called by Warrants or Rights (in Shares)</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">1,400,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">2,380,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_ProceedsFromWarrantExercises', window );">Proceeds from Warrant Exercises</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">381,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_StockIssuedDuringPeriodSharesStockOptionsExercised', window );">Share-based Compensation Arrangement by Share-based Payment Award, Options, Exercises in Period (in Shares)</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">547,493<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_NetCashProvidedByUsedInOperatingActivities', window );">Net Cash Provided by (Used in) Operating Activities</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="num">(1,172,031)<span></span></td>
        <td class="num">(890,010)<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_NetCashProvidedByUsedInInvestingActivities', window );">Net Cash Provided by (Used in) Investing Activities</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_PaymentsToAcquireShortTermInvestments', window );">Payments to Acquire Short-term Investments</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">2,700,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_ProceedsFromSaleOfShortTermInvestments', window );">Proceeds from Sale of Short-term Investments</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">250,000<span></span></td>
        <td class="nump">500,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_NetCashProvidedByUsedInFinancingActivities', window );">Net Cash Provided by (Used in) Financing Activities</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">3,500,000<span></span></td>
        <td class="nump">1,765,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_CashPeriodIncreaseDecrease', window );">Cash, Period Increase (Decrease)</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">2,328,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_CashCashEquivalentsAndShortTermInvestments', window );">Cash, Cash Equivalents, and Short-term Investments</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">3,226,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">898,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_EmployeeBenefitsAndShareBasedCompensation', window );">Employee Benefits and Share-based Compensation</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">1,044,000<span></span></td>
        <td class="nump">819,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_AllocatedShareBasedCompensationExpense', window );">Allocated Share-based Compensation Expense</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">26,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">466,000<span></span></td>
        <td class="nump">473,000<span></span></td>
        <td class="nump">255,000<span></span></td>
        <td class="nump">242,000<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_PaymentsToAcquireIntangibleAssets', window );">Payments to Acquire Intangible Assets</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">3,036,000<span></span></td>
        <td class="nump">0<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_AmortizationOfIntangibleAssets', window );">Amortization of Intangible Assets</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">$ 70,481<span></span></td>
        <td class="nump">$ 0<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
    </table>
    <div style="display: none;">
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_AdditionalStockpurchaseAgreementStockIssuedDuringThePeriodShares">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Additional stock purchase agreement stock issued during the period shares.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_AdditionalStockpurchaseAgreementStockIssuedDuringThePeriodShares</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>copy_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:sharesItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_BUSINESSANDFUNDINGDetailsLineItems">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Details</a><div>
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_BUSINESSANDFUNDINGDetailsLineItems</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>copy_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:stringItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_GDRPurchaseAgreementAggregatePurchasePrice">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Aggregate purchase price of GDR purchase agreement.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_GDRPurchaseAgreementAggregatePurchasePrice</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>copy_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_GDRPurchaseAgreementGDRIssued">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>GDR issued under GDR Purchase Agreement.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_GDRPurchaseAgreementGDRIssued</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>copy_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:sharesItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_ShareSubscriptionAgreementAggregatePurchasePrice">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Aggregate purchase price received during the period on issuance of shares under the share subscription agreement.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_ShareSubscriptionAgreementAggregatePurchasePrice</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>copy_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_ShareSubscriptionAgreementSharesIssued">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Shares issued under share subscription agreement.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_ShareSubscriptionAgreementSharesIssued</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>copy_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:sharesItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_StockPurchaseAgreementAuthorizedAmount">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Amount of a stock purchase authorized as per the agreement.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_StockPurchaseAgreementAuthorizedAmount</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>copy_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_StockPurchaseAgreementCommonStockThresholdPricePerShare">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Threshold price per share common stock under stock purchase agreement.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_StockPurchaseAgreementCommonStockThresholdPricePerShare</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>copy_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>num:perShareItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_StockPurchaseAgreementRegularPurchaseThresholdShares">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Threshold number of specifed shares to be purchased under regular purchase as per the stock purchase agreement.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_StockPurchaseAgreementRegularPurchaseThresholdShares</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>copy_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:sharesItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_StockPurchaseAgreementRegularPurchaseThresholdValue">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Threshold amount of specifed shares to be purchased under regular purchase as per the stock purchase agreement</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_StockPurchaseAgreementRegularPurchaseThresholdValue</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>copy_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_StockPurchaseAgreementStockIssuedDuringThePeriodShares">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Number of stock issued under stock purchase agreement during the period.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_StockPurchaseAgreementStockIssuedDuringThePeriodShares</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>copy_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:sharesItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_StockPurchaseAgreementStockIssuedDuringThePeriodValue">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Equity impact of the value of stock issued under stock purchase agreement during the period.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_StockPurchaseAgreementStockIssuedDuringThePeriodValue</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>copy_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_StockPurchaseAgreementVolumeWeightedAveragePricePurchasePriceSelectionPerSharePercentageOfVolumeWeightedAveragePrice">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Percentage of volume weighted average price used for purchase price selection per share.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_StockPurchaseAgreementVolumeWeightedAveragePricePurchasePriceSelectionPerSharePercentageOfVolumeWeightedAveragePrice</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>copy_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>num:percentItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_StockPurchaseAgreementVolumeWeightedAveragePricePurchaseRequirementPricePerShare">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Weighted average price per share of purchase requirement under stock purchase agreement.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_StockPurchaseAgreementVolumeWeightedAveragePricePurchaseRequirementPricePerShare</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>copy_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>num:perShareItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_StockPurchaseAgreementVolumeWeightedAveragePricePurchaseThresholdPercentageofVolumeTraded">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Threshold percentage of share purchase through a volume weighted average price purchase.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_StockPurchaseAgreementVolumeWeightedAveragePricePurchaseThresholdPercentageofVolumeTraded</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>copy_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>num:percentItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_AllocatedShareBasedCompensationExpense">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Represents the expense recognized during the period arising from equity-based compensation arrangements (for example, shares of stock, unit, stock options or other equity instruments) with employees, directors and certain consultants qualifying for treatment as employees.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 718<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 1<br><br> -Subparagraph (b)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6415400&amp;loc=d3e5047-113901<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 718<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SAB TOPIC 14.F)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=27013229&amp;loc=d3e301413-122809<br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 718<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -Subparagraph (h)(1)(i)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6415400&amp;loc=d3e5070-113901<br><br><br><br>Reference 4: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Staff Accounting Bulletin (SAB)<br><br> -Number Topic 14<br><br> -Section F<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_AllocatedShareBasedCompensationExpense</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_AmortizationOfIntangibleAssets">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The aggregate expense charged against earnings to allocate the cost of intangible assets (nonphysical assets not used in production) in a systematic and rational manner to the periods expected to benefit from such assets. As a noncash expense, this element is added back to net income when calculating cash provided by or used in operations using the indirect method.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 230<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 28<br><br> -Subparagraph (b)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=31042434&amp;loc=d3e3602-108585<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 350<br><br> -SubTopic 30<br><br> -Section 45<br><br> -Paragraph 2<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6388964&amp;loc=d3e16225-109274<br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 350<br><br> -SubTopic 30<br><br> -Section 50<br><br> -Paragraph 2<br><br> -Subparagraph (a)(2)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=26713463&amp;loc=d3e16323-109275<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_AmortizationOfIntangibleAssets</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_CashCashEquivalentsAndShortTermInvestments">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Cash includes currency on hand as well as demand deposits with banks or financial institutions. It also includes other kinds of accounts that have the general characteristics of demand deposits in that the customer may deposit additional funds at any time and effectively may withdraw funds at any time without prior notice or penalty. Cash equivalents, excluding items classified as marketable securities, include short-term, highly liquid Investments that are both readily convertible to known amounts of cash, and so near their maturity that they present minimal risk of changes in value because of changes in interest rates. Generally, only investments with original maturities of three months or less qualify under that definition. Original maturity means original maturity to the entity holding the investment. For example, both a three-month US Treasury bill and a three-year Treasury note purchased three months from maturity qualify as cash equivalents. However, a Treasury note purchased three years ago does not become a cash equivalent when its remaining maturity is three months. Short-term investments, exclusive of cash equivalents, generally consist of marketable securities intended to be sold within one year (or the normal operating cycle if longer) and may include trading securities, available-for-sale securities, or held-to-maturity securities (if maturing within one year), as applicable.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Glossary Cash<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6506951<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Glossary Cash Equivalents<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6507016<br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 02<br><br> -Paragraph 1<br><br> -Article 5<br><br><br><br>Reference 4: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 210<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SX 210.5-02.1)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6877327&amp;loc=d3e13212-122682<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_CashCashEquivalentsAndShortTermInvestments</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_CashPeriodIncreaseDecrease">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Amount of increase (decrease) in cash. Cash is the amount of currency on hand as well as demand deposits with banks or financial institutions. Includes other kinds of accounts that have the general characteristics of demand deposits. Includes effect from exchange rate changes.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 830<br><br> -SubTopic 230<br><br> -Section 45<br><br> -Paragraph 1<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6450594&amp;loc=d3e33268-110906<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_CashPeriodIncreaseDecrease</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_ClassOfWarrantOrRightExercisePriceOfWarrantsOrRights">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Exercise price per share or per unit of warrants or rights outstanding.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 235<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SX 210.4-08.(i)(4))<br><br> -URI http://asc.fasb.org/extlink&amp;oid=26873400&amp;loc=d3e23780-122690<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 08<br><br> -Paragraph i<br><br> -Subparagraph 4<br><br> -Article 4<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_ClassOfWarrantOrRightExercisePriceOfWarrantsOrRights</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>us-types:perUnitItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_ClassOfWarrantOrRightNumberOfSecuritiesCalledByWarrantsOrRights">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Number of securities into which the class of warrant or right may be converted. For example, but not limited to, 500,000 warrants may be converted into 1,000,000 shares.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 235<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SX 210.4-08.(i)(2))<br><br> -URI http://asc.fasb.org/extlink&amp;oid=26873400&amp;loc=d3e23780-122690<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 08<br><br> -Paragraph i<br><br> -Subparagraph 2<br><br> -Article 4<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_ClassOfWarrantOrRightNumberOfSecuritiesCalledByWarrantsOrRights</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:sharesItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_DebtInstrumentInterestRateStatedPercentage">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Contractual interest rate for funds borrowed, under the debt agreement.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 02<br><br> -Paragraph 22<br><br> -Article 5<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 210<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SX 210.5-02.22(a)(1))<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6877327&amp;loc=d3e13212-122682<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_DebtInstrumentInterestRateStatedPercentage</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>num:percentItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_EmployeeBenefitsAndShareBasedCompensation">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Costs and payments related to employee benefits and equity-based compensation, such as pension expense and contributions, other postretirement benefits expense and payments, stock or unit options expense, and amortization of restricted stock or unit.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 230<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 28<br><br> -Subparagraph (a)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=31042434&amp;loc=d3e3602-108585<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_EmployeeBenefitsAndShareBasedCompensation</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_NetCashProvidedByUsedInFinancingActivities">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Amount of cash inflow (outflow) from financing activities, including discontinued operations. Financing activity cash flows include obtaining resources from owners and providing them with a return on, and a return of, their investment; borrowing money and repaying amounts borrowed, or settling the obligation; and obtaining and paying for other resources obtained from creditors on long-term credit.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 230<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 24<br><br> -URI http://asc.fasb.org/extlink&amp;oid=31042434&amp;loc=d3e3521-108585<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 230<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 26<br><br> -URI http://asc.fasb.org/extlink&amp;oid=31042434&amp;loc=d3e3574-108585<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_NetCashProvidedByUsedInFinancingActivities</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_NetCashProvidedByUsedInInvestingActivities">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Amount of cash inflow (outflow) from investing activities, including discontinued operations. Investing activity cash flows include making and collecting loans and acquiring and disposing of debt or equity instruments and property, plant, and equipment and other productive assets.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 230<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 24<br><br> -URI http://asc.fasb.org/extlink&amp;oid=31042434&amp;loc=d3e3521-108585<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 230<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 26<br><br> -URI http://asc.fasb.org/extlink&amp;oid=31042434&amp;loc=d3e3574-108585<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_NetCashProvidedByUsedInInvestingActivities</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_NetCashProvidedByUsedInOperatingActivities">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Amount of cash inflow (outflow) from operating activities, including discontinued operations. Operating activity cash flows include transactions, adjustments, and changes in value not defined as investing or financing activities.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 230<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 28<br><br> -URI http://asc.fasb.org/extlink&amp;oid=31042434&amp;loc=d3e3602-108585<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 230<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 24<br><br> -URI http://asc.fasb.org/extlink&amp;oid=31042434&amp;loc=d3e3521-108585<br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 230<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 25<br><br> -URI http://asc.fasb.org/extlink&amp;oid=31042434&amp;loc=d3e3536-108585<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_NetCashProvidedByUsedInOperatingActivities</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_PaymentsOfStockIssuanceCosts">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The cash outflow for cost incurred directly with the issuance of an equity security.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Glossary Financing Activities<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6513228<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 230<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 15<br><br> -URI http://asc.fasb.org/extlink&amp;oid=31042434&amp;loc=d3e3291-108585<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_PaymentsOfStockIssuanceCosts</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_PaymentsToAcquireIntangibleAssets">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The cash outflow to acquire asset without physical form usually arising from contractual or other legal rights, excluding goodwill.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Glossary Investing Activities<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6516133<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 230<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 13<br><br> -Subparagraph (c)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=31042434&amp;loc=d3e3213-108585<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_PaymentsToAcquireIntangibleAssets</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_PaymentsToAcquireShortTermInvestments">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The cash outflow for securities or other assets acquired, which qualify for treatment as an investing activity and are to be liquidated, if necessary, within the current operating cycle. Includes cash flows from securities classified as trading securities that were acquired for reasons other than sale in the short-term.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Glossary Investing Activities<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6516133<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 230<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 13<br><br> -URI http://asc.fasb.org/extlink&amp;oid=31042434&amp;loc=d3e3213-108585<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_PaymentsToAcquireShortTermInvestments</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_PrincipalAmountOutstandingOnLoansSecuritized">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>This is the principal amount outstanding for securitized loans only (across all types of loans).</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 860<br><br> -SubTopic 20<br><br> -Section 50<br><br> -Paragraph 4<br><br> -Subparagraph (e)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=13989330&amp;loc=d3e107314-111719<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_PrincipalAmountOutstandingOnLoansSecuritized</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_ProceedsFromIssuanceOfPrivatePlacement">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The cash inflow associated with the amount received from entity's raising of capital via private rather than public placement.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Glossary Financing Activities<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6513228<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 230<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 14<br><br> -Subparagraph (a)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=31042434&amp;loc=d3e3255-108585<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_ProceedsFromIssuanceOfPrivatePlacement</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_ProceedsFromSaleOfShortTermInvestments">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The cash inflow from sales of all investments, including securities and other assets, having ready marketability and intended by management to be liquidated, if necessary, within the current operating cycle. Includes cash flows from securities classified as trading securities that were acquired for reasons other than sale in the short-term.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 230<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 12<br><br> -URI http://asc.fasb.org/extlink&amp;oid=31042434&amp;loc=d3e3179-108585<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Glossary Investing Activities<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6516133<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_ProceedsFromSaleOfShortTermInvestments</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_ProceedsFromWarrantExercises">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The cash inflow associated with the amount received from holders exercising their stock warrants.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_ProceedsFromWarrantExercises</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_StockIssuedDuringPeriodSharesConversionOfConvertibleSecurities">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Number of shares issued during the period as a result of the conversion of convertible securities.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 04<br><br> -Article 3<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 505<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6928386&amp;loc=d3e21463-112644<br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 505<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SX 210.3-04)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=27012166&amp;loc=d3e187085-122770<br><br><br><br>Reference 4: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 505<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 3<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6928386&amp;loc=d3e21475-112644<br><br><br><br>Reference 5: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 02<br><br> -Paragraph 29, 30<br><br> -Article 5<br><br><br><br>Reference 6: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 210<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SX 210.5-02.29-30)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6877327&amp;loc=d3e13212-122682<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_StockIssuedDuringPeriodSharesConversionOfConvertibleSecurities</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:sharesItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_StockIssuedDuringPeriodSharesIssuedForServices">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Number of shares issued in lieu of cash for services contributed to the entity. Number of shares includes, but is not limited to, shares issued for services contributed by vendors and founders.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_StockIssuedDuringPeriodSharesIssuedForServices</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:sharesItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_StockIssuedDuringPeriodSharesNewIssues">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Number of new stock issued during the period.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 04<br><br> -Article 3<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 505<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6928386&amp;loc=d3e21463-112644<br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 505<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SX 210.3-04)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=27012166&amp;loc=d3e187085-122770<br><br><br><br>Reference 4: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 02<br><br> -Paragraph 29, 30<br><br> -Article 5<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_StockIssuedDuringPeriodSharesNewIssues</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:sharesItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_StockIssuedDuringPeriodSharesStockOptionsExercised">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Number of share options (or share units) exercised during the current period.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 04<br><br> -Article 3<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 505<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6928386&amp;loc=d3e21463-112644<br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 505<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SX 210.3-04)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=27012166&amp;loc=d3e187085-122770<br><br><br><br>Reference 4: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 210<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SX 210.5-02.28,29)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6877327&amp;loc=d3e13212-122682<br><br><br><br>Reference 5: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 718<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -Subparagraph (c)(1)(iv)(2)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6415400&amp;loc=d3e5070-113901<br><br><br><br>Reference 6: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 02<br><br> -Paragraph 29, 30<br><br> -Article 5<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_StockIssuedDuringPeriodSharesStockOptionsExercised</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:sharesItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_StockIssuedDuringPeriodValueConversionOfConvertibleSecurities">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The gross value of stock issued during the period upon the conversion of convertible securities.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 04<br><br> -Article 3<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 505<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6928386&amp;loc=d3e21463-112644<br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 505<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SX 210.3-04)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=27012166&amp;loc=d3e187085-122770<br><br><br><br>Reference 4: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 210<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SX 210.5-02.29-31)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6877327&amp;loc=d3e13212-122682<br><br><br><br>Reference 5: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 02<br><br> -Paragraph 29, 30, 31<br><br> -Article 5<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_StockIssuedDuringPeriodValueConversionOfConvertibleSecurities</nobr></td>
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                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
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                    <td>duration</td>
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            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Value of stock issued in lieu of cash for services contributed to the entity. Value of the stock issued includes, but is not limited to, services contributed by vendors and founders.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_StockIssuedDuringPeriodValueIssuedForServices</nobr></td>
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            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Equity impact of the value of new stock issued during the period. Includes shares issued in an initial public offering or a secondary public offering.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 04<br><br> -Article 3<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 505<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6928386&amp;loc=d3e21463-112644<br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 505<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SX 210.3-04)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=27012166&amp;loc=d3e187085-122770<br><br><br><br>Reference 4: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 02<br><br> -Paragraph 29, 30, 31<br><br> -Article 5<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
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                    <td><nobr>us-gaap_StockIssuedDuringPeriodValueNewIssues</nobr></td>
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                    <td>duration</td>
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  <body><span style="display: none;">v2.4.0.8</span><table class="report" border="0" cellspacing="2" id="ID0EUZAG">
      <tr>
        <th class="tl" colspan="1" rowspan="2">
          <div style="width: 200px;"><strong>CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS (UNAUDITED) (USD $)<br></strong></div>
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        <th class="th" colspan="2">3 Months Ended</th>
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      <tr>
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          <div>Jan. 31, 2014</div>
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        <th class="th">
          <div>Jan. 31, 2013</div>
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        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_ReconciliationOfNetLossToNetCashUsedByOperatingActivitiesAbstract', window );"><strong>Reconciliation of net loss to net cash used by operating activities:</strong></a></td>
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        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_NetIncomeLoss', window );">Net loss</a></td>
        <td class="num">$ (3,614,428)<span></span></td>
        <td class="num">$ (2,094,987)<span></span></td>
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        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_ShareBasedCompensation', window );">Stock option compensation to employees</a></td>
        <td class="nump">465,519<span></span></td>
        <td class="nump">473,275<span></span></td>
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        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_EquityBasedPaymentToNonEmployeesStockOptions', window );">Stock option compensation to consultants</a></td>
        <td class="nump">255,119<span></span></td>
        <td class="nump">241,928<span></span></td>
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        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_EquityBasedPaymentToNonEmployeesStockGrants', window );">Common stock issued to consultants</a></td>
        <td class="nump">28,348<span></span></td>
        <td class="nump">25,625<span></span></td>
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        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_CommonStockIssuedToPayInterestOnConvertibleDebentures', window );">Common stock issued to pay interest on convertible debentures</a></td>
        <td class="nump">28,800<span></span></td>
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        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_AmortizationOfIntangibleAssets', window );">Amortization of patents</a></td>
        <td class="nump">70,481<span></span></td>
        <td class="nump">0<span></span></td>
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        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_AmortizedInterestOnPatentAcquisitionObligationsToInterestExpense', window );">Amortized interest on patent acquisition obligations to interest expense</a></td>
        <td class="nump">86,466<span></span></td>
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        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_AmortizationOfDebtDiscountPremium', window );">Amortization of convertible debenture discount to interest expense</a></td>
        <td class="nump">217,316<span></span></td>
        <td class="nump">5,234<span></span></td>
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        <td class="nump">1,320,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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        <td class="num">(2,096)<span></span></td>
        <td class="nump">33,945<span></span></td>
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        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_IncreaseDecreaseInAccountsReceivable', window );">Accounts receivable</a></td>
        <td class="nump">175,000<span></span></td>
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        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_IncreaseDecreaseInPrepaidDeferredExpenseAndOtherAssets', window );">Prepaid expenses and other current assets</a></td>
        <td class="nump">19,347<span></span></td>
        <td class="num">(11,172)<span></span></td>
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        <td class="num">(60,045)<span></span></td>
        <td class="nump">436,142<span></span></td>
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        <td class="num">(161,858)<span></span></td>
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        <td class="num">(1,172,031)<span></span></td>
        <td class="num">(890,010)<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
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        <td class="num">(2,700,000)<span></span></td>
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        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_ProceedsFromSaleOfShortTermInvestments', window );">Proceeds from sales of short-term investments in certificates of deposit</a></td>
        <td class="nump">250,000<span></span></td>
        <td class="nump">500,000<span></span></td>
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        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_PaymentsForProceedsFromOtherInvestingActivities', window );">Other</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="num">(1,330)<span></span></td>
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        <td class="num">(2,450,000)<span></span></td>
        <td class="nump">498,670<span></span></td>
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        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_CashFlowsFromFinancingActivitiesAbstract', window );"><strong>Cash flows from financing activities:</strong></a></td>
        <td class="text">&#xA0;<span></span></td>
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        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_ProceedsFromConvertibleDebt', window );">Proceeds from issuance of convertible debentures</a></td>
        <td class="nump">3,500,000<span></span></td>
        <td class="nump">1,765,000<span></span></td>
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        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_NetCashProvidedByUsedInFinancingActivities', window );">Net cash provided by financing activities</a></td>
        <td class="nump">3,500,000<span></span></td>
        <td class="nump">1,765,000<span></span></td>
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        <td class="num">(122,031)<span></span></td>
        <td class="nump">1,373,660<span></span></td>
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        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_CashAndCashEquivalentsAtCarryingValue', window );">Cash and cash equivalents at beginning of year</a></td>
        <td class="nump">898,172<span></span></td>
        <td class="nump">339,693<span></span></td>
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        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_CashAndCashEquivalentsAtCarryingValue', window );">Cash and cash equivalents at end of period</a></td>
        <td class="nump">776,141<span></span></td>
        <td class="nump">1,713,353<span></span></td>
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        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_SupplementalDisclosureOfFinancingActivitiesAbstract', window );"><strong>Supplemental disclosure of financing activities:</strong></a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_DebtConversionConvertedInstrumentAmount1', window );">Stock Issued upon Conversion</a></td>
        <td class="nump">1,570,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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        <td class="text">&#xA0;<span></span></td>
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        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_SupplementalDisclosureOfFinancingActivitiesAbstract', window );"><strong>Supplemental disclosure of financing activities:</strong></a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_DebtConversionConvertedInstrumentAmount1', window );">Stock Issued upon Conversion</a></td>
        <td class="nump">1,570,000<span></span></td>
        <td class="nump">1,180,000<span></span></td>
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        </td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_SupplementalDisclosureOfFinancingActivitiesAbstract', window );"><strong>Supplemental disclosure of financing activities:</strong></a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_DebtConversionConvertedInstrumentAmount1', window );">Stock Issued upon Conversion</a></td>
        <td class="nump">$ 513,122<span></span></td>
        <td class="nump">$ 214,819<span></span></td>
      </tr>
    </table>
    <div style="display: none;">
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_AmortizedInterestOnPatentAcquisitionObligationsToInterestExpense">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Amortized interest on patent acquisition obligations to interest expense.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
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                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_CashFlowsFromFinancingActivitiesAbstract">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Details</a><div>
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_CashFlowsFromFinancingActivitiesAbstract</nobr></td>
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                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
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                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:stringItemType</td>
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                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
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                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
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                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_CashFlowsFromInvestingActivitiesAbstract">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Details</a><div>
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_CashFlowsFromInvestingActivitiesAbstract</nobr></td>
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                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>copy_</td>
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                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:stringItemType</td>
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                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
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                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
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                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_ChangeInOperatingAssetsAndLiabilitiesAbstract">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Details</a><div>
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_ChangeInOperatingAssetsAndLiabilitiesAbstract</nobr></td>
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                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>copy_</td>
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                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:stringItemType</td>
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                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
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                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_CommonStockIssuedToPayInterestOnConvertibleDebentures">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Common stock issued to pay interest on convertible debentures.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_CommonStockIssuedToPayInterestOnConvertibleDebentures</nobr></td>
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                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>copy_</td>
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                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
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                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_EquityBasedPaymentToNonEmployeesStockGrants">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Equity based payment to nonemployees-stock grants. This element refers to ASC topic 505 subtopic 50, section 50.1</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_EquityBasedPaymentToNonEmployeesStockGrants</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>copy_</td>
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                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_EquityBasedPaymentToNonEmployeesStockOptions">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Equity based payment to non employees-stock options. This element refers to ASC topic 505 subtopic 50, section 50.1.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_EquityBasedPaymentToNonEmployeesStockOptions</nobr></td>
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                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>copy_</td>
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                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
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                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_IncreaseDecreaseInRoyaltiesAndContingentLegalFeesPayable">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The increase (decrease) during the reporting period in the aggregate amount of liabilities incurred for royalties and legal fees.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_IncreaseDecreaseInRoyaltiesAndContingentLegalFeesPayable</nobr></td>
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                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>copy_</td>
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                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
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                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_ReconciliationOfNetLossToNetCashUsedByOperatingActivitiesAbstract">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Details</a><div>
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_ReconciliationOfNetLossToNetCashUsedByOperatingActivitiesAbstract</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>copy_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:stringItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_SupplementalDisclosureOfFinancingActivitiesAbstract">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Details</a><div>
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_SupplementalDisclosureOfFinancingActivitiesAbstract</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>copy_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:stringItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_AmortizationOfDebtDiscountPremium">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Amount of noncash expense included in interest expense to amortize debt discount and premium associated with the related debt instruments. Excludes amortization of financing costs. Alternate captions include noncash interest expense.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 835<br><br> -SubTopic 30<br><br> -Section 45<br><br> -Paragraph 1A<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6451184&amp;loc=d3e28541-108399<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 230<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 28<br><br> -Subparagraph (b)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=31042434&amp;loc=d3e3602-108585<br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 225<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 2<br><br> -Subparagraph (SX 210.5-03.8)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=26872669&amp;loc=d3e20235-122688<br><br><br><br>Reference 4: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 03<br><br> -Paragraph 8<br><br> -Article 5<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_AmortizationOfDebtDiscountPremium</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_AmortizationOfIntangibleAssets">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The aggregate expense charged against earnings to allocate the cost of intangible assets (nonphysical assets not used in production) in a systematic and rational manner to the periods expected to benefit from such assets. As a noncash expense, this element is added back to net income when calculating cash provided by or used in operations using the indirect method.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 230<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 28<br><br> -Subparagraph (b)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=31042434&amp;loc=d3e3602-108585<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 350<br><br> -SubTopic 30<br><br> -Section 45<br><br> -Paragraph 2<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6388964&amp;loc=d3e16225-109274<br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 350<br><br> -SubTopic 30<br><br> -Section 50<br><br> -Paragraph 2<br><br> -Subparagraph (a)(2)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=26713463&amp;loc=d3e16323-109275<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_AmortizationOfIntangibleAssets</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_CashAndCashEquivalentsAtCarryingValue">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Amount of currency on hand as well as demand deposits with banks or financial institutions. Includes other kinds of accounts that have the general characteristics of demand deposits. Also includes short-term, highly liquid investments that are both readily convertible to known amounts of cash and so near their maturity that they present insignificant risk of changes in value because of changes in interest rates. Excludes cash and cash equivalents within disposal group and discontinued operation.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Glossary Cash<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6506951<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Glossary Cash Equivalents<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6507016<br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 02<br><br> -Paragraph 1<br><br> -Article 5<br><br><br><br>Reference 4: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 210<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SX 210.5-02.1)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6877327&amp;loc=d3e13212-122682<br><br><br><br>Reference 5: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 210<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 1<br><br> -Subparagraph (a)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=28358313&amp;loc=d3e6676-107765<br><br><br><br>Reference 6: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 230<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 4<br><br> -URI http://asc.fasb.org/extlink&amp;oid=31042434&amp;loc=d3e3044-108585<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_CashAndCashEquivalentsAtCarryingValue</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_CashAndCashEquivalentsPeriodIncreaseDecrease">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Amount of increase (decrease) in cash and cash equivalents. Cash and cash equivalents are the amount of currency on hand as well as demand deposits with banks or financial institutions. Includes other kinds of accounts that have the general characteristics of demand deposits. Also includes short-term, highly liquid investments that are both readily convertible to known amounts of cash and so near their maturity that they present insignificant risk of changes in value because of changes in interest rates. Includes effect from exchange rate changes.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 230<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 24<br><br> -URI http://asc.fasb.org/extlink&amp;oid=31042434&amp;loc=d3e3521-108585<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 830<br><br> -SubTopic 230<br><br> -Section 45<br><br> -Paragraph 1<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6450594&amp;loc=d3e33268-110906<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_CashAndCashEquivalentsPeriodIncreaseDecrease</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_DebtConversionConvertedInstrumentAmount1">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The value of the financial instrument(s) that the original debt is being converted into in a noncash (or part noncash) transaction. "Part noncash" refers to that portion of the transaction not resulting in cash receipts or cash payments in the period.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 230<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 5<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6367179&amp;loc=d3e4332-108586<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 230<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 3<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6367179&amp;loc=d3e4304-108586<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_DebtConversionConvertedInstrumentAmount1</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_DerivativeGainLossOnDerivativeNet">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Amount of increase (decrease) in the fair value of derivatives recognized in the income statement.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 815<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 4A<br><br> -Subparagraph (b)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=7476318&amp;loc=SL5618551-113959<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 815<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 4C<br><br> -Subparagraph (a),(c),(d),(e)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=7476318&amp;loc=SL5624171-113959<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_DerivativeGainLossOnDerivativeNet</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_IncreaseDecreaseInAccountsPayableAndAccruedLiabilities">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The increase (decrease) during the reporting period in the amounts payable to vendors for goods and services received and the amount of obligations and expenses incurred but not paid.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 230<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 28<br><br> -Subparagraph (a)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=31042434&amp;loc=d3e3602-108585<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_IncreaseDecreaseInAccountsPayableAndAccruedLiabilities</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_IncreaseDecreaseInAccountsReceivable">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The increase (decrease) during the reporting period in amount due within one year (or one business cycle) from customers for the credit sale of goods and services.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 230<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 28<br><br> -Subparagraph (a)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=31042434&amp;loc=d3e3602-108585<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_IncreaseDecreaseInAccountsReceivable</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_IncreaseDecreaseInPrepaidDeferredExpenseAndOtherAssets">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The increase (decrease) during the reporting period in the value of prepaid expenses and other assets not separately disclosed in the statement of cash flows, for example, deferred expenses, intangible assets, or income taxes.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 230<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 28<br><br> -Subparagraph (a)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=31042434&amp;loc=d3e3602-108585<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_IncreaseDecreaseInPrepaidDeferredExpenseAndOtherAssets</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_NetCashProvidedByUsedInFinancingActivities">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Amount of cash inflow (outflow) from financing activities, including discontinued operations. Financing activity cash flows include obtaining resources from owners and providing them with a return on, and a return of, their investment; borrowing money and repaying amounts borrowed, or settling the obligation; and obtaining and paying for other resources obtained from creditors on long-term credit.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 230<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 24<br><br> -URI http://asc.fasb.org/extlink&amp;oid=31042434&amp;loc=d3e3521-108585<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 230<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 26<br><br> -URI http://asc.fasb.org/extlink&amp;oid=31042434&amp;loc=d3e3574-108585<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_NetCashProvidedByUsedInFinancingActivities</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_NetCashProvidedByUsedInInvestingActivities">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Amount of cash inflow (outflow) from investing activities, including discontinued operations. Investing activity cash flows include making and collecting loans and acquiring and disposing of debt or equity instruments and property, plant, and equipment and other productive assets.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 230<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 24<br><br> -URI http://asc.fasb.org/extlink&amp;oid=31042434&amp;loc=d3e3521-108585<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 230<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 26<br><br> -URI http://asc.fasb.org/extlink&amp;oid=31042434&amp;loc=d3e3574-108585<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_NetCashProvidedByUsedInInvestingActivities</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_NetCashProvidedByUsedInOperatingActivities">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Amount of cash inflow (outflow) from operating activities, including discontinued operations. Operating activity cash flows include transactions, adjustments, and changes in value not defined as investing or financing activities.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 230<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 28<br><br> -URI http://asc.fasb.org/extlink&amp;oid=31042434&amp;loc=d3e3602-108585<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 230<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 24<br><br> -URI http://asc.fasb.org/extlink&amp;oid=31042434&amp;loc=d3e3521-108585<br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 230<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 25<br><br> -URI http://asc.fasb.org/extlink&amp;oid=31042434&amp;loc=d3e3536-108585<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_NetCashProvidedByUsedInOperatingActivities</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
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                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_NetIncomeLoss">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The portion of profit or loss for the period, net of income taxes, which is attributable to the parent.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 04<br><br> -Paragraph 20<br><br> -Article 9<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 230<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 28<br><br> -URI http://asc.fasb.org/extlink&amp;oid=31042434&amp;loc=d3e3602-108585<br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Glossary Other Comprehensive Income<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6519514<br><br><br><br>Reference 4: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Glossary Net Income<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6518256<br><br><br><br>Reference 5: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 260<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 1<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6371337&amp;loc=d3e3550-109257<br><br><br><br>Reference 6: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 944<br><br> -SubTopic 225<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SX 210.7-04.19)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6879464&amp;loc=d3e573970-122913<br><br><br><br>Reference 7: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 225<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 2<br><br> -Subparagraph (SX 210.5-03.18)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=26872669&amp;loc=d3e20235-122688<br><br><br><br>Reference 8: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 944<br><br> -SubTopic 225<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SX 210.7-04.22)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6879464&amp;loc=d3e573970-122913<br><br><br><br>Reference 9: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 220<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 6<br><br> -URI http://asc.fasb.org/extlink&amp;oid=28358780&amp;loc=d3e565-108580<br><br><br><br>Reference 10: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 03<br><br> -Paragraph 19<br><br> -Article 5<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_NetIncomeLoss</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_OtherNoncashIncomeExpense">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Other income (expense) included in net income that results in no cash inflows or outflows in the period. Includes noncash adjustments to reconcile net income (loss) to cash provided by (used in) operating activities that are not separately disclosed.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 230<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 28<br><br> -URI http://asc.fasb.org/extlink&amp;oid=31042434&amp;loc=d3e3602-108585<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_OtherNoncashIncomeExpense</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_PaymentsForProceedsFromOtherInvestingActivities">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The net cash outflow or inflow from other investing activities. This element is used when there is not a more specific and appropriate element in the taxonomy.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Glossary Investing Activities<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6516133<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 230<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 8<br><br> -URI http://asc.fasb.org/extlink&amp;oid=31042434&amp;loc=d3e3095-108585<br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 230<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 9<br><br> -URI http://asc.fasb.org/extlink&amp;oid=31042434&amp;loc=d3e3098-108585<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_PaymentsForProceedsFromOtherInvestingActivities</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_PaymentsToAcquireShortTermInvestments">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The cash outflow for securities or other assets acquired, which qualify for treatment as an investing activity and are to be liquidated, if necessary, within the current operating cycle. Includes cash flows from securities classified as trading securities that were acquired for reasons other than sale in the short-term.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Glossary Investing Activities<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6516133<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 230<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 13<br><br> -URI http://asc.fasb.org/extlink&amp;oid=31042434&amp;loc=d3e3213-108585<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_PaymentsToAcquireShortTermInvestments</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_ProceedsFromConvertibleDebt">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The cash inflow from the issuance of a long-term debt instrument which can be exchanged for a specified amount of another security, typically the entity's common stock, at the option of the issuer or the holder.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Glossary Financing Activities<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6513228<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 230<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 14<br><br> -Subparagraph (b)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=31042434&amp;loc=d3e3255-108585<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_ProceedsFromConvertibleDebt</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_ProceedsFromSaleOfShortTermInvestments">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The cash inflow from sales of all investments, including securities and other assets, having ready marketability and intended by management to be liquidated, if necessary, within the current operating cycle. Includes cash flows from securities classified as trading securities that were acquired for reasons other than sale in the short-term.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 230<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 12<br><br> -URI http://asc.fasb.org/extlink&amp;oid=31042434&amp;loc=d3e3179-108585<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Glossary Investing Activities<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6516133<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_ProceedsFromSaleOfShortTermInvestments</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_ShareBasedCompensation">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The aggregate amount of noncash, equity-based employee remuneration. This may include the value of stock or unit options, amortization of restricted stock or units, and adjustment for officers' compensation. As noncash, this element is an add back when calculating net cash generated by operating activities using the indirect method.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 230<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 28<br><br> -Subparagraph (a)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=31042434&amp;loc=d3e3602-108585<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_ShareBasedCompensation</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
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  <head>
    <META http-equiv="Content-Type" content="text/html; charset=us-ascii">
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  <body><span style="display: none;">v2.4.0.8</span><table class="report" border="0" cellspacing="2" id="ID0EX5AE">
      <tr>
        <th class="tl" colspan="1" rowspan="1">
          <div style="width: 200px;"><strong>CONDENSED CONSOLIDATED BALANCE SHEETS (Parentheticals) (USD $)<br></strong></div>
        </th>
        <th class="th">
          <div>Jan. 31, 2014</div>
        </th>
        <th class="th">
          <div>Oct. 31, 2013</div>
        </th>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_FiniteLivedIntangibleAssetsAccumulatedAmortization', window );">Patents, accumulated amortization (in Dollars)</a></td>
        <td class="nump">$ 70,481<span></span></td>
        <td class="text">&nbsp;&nbsp;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_AccumulatedDepreciationDepletionAndAmortizationPropertyPlantAndEquipment', window );">Property and equipment, accumulated depreciation (in Dollars)</a></td>
        <td class="nump">46,382<span></span></td>
        <td class="nump">45,654<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_PreferredStockParOrStatedValuePerShare', window );">Preferred stock par value (in Dollars per share)</a></td>
        <td class="nump">$ 100<span></span></td>
        <td class="nump">$ 100<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_PreferredStockSharesAuthorized', window );">Preferred stock, shares authorized</a></td>
        <td class="nump">500,000<span></span></td>
        <td class="nump">500,000<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_PreferredStockSharesIssued', window );">Preferred stock, shares issued</a></td>
        <td class="nump">0<span></span></td>
        <td class="nump">0<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_PreferredStockSharesOutstanding', window );">Preferred stock, shares outstanding</a></td>
        <td class="nump">0<span></span></td>
        <td class="nump">0<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_CommonStockParOrStatedValuePerShare', window );">Common stock par value (in Dollars per share)</a></td>
        <td class="nump">$ 0.01<span></span></td>
        <td class="nump">$ 0.01<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_CommonStockSharesAuthorized', window );">Common stock, shares authorized</a></td>
        <td class="nump">600,000,000<span></span></td>
        <td class="nump">600,000,000<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_CommonStockSharesIssued', window );">Common stock, shares issued</a></td>
        <td class="nump">210,517,530<span></span></td>
        <td class="nump">209,276,745<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_CommonStockSharesOutstanding', window );">Common stock, shares outstanding</a></td>
        <td class="nump">210,517,530<span></span></td>
        <td class="nump">209,276,745<span></span></td>
      </tr>
      <tr class="rh">
        <td class="pl" style="border-bottom: 0px;" valign="top">
          <div class="a">Convertible Debenture Due January 2015 [Member]</div>
        </td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_ConvertibleDebtDueDateOfDebtMonthAndYear', window );">Convertible debentures due date</a></td>
        <td class="text">January 2015<span></span></td>
        <td class="text">&nbsp;&nbsp;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_DebtInstrumentUnamortizedDiscount', window );">Convertible debentures, discount (in Dollars)</a></td>
        <td class="nump">772,044<span></span></td>
        <td class="text">&nbsp;&nbsp;<span></span></td>
      </tr>
      <tr class="rh">
        <td class="pl" style="border-bottom: 0px;" valign="top">
          <div class="a">Convertible Debenture Due January 2015 [Member]</div>
        </td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_ConvertibleDebtDueDateOfDebtMonthAndYear', window );">Convertible debentures due date</a></td>
        <td class="text">&nbsp;&nbsp;<span></span></td>
        <td class="text">January 2015<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_DebtInstrumentUnamortizedDiscount', window );">Convertible debentures, discount (in Dollars)</a></td>
        <td class="text">&nbsp;&nbsp;<span></span></td>
        <td class="nump">891,402<span></span></td>
      </tr>
      <tr class="rh">
        <td class="pl" style="border-bottom: 0px;" valign="top">
          <div class="a">Convertible Debentures Due November 2016 [Member]</div>
        </td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_ConvertibleDebtDueDateOfDebtMonthAndYear', window );">Convertible debentures due date</a></td>
        <td class="text">November 2016<span></span></td>
        <td class="text">&nbsp;&nbsp;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_DebtInstrumentUnamortizedDiscount', window );">Convertible debentures, discount (in Dollars)</a></td>
        <td class="nump">$ 1,987,978<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
    </table>
    <div style="display: none;">
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_ConvertibleDebtDueDateOfDebtMonthAndYear">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The month and year (YYYY-MM) in which the convertible debt is scheduled to mature.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_ConvertibleDebtDueDateOfDebtMonthAndYear</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>copy_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:stringItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_AccumulatedDepreciationDepletionAndAmortizationPropertyPlantAndEquipment">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Amount of accumulated depreciation, depletion and amortization for physical assets used in the normal conduct of business to produce goods and services.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 360<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 1<br><br> -Subparagraph (c)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6391035&amp;loc=d3e2868-110229<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 210<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SX 210.5-02.14)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6877327&amp;loc=d3e13212-122682<br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 02<br><br> -Paragraph 14<br><br> -Article 5<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_AccumulatedDepreciationDepletionAndAmortizationPropertyPlantAndEquipment</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_CommonStockParOrStatedValuePerShare">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Face amount or stated value per share of common stock.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 210<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SX 210.5-02.29)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6877327&amp;loc=d3e13212-122682<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 02<br><br> -Paragraph 30<br><br> -Article 5<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_CommonStockParOrStatedValuePerShare</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>num:perShareItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_CommonStockSharesAuthorized">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The maximum number of common shares permitted to be issued by an entity's charter and bylaws.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 210<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SX 210.5-02.29)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6877327&amp;loc=d3e13212-122682<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 02<br><br> -Paragraph 30<br><br> -Article 5<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_CommonStockSharesAuthorized</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:sharesItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_CommonStockSharesIssued">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Total number of common shares of an entity that have been sold or granted to shareholders (includes common shares that were issued, repurchased and remain in the treasury). These shares represent capital invested by the firm's shareholders and owners, and may be all or only a portion of the number of shares authorized. Shares issued include shares outstanding and shares held in the treasury.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 210<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SX 210.5-02.29)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6877327&amp;loc=d3e13212-122682<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 02<br><br> -Paragraph 30<br><br> -Article 5<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_CommonStockSharesIssued</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:sharesItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_CommonStockSharesOutstanding">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Number of shares of common stock outstanding. Common stock represent the ownership interest in a corporation.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 04<br><br> -Article 3<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 505<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6928386&amp;loc=d3e21463-112644<br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 505<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SX 210.3-04)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=27012166&amp;loc=d3e187085-122770<br><br><br><br>Reference 4: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 210<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SX 210.5-02.29)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6877327&amp;loc=d3e13212-122682<br><br><br><br>Reference 5: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 02<br><br> -Paragraph 30<br><br> -Article 5<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_CommonStockSharesOutstanding</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:sharesItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_DebtInstrumentUnamortizedDiscount">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The amount of debt discount that was originally recognized at the issuance of the instrument that has yet to be amortized.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 835<br><br> -SubTopic 30<br><br> -Section 45<br><br> -Paragraph 1A<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6451184&amp;loc=d3e28541-108399<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 835<br><br> -SubTopic 30<br><br> -Section 55<br><br> -Paragraph 8<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6584090&amp;loc=d3e28878-108400<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_DebtInstrumentUnamortizedDiscount</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_FiniteLivedIntangibleAssetsAccumulatedAmortization">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Accumulated amount of amortization of assets, excluding financial assets and goodwill, lacking physical substance with a finite life.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 350<br><br> -SubTopic 30<br><br> -Section 50<br><br> -Paragraph 2<br><br> -Subparagraph (a)(1)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=26713463&amp;loc=d3e16323-109275<br><br><br><br></p>
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                <table border="0" cellpadding="0" cellspacing="0">
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            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Face amount or stated value per share of preferred stock nonredeemable or redeemable solely at the option of the issuer.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 210<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SX 210.5-02.28)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6877327&amp;loc=d3e13212-122682<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 02<br><br> -Paragraph 29<br><br> -Article 5<br><br><br><br></p>
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                    <td><strong> Name:</strong></td>
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      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_PreferredStockSharesAuthorized">
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            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The maximum number of nonredeemable preferred shares (or preferred stock redeemable solely at the option of the issuer) permitted to be issued by an entity's charter and bylaws.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 210<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SX 210.5-02.28)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6877327&amp;loc=d3e13212-122682<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 02<br><br> -Paragraph 29<br><br> -Article 5<br><br><br><br></p>
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            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Total number of nonredeemable preferred shares (or preferred stock redeemable solely at the option of the issuer) issued to shareholders (includes related preferred shares that were issued, repurchased, and remain in the treasury). May be all or portion of the number of preferred shares authorized. Excludes preferred shares that are classified as debt.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 210<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SX 210.5-02.28)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6877327&amp;loc=d3e13212-122682<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 02<br><br> -Paragraph 29<br><br> -Article 5<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_PreferredStockSharesIssued</nobr></td>
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            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Aggregate share number for all nonredeemable preferred stock (or preferred stock redeemable solely at the option of the issuer) held by stockholders. Does not include preferred shares that have been repurchased.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 210<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SX 210.5-02.28)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6877327&amp;loc=d3e13212-122682<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 02<br><br> -Paragraph 29<br><br> -Article 5<br><br><br><br></p>
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  <body><span style="display: none;">v2.4.0.8</span><table class="report" border="0" cellspacing="2" id="ID0EME">
      <tr>
        <th class="tl" colspan="1" rowspan="2">
          <div style="width: 200px;"><strong>SEGMENT INFORMATION<br></strong></div>
        </th>
        <th class="th" colspan="1">3 Months Ended</th>
      </tr>
      <tr>
        <th class="th">
          <div>Jan. 31, 2014</div>
        </th>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_SegmentReportingAbstract', window );"><strong>Segment Reporting [Abstract]</strong></a></td>
        <td class="text">&#xA0;<span></span></td>
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        <font style="font-size: 12pt; font-family: times new roman;" lang="EN-US">10.&#160;&#160;&#160;&#160;&#160;&#160;</font> <u><font style="font-size: 12pt; font-family: times new roman;" lang="EN-US">SEGMENT INFORMATION</font></u><font style="font-size: 12pt; font-family: times new roman;" lang="EN-US">&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160; &#160;</font>
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        <font style="font-size: 12pt; font-family: times new roman;" lang="EN-US">We follow the accounting guidance of ASC 280 &#8220;Segment Reporting&#8221; (&#8220;ASC 280&#8221;).&#160; Reportable operating segments are determined based on management&#8217;s approach.&#160; The management approach, as defined by ASC 280, is based on the way that the chief operating decision-maker organizes the segments within an enterprise for making operating decisions and assessing performance. &#160;The chief operating decision-maker manages the enterprise as a single segment which includes the licensing and enforcement of patents.</font>
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            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Details</a><div>
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            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The entire disclosure for reporting segments including data and tables. Reportable segments include those that meet any of the following quantitative thresholds a) it's reported revenue, including sales to external customers and intersegment sales or transfers is 10 percent or more of the combined revenue, internal and external, of all operating segments b) the absolute amount of its reported profit or loss is 10 percent or more of the greater, in absolute amount of 1) the combined reported profit of all operating segments that did not report a loss or 2) the combined reported loss of all operating segments that did report a loss c) its assets are 10 percent or more of the combined assets of all operating segments.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
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              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
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  <body><span style="display: none;">v2.4.0.8</span><table class="report" border="0" cellspacing="2" id="ID0ENGAE">
      <tr>
        <th class="tl" colspan="1" rowspan="2">
          <div style="width: 200px;"><strong>Document And Entity Information<br></strong></div>
        </th>
        <th class="th" colspan="1">3 Months Ended</th>
        <th class="th" colspan="1"></th>
      </tr>
      <tr>
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          <div>Jan. 31, 2014</div>
        </th>
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          <div>Mar. 12, 2014</div>
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        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_DocumentAndEntityInformationAbstract', window );"><strong>Document and Entity Information [Abstract]</strong></a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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      <tr class="ro">
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        <td class="text">COPYTELE INC<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_dei_DocumentType', window );">Document Type</a></td>
        <td class="text">10-Q<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_dei_CurrentFiscalYearEndDate', window );">Current Fiscal Year End Date</a></td>
        <td class="text">--10-31<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_dei_EntityCommonStockSharesOutstanding', window );">Entity Common Stock, Shares Outstanding</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">212,957,900<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_dei_AmendmentFlag', window );">Amendment Flag</a></td>
        <td class="text">false<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_dei_EntityCentralIndexKey', window );">Entity Central Index Key</a></td>
        <td class="text">0000715446<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_dei_EntityCurrentReportingStatus', window );">Entity Current Reporting Status</a></td>
        <td class="text">Yes<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_dei_EntityVoluntaryFilers', window );">Entity Voluntary Filers</a></td>
        <td class="text">No<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_dei_EntityFilerCategory', window );">Entity Filer Category</a></td>
        <td class="text">Smaller Reporting Company<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_dei_EntityWellKnownSeasonedIssuer', window );">Entity Well-known Seasoned Issuer</a></td>
        <td class="text">No<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_dei_DocumentPeriodEndDate', window );">Document Period End Date</a></td>
        <td class="text">Jan. 31,
				 2014<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_dei_DocumentFiscalYearFocus', window );">Document Fiscal Year Focus</a></td>
        <td class="text">2014<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_dei_DocumentFiscalPeriodFocus', window );">Document Fiscal Period Focus</a></td>
        <td class="text">Q1<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
    </table>
    <div style="display: none;">
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_DocumentAndEntityInformationAbstract">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Details</a><div>
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_DocumentAndEntityInformationAbstract</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>copy_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:stringItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_dei_AmendmentFlag">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>If the value is true, then the document is an amendment to previously-filed/accepted document.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>dei_AmendmentFlag</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>dei_</td>
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                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:booleanItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_dei_CurrentFiscalYearEndDate">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>End date of current fiscal year in the format --MM-DD.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>dei_CurrentFiscalYearEndDate</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>dei_</td>
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                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:gMonthDayItemType</td>
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                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
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                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
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                </table>
              </div>
            </div>
          </td>
        </tr>
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      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_dei_DocumentFiscalPeriodFocus">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>This is focus fiscal period of the document report. For a first quarter 2006 quarterly report, which may also provide financial information from prior periods, the first fiscal quarter should be given as the fiscal period focus. Values: FY, Q1, Q2, Q3, Q4, H1, H2, M9, T1, T2, T3, M8, CY.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>dei_DocumentFiscalPeriodFocus</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>dei_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>dei:fiscalPeriodItemType</td>
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                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
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                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
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                </table>
              </div>
            </div>
          </td>
        </tr>
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      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_dei_DocumentFiscalYearFocus">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
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        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>This is focus fiscal year of the document report in CCYY format. For a 2006 annual report, which may also provide financial information from prior periods, fiscal 2006 should be given as the fiscal year focus. Example: 2006.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>dei_DocumentFiscalYearFocus</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>dei_</td>
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                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:gYearItemType</td>
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                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
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                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
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                </table>
              </div>
            </div>
          </td>
        </tr>
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      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_dei_DocumentPeriodEndDate">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The end date of the period reflected on the cover page if a periodic report. For all other reports and registration statements containing historical data, it is the date up through which that historical data is presented.  If there is no historical data in the report, use the filing date. The format of the date is CCYY-MM-DD.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>dei_DocumentPeriodEndDate</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>dei_</td>
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                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:dateItemType</td>
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                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
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                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
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                </table>
              </div>
            </div>
          </td>
        </tr>
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      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_dei_DocumentType">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The type of document being provided (such as 10-K, 10-Q, 485BPOS, etc). The document type is limited to the same value as the supporting SEC submission type, or the word "Other".</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>dei_DocumentType</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>dei_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>dei:submissionTypeItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_dei_EntityCentralIndexKey">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>A unique 10-digit SEC-issued value to identify entities that have filed disclosures with the SEC. It is commonly abbreviated as CIK.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation 12B<br><br> -Number 240<br><br> -Section 12b<br><br> -Subsection 1<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>dei_EntityCentralIndexKey</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>dei_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>dei:centralIndexKeyItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_dei_EntityCommonStockSharesOutstanding">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Indicate number of shares or other units outstanding of each of registrant's classes of capital or common stock or other ownership interests, if and as stated on cover of related periodic report. Where multiple classes or units exist define each class/interest by adding class of stock items such as Common Class A [Member], Common Class B [Member] or Partnership Interest [Member] onto the Instrument [Domain] of the Entity Listings, Instrument.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>dei_EntityCommonStockSharesOutstanding</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>dei_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:sharesItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_dei_EntityCurrentReportingStatus">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Indicate "Yes" or "No" whether registrants (1) have filed all reports required to be filed by Section 13 or 15(d) of the Securities Exchange Act of 1934 during the preceding 12 months (or for such shorter period that registrants were required to file such reports), and (2) have been subject to such filing requirements for the past 90 days. This information should be based on the registrant's current or most recent filing containing the related disclosure.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>dei_EntityCurrentReportingStatus</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>dei_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>dei:yesNoItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_dei_EntityFilerCategory">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Indicate whether the registrant is one of the following: (1) Large Accelerated Filer, (2) Accelerated Filer, (3) Non-accelerated Filer, (4) Smaller Reporting Company (Non-accelerated) or (5) Smaller Reporting Accelerated Filer. Definitions of these categories are stated in Rule 12b-2 of the Exchange Act. This information should be based on the registrant's current or most recent filing containing the related disclosure.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>dei_EntityFilerCategory</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>dei_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>dei:filerCategoryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_dei_EntityRegistrantName">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The exact name of the entity filing the report as specified in its charter, which is required by forms filed with the SEC.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation 12B<br><br> -Number 240<br><br> -Section 12b<br><br> -Subsection 1<br><br><br><br></p>
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          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
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            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Indicate "Yes" or "No" if the registrant is not required to file reports pursuant to Section 13 or Section 15(d) of the Act.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
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                <p>Indicate "Yes" or "No" if the registrant is a well-known seasoned issuer, as defined in Rule 405 of the Securities Act. Is used on Form Type: 10-K, 10-Q, 8-K, 20-F, 6-K, 10-K/A, 10-Q/A, 20-F/A, 6-K/A, N-CSR, N-Q, N-1A.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
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  <body><span style="display: none;">v2.4.0.8</span><table class="report" border="0" cellspacing="2" id="ID0EME">
      <tr>
        <th class="tl" colspan="1" rowspan="2">
          <div style="width: 200px;"><strong>COMMITMENT AND CONTINGENCES<br></strong></div>
        </th>
        <th class="th" colspan="1">3 Months Ended</th>
      </tr>
      <tr>
        <th class="th">
          <div>Jan. 31, 2014</div>
        </th>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_CommitmentsAndContingenciesDisclosureAbstract', window );"><strong>Commitments and Contingencies Disclosure [Abstract]</strong></a></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_CommitmentsAndContingenciesDisclosureTextBlock', window );">Commitments and Contingencies Disclosure [Text Block]</a></td>
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        <font style="font-size: 12pt; font-family: times new roman;" lang="EN-US">11.&#160;&#160;&#160;&#160;&#160;&#160;</font> <u><font style="font-size: 12pt; font-family: times new roman;" lang="EN-US">COMMITMENT AND CONTINGENCES</font></u><font style="font-size: 12pt; font-family: times new roman;" lang="EN-US">&#160; &#160;</font>
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        <u><font style="letter-spacing: 0pt; font-size: 12pt; font-family: Times New Roman;" lang="EN-US" color="black">Patent Acquisition Obligations</font></u>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="letter-spacing: 0pt; font-size: 12pt; text-decoration: none; font-family: Times New Roman;" lang="EN-US" color="black">As of January 31, 2014, we have incurred obligations due no later than November 2017 related to the acquisition of patents, which have a discounted present value of approximately $2,937,000, and which amount will be reduced by royalties paid during the period.&#160;The payment due in November 2017 is payable at the option of the Company in cash or common stock.</font>
      </p><br/><p style="MARGIN: 0in 0in 0pt">
          <u><font style="font-size: 12pt; font-family: times new roman;" lang="EN-US">Litigation Matters</font></u>
        </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">On January 28, 2013, we filed a lawsuit in the United States Federal District Court for the Northern District of California against AUO and E Ink in connection with the AUO License Agreements, alleging breach of contract and other charges, and are seeking compensatory, punitive, and treble damages.&#160;&#160;In addition to numerous material breaches by AUO of the AUO License Agreements, the Complaint alleges that AUO and E Ink conspired to obtain rights to CopyTele&#8217;s</font><b><font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US"></font></b><font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">ePaper&#174; Electrophoretic Display technology, and CopyTele&#8217;s Nano Field Emission Display technology.&#160;CopyTele alleges that such activities violated several State and Federal anti-trust and unfair competition statutes for which punitive and/or treble damages are applicable.&#160;
        We can give no assurance as to the potential outcome of this litigation.&#160; However, it is reasonably possible that the Company will not prevail on its damages claims in arbitration.&#160; Pursuant to the terms of the related arbitration agreement, the Company may be liable for AUO&#8217;s attorney&#8217;s fees, which may exceed $1 million, if the Company does not prevail.</font>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">The operations of the Company involved patent licensing and enforcement in connection with the unauthorized use of patented technologies.&#160;&#160; In connection with any of our patent enforcement actions, it is possible that a defendant may request and/or a court may rule that we have violated statutory authority, regulatory authority, federal rules, local court rules, or governing standards relating to the substantive or procedural aspects of such enforcement actions.&#160;&#160;In such event, a court may issue monetary sanctions against us or award attorney's fees and/or expenses to a defendant(s), which could be material.</font>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="letter-spacing: 0pt; font-size: 12pt; text-decoration: none; font-family: Times New Roman;" lang="EN-US" color="windowtext">Other than the foregoing, we are not a party to any material pending legal proceedings.&#160;We are party to claims and complaints that arise in the ordinary course of business.&#160;We believe that any liability that may ultimately result from the resolution of these matters will not, individually or in the aggregate, have a material adverse effect on our financial position or results of operations.</font>
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            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The entire disclosure for commitments and contingencies.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 210<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SX 210.5-02.25)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6877327&amp;loc=d3e13212-122682<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 825<br><br> -SubTopic 20<br><br> -Section 50<br><br> -Paragraph 1<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6449706&amp;loc=d3e16207-108621<br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 460<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 8<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6398077&amp;loc=d3e12565-110249<br><br><br><br>Reference 4: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 450<br><br> -SubTopic 20<br><br> -Section 50<br><br> -Paragraph 4<br><br> -URI http://asc.fasb.org/extlink&amp;oid=25496072&amp;loc=d3e14435-108349<br><br><br><br>Reference 5: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 440<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6394976&amp;loc=d3e25287-109308<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
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<TEXT>
<html>
  <head>
    <META http-equiv="Content-Type" content="text/html; charset=us-ascii">
    <link rel="StyleSheet" type="text/css" href="report.css"><script type="text/javascript" src="Show.js">/* Do Not Remove This Comment */</script></head>
  <body><span style="display: none;">v2.4.0.8</span><table class="report" border="0" cellspacing="2" id="ID0EZSAE">
      <tr>
        <th class="tl" colspan="1" rowspan="2">
          <div style="width: 200px;"><strong>CONDENSED CONSOLIDATED STATEMENTS OF OPERATIONS AND COMPREHENSIVE LOSS (UNAUDITED) (USD $)<br></strong></div>
        </th>
        <th class="th" colspan="2">3 Months Ended</th>
      </tr>
      <tr>
        <th class="th">
          <div>Jan. 31, 2014</div>
        </th>
        <th class="th">
          <div>Jan. 31, 2013</div>
        </th>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_RevenueFromPatentAssertionActivities', window );">Revenue from patent assertion activities</a></td>
        <td class="text">&nbsp;&nbsp;<span></span></td>
        <td class="text">&nbsp;&nbsp;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_OperatingCostsAndExpensesAbstract', window );"><strong>Operating costs and expenses:</strong></a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_LitigationAndLicensingExpenses', window );">Litigation and licensing expenses</a></td>
        <td class="nump">33,198<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_SellingGeneralAndAdministrativeExpense', window );">Marketing, general and administrative expenses (including non-cash stock option compensation expense of $720,638 and $714,203, respectively)</a></td>
        <td class="nump">1,931,545<span></span></td>
        <td class="nump">2,072,799<span></span></td>
      </tr>
      <tr class="reu">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_CostsAndExpenses', window );">Total operating costs and expenses</a></td>
        <td class="nump">1,964,743<span></span></td>
        <td class="nump">2,072,799<span></span></td>
      </tr>
      <tr class="rou">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_OperatingIncomeLoss', window );">Loss from operations</a></td>
        <td class="num">(1,964,743)<span></span></td>
        <td class="num">(2,072,799)<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_DerivativeGainLossOnDerivativeNet', window );">Change in value of derivative liabilities</a></td>
        <td class="num">(1,320,000)<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_InterestExpense', window );">Interest expense</a></td>
        <td class="num">(378,665)<span></span></td>
        <td class="num">(22,195)<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_InvestmentIncomeDividend', window );">Dividend Income</a></td>
        <td class="nump">47,568<span></span></td>
        <td class="text">&nbsp;&nbsp;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_InvestmentIncomeInterest', window );">Interest income</a></td>
        <td class="nump">1,412<span></span></td>
        <td class="nump">7<span></span></td>
      </tr>
      <tr class="reu">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_IncomeLossFromContinuingOperationsBeforeIncomeTaxesMinorityInterestAndIncomeLossFromEquityMethodInvestments', window );">Loss before income taxes</a></td>
        <td class="num">(3,614,428)<span></span></td>
        <td class="num">(2,094,987)<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_IncomeTaxExpenseBenefit', window );">Provision for income taxes</a></td>
        <td class="text">&nbsp;&nbsp;<span></span></td>
        <td class="text">&nbsp;&nbsp;<span></span></td>
      </tr>
      <tr class="reu">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_NetIncomeLoss', window );">Net loss</a></td>
        <td class="num">(3,614,428)<span></span></td>
        <td class="num">(2,094,987)<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_OtherComprehensiveIncomeUnrealizedHoldingGainLossOnSecuritiesArisingDuringPeriodNetOfTax', window );">Unrealized gain (loss) on investment in Videocon Industries Limited global depository receipts</a></td>
        <td class="num">(210,914)<span></span></td>
        <td class="nump">1,002,216<span></span></td>
      </tr>
      <tr class="reu">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_ComprehensiveIncomeNetOfTax', window );">Total comprehensive loss</a></td>
        <td class="num">$ (3,825,342)<span></span></td>
        <td class="num">$ (1,092,771)<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_NetLossPerShareAbstract', window );"><strong>Net loss per share:</strong></a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_EarningsPerShareBasicAndDiluted', window );">Basic and diluted (in Dollars per share)</a></td>
        <td class="num">$ (0.02)<span></span></td>
        <td class="num">$ (0.01)<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_WeightedAverageCommonSharesOutstandingAbstract', window );"><strong>Weighted average common shares outstanding:</strong></a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_WeightedAverageNumberOfShareOutstandingBasicAndDiluted', window );">Basic and diluted (in Shares)</a></td>
        <td class="nump">210,232,227<span></span></td>
        <td class="nump">184,998,059<span></span></td>
      </tr>
    </table>
    <div style="display: none;">
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        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Litigation and licensing expenses.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_LitigationAndLicensingExpenses</nobr></td>
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          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_NetLossPerShareAbstract">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Details</a><div>
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_NetLossPerShareAbstract</nobr></td>
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                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
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        </tr>
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      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_RevenueFromPatentAssertionActivities">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Amount of revenue recognized from patent assertion activities.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_RevenueFromPatentAssertionActivities</nobr></td>
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                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
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              </div>
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          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_WeightedAverageCommonSharesOutstandingAbstract">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Details</a><div>
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_WeightedAverageCommonSharesOutstandingAbstract</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>copy_</td>
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                    <td><strong> Data Type:</strong></td>
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                  <tr>
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                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_ComprehensiveIncomeNetOfTax">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Amount after tax of increase (decrease) in equity from transactions and other events and circumstances from net income and other comprehensive income, attributable to parent entity. Excludes changes in equity resulting from investments by owners and distributions to owners.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Glossary Other Comprehensive Income<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6519514<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Glossary Comprehensive Income<br><br> -URI http://asc.fasb.org/extlink&amp;oid=16317811<br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 220<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 5<br><br> -URI http://asc.fasb.org/extlink&amp;oid=28358780&amp;loc=d3e557-108580<br><br><br><br>Reference 4: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Glossary Net Income<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6518256<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_ComprehensiveIncomeNetOfTax</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_CostsAndExpenses">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Total costs of sales and operating expenses for the period.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 225<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 2<br><br> -Subparagraph (SX 210.5-03)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=26872669&amp;loc=d3e20235-122688<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_CostsAndExpenses</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_DerivativeGainLossOnDerivativeNet">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Amount of increase (decrease) in the fair value of derivatives recognized in the income statement.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 815<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 4A<br><br> -Subparagraph (b)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=7476318&amp;loc=SL5618551-113959<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 815<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 4C<br><br> -Subparagraph (a),(c),(d),(e)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=7476318&amp;loc=SL5624171-113959<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_DerivativeGainLossOnDerivativeNet</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_EarningsPerShareBasicAndDiluted">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The amount of net income or loss for the period per each share in instances when basic and diluted earnings per share are the same amount and reported as a single line item on the face of the financial statements.  Basic earnings per share is the amount of net income or loss for the period per each share of common stock or unit outstanding during the reporting period.  Diluted earnings per share includes the amount of net income or loss for the period available to each share of common stock or common unit outstanding during the reporting period and to each share or unit that would have been outstanding assuming the issuance of common shares or units for all dilutive potential common shares or units outstanding during the reporting period.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_EarningsPerShareBasicAndDiluted</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>num:perShareItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_IncomeLossFromContinuingOperationsBeforeIncomeTaxesMinorityInterestAndIncomeLossFromEquityMethodInvestments">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Sum of operating profit and nonoperating income or expense before Income or Loss from equity method investments, income taxes, extraordinary items, and noncontrolling interest.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 235<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SX 210.4-08.(h)(1)(i))<br><br> -URI http://asc.fasb.org/extlink&amp;oid=26873400&amp;loc=d3e23780-122690<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_IncomeLossFromContinuingOperationsBeforeIncomeTaxesMinorityInterestAndIncomeLossFromEquityMethodInvestments</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_IncomeTaxExpenseBenefit">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Amount of current income tax expense (benefit) and deferred income tax expense (benefit) pertaining to continuing operations.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 235<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SX 210.4-08.(h))<br><br> -URI http://asc.fasb.org/extlink&amp;oid=26873400&amp;loc=d3e23780-122690<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 08<br><br> -Paragraph h<br><br> -Article 4<br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Glossary Income Tax Expense (or Benefit)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6515339<br><br><br><br>Reference 4: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 740<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 9<br><br> -Subparagraph (a),(b)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6907707&amp;loc=d3e32639-109319<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_IncomeTaxExpenseBenefit</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_InterestExpense">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Amount of the cost of borrowed funds accounted for as interest expense.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 835<br><br> -SubTopic 20<br><br> -Section 50<br><br> -Paragraph 1<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6450988&amp;loc=d3e26243-108391<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 942<br><br> -SubTopic 225<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SX 210.9-04.9)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6879574&amp;loc=d3e536633-122882<br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 04<br><br> -Paragraph 9<br><br> -Article 9<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_InterestExpense</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_InvestmentIncomeDividend">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Amount of dividend income on nonoperating securities.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 03<br><br> -Paragraph 7<br><br> -Article 5<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 225<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 2<br><br> -Subparagraph (SX 210.5-03.7(a))<br><br> -URI http://asc.fasb.org/extlink&amp;oid=26872669&amp;loc=d3e20235-122688<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
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                  <tr>
                    <td><strong> Name:</strong></td>
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          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Amount before accretion (amortization) of purchase discount (premium) of interest income on nonoperating securities.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 03<br><br> -Paragraph 7<br><br> -Article 5<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 225<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 2<br><br> -Subparagraph (SX 210.5-03.7(b))<br><br> -URI http://asc.fasb.org/extlink&amp;oid=26872669&amp;loc=d3e20235-122688<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
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                  <tr>
                    <td><strong> Name:</strong></td>
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        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
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        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The portion of profit or loss for the period, net of income taxes, which is attributable to the parent.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 04<br><br> -Paragraph 20<br><br> -Article 9<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 230<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 28<br><br> -URI http://asc.fasb.org/extlink&amp;oid=31042434&amp;loc=d3e3602-108585<br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Glossary Other Comprehensive Income<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6519514<br><br><br><br>Reference 4: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Glossary Net Income<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6518256<br><br><br><br>Reference 5: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 260<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 1<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6371337&amp;loc=d3e3550-109257<br><br><br><br>Reference 6: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 944<br><br> -SubTopic 225<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SX 210.7-04.19)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6879464&amp;loc=d3e573970-122913<br><br><br><br>Reference 7: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 225<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 2<br><br> -Subparagraph (SX 210.5-03.18)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=26872669&amp;loc=d3e20235-122688<br><br><br><br>Reference 8: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 944<br><br> -SubTopic 225<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SX 210.7-04.22)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6879464&amp;loc=d3e573970-122913<br><br><br><br>Reference 9: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 220<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 6<br><br> -URI http://asc.fasb.org/extlink&amp;oid=28358780&amp;loc=d3e565-108580<br><br><br><br>Reference 10: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 03<br><br> -Paragraph 19<br><br> -Article 5<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_NetIncomeLoss</nobr></td>
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            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Details</a><div>
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
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          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
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        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The net result for the period of deducting operating expenses from operating revenues.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
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      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_OtherComprehensiveIncomeUnrealizedHoldingGainLossOnSecuritiesArisingDuringPeriodNetOfTax">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
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        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Amount after tax, before reclassification adjustments, of unrealized holding gain (loss) on available-for-sale securities.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 220<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 11<br><br> -URI http://asc.fasb.org/extlink&amp;oid=28358780&amp;loc=d3e637-108580<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 220<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 10A<br><br> -Subparagraph (e)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=28358780&amp;loc=SL7669646-108580<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_OtherComprehensiveIncomeUnrealizedHoldingGainLossOnSecuritiesArisingDuringPeriodNetOfTax</nobr></td>
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                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
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          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
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        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The aggregate total costs related to selling a firm's product and services, as well as all other general and administrative expenses. Direct selling expenses (for example, credit, warranty, and advertising) are expenses that can be directly linked to the sale of specific products. Indirect selling expenses are expenses that cannot be directly linked to the sale of specific products, for example telephone expenses, Internet, and postal charges. General and administrative expenses include salaries of non-sales personnel, rent, utilities, communication, etc.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 225<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 2<br><br> -Subparagraph (SX 210.5-03.4)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=26872669&amp;loc=d3e20235-122688<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 03<br><br> -Paragraph 4<br><br> -Article 5<br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 330<br><br> -SubTopic 10<br><br> -Section 30<br><br> -Paragraph 8<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6386349&amp;loc=d3e3636-108311<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_SellingGeneralAndAdministrativeExpense</nobr></td>
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            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Average number of shares or units issued and outstanding that are used in calculating basic and diluted earnings per share (EPS).</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
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  <body><span style="display: none;">v2.4.0.8</span><table class="report" border="0" cellspacing="2" id="ID0EME">
      <tr>
        <th class="tl" colspan="1" rowspan="2">
          <div style="width: 200px;"><strong>INVESTMENTS<br></strong></div>
        </th>
        <th class="th" colspan="1">3 Months Ended</th>
      </tr>
      <tr>
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          <div>Jan. 31, 2014</div>
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        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_invest_InvestmentsScheduleAbstract', window );"><strong>Investments Schedule [Abstract]</strong></a></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_invest_InvestmentTextBlock', window );">Investment [Text Block]</a></td>
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        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US" color="black">5.&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;</font> <u><font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US" color="black">INVESTMENTS&#160;</font></u>
      </p><br/><p style="TEXT-ALIGN: justify; MARGIN: 0in 0in 0pt">
        <u><font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US" color="black">Short-term Investments</font></u>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">At January 31, 2014, we had marketable securities consisting of</font> <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US" color="black">certificates of deposit</font> <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">of approximately $2,450,000, which were classified as</font> <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US" color="black">"available-for-sale securities" and reported at fair value.</font> <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">&#160;</font>
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        <u><font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US" color="black">Investment in Videocon</font></u>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">Our investment in Videocon is classified as an "available-for-sale security" and reported at fair value, with unrealized gains and losses excluded from operations and reported as a component of accumulated other comprehensive income (loss) in shareholders&#8217; equity.&#160; The original cost basis of $16,200,000 was determined using the specific identification method.&#160; The fair value of the Videocon GDRs is based on the price on the Luxembourg Stock Exchange, which price is based on the underlying price of Videocon&#8217;s equity shares which are traded on stock exchanges in India with prices quoted in rupees.&#160;&#160;</font>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">ASC 320 &#8220;Investments-Debt and Equity Securities&#8221; (&#8220;ASC 320&#8221;) and SEC guidance on other than temporary impairments of certain investments in equity securities requires an evaluation to determine if the decline in fair value of an investment is either temporary or other than temporary.&#160; Unless evidence exists to support a realizable value equal to or greater than the carrying cost of the investment, an other than temporary impairment should be recorded.&#160; At each reporting period we assess our investment in Videocon to determine if a decline that is other than temporary has occurred. &#160;In evaluating our investment in Videocon at October 31, 2013, we determined that based on both the duration and the continuing magnitude of the market price decline compared to the carrying cost basis of approximately $5,382,000, and the uncertainty of its recovery, a write-down of the investment
        of approximately $1,185,000 should be recorded as of October 31, 2013, and a new cost basis of approximately $4,197,000 should be established.&#160;&#160; An other than temporary impairment of approximately $12,003,000, on a cumulative basis, has been recorded as of October 31, 2013.</font>
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        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">&#160;The fair value of investment in Videocon as of January 31, 2014 and October 31, 2013, and the unrealized loss for the three month period ended January 31, 2014, are as follows:</font>
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              <p style="TEXT-ALIGN: justify; MARGIN: 0in 0in 0pt">
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                <font style="font-size: 12pt; font-family: Times New Roman;">Investment in</font>
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              <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                <font style="font-size: 12pt; font-family: Times New Roman;">Videocon</font>
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          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 5.4pt; PADDING-RIGHT: 5.4pt; PADDING-TOP: 0in" valign="top" width="86%">
              <p style="TEXT-ALIGN: justify; MARGIN: 0in 0in 0pt">
                <font style="font-size: 12pt; font-family: Times New Roman;" color="black">Fair Value as of October 31, 2013</font>
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              <p style="TEXT-ALIGN: justify; MARGIN: 0in 0in 0pt">
                <font style="font-size: 12pt; font-family: Times New Roman;" color="black">$</font>
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                <font style="font-size: 12pt; font-family: Times New Roman;" color="#000000">4,197,341</font>
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          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 5.4pt; PADDING-RIGHT: 5.4pt; PADDING-TOP: 0in" valign="top" width="86%">
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                <font style="font-size: 12pt; font-family: Times New Roman;" color="black">Unrealized loss</font>
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              <p style="TEXT-ALIGN: justify; MARGIN: 0in 0in 0pt">
                <font style="font-size: 12pt; font-family: Times New Roman;" color="black"></font>&#160;
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            <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 5.4pt; PADDING-RIGHT: 5.4pt; PADDING-TOP: 0in" valign="top" width="12%" align="right">
              <p style="MARGIN: 0in 0in 0pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;" color="#000000">210,914</font>
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          <tr>
            <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 5.4pt; PADDING-RIGHT: 5.4pt; PADDING-TOP: 0in" valign="top" width="86%">
              <p style="TEXT-ALIGN: justify; MARGIN: 0in 0in 0pt">
                <font style="font-size: 12pt; font-family: Times New Roman;" color="black">Fair Value as of January 31, 2014</font>
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              <p style="TEXT-ALIGN: justify; MARGIN: 0in 0in 0pt">
                <font style="font-size: 12pt; font-family: Times New Roman;" color="black">$</font>
              </p>
            </td>
            <td style="BORDER-BOTTOM: windowtext 2pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 5.4pt; PADDING-RIGHT: 5.4pt; PADDING-TOP: 0in" valign="top" width="12%" align="right">
              <p style="MARGIN: 0in 0in 0pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;" color="#000000">&#160;3,926,427</font>
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        <u><font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">Investment in ZQX Advisors, LLC</font></u>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">In August 2009, we entered into an Engagement Agreement with ZQX Advisors, LLC (&#8220;ZQX&#8221;) to assist us in seeking business opportunities and licenses for our electrophoretic display technology.&#160; Concurrently with entering into the Engagement Agreement, we acquired a 19.5% ownership interest in ZQX.&#160; On January 21, 2013, we terminated the Engagement Agreement with ZQX, but currently retain our 19.5% interest in ZQX. We have classified our interest in ZQX of approximately $48,000 as a reduction of additional paid-in capital within shareholders&#8217; deficiency since this investment in ZQX consists entirely of our equity securities.&#160;</font>
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                <p>The entire disclosure for investments, including all tables.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Article 6<br><br> -Section 10<br><br> -Paragraph (c)<br><br> -Subparagraph (1)<br><br><br><br></p>
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  <body><span style="display: none;">v2.4.0.8</span><table class="report" border="0" cellspacing="2" id="ID0EME">
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          <div style="width: 200px;"><strong>FAIR VALUE MEASUREMENTS<br></strong></div>
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          <div>Jan. 31, 2014</div>
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        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">4.&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;</font> <u><font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">FAIR VALUE MEASUREMENTS</font></u>
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        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US" color="black">ASC 820 &#8220;Fair Value Measurements and Disclosures&#8221; (&#8220;ASC 820&#8221;)</font> <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">defines fair value, establishes a framework for measuring fair value under GAAP, and expands disclosures about fair value measurements.&#160; In accordance with ASC 820, we have categorized our financial assets, based on the priority of the inputs to the valuation technique, into a three-level fair value hierarchy as set forth below.&#160; If the inputs used to measure the financial instruments fall within different levels of the hierarchy, the categorization is based on the lowest level input that is significant to the fair value measurement of the instrument.</font>
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        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">Financial assets and liabilities recorded in the accompanying condensed consolidated balance sheets are categorized based on the inputs to the valuation techniques as follows:</font>
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        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">Level 1 - Financial instruments whose values are based on unadjusted quoted prices for identical assets or liabilities in an active market which we have the ability to access at the measurement date.</font>
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        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">Level 2 - Financial instruments whose values are based on quoted market prices in markets where trading occurs infrequently or whose values are based on quoted prices of instruments with similar attributes in active markets.&#160;</font>
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        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">Level 3 &#8211; Financial instruments whose values are based on prices or valuation techniques that require inputs that are both unobservable and significant to the overall fair value measurement.&#160;These inputs reflect management&#8217;s own assumptions about the assumptions a market participant would use in pricing the instruments.</font>
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        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">The following table presents the hierarchy for our financial assets measured at fair value on a recurring basis as of January 31, 2014:</font>
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                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="black">&#160;</font><font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="black">&#160;&#160;</font>
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                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="black"></font>&#160;
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                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;">Total</font>
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                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="black"></font>&#160;
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                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="black"></font>&#160;
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                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="black"></font>&#160;
                </p>
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                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="black"></font>&#160;
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                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="black"></font>&#160;
                </p>
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                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="black"></font>&#160;
                </p>
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                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="black"></font>
                </p>
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                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="black"></font>&#160;
                </p>
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                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="black"></font>&#160;
                </p>
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                </p>
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                <p style="MARGIN: 0in 0in 0pt">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="black">Money market funds &#8211; Cash and cash equivalents</font>
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              <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="top" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="black"></font>&#160;
                </p>
              </td>
              <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="top" width="11%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="black">-</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="top" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="black"></font>&#160;
                </p>
              </td>
              <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="top" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="black"></font>&#160;
                </p>
              </td>
              <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="top" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="black">3,986,427</font>
                </p>
              </td>
            </tr>
            <tr style="HEIGHT: 15.95pt">
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="top" width="43%">
                <p style="MARGIN: 0in 0in 0pt 10pt">
                  <font style="font-size: 12pt; font-family: times new roman;" color="black">Total financial assets</font>
                </p>
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              <td style="BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="top" width="2%">
                <p style="MARGIN: 0in 0in 0pt">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="black">$</font>
                </p>
              </td>
              <td style="BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="top" width="11%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="black">7,212,568</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="top" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="black"></font>&#160;
                </p>
              </td>
              <td style="BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="top" width="2%">
                <p style="MARGIN: 0in 0in 0pt">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="black">$</font>
                </p>
              </td>
              <td style="BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="top" width="11%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="black">-</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="top" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="black"></font>&#160;
                </p>
              </td>
              <td style="BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="top" width="2%">
                <p style="MARGIN: 0in 0in 0pt">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="black">$</font>
                </p>
              </td>
              <td style="BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="top" width="11%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="black">-</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="top" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="black"></font>&#160;
                </p>
              </td>
              <td style="BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="top" width="2%">
                <p style="MARGIN: 0in 0in 0pt">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="black">$</font>
                </p>
              </td>
              <td style="BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="top" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="black">7,212,568</font>
                </p>
              </td>
            </tr>
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        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US"><br />
        The following table presents the hierarchy for our financial assets measured at fair value on a recurring basis as of October 31, 2013:</font>
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                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="12%" colspan="2">
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                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>
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                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;">Level 1</font>
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              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="12%" colspan="2">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>
                </p>
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;">Level 2</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="12%" colspan="2">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>
                </p>
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;">Level 3</font>
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              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="12%" colspan="2">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>
                </p>
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;">Total</font>
                </p>
              </td>
            </tr>
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              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="46%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>
                </p>
              </td>
            </tr>
            <tr style="HEIGHT: 15.25pt">
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="46%">
                <p style="MARGIN: 0in 0in 0pt">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">Money market funds &#8211; Cash and cash equivalents</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="MARGIN: 0in 0in 0pt">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">$</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">898,172</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="MARGIN: 0in 0in 0pt">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">$</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">-</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="MARGIN: 0in 0in 0pt">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">$</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">-</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="MARGIN: 0in 0in 0pt">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">$</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">898,172</font>
                </p>
              </td>
            </tr>
            <tr style="HEIGHT: 15.25pt">
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="46%">
                <p style="MARGIN: 0in 0in 0pt">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">Videocon Industries Limited global depository receipts</font>
                </p>
              </td>
              <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
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                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">4,197,341</font>
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              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
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                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">-</font>
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                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
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                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
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                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">-</font>
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              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
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              </td>
              <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
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              </td>
              <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">4,197,341</font>
                </p>
              </td>
            </tr>
            <tr style="HEIGHT: 15.95pt">
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="46%">
                <p style="MARGIN: 0in 0in 0pt 10pt">
                  <font style="font-size: 12pt; font-family: times new roman;" color="#000000">Total financial assets</font>
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                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">$</font>
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                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">5,095,513</font>
                </p>
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              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
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              </td>
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                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
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              </td>
              <td style="BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="10%">
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                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">-</font>
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              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
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              </td>
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                <p style="MARGIN: 0in 0in 0pt">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">$</font>
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              </td>
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                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">-</font>
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              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
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                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">$</font>
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                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">5,095,513</font>
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              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="top" width="46%">
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                </p>
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                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="black"></font>&#160;
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                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="black"></font>&#160;
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                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="black"></font>&#160;
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                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
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                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="black"></font>&#160;
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                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="black"></font>&#160;
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                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="black"></font>&#160;
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          <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">The following table presents the hierarchy for our financial liabilities measured at fair value on a recurring basis as of January 31, 2014:</font>
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          <tr style="HEIGHT: 14.5pt">
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="24%">
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                <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
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                <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
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                <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
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                <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
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                <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
              </p>
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                <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
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                <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
              </p>
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                <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
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          <tr style="HEIGHT: 15.25pt">
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="24%">
              <p style="MARGIN: 0in 0in 0pt">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">&#160;&#160;</font>
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            <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="18%" colspan="2">
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                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;">Level 1</font>
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            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="3%">
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                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
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            <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="17%" colspan="2">
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              <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;">Level 2</font>
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            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="3%">
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            </td>
            <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="17%" colspan="2">
              <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>
              </p>
              <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;">Level 3</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="3%">
              <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
              </p>
            </td>
            <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="15%" colspan="2">
              <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>
              </p>
              <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;">Total</font>
              </p>
            </td>
          </tr>
          <tr style="HEIGHT: 15.25pt">
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="24%">
              <p style="MARGIN: 0in 0in 0pt">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="4%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="14%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="3%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="4%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="13%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="3%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="4%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="13%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="3%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="3%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>
              </p>
            </td>
          </tr>
          <tr style="HEIGHT: 15.25pt">
            <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="24%">
              <p style="MARGIN: 0in 0in 0pt">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">Derivative liability</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="4%">
              <p style="MARGIN: 0in 0in 0pt">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">$</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="14%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">-</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="3%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="4%">
              <p style="MARGIN: 0in 0in 0pt">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">$</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="13%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">-</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="3%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="4%">
              <p style="MARGIN: 0in 0in 0pt">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">$</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="13%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">3,430,000</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="3%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="3%">
              <p style="MARGIN: 0in 0in 0pt">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">$</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">3,430,000</font>
              </p>
            </td>
          </tr>
          <tr style="HEIGHT: 15.25pt">
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="24%">
              <p style="MARGIN: 0in 0in 0pt">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">Patent acquisition obligation</font>
              </p>
            </td>
            <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="4%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
              </p>
            </td>
            <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="14%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">-</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="3%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
              </p>
            </td>
            <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="4%">
              <p style="MARGIN: 0in 0in 0pt">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
              </p>
            </td>
            <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="13%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">-</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="3%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
              </p>
            </td>
            <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="4%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
              </p>
            </td>
            <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="13%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">2,936,977</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="3%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
              </p>
            </td>
            <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="3%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
              </p>
            </td>
            <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">2,936,977</font>
              </p>
            </td>
          </tr>
          <tr style="HEIGHT: 15.95pt">
            <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="24%">
              <p style="TEXT-ALIGN: left; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">Total</font>
              </p>
            </td>
            <td style="BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="4%">
              <p style="MARGIN: 0in 0in 0pt">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">$</font>
              </p>
            </td>
            <td style="BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="14%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">-</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="3%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
              </p>
            </td>
            <td style="BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="4%">
              <p style="MARGIN: 0in 0in 0pt">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">$</font>
              </p>
            </td>
            <td style="BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="13%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">-</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="3%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
              </p>
            </td>
            <td style="BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="4%">
              <p style="MARGIN: 0in 0in 0pt">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">$</font>
              </p>
            </td>
            <td style="BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="13%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">6,366,977</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="3%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
              </p>
            </td>
            <td style="BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="3%">
              <p style="TEXT-ALIGN: left; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">$</font>
              </p>
            </td>
            <td style="BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">6,366,977</font>
              </p>
            </td>
          </tr>
        </table><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">The following table presents the hierarchy for our financial liabilities measured at fair value on a recurring basis as of October 31, 2013:</font>
      </p><br/><table style="WIDTH: 50%" border="0" cellspacing="0" cellpadding="0">
            <tr style="HEIGHT: 15.25pt">
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="42%">
                <p style="MARGIN: 0in 0in 0pt">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">&#160;&#160;</font>
                </p>
              </td>
              <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="13%" colspan="2">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>
                </p>
                <p style="MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;">Level 1</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="13%" colspan="2">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>
                </p>
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;">Level 2</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="13%" colspan="2">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>
                </p>
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;">Level 3</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="13%" colspan="2">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>
                </p>
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;">Total</font>
                </p>
              </td>
            </tr>
            <tr style="HEIGHT: 15.25pt">
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="42%">
                <p style="MARGIN: 0in 0in 0pt">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="11%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="11%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="11%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="11%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>
                </p>
              </td>
            </tr>
            <tr style="HEIGHT: 15.95pt">
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="42%">
                <p style="MARGIN: 0in 0in 0pt">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">Derivative liability</font>
                </p>
              </td>
              <td style="BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="MARGIN: 0in 0in 0pt">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">$</font>
                </p>
              </td>
              <td style="BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="11%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">-</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="MARGIN: 0in 0in 0pt">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">$</font>
                </p>
              </td>
              <td style="BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="11%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">-</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="MARGIN: 0in 0in 0pt">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">$</font>
                </p>
              </td>
              <td style="BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="11%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">540,000</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="MARGIN: 0in 0in 0pt">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">$</font>
                </p>
              </td>
              <td style="BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="11%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">540,000</font>
                </p>
              </td>
            </tr>
          </table><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 40.5pt; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">The following table sets forth a summary of the changes in the fair value of the Company&#8217;s Level 3 financial liabilities that are measured at fair value on a recurring basis:</font>
      </p><br/><table style="width: 50%;" border="0" cellspacing="0" cellpadding="0">

        <tr>
          <td style="padding-bottom: 0in; padding-left: 5.4pt; padding-right: 5.4pt; padding-top: 0in;" valign="top" width="83%">
            <p style="text-align: justify; margin: 0in 0in 0pt;">
              &#160;
            </p>
            <p style="text-align: justify; margin: 0in 0in 0pt;">
              &#160;
            </p>
          </td>
          <td style="border-bottom: #000000 1px solid;" colspan="2" valign="top" width="17%">
            <p style="text-align: center; margin: 0in 0in 0pt;" align="center">
              &#160;
            </p>
            <p style="text-align: center; margin: 0in 0in 0pt;" align="center">
              <font style="font-size: 12pt; font-family: Times New Roman;">For the Three Months</font>
            </p>
            <p style="text-align: center; margin: 0in 0in 0pt;" align="center">
              <font style="font-size: 12pt; font-family: Times New Roman;">Ended January 31, 2014</font>
            </p>
          </td>
        </tr>
        <tr valign="bottom">
          <td style="padding-bottom: 0in; background-color: #cceeff; padding-left: 5.4pt; padding-right: 5.4pt; padding-top: 0in;" valign="top" width="83%">
            <p style="text-align: justify; margin: 0in 0in 0pt;">
              <font style="font-size: 12pt; font-family: Times New Roman;">Beginning balance</font>
            </p>
          </td>
          <td style="background-color: #cceeff;" valign="top" width="2%">
            <p style="margin: 0in 0in 0pt;">
              &#160;
            </p><font style="font-size: 12pt; font-family: Times New Roman;">$</font>
          </td>
          <td style="padding: 0in 5.4pt; background-color: #cceeff; width: 15%;" align="right" valign="bottom">
            <p style="margin: 0in 0in 0pt;" align="right">
              <font style="font-size: 12pt; font-family: Times New Roman;">&#160;540,000</font>
            </p>
          </td>
        </tr>
        <tr valign="bottom">
          <td style="padding-bottom: 0in; padding-left: 5.4pt; padding-right: 5.4pt; padding-top: 0in;" valign="top" width="83%">
            <p style="text-align: justify; margin: 0in 0in 0pt;">
              <font style="font-size: 12pt; font-family: Times New Roman;">Fair value of patent acquistion obligation<br />
              </font>
            </p>
          </td>
          <td valign="top" width="2%">
            &#160;
          </td>
          <td style="padding: 0in 5.4pt; width: 15%;" align="right" valign="bottom">
            <p style="margin: 0in 0in 0pt;" align="right">
              <font style="font-size: 12pt; font-family: Times New Roman;">2,936,977</font>
            </p>
          </td>
        </tr>
        <tr valign="bottom">
          <td style="padding-bottom: 0in; background-color: #cceeff; padding-left: 5.4pt; padding-right: 5.4pt; padding-top: 0in;" valign="top" width="83%">
            <p style="text-align: justify; margin: 0in 0in 0pt;">
              <font style="font-size: 12pt; font-family: Times New Roman;"><font style="font-size: 12pt; font-family: Times New Roman;">Aggregate fair value of bifurcated conversion feature issued</font></font>
            </p>
          </td>
          <td style="background-color: #cceeff; width: 2%;" valign="top">
            &#160;
          </td>
          <td style="padding: 0in 5.4pt; background-color: #cceeff; width: 15%;" align="right" valign="bottom">
            <p style="margin: 0in 0in 0pt;" align="right">
              <font style="font-size: 12pt; font-family: Times New Roman;"><font style="font-size: 12pt; font-family: Times New Roman;">1,570,000</font></font>
            </p>
          </td>
        </tr>
        <tr>
          <td style="padding-bottom: 0in; padding-left: 5.4pt; padding-right: 5.4pt; padding-top: 0in;" valign="top" width="83%">
            <p style="text-align: justify; margin: 0in 0in 0pt;">
              <font style="font-size: 12pt; font-family: Times New Roman;"><font style="font-size: 12pt; font-family: Times New Roman;">Change in fair value of bifurcated conversion feature</font></font>
            </p>
          </td>
          <td style="border-bottom: #000000 1px solid; ; width: 2%;" valign="top">
            <p style="margin: 0in 0in 0pt;">
              &#160;
            </p><font style="font-size: 12pt; font-family: Times New Roman;">$</font>
          </td>
          <td style="border-bottom: #000000 1px solid; ; padding: 0in 5.4pt; width: 15%;" align="right" valign="bottom">
            <p style="margin: 0in 0in 0pt; text-align: right;">
              <font style="font-size: 12pt; font-family: Times New Roman;">&#160;<font style="font-size: 12pt; font-family: Times New Roman;">1,320,000</font></font>
            </p>
          </td>
        </tr>
        <tr>
          <td style="padding-bottom: 0in; background-color: #cceeff; padding-left: 5.4pt; padding-right: 5.4pt; padding-top: 0in;" valign="top" width="83%">
            <font style="font-size: 12pt; font-family: Times New Roman;"><font style="font-size: 12pt; font-family: Times New Roman;">Ending balance</font></font>
          </td>
          <td style="background-color: #cceeff; border-bottom: #000000 3px double;" valign="top" width="2%">
            <font style="font-size: 12pt; font-family: Times New Roman;">$</font>
          </td>
          <td style="border-bottom: #000000 3px double; padding: 0in 5.4pt; width: 15%;" align="right" valign="bottom">
            <p style="margin: 0in 0in 0pt; text-align: right;">
              <font style="font-size: 12pt; font-family: Times New Roman;">&#160;<font style="font-size: 12pt; font-family: Times New Roman;">3,430,000</font></font>
            </p>
          </td>
        </tr>

    </table><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">The bifurcated conversion feature is accounted for as a derivative liability and is measured at fair value using a Monte Carlo simulation model and is classified within Level 3 of the valuation hierarchy.&#160; The patent acquisition obligation is measured at fair value based on a discounted present value and is classified within Level 3 of the valuation hierarchy.</font>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">The significant assumptions and valuation methods that the Company used to determine fair value and the change in fair value of the Company&#8217;s derivative financial instrument are discussed in Note 2 &#8220;Convertible Debentures&#8221;. The development and determination of the unobservable inputs for Level 3 fair value measurements and fair value calculations are the responsibility of the Company&#8217;s Principal Financial Officer with support from the Company&#8217;s consultants.&#160;</font>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 6pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">In accordance with the provisions of ASC 815, the Company presents the bifurcated conversion feature liability at fair value in its condensed consolidated balance sheet, with the corresponding changes in fair value, if any, recorded in the Company&#8217;s condensed statements of operations for the applicable reporting periods. &#160;As disclosed in Note 2, the Company computed the fair value of the derivative liability at the date of</font> <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">issuance and the reporting date of January 31, 2014 using the Monte Carlo simulation model.</font>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 6pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">The Company developed the assumptions that were used as follows: The stock price on the valuation date of the Company&#8217;s common stock was derived from the trading history of the Company&#8217;s common stock.&#160; The stock premium for liquidity was computed as the premium required to adjust for the effect of the additional time that it would be expected to take for the market to absorb the converted shares and warrant exercises, given the Company&#8217;s current trading volume.&#160; The term represents the remaining contractual term of the derivative; the volatility rate was developed based on analysis of the Company&#8217;s historical volatility</font><b><font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">;&#160;</font></b> <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">the risk free interest rate was obtained from publicly available US Treasury yield curve rates; the
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      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">Our non financial assets that are measured on a non-recurring basis include our property and equipment which are measured using fair value techniques whenever events or changes in circumstances indicate a condition of impairment exists.&#160; The estimated fair value of accounts payable and accrued liabilities approximates their individual carrying amounts due to the short term nature of these measurements.&#160; It is impractical to determine the fair value of the loan receivable and loan payable to the related party given the nature of these loans.&#160; The convertible debentures have been reported net of the discount for the beneficial conversion features and related warrants.&#160; Cash and cash equivalents are stated at carrying value which approximates fair value. &#160;These assets and liabilities were not presented in the preceding table.</font>
      </p><br/><span></span></td>
      </tr>
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                <p>The entire disclosure for the fair value of financial instruments (as defined), including financial assets and financial liabilities (collectively, as defined), and the measurements of those instruments as well as disclosures related to the fair value of non-financial assets and liabilities. Such disclosures about the financial instruments, assets, and liabilities would include: (1) the fair value of the required items together with their carrying amounts (as appropriate); (2) for items for which it is not practicable to estimate fair value, disclosure would include: (a) information pertinent to estimating fair value (including, carrying amount, effective interest rate, and maturity, and (b) the reasons why it is not practicable to estimate fair value; (3) significant concentrations of credit risk including: (a) information about the activity, region, or economic characteristics identifying a concentration, (b) the maximum amount of loss the entity is exposed to based on the gross fair value of the related item, (c) policy for requiring collateral or other security and information as to accessing such collateral or security, and (d) the nature and brief description of such collateral or security; (4) quantitative information about market risks and how such risks are managed; (5) for items measured on both a recurring and nonrecurring basis information regarding the inputs used to develop the fair value measurement; and (6) for items presented in the financial statement for which fair value measurement is elected: (a) information necessary to understand the reasons for the election, (b) discussion of the effect of fair value changes on earnings, (c) a description of [similar groups] items for which the election is made and the relation thereof to the balance sheet, the aggregate carrying value of items included in the balance sheet that are not eligible for the election; (7) all other required (as defined) and desired information.</p>
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                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 825<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 21<br><br> -URI http://asc.fasb.org/extlink&amp;oid=28364263&amp;loc=d3e13537-108611<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 825<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 10<br><br> -URI http://asc.fasb.org/extlink&amp;oid=28364263&amp;loc=d3e13433-108611<br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 825<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 28<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6957238&amp;loc=d3e14064-108612<br><br><br><br>Reference 4: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 820<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -URI http://asc.fasb.org/extlink&amp;oid=25499696&amp;loc=d3e19207-110258<br><br><br><br>Reference 5: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 825<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 30<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6957238&amp;loc=d3e14172-108612<br><br><br><br>Reference 6: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 825<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 16<br><br> -URI http://asc.fasb.org/extlink&amp;oid=28364263&amp;loc=d3e13504-108611<br><br><br><br></p>
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  <body><span style="display: none;">v2.4.0.8</span><table class="report" border="0" cellspacing="2" id="ID0EME">
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                <p>Tabular disclosure of the (a) carrying value as of the balance sheet date of liabilities incurred (and for which invoices have typically been received) and payable to vendors for goods and services received that are used in an entity's business (accounts payable); (b) other payables; and (c) accrued liabilities. Examples include taxes, interest, rent and utilities. Used to reflect the current portion of the liabilities (due within one year or within the normal operating cycle if longer). An alternative caption includes accrued expenses.</p>
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          <div style="width: 200px;"><strong>CONVERTIBLE DEBENTURES (Tables)<br></strong></div>
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                <font style="font-size: 12pt; font-family: Times New Roman;">1,180,000</font>
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                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
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              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
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          <tr>
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                <font style="font-size: 12pt; font-family: Times New Roman;">214,819</font>
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              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
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              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
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                <font style="font-size: 12pt; font-family: Times New Roman;">1,394,819</font>
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                <font style="line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;"></font>&#160;
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              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
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                <font style="font-size: 12pt; font-family: Times New Roman;">(1,394,819)</font>
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                <font style="font-size: 12pt; font-family: Times New Roman;">Proceeds attributable to the Convertible Debenture due January 2015</font>
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              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
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              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
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            <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0.8pt 0pt 0in">
                <font style="line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;"></font>&#160;
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              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">370,181</font>
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                <font style="font-size: 12pt; font-family: Times New Roman;">Face value of Convertible Debenture due November 2016</font>
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              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
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              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
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              <p style="TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in" align="right">
                <font style="line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;"></font>&#160;
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            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">$</font>
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              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">3,500,000&#160;</font>
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              <p style="MARGIN: 0in 0in 0pt 11.5pt">
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                <font style="font-size: 12pt; font-family: Times New Roman;">$</font>
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              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">1,570,000</font>
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              <p style="TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in" align="right">
                <font style="line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;"></font>&#160;
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            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
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            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="13%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="67%">
              <p style="MARGIN: 0in 0in 0pt 11.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Relative fair value of Convertible Debenture Warrant</font>
              </p>
            </td>
            <td style="BORDER-BOTTOM: black 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="BORDER-BOTTOM: black 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="14%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">515,936</font>
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            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in" align="right">
                <font style="line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="13%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="67%">
              <p style="MARGIN: 0in 0in 0pt 11.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Discount</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">$</font>
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            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="14%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">2,085,936</font>
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            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in" align="right">
                <font style="line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="13%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">(2,085,936)</font>
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            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="67%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Proceeds attributable to the Convertible Debenture due November 2016</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="14%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0.8pt 0pt 0in">
                <font style="line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
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            <td style="BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">$</font>
              </p>
            </td>
            <td style="BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="13%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">1,414,064</font>
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          </tr>
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      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_ScheduleOfDebtIssuanceCostTableTextBlock', window );">Schedule of Debt Issuance Cost [Table Text Block]</a></td>
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            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt 1.5pt" align="center">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
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              <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt 1.5pt" align="center">
                <font style="font-size: 12pt; font-family: Times New Roman;">Accounting Treatment</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt 1.5pt" align="center">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
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              </p>
              <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt 1.5pt" align="center">
                <font style="font-size: 12pt; font-family: Times New Roman;">Amount</font>
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            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="36%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="38%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="20%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="36%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">The embedded conversion feature (derivative)</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0.8pt 0pt 0in">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="38%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Expensed as incurred</font>
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            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">$</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="20%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">55, 999</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="36%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">The 8% Convertible Debenture Warrant</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="38%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Charged to additional paid-in capital</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="20%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">10,194</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="36%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="38%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="20%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="top" width="36%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">The 8% Convertible Debenture</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="top" width="38%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Recorded as deferred issuance costs and amortized under the interest method over the term of the 8% Convertible Debenture</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0.8pt 0pt 0in">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0.8pt 0pt 0in">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="20%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">17,567</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="36%">
              <p style="MARGIN: 0in 0in 0pt 11.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Total</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="38%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="BORDER-BOTTOM: windowtext 2pt double; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">$</font>
              </p>
            </td>
            <td style="BORDER-BOTTOM: windowtext 2pt double; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="20%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">83,760</font>
              </p>
            </td>
          </tr>
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          <tr>
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            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt 1.5pt" align="center">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="BORDER-BOTTOM: black 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="40%">
              <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt 1.5pt" align="center">
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            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt 1.5pt" align="center">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="BORDER-BOTTOM: black 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="18%" colspan="2">
              <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt 1.5pt" align="center">
                <font style="line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
              <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt 1.5pt" align="center">
                <font style="font-size: 12pt; font-family: Times New Roman;">Amount</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="38%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="40%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="16%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="38%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">The embedded conversion feature (derivative)</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0.8pt 0pt 0in">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="40%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Expensed as incurred</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">$</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="16%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">8,593</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="38%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">The 8% Convertible Debenture Warrant</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="40%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Charged to additional paid-in capital</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="16%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">2,824</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="38%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="40%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="16%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="top" width="38%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">The 8% Convertible Debenture</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="top" width="40%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Recorded as deferred issuance costs and amortized under the interest method over the term of the 8% Convertible Debenture</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0.8pt 0pt 0in">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0.8pt 0pt 0in">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="16%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">7,739</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="38%">
              <p style="MARGIN: 0in 0in 0pt 11.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Total</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="40%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="BORDER-BOTTOM: windowtext 2pt double; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">$</font>
              </p>
            </td>
            <td style="BORDER-BOTTOM: windowtext 2pt double; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="16%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">19,156</font>
              </p>
            </td>
          </tr>
        </table><span></span></td>
      </tr>
      <tr class="rh">
        <td class="pl" style="border-bottom: 0px;" valign="top">
          <div class="a">Embeded Derivatives Conversion Features [Member]</div>
        </td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_CONVERTIBLEDEBENTURESTablesLineItems', window );"><strong>CONVERTIBLE DEBENTURES (Tables) [Line Items]</strong></a></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_ScheduleOfAssumptionsForFairValueAsOfBalanceSheetDateOfInterestsContinuedToBeHeldByTransferorServicingAssetsOrServicingLiabilitiesTextBlock', window );">Schedule of Assumptions for Fair Value as of Balance Sheet Date of Assets or Liabilities that relate to Transferor's Continuing Involvement [Table Text Block]</a></td>
        <td class="text"><table style="WIDTH: 50%; BORDER-COLLAPSE: collapse; MARGIN-LEFT: 47.1pt" border="0" cellspacing="0" cellpadding="0">
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="BORDER-BOTTOM: black 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="14%" colspan="2">
              <p style="TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in" align="center">
                <font style="font-size: 12pt; font-family: Times New Roman;">As of</font>
              </p>
              <p style="TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in" align="center">
                <font style="font-size: 12pt; font-family: Times New Roman;">January 25,</font>
              </p>
              <p style="TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in" align="center">
                <font style="font-size: 12pt; font-family: Times New Roman;">2013</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="top" width="14%" colspan="2">
              <p style="MARGIN: 0in 0in 0pt">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Stock price on valuation date</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">$</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">0.21</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Conversion price</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">$</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">0.15</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Stock premium for liquidity</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">57%</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Term (years)</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">2.00</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Expected volatility</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">110%</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Weighted average risk-free interest rate</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">0.3%</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Trials</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">100,000</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Aggregate fair value</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">$</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">1,180,000</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: white; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: white; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: white; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
          </tr>
        </table><table style="WIDTH: 50%; BORDER-COLLAPSE: collapse; MARGIN-LEFT: 47.1pt" border="0" cellspacing="0" cellpadding="0">
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="BORDER-BOTTOM: black 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="14%" colspan="2">
              <p style="TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in" align="center">
                <font style="line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
              <p style="TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in" align="center">
                <font style="font-size: 12pt; font-family: Times New Roman;">As of</font>
              </p>
              <p style="TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in" align="center">
                <font style="font-size: 12pt; font-family: Times New Roman;">January 31,</font>
              </p>
              <p style="TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in" align="center">
                <font style="font-size: 12pt; font-family: Times New Roman;">2014</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="top" width="14%" colspan="2">
              <p style="MARGIN: 0in 0in 0pt">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Stock price used for valuation</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 3.7pt 0pt 0in" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">$</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">0.303</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Conversion price</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 3.7pt 0pt 0in" align="right">
                <font style="line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">0.15</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Discount for marketability</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in" align="right">
                <font style="line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">38.3%</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Term (years)</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in" align="right">
                <font style="line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">1.00</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Expected volatility</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in" align="right">
                <font style="line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">87.7%</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Weighted average risk-free interest rate</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in" align="right">
                <font style="line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">0.1%</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Trials</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 3.7pt 0pt 0in" align="right">
                <font style="line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">100,000</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Aggregate fair value</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 3.7pt 0pt 0in" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">$</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">1,020,000</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: white; PADDING-TOP: 0in" width="86%">
              <p style="MARGIN: 0in 0.8pt 0pt 0in">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: white; PADDING-TOP: 0in" width="2%">
              <p style="MARGIN: 0in 0in 0pt">
                <font style="line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: white; PADDING-TOP: 0in" width="12%">
              <p style="MARGIN: 0in 0.8pt 0pt 0in">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
          </tr>
        </table><table style="WIDTH: 50%; BORDER-COLLAPSE: collapse; MARGIN-LEFT: 6.75pt; MARGIN-RIGHT: 6.75pt" border="0" cellspacing="0" cellpadding="0">
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="BORDER-BOTTOM: black 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="14%" colspan="2">
              <p style="TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in" align="center">
                <font style="font-size: 12pt; font-family: Times New Roman;">As of</font>
              </p>
              <p style="TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in" align="center">
                <font style="font-size: 12pt; font-family: Times New Roman;">November 11,</font>
              </p>
              <p style="TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in" align="center">
                <font style="font-size: 12pt; font-family: Times New Roman;">2013</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="top" width="14%" colspan="2">
              <p style="MARGIN: 0in 0in 0pt">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Stock price on valuation date</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">$</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">0.20</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Conversion price</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">$</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">0.189</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Discount for lack of marketability</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">35.5%</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Term (years)</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
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              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Expected volatility</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">102.8%</font>
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            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Weighted average risk-free interest rate</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">0.62%</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Trials</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">100,000</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Aggregate fair value</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">$</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">1,570,000</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: white; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: white; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: white; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
          </tr>
        </table><table style="WIDTH: 50%; MARGIN-LEFT: 47.1pt" border="0" cellspacing="0" cellpadding="0">
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="BORDER-BOTTOM: black 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="14%" colspan="2">
              <p style="TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in" align="center">
                <font style="line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
              <p style="TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in" align="center">
                <font style="font-size: 12pt; font-family: Times New Roman;">January 31,</font>
              </p>
              <p style="TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in" align="center">
                <font style="font-size: 12pt; font-family: Times New Roman;">2014</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="top" width="14%" colspan="2">
              <p style="MARGIN: 0in 0in 0pt">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Stock price used for valuation</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 3.7pt 0pt 0in" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">$</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">0.303</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Conversion price</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 3.7pt 0pt 0in" align="right">
                <font style="line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">0.189</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Discount for lack of marketability</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in" align="right">
                <font style="line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">38.3%</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Term (years)</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in" align="right">
                <font style="line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">2.8</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Expected volatility</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in" align="right">
                <font style="line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">105%</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Weighted average risk-free interest rate</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0.8pt 0pt 0in" align="right">
                <font style="line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">0.6%</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Trials</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 3.7pt 0pt 0in" align="right">
                <font style="line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">100,000</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Aggregate fair value</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 3.7pt 0pt 0in" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">$</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">2,410,000</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: white; PADDING-TOP: 0in" width="86%">
              <p style="MARGIN: 0in 0.8pt 0pt 0in">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: white; PADDING-TOP: 0in" width="2%">
              <p style="MARGIN: 0in 0in 0pt">
                <font style="line-height: 0.05pt; font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: white; PADDING-TOP: 0in" width="12%">
              <p style="MARGIN: 0in 0.8pt 0pt 0in">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
          </tr>
        </table><span></span></td>
      </tr>
      <tr class="rh">
        <td class="pl" style="border-bottom: 0px;" valign="top">
          <div class="a">Convertible Debenture Warrant [Member]</div>
        </td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_CONVERTIBLEDEBENTURESTablesLineItems', window );"><strong>CONVERTIBLE DEBENTURES (Tables) [Line Items]</strong></a></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_ScheduleOfAssumptionsForFairValueAsOfBalanceSheetDateOfInterestsContinuedToBeHeldByTransferorServicingAssetsOrServicingLiabilitiesTextBlock', window );">Schedule of Assumptions for Fair Value as of Balance Sheet Date of Assets or Liabilities that relate to Transferor's Continuing Involvement [Table Text Block]</a></td>
        <td class="text"><table style="WIDTH: 50%; BORDER-COLLAPSE: collapse; MARGIN-LEFT: 47.1pt" border="0" cellspacing="0" cellpadding="0">
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="BORDER-BOTTOM: black 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="14%" colspan="2">
              <p style="TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in" align="center">
                <font style="font-size: 12pt; font-family: Times New Roman;">As of</font>
              </p>
              <p style="TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in" align="center">
                <font style="font-size: 12pt; font-family: Times New Roman;">January 25,</font>
              </p>
              <p style="TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in" align="center">
                <font style="font-size: 12pt; font-family: Times New Roman;">2013</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="top" width="14%" colspan="2">
              <p style="MARGIN: 0in 0in 0pt">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Stock price on valuation date</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">$</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">0.21</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Exercise price</font>
              </p>
            </td>
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              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">$</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">0.30</font>
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          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
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            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
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            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">38%</font>
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          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Term (years)</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">3.00</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Warrant exercise trigger price</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">41%</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Expected volatility</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">95%</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Weighted average risk-free interest rate</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">0.4%</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
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            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">5,882,745</font>
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          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Aggregate fair value</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">$</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">370,000</font>
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              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="BORDER-BOTTOM: black 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="14%" colspan="2">
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              <p style="TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in" align="center">
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              </p>
              <p style="TEXT-ALIGN: center; MARGIN: 0in 1.8pt 0pt 0in" align="center">
                <font style="font-size: 12pt; font-family: Times New Roman;">2013</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="top" width="14%" colspan="2">
              <p style="MARGIN: 0in 0in 0pt">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
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          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Stock price on valuation date</font>
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            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">$</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">0.20</font>
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Exercise price</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">$</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">0.378</font>
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          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Discount for lack of marketability</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">22%</font>
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          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Term (years)</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">3.00</font>
              </p>
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          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Expected volatility</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">102.8%</font>
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          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Weighted average risk-free interest rate</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">0.6%</font>
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          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
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            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
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            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">9,249,472</font>
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          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="86%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">Aggregate fair value</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0in 0pt 1.5pt">
                <font style="font-size: 12pt; font-family: Times New Roman;">$</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; BACKGROUND: #cceeff; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 1.7pt 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;">740,000</font>
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          </tr>
          <tr>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="top" width="86%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="top" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 0in; PADDING-RIGHT: 0in; PADDING-TOP: 0in" valign="top" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt 1.5pt" align="right">
                <font style="font-size: 12pt; font-family: Times New Roman;"></font>&#160;
              </p>
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                <p>Tabular disclosure of the cost related to issuance of debt.</p>
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                <p>No definition available.</p>
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                <p>Tabular disclosure of borrowings which can be exchanged for a specified number of another security at the option of the issuer or the holder. Disclosures include, but are not limited to, principal amount, amortized premium or discount, and amount of liability and equity components.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
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                <p>Tabular disclosure of all information related to the key inputs and assumptions (including, at a minimum, but not limited to, and if applicable, quantitative information about discount rates, expected prepayments including the expected weighted-average life of prepayable financial assets, and anticipated credit losses) used in measuring the fair value of assets or liabilities that relate to the transferor's continuing involvement with transferred financial assets, as of the balance sheet date.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 860<br><br> -SubTopic 20<br><br> -Section 50<br><br> -Paragraph 4<br><br> -Subparagraph (b)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=13989330&amp;loc=d3e107314-111719<br><br><br><br></p>
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  <body><span style="display: none;">v2.4.0.8</span><table class="report" border="0" cellspacing="2" id="ID0EME">
      <tr>
        <th class="tl" colspan="1" rowspan="2">
          <div style="width: 200px;"><strong>EFFECT OF RECENTLY ADOPTED AND ISSUED PRONOUNCEMENTS<br></strong></div>
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          <div>Jan. 31, 2014</div>
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        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_NewAccountingPronouncementsAndChangesInAccountingPrinciplesAbstract', window );"><strong>New Accounting Pronouncements and Changes in Accounting Principles [Abstract]</strong></a></td>
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        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">8.&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;</font> <u><font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">EFFECT OF RECENTLY ADOPTED AND ISSUED PRONOUNCEMENTS</font></u>
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        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">In December 2011, the Financial Accounting Standards Board (&#8220;FASB&#8221;) issued Accounting Standards Update 2011-12 (&#8220;ASU 2011-12&#8221;),</font> <i><font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">Deferral of the Effective Date for Amendments to the Presentation of Reclassifications of Items Out of Accumulated Other Comprehensive Income in Accounting Standards Update No.&#160;2011-05</font></i><font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">. This amendment defers the effective date of the requirement to present separate line items on the income statement for reclassification adjustments of items out of accumulated other comprehensive income into net income. ASU 2011-12 is effective at the same time as Accounting Standards Update 2011-05, Comprehensive Income (Topic 220): Presentation of Comprehensive Income (&#8220;ASU 2011-05&#8221;), so that entities will not
        be required to comply with the presentation requirements in ASU 2011-05 that this ASU 2011-12 is deferring. ASUs 2011-12 and 2011-05 are effective for fiscal years, and interim periods within those years, beginning after December&#160;15, 2011.&#160; The Company adopted ASUs 2011-05 and 2011-12 on November&#160;1, 2012.&#160; The adoption of these new disclosure requirements did not have a material impact on our disclosures or consolidated financial statements.</font>
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          <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">In October 2012, the FASB issued Accounting Standards Update 2012-04 (&#8220;ASU 2012-04&#8221;),</font> <i><font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">Technical Corrections and Improvements</font></i><font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">. The amendments in this update cover a wide range of topics and include technical corrections and improvements to the</font> <font style="text-autospace: ideograph-numeric; font-size: 12pt; font-family: Times New Roman;" lang="EN-US">Accounting Standards Codification. The amendments in ASU 2012-04 will be effective for interim and annual reporting periods beginning after December&#160;15, 2012. The Company adopted ASU 2012-04 on February&#160;1, 2013. The adoption of ASU 2012-04 did not have a material impact on the Company&#8217;s consolidated financial position, results of operations or cash flows. &#160;</font>
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        <font style="text-autospace: ideograph-numeric; font-size: 12pt; font-family: Times New Roman;" lang="EN-US">In October 2012, the FASB issued Accounting Standards Update 2012-03 (&#8220;ASU 2012-03&#8221;),</font> <i><font style="text-autospace: ideograph-numeric; font-size: 12pt; font-family: Times New Roman;" lang="EN-US">Technical Amendments and Corrections to SEC Sections</font></i><font style="text-autospace: ideograph-numeric; font-size: 12pt; font-family: Times New Roman;" lang="EN-US">.&#160;ASU 2012-03 is issued to amend certain SEC paragraphs in the FASB Accounting Standards Codification, including Amendments to SEC Paragraphs Pursuant to SEC Staff Accounting Bulletin, Technical Amendments, and Corrections Related to FASB Accounting Codification. The amendments in ASU 2012-03 will be effective for interim and annual reporting periods beginning after December&#160;15, 2012.&#160; The Company adopted ASU 2012-03 on February&#160;1, 2013.&#160;The adoption of ASU 2012-03 did not have a
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            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The entire disclosure of changes in accounting principles, including adoption of new accounting pronouncements, that describes the new methods, amount and effects on financial statement line items.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 01<br><br> -Paragraph b<br><br> -Subparagraph 6<br><br> -Article 10<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 270<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 13<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6372559&amp;loc=d3e765-108305<br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 270<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 12<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6372559&amp;loc=d3e725-108305<br><br><br><br>Reference 4: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 250<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 1<br><br> -URI http://asc.fasb.org/extlink&amp;oid=28359718&amp;loc=d3e22499-107794<br><br><br><br>Reference 5: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 250<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -URI http://asc.fasb.org/extlink&amp;oid=28359718&amp;loc=d3e22580-107794<br><br><br><br>Reference 6: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Glossary Direct Effects of a Change in Accounting Principle<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6510796<br><br><br><br>Reference 7: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Glossary Indirect Effects of a Change in Accounting Principle<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6515603<br><br><br><br>Reference 8: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Glossary Accounting Change<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6503790<br><br><br><br>Reference 9: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Glossary Change in Accounting Principle<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6507316<br><br><br><br>Reference 10: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 270<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SX 210.10-01.(b)(6))<br><br> -URI http://asc.fasb.org/extlink&amp;oid=27015980&amp;loc=d3e46468-122699<br><br><br><br>Reference 11: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Glossary Retrospective Application<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6523989<br><br><br><br>Reference 12: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 250<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 3<br><br> -URI http://asc.fasb.org/extlink&amp;oid=28359718&amp;loc=d3e22583-107794<br><br><br><br></p>
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  <body><span style="display: none;">v2.4.0.8</span><table class="report" border="0" cellspacing="2" id="ID0EME">
      <tr>
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          <div style="width: 200px;"><strong>ACCOUNTS PAYABLE AND ACCRUED EXPENSES<br></strong></div>
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        <font style="text-autospace: ideograph-numeric; font-size: 12pt; font-family: Times New Roman;" lang="EN-US">Accounts payable and accrued expense consist of the following as of:</font>
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                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;">January 31,</font>
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                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;">2014</font>
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                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;">October 31,</font><br />
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              <p style="MARGIN: 0in 0in 0pt">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">Accounts payable</font>
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                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">$</font>
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              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">491,773</font>
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            <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="MARGIN: 0in 0in 0pt">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">$</font>
              </p>
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              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">527,208</font>
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            </td>
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          <tr style="HEIGHT: 15.25pt">
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="72%">
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                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">Payroll and related expenses</font>
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              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
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            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="11%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">349,586</font>
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            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
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            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="11%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">345,484</font>
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            <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="72%">
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                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">Accrued litigation expense, consulting and other professional fees</font>
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              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
              </p>
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            <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="11%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">205,906</font>
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              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
              </p>
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              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
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                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">248,730</font>
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                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">169,160</font>
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              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
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              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
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              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">155,048</font>
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                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">$</font>
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              <p style="MARGIN: 0in 0in 0pt">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">$</font>
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                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">1,276,470</font>
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                <p>The entire disclosure for accounts payable and accrued liabilities at the end of the reporting period.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 02<br><br> -Paragraph 19<br><br> -Subparagraph a<br><br> -Article 5<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 210<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SX 210.5-02.19(a),20,24)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6877327&amp;loc=d3e13212-122682<br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 02<br><br> -Paragraph 20, 24<br><br> -Article 5<br><br><br><br></p>
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          <div style="width: 200px;"><strong>NET LOSS PER SHARE OF COMMON STOCK<br></strong></div>
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        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">7.&#160;&#160; &#160;&#160;&#160;&#160;&#160;</font> <u><font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">&#160;NET LOSS PER SHARE OF COMMON STOCK</font></u>
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        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">In accordance with ASC 260, &#8220;Earnings Per Share&#8221;, basic net loss per common share (&#8220;Basic EPS&#8221;) is computed by dividing net loss by the weighted average number of common shares outstanding.&#160; Diluted net loss per common share (&#8220;Diluted EPS&#8221;) is computed by dividing net loss by the weighted average number of common shares and dilutive common share equivalents and convertible securities then outstanding.&#160; Diluted EPS for all periods presented is the same as Basic EPS, as the inclusion of the effect of common share equivalents then outstanding would be anti-dilutive.&#160; For this reason, excluded from the calculation of Diluted EPS for the three-month periods ended January 31, 2014 and 2013, were stock options to purchase 70,832,845 and 61,408,845 shares respectively, and warrants to purchase 19,128,231 and 13,658,759 shares, respectively and debentures convertible
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                <p>The entire disclosure for earnings per share.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 260<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 1<br><br> -Subparagraph (a)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6371337&amp;loc=d3e3550-109257<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 260<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 3<br><br> -URI http://asc.fasb.org/extlink&amp;oid=7655603&amp;loc=d3e1278-109256<br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 260<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 2<br><br> -URI http://asc.fasb.org/extlink&amp;oid=7655603&amp;loc=d3e1252-109256<br><br><br><br>Reference 4: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 260<br><br> -SubTopic 10<br><br> -Section 55<br><br> -Paragraph 52<br><br> -URI http://asc.fasb.org/extlink&amp;oid=32703322&amp;loc=d3e4984-109258<br><br><br><br>Reference 5: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 225<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 2<br><br> -Subparagraph (SX 210.5-03.21)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=26872669&amp;loc=d3e20235-122688<br><br><br><br></p>
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  <body><span style="display: none;">v2.4.0.8</span><table class="report" border="0" cellspacing="2" id="ID0EME">
      <tr>
        <th class="tl" colspan="1" rowspan="2">
          <div style="width: 200px;"><strong>INCOME TAXES<br></strong></div>
        </th>
        <th class="th" colspan="1">3 Months Ended</th>
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      <tr>
        <th class="th">
          <div>Jan. 31, 2014</div>
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        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_IncomeTaxDisclosureAbstract', window );"><strong>Income Tax Disclosure [Abstract]</strong></a></td>
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        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_IncomeTaxDisclosureTextBlock', window );">Income Tax Disclosure [Text Block]</a></td>
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        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">9.&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;</font> <u><font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">INCOME TAXES</font></u>
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        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US" color="black">We file Federal, New York State and California State income tax returns.&#160;Due to net operating losses, the statute of limitations remains open since the fiscal year ended October 31, 1997.&#160;We account for interest and penalties related to income tax matters in marketing, general and administrative expenses. There are no unrecognized income tax benefits as of January 31, 2014 and October 31, 2013.</font>
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            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The entire disclosure for income taxes. Disclosures may include net deferred tax liability or asset recognized in an enterprise's statement of financial position, net change during the year in the total valuation allowance, approximate tax effect of each type of temporary difference and carryforward that gives rise to a significant portion of deferred tax liabilities and deferred tax assets, utilization of a tax carryback, and tax uncertainties information.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 740<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 15<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6907707&amp;loc=d3e32718-109319<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 235<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SX 210.4-08.(h))<br><br> -URI http://asc.fasb.org/extlink&amp;oid=26873400&amp;loc=d3e23780-122690<br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 08<br><br> -Paragraph h<br><br> -Article 4<br><br><br><br>Reference 4: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 740<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 9<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6907707&amp;loc=d3e32639-109319<br><br><br><br>Reference 5: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 740<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6907707&amp;loc=d3e32537-109319<br><br><br><br>Reference 6: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 740<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 3<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6907707&amp;loc=d3e32559-109319<br><br><br><br></p>
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  <body><span style="display: none;">v2.4.0.8</span><table class="report" border="0" cellspacing="2" id="ID0ERNAE">
      <tr>
        <th class="tl" colspan="1" rowspan="2">
          <div style="width: 200px;"><strong>STOCK BASED COMPENSATION (Details) - Stock options outstanding under the 2010 Share Plan (USD $)<br></strong></div>
        </th>
        <th class="th" colspan="1"></th>
        <th class="th" colspan="2">3 Months Ended</th>
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          <div>Range of Exercise Prices $0.21 - $0.235 [Member]

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          <div>Jan. 31, 2014

</div>
          <div>2010 Share Plan [Member]</div>
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        <th class="th">
          <div>Oct. 31, 2013

</div>
          <div>2010 Share Plan [Member]</div>
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        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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        <td class="nump">44,500,000<span></span></td>
        <td class="nump">10,694,000<span></span></td>
        <td class="nump">2,984,000<span></span></td>
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        <td class="text">8 years 240 days<span></span></td>
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        <td class="nump">$ 0.22<span></span></td>
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        <td class="nump">20,294,687<span></span></td>
        <td class="nump">2,881,778<span></span></td>
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        <td class="text">5 years 186 days<span></span></td>
        <td class="text">8 years 244 days<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
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        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsExercisableWeightedAverageExercisePrice', window );">Options Exercisable, Weighted Average Exercise Price</a></td>
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        <td class="nump">$ 0.22<span></span></td>
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            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The number of shares into which fully or partially vested stock options outstanding as of the balance sheet date can be currently converted under the option plan.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
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                <p>The weighted-average price as of the balance sheet date at which grantees can acquire the shares reserved for issuance on vested portions of options outstanding and currently exercisable under the stock option plan.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
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            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Number of options outstanding, including both vested and non-vested options.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 718<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6415400&amp;loc=d3e5070-113901<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 718<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -Subparagraph (c)(1)(i)-(ii)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6415400&amp;loc=d3e5070-113901<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
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                  <tr>
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                    <td><strong> Data Type:</strong></td>
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                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
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                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
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            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Weighted average price at which grantees can acquire the shares reserved for issuance under the stock option plan.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 718<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -Subparagraph (c)(1)(i)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6415400&amp;loc=d3e5070-113901<br><br><br><br></p>
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                    <td><strong> Name:</strong></td>
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                <p>Weighted average remaining contractual term of exercisable stock options, in 'PnYnMnDTnHnMnS' format, for example, 'P1Y5M13D' represents the reported fact of one year, five months, and thirteen days.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 718<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -Subparagraph (e)(2)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6415400&amp;loc=d3e5070-113901<br><br><br><br></p>
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                <p>Weighted average remaining contractual term of outstanding stock options, in 'PnYnMnDTnHnMnS' format, for example, 'P1Y5M13D' represents the reported fact of one year, five months, and thirteen days.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 718<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -Subparagraph (e)(1)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6415400&amp;loc=d3e5070-113901<br><br><br><br></p>
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          <div style="width: 200px;"><strong>FAIR VALUE MEASUREMENTS (Tables)<br></strong></div>
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                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="black">3,986,427</font>
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                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="black">7,212,568</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="top" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="black"></font>&#160;
                </p>
              </td>
              <td style="BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="top" width="2%">
                <p style="MARGIN: 0in 0in 0pt">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="black">$</font>
                </p>
              </td>
              <td style="BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="top" width="11%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="black">-</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="top" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="black"></font>&#160;
                </p>
              </td>
              <td style="BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="top" width="2%">
                <p style="MARGIN: 0in 0in 0pt">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="black">$</font>
                </p>
              </td>
              <td style="BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="top" width="11%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="black">-</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="top" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="black"></font>&#160;
                </p>
              </td>
              <td style="BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="top" width="2%">
                <p style="MARGIN: 0in 0in 0pt">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="black">$</font>
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              </td>
              <td style="BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="top" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="black">7,212,568</font>
                </p>
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                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="12%" colspan="2">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>
                </p>
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;">Level 1</font>
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              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="12%" colspan="2">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>
                </p>
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;">Level 2</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="12%" colspan="2">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>
                </p>
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;">Level 3</font>
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              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="12%" colspan="2">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>
                </p>
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;">Total</font>
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              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="46%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>
                </p>
              </td>
            </tr>
            <tr style="HEIGHT: 15.25pt">
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="46%">
                <p style="MARGIN: 0in 0in 0pt">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">Money market funds &#8211; Cash and cash equivalents</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="MARGIN: 0in 0in 0pt">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">$</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">898,172</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
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              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="MARGIN: 0in 0in 0pt">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">$</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">-</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="MARGIN: 0in 0in 0pt">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">$</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">-</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="MARGIN: 0in 0in 0pt">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">$</font>
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              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">898,172</font>
                </p>
              </td>
            </tr>
            <tr style="HEIGHT: 15.25pt">
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="46%">
                <p style="MARGIN: 0in 0in 0pt">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">Videocon Industries Limited global depository receipts</font>
                </p>
              </td>
              <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">4,197,341</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
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              </td>
              <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
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              </td>
              <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">-</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
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              </td>
              <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">-</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">4,197,341</font>
                </p>
              </td>
            </tr>
            <tr style="HEIGHT: 15.95pt">
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="46%">
                <p style="MARGIN: 0in 0in 0pt 10pt">
                  <font style="font-size: 12pt; font-family: times new roman;" color="#000000">Total financial assets</font>
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              </td>
              <td style="BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="MARGIN: 0in 0in 0pt">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">$</font>
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              </td>
              <td style="BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">5,095,513</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">-</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="MARGIN: 0in 0in 0pt">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">$</font>
                </p>
              </td>
              <td style="BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">-</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">$</font>
                </p>
              </td>
              <td style="BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">5,095,513</font>
                </p>
              </td>
            </tr>
            <tr style="HEIGHT: 15.25pt">
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="top" width="46%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="black"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="top" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="black"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="top" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="black"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="top" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="black"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="top" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="black"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="top" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="black"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="top" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="black"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="top" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="black"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="top" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="black"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="top" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="black"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="top" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="black"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="top" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="black"></font>&#160;
                </p>
              </td>
            </tr>
          </table><span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_ScheduleOfFairValueAssetsAndLiabilitiesMeasuredOnRecurringBasisTableTextBlock', window );">Schedule of Fair Value, Assets and Liabilities Measured on Recurring Basis [Table Text Block]</a></td>
        <td class="text"><table style="WIDTH: 50%" border="0" cellspacing="0" cellpadding="0">
          <tr style="HEIGHT: 14.5pt">
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="24%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="4%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="14%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="3%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="4%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="13%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="3%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="4%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="13%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="3%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="3%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
              </p>
            </td>
          </tr>
          <tr style="HEIGHT: 15.25pt">
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="24%">
              <p style="MARGIN: 0in 0in 0pt">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">&#160;&#160;</font>
              </p>
            </td>
            <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="18%" colspan="2">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>
              </p>
              <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;">Level 1</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="3%">
              <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
              </p>
            </td>
            <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="17%" colspan="2">
              <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>
              </p>
              <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;">Level 2</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="3%">
              <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
              </p>
            </td>
            <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="17%" colspan="2">
              <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>
              </p>
              <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;">Level 3</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="3%">
              <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
              </p>
            </td>
            <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="15%" colspan="2">
              <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>
              </p>
              <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;">Total</font>
              </p>
            </td>
          </tr>
          <tr style="HEIGHT: 15.25pt">
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="24%">
              <p style="MARGIN: 0in 0in 0pt">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="4%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="14%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="3%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="4%">
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            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="13%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
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            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="3%">
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                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
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            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="4%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
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            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="13%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>
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            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="3%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
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            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="3%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
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            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>
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          </tr>
          <tr style="HEIGHT: 15.25pt">
            <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="24%">
              <p style="MARGIN: 0in 0in 0pt">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">Derivative liability</font>
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            <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="4%">
              <p style="MARGIN: 0in 0in 0pt">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">$</font>
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              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">-</font>
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            </td>
            <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="3%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
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            </td>
            <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="4%">
              <p style="MARGIN: 0in 0in 0pt">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">$</font>
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            </td>
            <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="13%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">-</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="3%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
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            </td>
            <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="4%">
              <p style="MARGIN: 0in 0in 0pt">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">$</font>
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            </td>
            <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="13%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">3,430,000</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="3%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
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            </td>
            <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="3%">
              <p style="MARGIN: 0in 0in 0pt">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">$</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">3,430,000</font>
              </p>
            </td>
          </tr>
          <tr style="HEIGHT: 15.25pt">
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="24%">
              <p style="MARGIN: 0in 0in 0pt">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">Patent acquisition obligation</font>
              </p>
            </td>
            <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="4%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
              </p>
            </td>
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              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">-</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="3%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
              </p>
            </td>
            <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="4%">
              <p style="MARGIN: 0in 0in 0pt">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
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            </td>
            <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="13%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">-</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="3%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
              </p>
            </td>
            <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="4%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
              </p>
            </td>
            <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="13%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">2,936,977</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="3%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
              </p>
            </td>
            <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="3%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
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            </td>
            <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">2,936,977</font>
              </p>
            </td>
          </tr>
          <tr style="HEIGHT: 15.95pt">
            <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="24%">
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                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">Total</font>
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            </td>
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              <p style="MARGIN: 0in 0in 0pt">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">$</font>
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              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">-</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="3%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
              </p>
            </td>
            <td style="BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="4%">
              <p style="MARGIN: 0in 0in 0pt">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">$</font>
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            </td>
            <td style="BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="13%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">-</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="3%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
              </p>
            </td>
            <td style="BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="4%">
              <p style="MARGIN: 0in 0in 0pt">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">$</font>
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            </td>
            <td style="BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="13%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">6,366,977</font>
              </p>
            </td>
            <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="3%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
              </p>
            </td>
            <td style="BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="3%">
              <p style="TEXT-ALIGN: left; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">$</font>
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            </td>
            <td style="BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="12%">
              <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">6,366,977</font>
              </p>
            </td>
          </tr>
        </table><table style="WIDTH: 50%" border="0" cellspacing="0" cellpadding="0">
            <tr style="HEIGHT: 15.25pt">
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="42%">
                <p style="MARGIN: 0in 0in 0pt">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">&#160;&#160;</font>
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              </td>
              <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="13%" colspan="2">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>
                </p>
                <p style="MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;">Level 1</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
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              </td>
              <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="13%" colspan="2">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>
                </p>
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;">Level 2</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="13%" colspan="2">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>
                </p>
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;">Level 3</font>
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              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="13%" colspan="2">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>
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                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
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                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
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                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
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                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
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                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>
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                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
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                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
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              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="11%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
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                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">-</font>
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                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
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                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">-</font>
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                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
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                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">540,000</font>
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              &#160;
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              &#160;
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            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Tabular disclosure of assets, including [financial] instruments measured at fair value that are classified in stockholders' equity, if any, by class that are measured at fair value on a recurring basis. The disclosures contemplated herein include the fair value measurements at the reporting date by the level within the fair value hierarchy in which the fair value measurements in their entirety fall, segregating fair value measurements using quoted prices in active markets for identical assets (Level 1), significant other observable inputs (Level 2), and significant unobservable inputs (Level 3).</p>
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                <p>Tabular disclosure of the fair value measurement of assets using significant unobservable inputs (Level 3), a reconciliation of the beginning and ending balances, separately presenting changes during the period attributable to the following: (1) total gains or losses for the period (realized and unrealized), segregating those gains or losses included in earnings (or changes in net assets) and gains or losses recognized in other comprehensive income (loss), and a description of where those gains or losses included in earnings (or changes in net assets) are reported in the statement of income (or activities); (2) purchases, sales, issues, and settlements (each type disclosed separately); and (3) transfers in and transfers out of Level 3 (for example, transfers due to changes in the observability of significant inputs), by class of asset.</p>
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          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
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        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Tabular disclosure of assets and liabilities, including [financial] instruments measured at fair value that are classified in stockholders' equity, if any, that are measured at fair value on a recurring basis. The disclosures contemplated herein include the fair value measurements at the reporting date by the level within the fair value hierarchy in which the fair value measurements in their entirety fall, segregating fair value measurements using quoted prices in active markets for identical assets (Level 1), significant other observable inputs (Level 2), and significant unobservable inputs (Level 3).</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 820<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 1<br><br> -URI http://asc.fasb.org/extlink&amp;oid=25499696&amp;loc=d3e19190-110258<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_ScheduleOfFairValueAssetsAndLiabilitiesMeasuredOnRecurringBasisTableTextBlock</nobr></td>
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<DOCUMENT>
<TYPE>XML
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<TEXT>
<html>
  <head>
    <META http-equiv="Content-Type" content="text/html; charset=us-ascii">
    <link rel="StyleSheet" type="text/css" href="report.css"><script type="text/javascript" src="Show.js">/* Do Not Remove This Comment */</script></head>
  <body><span style="display: none;">v2.4.0.8</span><table class="report" border="0" cellspacing="2" id="ID0EECAE">
      <tr>
        <th class="tl" colspan="1" rowspan="1">
          <div style="width: 200px;"><strong>CONVERTIBLE DEBENTURES (Details) - Convertible Debenture (USD $)<br></strong></div>
        </th>
        <th class="th">
          <div>Oct. 31, 2013

</div>
          <div>Convertible Debenture Due January 2015 [Member]</div>
        </th>
        <th class="th">
          <div>Jan. 31, 2013

</div>
          <div>Convertible Debenture Due January 2015 [Member]</div>
        </th>
        <th class="th">
          <div>Nov. 30, 2013

</div>
          <div>Convertible Debenture Due September 2016 [Member]</div>
        </th>
        <th class="th">
          <div>Sep. 30, 2012

</div>
          <div>Convertible Debenture Due September 2016 [Member]</div>
        </th>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_CONVERTIBLEDEBENTURESDetailsConvertibleDebentureLineItems', window );"><strong>CONVERTIBLE DEBENTURES (Details) - Convertible Debenture [Line Items]</strong></a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_DebtInstrumentFaceAmount', window );">Face value of Convertible Debenture</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">$ 1,765,000<span></span></td>
        <td class="nump">$ 3,500,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_EmbeddedDerivativeFairValueOfEmbeddedDerivativeLiability', window );">Fair value of embedded conversion feature</a></td>
        <td class="nump">165,000<span></span></td>
        <td class="nump">1,180,000<span></span></td>
        <td class="nump">1,570,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_WarrantsNotSettleableInCashRelativeFairValueDisclosure', window );">Relative fair value of Convertible Debenture Warrant</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">214,819<span></span></td>
        <td class="nump">515,936<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_DebtInstrumentUnamortizedDiscount', window );">Discount</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">1,394,819<span></span></td>
        <td class="nump">2,085,936<span></span></td>
        <td class="num">(717,000)<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_ConvertibleDebt', window );">Proceeds attributable to the Convertible Debenture</a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">$ 370,181<span></span></td>
        <td class="nump">$ 1,414,064<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
    </table>
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          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
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          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Details</a><div>
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                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_CONVERTIBLEDEBENTURESDetailsConvertibleDebentureLineItems</nobr></td>
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                    <td>duration</td>
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      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_WarrantsNotSettleableInCashRelativeFairValueDisclosure">
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          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
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        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Warrants not Settleled in Cash Relative Fair Value Disclosure.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
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                    <td><strong> Name:</strong></td>
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                    <td>debit</td>
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                    <td>instant</td>
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          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
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          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Including the current and noncurrent portions, carrying amount of debt identified as being convertible into another form of financial instrument (typically the entity's common stock) as of the balance sheet date, which originally required full repayment more than twelve months after issuance or greater than the normal operating cycle of the company.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 942<br><br> -SubTopic 210<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SX 210.9-03.16)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6876686&amp;loc=d3e534808-122878<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 03<br><br> -Paragraph 16<br><br> -Article 9<br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 944<br><br> -SubTopic 210<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SX 210.7-03.16(a)(2))<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6879938&amp;loc=d3e572229-122910<br><br><br><br>Reference 4: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 02<br><br> -Paragraph 19, 20, 22<br><br> -Article 5<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_ConvertibleDebt</nobr></td>
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                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
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                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
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        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
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        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Face (par) amount of debt instrument at time of issuance.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 835<br><br> -SubTopic 30<br><br> -Section 45<br><br> -Paragraph 2<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6451184&amp;loc=d3e28551-108399<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 835<br><br> -SubTopic 30<br><br> -Section 55<br><br> -Paragraph 8<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6584090&amp;loc=d3e28878-108400<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_DebtInstrumentFaceAmount</nobr></td>
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                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
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                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
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                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
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                    <td>instant</td>
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          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
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        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The amount of debt discount that was originally recognized at the issuance of the instrument that has yet to be amortized.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 835<br><br> -SubTopic 30<br><br> -Section 45<br><br> -Paragraph 1A<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6451184&amp;loc=d3e28541-108399<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 835<br><br> -SubTopic 30<br><br> -Section 55<br><br> -Paragraph 8<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6584090&amp;loc=d3e28878-108400<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_DebtInstrumentUnamortizedDiscount</nobr></td>
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                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
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                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
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                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
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                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
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      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_EmbeddedDerivativeFairValueOfEmbeddedDerivativeLiability">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Fair value as of the balance sheet date of the embedded derivative or group of embedded derivatives classified as a liability.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 815<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 4B<br><br> -Subparagraph (c)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=7476318&amp;loc=SL5624163-113959<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_EmbeddedDerivativeFairValueOfEmbeddedDerivativeLiability</nobr></td>
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                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
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                    <td>instant</td>
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<DOCUMENT>
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<DESCRIPTION>IDEA: XBRL DOCUMENT
<TEXT>
<html>
  <head>
    <META http-equiv="Content-Type" content="text/html; charset=us-ascii">
    <link rel="StyleSheet" type="text/css" href="report.css"><script type="text/javascript" src="Show.js">/* Do Not Remove This Comment */</script></head>
  <body><span style="display: none;">v2.4.0.8</span><table class="report" border="0" cellspacing="2" id="ID0E6GAC">
      <tr>
        <th class="tl" colspan="1" rowspan="1">
          <div style="width: 200px;"><strong>ACCOUNTS PAYABLE AND ACCRUED EXPENSES (Details) - Accounts payable and accrued expense (USD $)<br></strong></div>
        </th>
        <th class="th">
          <div>Jan. 31, 2014</div>
        </th>
        <th class="th">
          <div>Oct. 31, 2013</div>
        </th>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_AccountsPayableAndAccruedExpenseAbstract', window );"><strong>Accounts payable and accrued expense [Abstract]</strong></a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_AccountsPayableCurrent', window );">Accounts payable</a></td>
        <td class="nump">$ 491,773<span></span></td>
        <td class="nump">$ 527,208<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_EmployeeRelatedLiabilitiesCurrent', window );">Payroll and related expenses</a></td>
        <td class="nump">349,586<span></span></td>
        <td class="nump">345,484<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_AccruedProfessionalFeesCurrent', window );">Accrued litigation expense, consulting and other professional fees</a></td>
        <td class="nump">205,906<span></span></td>
        <td class="nump">248,730<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_OtherAccruedLiabilitiesCurrent', window );">Accrued other</a></td>
        <td class="nump">169,160<span></span></td>
        <td class="nump">155,048<span></span></td>
      </tr>
      <tr class="rou">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_AccountsPayableAndAccruedLiabilitiesCurrent', window );">Total</a></td>
        <td class="nump">$ 1,216,425<span></span></td>
        <td class="nump">$ 1,276,470<span></span></td>
      </tr>
    </table>
    <div style="display: none;">
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_AccountsPayableAndAccruedExpenseAbstract">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Details</a><div>
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          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Sum of the carrying values as of the balance sheet date of obligations incurred through that date and due within one year (or the operating cycle, if longer), including liabilities incurred (and for which invoices have typically been received) and payable to vendors for goods and services received, taxes, interest, rent and utilities, accrued salaries and bonuses, payroll taxes and fringe benefits.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 210<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SX 210.5-02.19,20)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6877327&amp;loc=d3e13212-122682<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 02<br><br> -Paragraph 20<br><br> -Article 5<br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 02<br><br> -Paragraph 19<br><br> -Article 5<br><br><br><br></p>
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                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_AccountsPayableAndAccruedLiabilitiesCurrent</nobr></td>
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          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Carrying value as of the balance sheet date of liabilities incurred (and for which invoices have typically been received) and payable to vendors for goods and services received that are used in an entity's business. Used to reflect the current portion of the liabilities (due within one year or within the normal operating cycle if longer).</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 02<br><br> -Paragraph 19<br><br> -Subparagraph a<br><br> -Article 5<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 210<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SX 210.5-02.19(a))<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6877327&amp;loc=d3e13212-122682<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_AccountsPayableCurrent</nobr></td>
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                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
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            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Carrying value as of the balance sheet date of obligations incurred through that date and payable for professional fees, such as for legal and accounting services received. Used to reflect the current portion of the liabilities (due within one year or within the normal operating cycle if longer).</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 02<br><br> -Paragraph 20<br><br> -Article 5<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Glossary Current Liabilities<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6509677<br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 210<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 8<br><br> -URI http://asc.fasb.org/extlink&amp;oid=28358313&amp;loc=d3e6935-107765<br><br><br><br>Reference 4: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 210<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SX 210.5-02.20)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6877327&amp;loc=d3e13212-122682<br><br><br><br>Reference 5: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 210<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 6<br><br> -URI http://asc.fasb.org/extlink&amp;oid=28358313&amp;loc=d3e6911-107765<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_AccruedProfessionalFeesCurrent</nobr></td>
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          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Total of the carrying values as of the balance sheet date of obligations incurred through that date and payable for obligations related to services received from employees, such as accrued salaries and bonuses, payroll taxes and fringe benefits. Used to reflect the current portion of the liabilities (due within one year or within the normal operating cycle if longer).</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 02<br><br> -Paragraph 20<br><br> -Article 5<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 210<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SX 210.5-02.20)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6877327&amp;loc=d3e13212-122682<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
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                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_EmployeeRelatedLiabilitiesCurrent</nobr></td>
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      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_OtherAccruedLiabilitiesCurrent">
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          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
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          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Carrying value as of the balance sheet date of obligations incurred through that date and payable arising from transactions not otherwise specified in the taxonomy. Used to reflect the current portion of the liabilities (due within one year or within the normal operating cycle if longer).</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Regulation S-X (SX)<br><br> -Number 210<br><br> -Section 02<br><br> -Paragraph 20<br><br> -Article 5<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Glossary Current Liabilities<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6509677<br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 210<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 8<br><br> -URI http://asc.fasb.org/extlink&amp;oid=28358313&amp;loc=d3e6935-107765<br><br><br><br>Reference 4: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 210<br><br> -SubTopic 10<br><br> -Section S99<br><br> -Paragraph 1<br><br> -Subparagraph (SX 210.5-02.20)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6877327&amp;loc=d3e13212-122682<br><br><br><br>Reference 5: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 210<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 6<br><br> -URI http://asc.fasb.org/extlink&amp;oid=28358313&amp;loc=d3e6911-107765<br><br><br><br>Reference 6: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 210<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 9<br><br> -URI http://asc.fasb.org/extlink&amp;oid=28358313&amp;loc=d3e7018-107765<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_OtherAccruedLiabilitiesCurrent</nobr></td>
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                    <td>us-gaap_</td>
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  <body><span style="display: none;">v2.4.0.8</span><table class="report" border="0" cellspacing="2" id="ID0EKDAC">
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        <th class="tl" colspan="1" rowspan="2">
          <div style="width: 200px;"><strong>CONDENSED CONSOLIDATED STATEMENTS OF OPERATIONS AND COMPREHENSIVE LOSS (UNAUDITED) (Parentheticals) (Selling, General and Administrative Expenses [Member], USD $)<br></strong></div>
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        <th class="th" colspan="2">3 Months Ended</th>
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      <tr>
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          <div>Jan. 31, 2014</div>
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        <th class="th">
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        <td class="text">&#xA0;<span></span></td>
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        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_StockOptionPlanExpense', window );">Non-cash stock option compensation expense</a></td>
        <td class="nump">$ 720,638<span></span></td>
        <td class="nump">$ 714,203<span></span></td>
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          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The noncash expense that accounts for the value of stock or unit options distributed to employees as compensation.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 230<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 28<br><br> -Subparagraph (b)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=31042434&amp;loc=d3e3602-108585<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
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                    <td><strong> Balance Type:</strong></td>
                    <td>debit</td>
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                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
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  <body><span style="display: none;">v2.4.0.8</span><table class="report" border="0" cellspacing="2" id="ID0EME">
      <tr>
        <th class="tl" colspan="1" rowspan="2">
          <div style="width: 200px;"><strong>STOCK BASED COMPENSATION<br></strong></div>
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      <tr>
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          <div>Jan. 31, 2014</div>
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        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">3.&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;</font> <u><font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">STOCK BASED COMPENSATION</font></u>
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        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">We maintain stock equity incentive plans under which we may grant non-qualified stock options, stock appreciation rights, stock awards, performance awards, or stock units to employees, directors and consultants.</font>
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        <u><font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">Stock Option Compensation Expense</font></u>
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        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">On November 8, 2013,</font> <font style="letter-spacing: -0.15pt; font-size: 12pt; font-family: Times New Roman;" lang="EN-US">the Board of Directors approved an amendment to stock options subject to market conditions awarded on September 19, 2012 to</font> <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">the President and Chief Executive Officer, Senior Vice President of Engineering, and a consultant and director of the Company. &#160;The amendment modified the option award&#8217;s vesting conditions to provide that the unvested portion of the stock options vest in 23 consecutive monthly installments commencing November 30, 2013. &#160;Prior to the amendment, the option awards had provided that the stock options would vest if two separate price targets were met. &#160;The fair value of these options was recalculated to reflect the change to service based options as of November 8, 2013 and the
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        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">We account for stock options granted to employees and directors using the accounting guidance in ASC 718 &#8220;Stock Compensation&#8221; (&#8220;ASC 718&#8221;).&#160;</font> <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US" color="black">In accordance with ASC 718, we estimate the fair value of service based stock options and performance based options on the date of grant, using the Black-Scholes pricing model.&#160; For options vesting if the trading price of the Company&#8217;s common stock exceeds price targets we use a Monte Carlo Simulation in estimating the fair value at grant date.&#160;</font> <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">We recognize compensation expense for</font> <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US" color="black">service based stock options and options subject to market conditions</font> <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">over the requisite or implied service period of the grant.&#160; For performance based awards, compensation expense is recognized over the requisite or implied service period of the grant when the performance target is deemed probable.&#160;</font>
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        <font style="text-autospace: ideograph-numeric; font-size: 12pt; font-family: Times New Roman;" lang="EN-US">We recorded stock-based compensation expense, related to stock options granted to employees and directors, of approximately $466,000 and $473,000, during the three months ended January 31, 2014 and 2013, respectively, which included stock-based compensation expense of approximately $383,000 and $401,000, respectively, related to the amortization of compensation cost for stock options granted in prior periods.&#160; &#160;As of January 31, 2014, there was unrecognized compensation cost related to non-vested stock options granted to employees and directors, related to service based options of approximately $3,134,000, which will be recognized over a weighted-average period of 2.0 years. &#160;</font>
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        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160; We account for stock options granted to consultants using the accounting guidance included in ASC 505-50 &#8220;Equity-Based Payments to Non-Employees&#8221; (&#8220;ASC 505-50&#8221;).&#160; In accordance with ASC 505-50,</font> <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US" color="black">we estimate the fair value of service based</font> <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US" color="black">stock options and performance based options at each reporting period, using the Black-Scholes pricing model.&#160; F</font><font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">or options vesting if the trading price of the Company&#8217;s common stock exceeds price targets we estimate the fair value at each reporting period using a Monte Carlo Simulation. &#160;We recognize compensation expense for</font> <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US" color="black">service based stock options and options subject to market conditions</font><font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">over the requisite or implied service period of the grant.&#160; For performance based awards, compensation expense is recognized when the performance target is achieved.</font>
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      <font style="text-autospace: ideograph-numeric; font-size: 12pt; font-family: Times New Roman;" lang="EN-US">We recorded consulting expense, related to stock options granted to consultants, of approximately $255,000 and $242,000, during the three months ended January 31, 2014 and 2013, respectively, which included consulting expense of approximately $236,000 and $242,000, respectively, related to stock options granted in prior periods.&#160;&#160;As of January 31, 2014, there was unrecognized consulting expense related to non-vested stock options granted to consultants, related to service based options of approximately $2,168,000, which will be recognized over a weighted-average period of 1.8 years.&#160;</font>
    </p><br/><p style="TEXT-ALIGN: justify; MARGIN: 0in 0in 0pt">
        <u><font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">Fair Value Determination&#160;</font></u>
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        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">We use the Black-Scholes pricing model in estimating the fair value of stock options which vest over a specific period of time or upon achieving performance targets.&#160;</font> <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US" color="black">To determine the weighted average fair value of stock options on the date of grant, employees and directors are included in a single group.&#160; The fair value of stock options granted to consultants is determined on an individual basis.&#160; The stock options we granted during the three months ended January 31, 2014 consisted of awards with 10-year terms that vest over one year and options with 10-year terms that vest over 36 months. &#160;The stock options we granted during the three months ended January 31, 2013 consisted of options with 10-year terms that vested over one year or of options with 10-year terms that vested one-third on the at date of
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        <font style="font-size: 12pt; font-family: times new roman;" lang="EN-US">The following weighted average assumptions were used in estimating the fair value of stock options granted during the three months ended January 31, 2014 and 2013.</font>
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                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
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              <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" rowspan="2" width="26%" colspan="5">
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                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>
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                <p style="MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;">For the Three Months</font><br />
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                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;"></font>
                </p>
                <p style="MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;">Ended January 31,</font>
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            </tr>
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              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="74%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
            </tr>
            <tr style="HEIGHT: 15.25pt">
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="74%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="12%" colspan="2" align="center">
                <p style="MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>
                </p>
                <p style="MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;">2014</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="12%" colspan="2">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>
                </p>
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                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;">2013</font>
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              </td>
            </tr>
            <tr style="HEIGHT: 15.25pt">
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="74%">
                <p style="MARGIN: 0in 0in 0pt">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">Weighted average fair value at grant date</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="MARGIN: 0in 0in 0pt">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">$</font>
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              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: times new roman;" color="#000000">0.17</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="MARGIN: 0in 0in 0pt">
                  <font style="line-height: normal; font-size: 11pt; font-family: times new roman;" color="#000000">$</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: times new roman;" color="#000000">0.17</font>
                </p>
              </td>
            </tr>
            <tr style="HEIGHT: 15.25pt">
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="74%">
                <p style="MARGIN: 0in 0in 0pt">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">Valuation assumptions:</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
            </tr>
            <tr style="HEIGHT: 15.25pt">
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="74%">
                <p style="MARGIN: 0in 0in 0pt 10pt">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">Expected life ( years)</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">5.69</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">5.12</font>
                </p>
              </td>
            </tr>
            <tr style="HEIGHT: 15.25pt">
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="74%">
                <p style="MARGIN: 0in 0in 0pt 10pt">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">Expected volatility</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: times new roman;" color="#000000">115.4%</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: times new roman;" color="#000000">115.7%</font>
                </p>
              </td>
            </tr>
            <tr style="HEIGHT: 15.25pt">
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="74%">
                <p style="MARGIN: 0in 0in 0pt 10pt">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">Risk-free interest rate</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: times new roman;" color="#000000">1.76%</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: times new roman;" color="#000000">.58%</font>
                </p>
              </td>
            </tr>
            <tr style="HEIGHT: 15.25pt">
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="74%">
                <p style="MARGIN: 0in 0in 0pt 10pt">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">Expected dividend yield</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: times new roman;" color="#000000">0</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: times new roman;" color="#000000">0</font>
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              </td>
            </tr>
          </table><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">The expected term of stock options represents the weighted average period the stock options are expected to remain outstanding.&#160;We use the simplified method to determine expected term.&#160; The simplified method was adopted since we do not believe that</font> <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">historical experience is representative of future performance because of the impact of the changes in our operations and the change in terms from historical options which vested immediately to terms including vesting periods of up to three years.&#160;Under the Black-Scholes pricing model we estimated the expected volatility of our shares of common stock based upon the historical volatility of our share price over a period of time equal to the expected term of the options.&#160; We estimated the risk-free interest rate based on the implied yield available on the applicable grant date of
        a U.S. Treasury note with a term equal to the expected term of the underlying grants.&#160;We made the dividend yield assumption based on our history of not paying dividends and our expectation not to pay dividends in the future.&#160;</font>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">Under ASC 718, the amount of stock-based compensation expense recognized is based on the portion of the awards that are ultimately expected to vest.&#160; Accordingly, if deemed necessary, we reduce the fair value of the stock option awards for expected forfeitures, which are forfeitures of the unvested portion of surrendered options.&#160; Based on our historical experience we have not reduced the amount of stock-based compensation expenses for anticipated forfeitures.</font>
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        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">We will reconsider use of the Black-Scholes pricing model if additional information becomes available in the future that indicates another model would be more appropriate.&#160; If factors change and we employ different assumptions in the application of ASC 718 and ASC 505-50 in future periods, the compensation expense that we record may differ significantly from what we have recorded in the current period.</font>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">For options vesting if the trading price of the Company&#8217;s common stock exceeds price targets we used a Monte Carlo Simulation in estimating expected term and fair value.</font>
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        <u><font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">Stock Option Activity</font></u>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">During the three-month periods ended January 31, 2014 and 2013, we granted options to purchase 7,710,000 and 1,180,000 shares, respectively, of common stock at weighted average exercise prices of $0.20 and $0.21 per share, respectively, pursuant to the CopyTele, Inc. 2010 Share Incentive Plan (the "2010 Share Plan).&#160; No stock options were exercised during the three month periods ended January 31, 2014 and 2013.</font>
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        <u><font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">Stock&#160;Option&#160;Plans</font></u>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">As of January 31, 2014, we have two stock option plans: &#160;the CopyTele, Inc. 2003 Share Incentive Plan (the "2003 Share Plan") and the 2010 Share Plan, which were adopted by our Board of Directors on April 21, 2003 and July 14, 2010, respectively.&#160;</font>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">The 2003 Share Plan provides for the grant of nonqualified stock options, stock appreciation rights, stock awards, performance awards and stock units to key employees and consultants.&#160; The maximum number of shares of common stock available for issuance under the 2003 Share Plan is 70,000,000 shares. The 2003 Share Plan was administered by the Stock Option Committee through June 2004, from June 2004 through July 2010, by the Board of Directors, from July 2010 through August 2012, by the Stock Option Committee, from August 2012 through November 2012, by the Executive Committee of the Board of</font> <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">Directors and since November 2012, by the Board of Directors, which determines the option price, term and provisions of each option.&#160; The exercise price with respect to all of the options granted under the 2003 Share Plan since its inception
        was equal to the fair market value of the underlying common stock at the grant date. &#160;In accordance with the provisions of the 2003 Share Plan, the plan terminated with respect to the grant of future options on April 21, 2013. &#160;Information regarding the 2003 Share Plan for the three months ended January 31, 2014 is as follows:</font>
      </p><br/><table style="WIDTH: 50%" border="0" cellspacing="0" cellpadding="0">
        <tr style="HEIGHT: 14.5pt">
          <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="50%">
            <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman;" color="#000000"></font>&#160;
            </p>
          </td>
          <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="14%">
            <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
              <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
            </p>
          </td>
          <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="3%">
            <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
              <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
            </p>
          </td>
          <td style="BORDER-BOTTOM: #000000 1px solid" valign="bottom" rowspan="2" width="16%">
            <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman;" color="#000000">Weighted</font><br />
            </p>
            <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman;">Average Exercise</font><br />
            </p>
            <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman;">Price Per Share</font>
            </p>
          </td>
          <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
            <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman;" color="#000000"></font>&#160;
            </p>
          </td>
          <td style="BORDER-BOTTOM: #000000 1px solid" valign="bottom" rowspan="2" width="15%" colspan="2">
            <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman;" color="#000000"></font>
            </p>
            <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
              <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;">Aggregate</font><br />
            </p>
            <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman;"></font>
            </p>
            <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman;">Intrinsic</font><br />
            </p>
            <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman;"></font>
            </p>
            <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman;">Value</font>
            </p>
          </td>
        </tr>
        <tr style="HEIGHT: 14.5pt">
          <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="50%">
            <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman;" color="#000000"></font>&#160;
            </p>
          </td>
          <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="14%">
            <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman;" color="#000000">Shares</font>
            </p>
          </td>
          <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="3%">
            <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman;" color="#000000"></font>&#160;
            </p>
          </td>
          <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
            <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman;" color="#000000"></font>&#160;
            </p>
          </td>
        </tr>
        <tr style="HEIGHT: 15.25pt">
          <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="50%">
            <p style="MARGIN: 0in 0in 0pt">
              <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">Options Outstanding at October 31, 2013</font>
            </p>
          </td>
          <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="14%">
            <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
              <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">15,638,845</font>
            </p>
          </td>
          <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="3%">
            <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
              <font style="line-height: normal; font-size: 12pt; text-decoration: none; font-family: times new roman;" color="#000000"></font>&#160;
            </p>
          </td>
          <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="16%">
            <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
              <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">$0.72</font>
            </p>
          </td>
          <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
            <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
              <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
            </p>
          </td>
          <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="3%">
            <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
              <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
            </p>
          </td>
          <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="12%">
            <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
              <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
            </p>
          </td>
        </tr>
        <tr style="HEIGHT: 15.95pt">
          <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="50%">
            <p style="MARGIN: 0in 0in 0pt">
              <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">Options Outstanding and exercisable at January 31, 2014</font>
            </p>
          </td>
          <td style="BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="14%">
            <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
              <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">15,638,845</font>
            </p>
          </td>
          <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="3%">
            <p style="MARGIN: 0in 0in 0pt">
              <font style="line-height: normal; font-size: 12pt; text-decoration: none; font-family: times new roman;" color="#000000"></font>&#160;
            </p>
          </td>
          <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="16%">
            <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
              <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">$0.72</font>
            </p>
          </td>
          <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="2%">
            <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
              <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
            </p>
          </td>
          <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="3%">
            <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
              <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">$</font>
            </p>
          </td>
          <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="12%">
            <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
              <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">461,000</font>
            </p>
          </td>
        </tr>
      </table><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: times new roman;" lang="EN-US">The following table summarizes information about stock options outstanding under the 2003 Share Plan as of January 31, 2014:</font>
      </p><br/><table style="WIDTH: 50%" border="0" cellspacing="0" cellpadding="0">
            <tr style="HEIGHT: 15.25pt">
              <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="100%" colspan="7" align="center">
                <p style="MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>
                </p>
                <p style="MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;"></font>
                </p>
                <p style="MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;">Stock</font> <font style="line-height: normal; font-size: 11pt; font-family: times new roman;">Options Outstanding</font>
                </p>
              </td>
            </tr>
            <tr style="HEIGHT: 14.5pt">
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="28%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="24%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="BORDER-BOTTOM: #000000 1px solid" valign="bottom" rowspan="3" width="21%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">Weighted</font><br />
                </p>
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;">Average</font><br />
                </p>
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;">Remaining</font><br />
                </p>
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;">Contractual Life</font><br />
                </p>
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;">(in years)</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="BORDER-BOTTOM: #000000 1px solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" rowspan="3" width="21%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">Weighted</font><br />
                </p>
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;">Average</font><br />
                </p>
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;">Exercise Price</font>
                </p>
              </td>
            </tr>
            <tr style="HEIGHT: 14.5pt">
              <td style="BORDER-BOTTOM: #000000 1px solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" rowspan="2" width="28%">
                <p style="MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">Range of</font><br />
                </p>
                <p style="MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;">Exercise</font>
                </p>
                <p style="MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;">&#160;Prices</font>
                </p>
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              <td style="BORDER-BOTTOM: #000000 1px solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" rowspan="2" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>
                </p>
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;"></font>&#160;
                </p>
              </td>
              <td style="BORDER-BOTTOM: #000000 1px solid" valign="bottom" rowspan="2" width="24%" align="center">
                &#160;<font style="line-height: normal; font-size: 10pt; font-family: times new roman;">Number<br />
                </font><font style="line-height: normal; font-size: 10pt; font-family: times new roman;">Outstanding</font>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
            </tr>
            <tr style="HEIGHT: 14.5pt">
              <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
            </tr>
            <tr style="HEIGHT: 14.5pt">
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="28%" align="center">
                <p style="MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">$0.07 - $0.37</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="24%" align="center">
                <p style="MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">1,860,000</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="21%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">2.95</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="21%" align="center">
                <p style="MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">$0.15</font>
                </p>
              </td>
            </tr>
            <tr style="HEIGHT: 14.5pt">
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="28%" align="center">
                <p style="MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">$0.43 - $0.70</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="24%" align="center">
                <p style="MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">5,384,770</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="21%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">1.7</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="21%" align="center">
                <p style="MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">$0.60</font>
                </p>
              </td>
            </tr>
            <tr style="HEIGHT: 14.5pt">
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="28%" align="center">
                <p style="MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">$0.74 - $0.92</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="24%" align="center">
                <p style="MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">6,139,075</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="21%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">2.56</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="21%" align="center">
                <p style="MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">$0.85</font>
                </p>
              </td>
            </tr>
            <tr style="HEIGHT: 14.5pt">
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="28%" align="center">
                <p style="MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">$1.04 - $1.46</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="24%" align="center">
                <p style="MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">2,255,000</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="21%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">1.98</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="21%" align="center">
                <p style="MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">$1.10</font>
                </p>
              </td>
            </tr>
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        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US"><br />
        &#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;The 2010 Share Plan provides for the grant of nonqualified stock options, stock appreciation rights, stock awards, performance awards and stock units to key employees and consultants.&#160;The maximum number of shares of common stock available for issuance under the 2010 Share Plan was initially 15,000,000 shares. On July 6, 2011, the 2010 Share Plan was amended by our Board of Directors to increase the maximum number of shares of common stock that may be granted to 27,000,000 shares, on August 29, 2012, the maximum number of shares was further increased to 30,000,000 shares.&#160;On November 8, 2013 the Board of Directors approved an amendment to provide that effective November 8, 2013, the maximum aggregate number of shares available for issuance will be 20,000,000 shares and that on the first business day in 2014 and on the first business day of each calendar year thereafter the maximum aggregate number
        of shares available for issuance shall be replenished such that 20,000,000 shares will be available for issuance. Accordingly, during that three month ended January 31, 2014, the number of share in the 2010 Share Plan was increased by 25,634,980 shares to 55,634,980 shares.&#160; In addition, on November 8, 2013 the 2010 Share Plan was amended to provide that on January 2nd of each year commencing on January 2, 2014, each non-employee director of the Company at that time shall automatically be granted a 10 year stock option to purchase 300,000 shares</font> <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">of common stock (400,000 for the Chairman) that will vest in four equal quarterly installments. The 2010 Share Plan was administered by the Stock Option Committee through August 2012, from August 2012 through November 2012, by the Executive Committee of the Board of Directors and since November 2012, by the Board of Directors, which determines the option
        price, term and provisions of each option. The exercise price with respect to all of the options granted under the 2010 Share Plan was equal to the fair market value of the underlying common stock at the grant date.&#160;As of January 31, 2014, the 2010 Share Plan had 19,000,000 shares available for future grants.&#160; Information regarding the 2010 Share Plan for the three months ended January 31, 2014 is as follows:</font>
      </p><br/><table style="width: 50%;" border="0" cellspacing="0" cellpadding="0">

        <tr style="height: 14.5pt;">
          <td style="padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="50%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              &#160;
            </p>
          </td>
          <td style="padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="11%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              &#160;
            </p>
          </td>
          <td style="padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="2%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              &#160;
            </p>
          </td>
          <td style="border-bottom: #000000 1px solid;" rowspan="2" colspan="2" valign="bottom" width="18%">
            <p style="text-align: center; margin: 0in 0in 0pt;" align="center">
              &#160;
            </p>
            <p style="text-align: center; margin: 0in 0in 0pt;" align="center">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman;">Weighted</font>
            </p>
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              &#160;
            </p>
            <p style="text-align: center; margin: 0in 0in 0pt;" align="center">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman;">Average Exercise</font>
            </p>
            <p style="text-align: center; margin: 0in 0in 0pt;" align="center">
              &#160;
            </p>
            <p style="text-align: center; margin: 0in 0in 0pt;" align="center">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman;">Price Per Share</font>
            </p>
          </td>
          <td style="padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="2%">
            <p style="text-align: center; margin: 0in 0in 0pt;" align="center">
              &#160;
            </p>
          </td>
          <td style="border-bottom: #000000 1px solid;" rowspan="2" colspan="2" valign="bottom" width="17%">
            <p style="text-align: center; margin: 0in 0in 0pt;" align="center">
              &#160;
            </p>
            <p style="text-align: center; margin: 0in 0in 0pt;" align="center">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman;">Aggregate</font>
            </p>
            <p style="text-align: center; margin: 0in 0in 0pt;" align="center">
              &#160;
            </p>
            <p style="text-align: center; margin: 0in 0in 0pt;" align="center">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman;">Intrinsic</font>
            </p>
            <p style="text-align: center; margin: 0in 0in 0pt;" align="center">
              &#160;
            </p>
            <p style="text-align: center; margin: 0in 0in 0pt;" align="center">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman;">Value</font>
            </p>
          </td>
        </tr>
        <tr style="height: 14.5pt;">
          <td style="padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="50%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              &#160;
            </p>
          </td>
          <td style="border-bottom: windowtext 1pt solid; padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="11%">
            <p style="text-align: center; margin: 0in 0in 0pt;" align="center">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;">Shares</font>
            </p>
          </td>
          <td style="padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="2%">
            <p style="text-align: center; margin: 0in 0in 0pt;" align="center">
              &#160;
            </p>
          </td>
          <td style="padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="2%">
            <p style="text-align: center; margin: 0in 0in 0pt;" align="center">
              &#160;
            </p>
          </td>
        </tr>
        <tr style="height: 14.5pt;">
          <td style="padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="50%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              &#160;
            </p>
          </td>
          <td style="padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="11%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              &#160;
            </p>
          </td>
          <td style="padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="2%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              &#160;
            </p>
          </td>
          <td style="padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="2%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              &#160;
            </p>
          </td>
          <td style="padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="16%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              &#160;
            </p>
          </td>
          <td style="padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="2%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              &#160;
            </p>
          </td>
          <td style="padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="2%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              &#160;
            </p>
          </td>
          <td style="padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="15%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              &#160;
            </p>
          </td>
        </tr>
        <tr style="height: 14.5pt;">
          <td style="padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="50%">
            <p style="margin: 0in 0in 0pt;">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;">Options Outstanding at October 31, 2013</font>
            </p>
          </td>
          <td style="padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="11%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;">2,984,000</font>
            </p>
          </td>
          <td style="padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="2%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              &#160;
            </p>
          </td>
          <td style="padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" align="left" valign="bottom" width="2%">
            <p style="margin: 0in 0in 0pt;" align="left">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;">$</font>
            </p>
          </td>
          <td style="padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="16%">
            <p style="text-align: center; margin: 0in 0in 0pt;" align="center">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;">0.25</font>
            </p>
          </td>
          <td style="padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="2%">
            <p style="text-align: center; margin: 0in 0in 0pt;" align="center">
              &#160;
            </p>
          </td>
          <td style="padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="2%">
            <p style="text-align: center; margin: 0in 0in 0pt;" align="center">
              &#160;
            </p>
          </td>
          <td style="padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="15%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              &#160;
            </p>
          </td>
        </tr>
        <tr style="height: 14.5pt;">
          <td style="padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="50%">
            <p style="margin: 0in 0in 0pt 10pt;">
              <font style="font-size: 11pt; font-family: times new roman; color: #000000;">Granted</font>
            </p>
          </td>
          <td style="border-bottom: windowtext 1pt solid; padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="11%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;">7,710,000</font>
            </p>
          </td>
          <td style="padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="2%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              &#160;
            </p>
          </td>
          <td style="padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" align="left" valign="bottom" width="2%">
            <p style="margin: 0in 0in 0pt;" align="left">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;">$</font>
            </p>
          </td>
          <td style="padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="16%">
            <p style="text-align: center; margin: 0in 0in 0pt;" align="center">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;">0.20</font>
            </p>
          </td>
          <td style="padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="2%">
            <p style="text-align: center; margin: 0in 0in 0pt;" align="center">
              &#160;
            </p>
          </td>
          <td style="padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="2%">
            <p style="text-align: center; margin: 0in 0in 0pt;" align="center">
              &#160;
            </p>
          </td>
          <td style="padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="15%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              &#160;
            </p>
          </td>
        </tr>
        <tr style="height: 15.25pt;">
          <td style="padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;" valign="bottom" width="50%">
            <p style="margin: 0in 0in 0pt;">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;">Options Outstanding at January 31, 2014</font>
            </p>
          </td>
          <td style="border-bottom: windowtext 2.25pt double; padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;" valign="bottom" width="11%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;">10,694,000</font>
            </p>
          </td>
          <td style="padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;" valign="bottom" width="2%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              &#160;
            </p>
          </td>
          <td style="padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;" align="left" valign="bottom" width="2%">
            <p style="margin: 0in 0in 0pt;" align="left">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;">$</font>
            </p>
          </td>
          <td style="padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;" valign="bottom" width="16%">
            <p style="text-align: center; margin: 0in 0in 0pt;" align="center">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;">0.21</font>
            </p>
          </td>
          <td style="padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;" valign="bottom" width="2%">
            <p style="text-align: center; margin: 0in 0in 0pt;" align="center">
              &#160;
            </p>
          </td>
          <td style="padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;" align="left" valign="bottom" width="2%">
            <p style="margin: 0in 0in 0pt;" align="left">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;">$</font>
            </p>
          </td>
          <td style="padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;" valign="bottom" width="15%">
            <p style="text-align: center; margin: 0in 0in 0pt;" align="center">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;">1,980,000</font>
            </p>
          </td>
        </tr>
        <tr style="height: 15.95pt;">
          <td style="padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.95pt; padding-top: 0in;" valign="bottom" width="50%">
            <p style="margin: 0in 0in 0pt;">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;">Options Exercisable at January 31, 2014</font>
            </p>
          </td>
          <td style="border-bottom: windowtext 2.25pt double; padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.95pt; padding-top: 0in;" valign="bottom" width="11%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;">2,881,778</font>
            </p>
          </td>
          <td style="padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.95pt; padding-top: 0in;" valign="bottom" width="2%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              &#160;
            </p>
          </td>
          <td style="padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.95pt; padding-top: 0in;" align="left" valign="bottom" width="2%">
            <p style="margin: 0in 0in 0pt;" align="left">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;">$</font>
            </p>
          </td>
          <td style="padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.95pt; padding-top: 0in;" valign="bottom" width="16%">
            <p style="text-align: center; margin: 0in 0in 0pt;" align="center">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;">0.24</font>
            </p>
          </td>
          <td style="padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.95pt; padding-top: 0in;" valign="bottom" width="2%">
            <p style="text-align: center; margin: 0in 0in 0pt;" align="center">
              &#160;
            </p>
          </td>
          <td style="padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.95pt; padding-top: 0in;" align="left" valign="bottom" width="2%">
            <p style="margin: 0in 0in 0pt;" align="left">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;">$</font>
            </p>
          </td>
          <td style="padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.95pt; padding-top: 0in;" valign="bottom" width="15%">
            <p style="text-align: center; margin: 0in 0in 0pt;" align="center">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;">444,000</font>
            </p>
          </td>
        </tr>
        <tr style="height: 15.25pt;">
          <td style="padding-bottom: 0in; background-color: #ffffff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;" valign="bottom" width="50%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              &#160;
            </p>
          </td>
          <td style="padding-bottom: 0in; background-color: #ffffff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;" valign="bottom" width="11%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              &#160;
            </p>
          </td>
          <td style="padding-bottom: 0in; background-color: #ffffff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;" valign="bottom" width="2%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              &#160;
            </p>
          </td>
          <td style="padding-bottom: 0in; background-color: #ffffff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;" valign="bottom" width="2%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              &#160;
            </p>
          </td>
          <td style="padding-bottom: 0in; background-color: #ffffff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;" valign="bottom" width="16%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              &#160;
            </p>
          </td>
          <td style="padding-bottom: 0in; background-color: #ffffff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;" valign="bottom" width="2%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              &#160;
            </p>
          </td>
          <td style="padding-bottom: 0in; background-color: #ffffff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;" valign="bottom" width="2%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              &#160;
            </p>
          </td>
          <td style="padding-bottom: 0in; background-color: #ffffff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;" valign="bottom" width="15%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              &#160;
            </p>
          </td>
        </tr>

    </table><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US"><br />
        The following table summarizes information about stock options outstanding under the 2010 Share Plan as of January 31, 2014:</font>
      </p><br/><table style="WIDTH: 50%" border="0" cellspacing="0" cellpadding="0">
            <tr>
              <td valign="bottom" width="14%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>
                </p>
              </td>
              <td valign="bottom" width="2%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>
                </p>
              </td>
              <td style="BORDER-BOTTOM: #000000 1px solid" valign="bottom" width="37%" colspan="6" align="center">
                <p style="MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>
                </p>
                <p style="MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">Options Outstanding</font>
                </p>
              </td>
              <td valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>
                </p>
              </td>
              <td style="BORDER-BOTTOM: #000000 1px solid" valign="bottom" width="45%" colspan="6">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>
                </p>
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">Options Exercisable</font>
                </p>
              </td>
            </tr>
            <tr style="HEIGHT: 14.5pt">
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="14%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="9%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="BORDER-BOTTOM: #000000 1px solid" valign="bottom" rowspan="4" width="12%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">Weighted</font><br />
                </p>
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;">Average</font><br />
                </p>
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;">Remaining</font><br />
                </p>
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;">Contractual Life</font><br />
                </p>
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;">(in years)</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="BORDER-BOTTOM: #000000 1px solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" rowspan="4" width="15%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">Weighted</font><br />
                </p>
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;">Average</font><br />
                </p>
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;">Remaining</font><br />
                </p>
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;">Contractual Life (in years)</font>
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                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">$</font>
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              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">0.21</font>
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              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
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              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">2,881,778</font>
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                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
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              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="15%">
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                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">5.51</font>
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                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">$</font>
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              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="14%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">0.24</font>
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              </td>
            </tr>
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        <font style="text-autospace: ideograph-numeric; font-size: 12pt; font-family: Times New Roman;" lang="EN-US">In addition to options granted under the 2003 Share Plan and the 2010 Share Plan, in September 2012, the Board of Directors approved the grant of stock options to purchase 41,500,000 shares and, during the year ended October 31, 2013, the Board of Directors approved the grant of stock options to purchase 3,000,000 shares.</font>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">Of the stock options granted in September 2012, nonqualified options to purchase 40,000,000 shares were issued to our new executive team, consisting of 16,000,000 stock options issued to our new President and Chief Executive Officer, 8,000,000 stock options issued to our new Senior Vice President of Engineering and 16,000,000 stock options issued to a new strategic advisor to the Company who is also a Director.&#160; These stock options have an</font> <font style="letter-spacing: -0.15pt; font-size: 12pt; font-family: Times New Roman;" lang="EN-US">exercise price of $0.2175 (the average of the high and the low sales price of the common stock on the trading day immediately preceding the approval of such options by the Board of Directors) and</font> <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">have a term of ten years.&#160;</font> <font style="letter-spacing: -0.15pt; font-size: 12pt; font-family: Times New Roman;" lang="EN-US">Half of these stock options vest in 36 equal monthly installments commencing on October 31, 2012, provided that if the grantees are terminated by the Company without cause, an additional 12 months of vesting will be accelerated and such accelerated options will become immediately exercisable.&#160; The balance of the stock options will vest in three equal installments upon achievement of a cash</font> <font style="letter-spacing: -0.15pt; font-size: 12pt; font-family: Times New Roman;" lang="EN-US">milestone, which was satisfied in the fourth quarter of fiscal 2013, and two stock price targets, which were not achieved in fiscal 2013. In November 2013, in light of the cost and expense of revaluing the unvested portion of the performance-based stock options on a quarterly basis for financial reporting purposes, the Board of Directors approved an amendment to the performance-based stock options awarded on September 19, 2012 to</font> <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">the President and Chief Executive Officer, Senior Vice President of Engineering and the strategic advisor. The amendment modifies the option award&#8217;s vesting conditions to provide that the unvested portion of the stock options vest in 23 consecutive monthly installments commencing November 30, 2013. &#160;As of January 31, 2014, the outstanding options to purchase 40,000,000 shares had an intrinsic value of $7,176,000.&#160; A</font><font style="letter-spacing: -0.15pt; font-size: 12pt; font-family: Times New Roman;" lang="EN-US">s of January 31, 2014, 17,294,686 of these stock options were exercisable with an aggregate intrinsic value of approximately $3,103,000.&#160; These stock options otherwise have the same terms and conditions as options granted under the Company&#8217;s 2010 Share Incentive Plan.&#160;</font>
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        <font style="letter-spacing: -0.15pt; text-autospace: ideograph-numeric; font-size: 12pt; font-family: Times New Roman;" lang="EN-US">The remaining</font> <font style="text-autospace: ideograph-numeric; font-size: 12pt; font-family: Times New Roman;" lang="EN-US">nonqualified&#160;</font> <font style="letter-spacing: -0.15pt; text-autospace: ideograph-numeric; font-size: 12pt; font-family: Times New Roman;" lang="EN-US">stock options granted in September 2012 to purchase 1,500,000 shares consisted of grants of 750,000 stock options to our Chairman in compensation for his service as interim Chief Executive Officer of the Company and as compensation for his prior service as a director, and 750,000 stock options to a director in compensation for his service in recruiting the Company&#8217;s new management team.&#160; These stock options have an exercise price of $0.2225 (</font><font style="text-autospace: ideograph-numeric; font-size: 12pt; font-family: Times New Roman;" lang="EN-US">the average of the high
        and low sales price on September 21, 2012) and an intrinsic value as of January 31, 2014 of approximately $262,000.&#160; The options vest in 3 equal annual installments of 250,000 commencing on September 21, 2012 and have a term of ten years.&#160;</font> <font style="letter-spacing: -0.15pt; text-autospace: ideograph-numeric; font-size: 12pt; font-family: Times New Roman;" lang="EN-US">&#160;As of January 31, 2014, 1,000,000 options were exercisable with an aggregate intrinsic value of approximately $174,000.&#160; These stock options otherwise have the same terms and conditions as options granted under the Company&#8217;s 2010 Share Incentive Plan.&#160;</font>
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        <font style="letter-spacing: -0.15pt; text-autospace: ideograph-numeric; font-size: 12pt; font-family: Times New Roman;" lang="EN-US">During the year ended October 31, 2013, nonqualified stock options to purchase 3,000,000 shares were granted to our outside directors for service rendered to our Company.&#160; Of these options,</font>
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        <font style="letter-spacing: -0.15pt; text-autospace: ideograph-numeric; font-size: 12pt; font-family: Times New Roman;" lang="EN-US">(a)&#160; In November 2012, nonqualified stock options to purchase 1,000,000 shares were issued to one of our directors as additional compensation for service in recruiting the Company&#8217;s new management team. These options have an exercise price of $0.211 (</font><font style="text-autospace: ideograph-numeric; font-size: 12pt; font-family: Times New Roman;" lang="EN-US">the average of the high and low sales price on date of grant) and vest 333,334 shares upon grant and 333,333 shares in two annual installments commencing November 30, 2013.&#160;</font>
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        <font style="letter-spacing: -0.15pt; text-autospace: ideograph-numeric; font-size: 12pt; font-family: Times New Roman;" lang="EN-US">(b) In February 2013, nonqualified stock options to purchase 1,000,000 shares were issued to the Chairman of the Board.&#160; These stock options have an exercise price of $0.235 (</font><font style="text-autospace: ideograph-numeric; font-size: 12pt; font-family: Times New Roman;" lang="EN-US">the average of the high and low sales price on date of grant) and vest 333,334 shares upon grant and 333,333 shares in two annual installments commencing February 15, 2014.&#160;</font>
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      <font style="text-autospace: ideograph-numeric; font-size: 12pt; font-family: Times New Roman;" lang="EN-US">(c)</font> <font style="letter-spacing: -0.15pt; text-autospace: ideograph-numeric; font-size: 12pt; font-family: Times New Roman;" lang="EN-US">In March 2013, nonqualified stock options to purchase an aggregate of 1,000,000 shares were granted to the Company&#8217;s three outside directors.&#160; Each of these stock options has an exercise price of $0.195 (</font><font style="text-autospace: ideograph-numeric; font-size: 12pt; font-family: Times New Roman;" lang="EN-US">the average of the high and low sales price on date of grant) and vest in four equal quarterly installments commencing March 31, 2013.</font>
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      <font style="text-autospace: ideograph-numeric; font-size: 12pt; font-family: Times New Roman;" lang="EN-US"><font style="text-autospace: ideograph-numeric; font-size: 12pt; font-family: Times New Roman;" lang="EN-US">As of January 31, 2014, the options to purchase 3,000,000 shares had an intrinsic value of approximately $550,000 and the portion exercisable of 2,000,000 shares had an intrinsic value of approximately $380,000.&#160;</font><font style="letter-spacing: -0.15pt; text-autospace: ideograph-numeric; font-size: 12pt; font-family: Times New Roman;" lang="EN-US">These options otherwise have the same terms and conditions as options granted under the Company&#8217;s 2010 Share Incentive Plan.</font></font>
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        <font style="text-autospace: ideograph-numeric; font-size: 12pt; font-family: Times New Roman;" lang="EN-US">The following table summarizes information about the above stock options outstanding that were not granted under the 2003 Share Plan or the 2010 Share Plan as of January 31, 2014:</font>
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                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
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                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
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                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">Options Outstanding</font>
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                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
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                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">Options Exercisable</font>
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                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
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              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="3%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
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              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="13%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
                </p>
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              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="3%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
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                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">Weighted</font><br />
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                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;">Average</font><br />
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                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;">Remaining</font><br />
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                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;">Contractual Life</font><br />
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                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;">(in years)</font>
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                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
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              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="9%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
                </p>
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              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="3%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
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              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="12%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
                </p>
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              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="3%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
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              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="15%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
                </p>
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              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="3%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
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              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="9%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
                </p>
              </td>
            </tr>
            <tr style="HEIGHT: 14.5pt">
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="11%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="3%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
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              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="13%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="3%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
                </p>
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              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="3%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="BORDER-BOTTOM: #000000 1px solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" rowspan="3" width="9%">
                <p style="MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">Weighted</font><br />
                </p>
                <p style="MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;">Average</font>
                </p>
                <p style="MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;">Exercise Price</font>
                </p>
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              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="3%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
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                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
                </p>
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                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
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                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
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                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
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                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
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                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
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                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="12%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="3%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="15%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="3%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="9%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
            </tr>
            <tr style="HEIGHT: 14.5pt">
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="11%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">$0.21-$0.235</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="3%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
                </p>
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              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="13%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
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                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="13%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">8.66</font>
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              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="3%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="9%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">$0.22</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="3%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="12%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">20,294,687</font>
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                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="15%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">8.67</font>
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              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="3%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="9%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">$0.22</font>
                </p>
              </td>
            </tr>
          </table><br/><p style="TEXT-ALIGN: justify; MARGIN: 0in 0in 0pt">
        <u><font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US" color="black">Stock Awards</font></u>
      </p><br/><p style="TEXT-ALIGN: justify; TEXT-INDENT: 0.5in; MARGIN: 0in 0in 0pt">
        <font style="font-size: 12pt; font-family: Times New Roman;" lang="EN-US">We account for stock awards granted to employees and consultants based on their grant date fair value, in accordance with ASC 718 and ASC 505-50, respectively.&#160; During the three-month periods ended January 31, 2014 and 2013, we issued 90,000 shares and 125,000 shares, respectively, of common stock to consultants for services rendered pursuant to the 2010 Share Plan.&#160;We recorded consulting expense for the three-month periods ended January 31, 2014 and 2013 of approximately $28,000 and $26,000, respectively for the shares of common stock issued to consultants.&#160;</font>
      </p><br/><span></span></td>
      </tr>
    </table>
    <div style="display: none;">
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            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Details</a><div>
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                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_DisclosureOfCompensationRelatedCostsSharebasedPaymentsAbstract</nobr></td>
                  </tr>
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                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
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                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:stringItemType</td>
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                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
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                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
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      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_DisclosureOfCompensationRelatedCostsShareBasedPaymentsTextBlock">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The entire disclosure for compensation-related costs for equity-based compensation, which may include disclosure of policies, compensation plan details, allocation of equity compensation, incentive distributions, equity-based arrangements to obtain goods and services, deferred compensation arrangements, employee stock ownership plan details and employee stock purchase plan details.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 718<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 1<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6415400&amp;loc=d3e5047-113901<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 718<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6415400&amp;loc=d3e5070-113901<br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 505<br><br> -SubTopic 50<br><br> -Section 50<br><br> -Paragraph 1<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6406099&amp;loc=d3e25284-112666<br><br><br><br>Reference 4: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 718<br><br> -SubTopic 40<br><br> -Section 50<br><br> -Paragraph 1<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6418621&amp;loc=d3e17540-113929<br><br><br><br>Reference 5: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 718<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 4<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6415400&amp;loc=d3e5444-113901<br><br><br><br>Reference 6: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher SEC<br><br> -Name Staff Accounting Bulletin (SAB)<br><br> -Number Topic 14<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_DisclosureOfCompensationRelatedCostsShareBasedPaymentsTextBlock</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
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                    <td><strong> Data Type:</strong></td>
                    <td>nonnum:textBlockItemType</td>
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  <body><span style="display: none;">v2.4.0.8</span><table class="report" border="0" cellspacing="2" id="ID0ELHAG">
      <tr>
        <th class="tl" colspan="1" rowspan="2">
          <div style="width: 200px;"><strong>CONVERTIBLE DEBENTURES (Details) - Fair value of the embedded conversion feature of the Convertible Debenture (USD $)<br></strong></div>
        </th>
        <th class="th" colspan="2">0 Months Ended</th>
        <th class="th" colspan="1"></th>
        <th class="th" colspan="1"></th>
        <th class="th" colspan="2">0 Months Ended</th>
        <th class="th" colspan="1"></th>
      </tr>
      <tr>
        <th class="th">
          <div>Jan. 31, 2014

</div>
          <div>Convertible Debenture Due January 2015 [Member]

</div>
          <div>Convertible Debentures Embedded Conversion Feature [Member]</div>
        </th>
        <th class="th">
          <div>Jan. 25, 2013

</div>
          <div>Convertible Debenture Due January 2015 [Member]

</div>
          <div>Convertible Debentures Embedded Conversion Feature [Member]</div>
        </th>
        <th class="th">
          <div>Oct. 31, 2013

</div>
          <div>Convertible Debenture Due January 2015 [Member]</div>
        </th>
        <th class="th">
          <div>Jan. 31, 2013

</div>
          <div>Convertible Debenture Due January 2015 [Member]</div>
        </th>
        <th class="th">
          <div>Jan. 31, 2014

</div>
          <div>Convertible Debentures Due November 2016 [Member]

</div>
          <div>Convertible Debentures Embedded Conversion Feature [Member]</div>
        </th>
        <th class="th">
          <div>Nov. 11, 2013

</div>
          <div>Convertible Debentures Due November 2016 [Member]

</div>
          <div>Convertible Debentures Embedded Conversion Feature [Member]</div>
        </th>
        <th class="th">
          <div>Nov. 30, 2013

</div>
          <div>Convertible Debentures Due November 2016 [Member]</div>
        </th>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_AssumptionForFairValueAsOfBalanceSheetDateOfInterestsContinuedToBeHeldByTransferorServicingAssetsOrLiabilitiesLineItems', window );"><strong>Assumption for Fair Value as of Balance Sheet Date of Assets or Liabilities that relate to Transferor's Continuing Involvement [Line Items]</strong></a></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_SharePrice', window );">Stock price on valuation date (in Dollars per share)</a></td>
        <td class="nump">$ 0.303<span></span></td>
        <td class="nump">$ 0.21<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">$ 0.303<span></span></td>
        <td class="nump">$ 0.20<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_DebtInstrumentConvertibleConversionPrice1', window );">Conversion price (in Dollars per share)</a></td>
        <td class="nump">$ 0.15<span></span></td>
        <td class="nump">$ 0.15<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">$ 0.15<span></span></td>
        <td class="nump">$ 0.189<span></span></td>
        <td class="nump">$ 0.189<span></span></td>
        <td class="nump">$ 0.1892<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_StockPremiumForLiquidity', window );">Stock premium for liquidity</a></td>
        <td class="nump">38.30%<span></span></td>
        <td class="nump">57.00%<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">38.30%<span></span></td>
        <td class="nump">35.50%<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_FairValueAssumptionsExpectedTerm', window );">Term (years)</a></td>
        <td class="text">1 year<span></span></td>
        <td class="text">2 years<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">2 years 292 days<span></span></td>
        <td class="text">3 years<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_FairValueAssumptionsExpectedVolatilityRate', window );">Expected volatility</a></td>
        <td class="nump">87.70%<span></span></td>
        <td class="nump">110.00%<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">105.00%<span></span></td>
        <td class="nump">102.80%<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_FairValueAssumptionsRiskFreeInterestRate', window );">Weighted average risk-free interest rate</a></td>
        <td class="nump">0.10%<span></span></td>
        <td class="nump">0.30%<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">0.60%<span></span></td>
        <td class="nump">0.62%<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_Trials', window );">Trials (in Shares)</a></td>
        <td class="nump">100,000<span></span></td>
        <td class="nump">100,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="text">&#xA0;<span></span></td>
        <td class="nump">100,000<span></span></td>
        <td class="nump">100,000<span></span></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_EmbeddedDerivativeFairValueOfEmbeddedDerivativeLiability', window );">Aggregate fair value (in Dollars)</a></td>
        <td class="nump">$ 1,020,000<span></span></td>
        <td class="nump">$ 1,180,000<span></span></td>
        <td class="nump">$ 165,000<span></span></td>
        <td class="nump">$ 1,180,000<span></span></td>
        <td class="nump">$ 2,410,000<span></span></td>
        <td class="nump">$ 1,570,000<span></span></td>
        <td class="nump">$ 1,570,000<span></span></td>
      </tr>
    </table>
    <div style="display: none;">
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          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
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        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Stock premium for liquidity rate.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_StockPremiumForLiquidity</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>copy_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>num:percentItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
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                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
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            </div>
          </td>
        </tr>
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      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_copy_Trials">
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          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Trials.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>No definition available.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>copy_Trials</nobr></td>
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                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>copy_</td>
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                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:sharesItemType</td>
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                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
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                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
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          </td>
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      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_AssumptionForFairValueAsOfBalanceSheetDateOfInterestsContinuedToBeHeldByTransferorServicingAssetsOrLiabilitiesLineItems">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Details</a><div>
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_AssumptionForFairValueAsOfBalanceSheetDateOfInterestsContinuedToBeHeldByTransferorServicingAssetsOrLiabilitiesLineItems</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
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                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:stringItemType</td>
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                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
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                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
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              </div>
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          </td>
        </tr>
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      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_DebtInstrumentConvertibleConversionPrice1">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>The price per share of the conversion feature embedded in the debt instrument.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 470<br><br> -SubTopic 20<br><br> -Section 50<br><br> -Paragraph 5<br><br> -Subparagraph (b)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6928298&amp;loc=SL6031898-161870<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_DebtInstrumentConvertibleConversionPrice1</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>num:perShareItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
                </table>
              </div>
            </div>
          </td>
        </tr>
      </table>
      <table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_us-gaap_EmbeddedDerivativeFairValueOfEmbeddedDerivativeLiability">
        <tr>
          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
        </tr>
        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Fair value as of the balance sheet date of the embedded derivative or group of embedded derivatives classified as a liability.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 815<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 4B<br><br> -Subparagraph (c)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=7476318&amp;loc=SL5624163-113959<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_EmbeddedDerivativeFairValueOfEmbeddedDerivativeLiability</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:monetaryItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>credit</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>instant</td>
                  </tr>
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        </tr>
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          <td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="top.Show.hideAR();">X</a></td>
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        <tr>
          <td>
            <div class="body" style="padding: 2px;"><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">- Definition</a><div>
                <p>Period the instrument, asset or liability is expected to be outstanding, in 'PnYnMnDTnHnMnS' format, for example, 'P1Y5M13D' represents the reported fact of one year, five months, and thirteen days.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 820<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 2<br><br> -Subparagraph (e)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=25499696&amp;loc=d3e19207-110258<br><br><br><br></p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ Details</a><div style="display: none;">
                <table border="0" cellpadding="0" cellspacing="0">
                  <tr>
                    <td><strong> Name:</strong></td>
                    <td><nobr>us-gaap_FairValueAssumptionsExpectedTerm</nobr></td>
                  </tr>
                  <tr>
                    <td style="padding-right: 4px;"><nobr><strong> Namespace Prefix:</strong></nobr></td>
                    <td>us-gaap_</td>
                  </tr>
                  <tr>
                    <td><strong> Data Type:</strong></td>
                    <td>xbrli:durationItemType</td>
                  </tr>
                  <tr>
                    <td><strong> Balance Type:</strong></td>
                    <td>na</td>
                  </tr>
                  <tr>
                    <td><strong> Period Type:</strong></td>
                    <td>duration</td>
                  </tr>
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                <p>Measure of dispersion, in percentage terms (for instance, the standard deviation or variance), for a given stock price.</p>
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                <p>Risk-free interest rate assumption used in valuing an instrument.</p>
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                <p>Price of a single share of a number of saleable stocks of a company.</p>
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                <p>The value of the financial instrument(s) that the original debt is being converted into in a noncash (or part noncash) transaction. "Part noncash" refers to that portion of the transaction not resulting in cash receipts or cash payments in the period.</p>
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                <p>Fair value, after the effects of master netting arrangements, of a financial liability or contract with one or more underlyings, notional amount or payment provision or both, and the contract can be net settled by means outside the contract or delivery of an asset, expected to be settled within one year or normal operating cycle, if longer. Includes assets not subject to a master netting arrangement and not elected to be offset.</p>
              </div><a href="javascript:void(0);" onclick="top.Show.toggleNext( this );">+ References</a><div style="display: none;">
                <p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Glossary Current Liabilities<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6509677<br><br><br><br>Reference 2: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 825<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 10<br><br> -Subparagraph (a)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=28364263&amp;loc=d3e13433-108611<br><br><br><br>Reference 3: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 815<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 5<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6945355&amp;loc=d3e41228-113958<br><br><br><br>Reference 4: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 825<br><br> -SubTopic 10<br><br> -Section 50<br><br> -Paragraph 15<br><br> -URI http://asc.fasb.org/extlink&amp;oid=28364263&amp;loc=d3e13495-108611<br><br><br><br>Reference 5: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 210<br><br> -SubTopic 20<br><br> -Section 50<br><br> -Paragraph 3<br><br> -Subparagraph (c)<br><br> -URI http://asc.fasb.org/extlink&amp;oid=20225523&amp;loc=SL20225862-175312<br><br><br><br>Reference 6: http://www.xbrl.org/2003/role/presentationRef<br><br> -Publisher FASB<br><br> -Name Accounting Standards Codification<br><br> -Topic 815<br><br> -SubTopic 10<br><br> -Section 45<br><br> -Paragraph 6<br><br> -URI http://asc.fasb.org/extlink&amp;oid=6945355&amp;loc=d3e41271-113958<br><br><br><br></p>
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                <p>Fair value of obligations measured on a recurring basis.</p>
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                <p>Amount of realized and unrealized gain (loss) included in earnings, which have arisen from the use of significant unobservable inputs (level 3) to measure fair value of assets, liabilities, and financial instruments classified in shareholders' equity.</p>
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  <body><span style="display: none;">v2.4.0.8</span><table class="report" border="0" cellspacing="2" id="ID0EEFAC">
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              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="74%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
            </tr>
            <tr style="HEIGHT: 15.25pt">
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="74%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="12%" colspan="2" align="center">
                <p style="MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>
                </p>
                <p style="MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;">2014</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="12%" colspan="2">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>
                </p>
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;">2013</font>
                </p>
              </td>
            </tr>
            <tr style="HEIGHT: 15.25pt">
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="74%">
                <p style="MARGIN: 0in 0in 0pt">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">Weighted average fair value at grant date</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="MARGIN: 0in 0in 0pt">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">$</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: times new roman;" color="#000000">0.17</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="MARGIN: 0in 0in 0pt">
                  <font style="line-height: normal; font-size: 11pt; font-family: times new roman;" color="#000000">$</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: times new roman;" color="#000000">0.17</font>
                </p>
              </td>
            </tr>
            <tr style="HEIGHT: 15.25pt">
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="74%">
                <p style="MARGIN: 0in 0in 0pt">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">Valuation assumptions:</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
            </tr>
            <tr style="HEIGHT: 15.25pt">
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="74%">
                <p style="MARGIN: 0in 0in 0pt 10pt">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">Expected life ( years)</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">5.69</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">5.12</font>
                </p>
              </td>
            </tr>
            <tr style="HEIGHT: 15.25pt">
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="74%">
                <p style="MARGIN: 0in 0in 0pt 10pt">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">Expected volatility</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: times new roman;" color="#000000">115.4%</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: times new roman;" color="#000000">115.7%</font>
                </p>
              </td>
            </tr>
            <tr style="HEIGHT: 15.25pt">
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="74%">
                <p style="MARGIN: 0in 0in 0pt 10pt">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">Risk-free interest rate</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: times new roman;" color="#000000">1.76%</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: times new roman;" color="#000000">.58%</font>
                </p>
              </td>
            </tr>
            <tr style="HEIGHT: 15.25pt">
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="74%">
                <p style="MARGIN: 0in 0in 0pt 10pt">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">Expected dividend yield</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: times new roman;" color="#000000">0</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: times new roman;" color="#000000">0</font>
                </p>
              </td>
            </tr>
          </table><span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_ScheduleOfShareBasedCompensationStockOptionsActivityTableTextBlock', window );">Schedule of Share-based Compensation, Stock Options, Activity [Table Text Block]</a></td>
        <td class="text"><table style="WIDTH: 50%" border="0" cellspacing="0" cellpadding="0">
        <tr style="HEIGHT: 14.5pt">
          <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="50%">
            <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman;" color="#000000"></font>&#160;
            </p>
          </td>
          <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="14%">
            <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
              <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
            </p>
          </td>
          <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="3%">
            <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
              <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
            </p>
          </td>
          <td style="BORDER-BOTTOM: #000000 1px solid" valign="bottom" rowspan="2" width="16%">
            <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman;" color="#000000">Weighted</font><br />
            </p>
            <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman;">Average Exercise</font><br />
            </p>
            <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman;">Price Per Share</font>
            </p>
          </td>
          <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
            <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman;" color="#000000"></font>&#160;
            </p>
          </td>
          <td style="BORDER-BOTTOM: #000000 1px solid" valign="bottom" rowspan="2" width="15%" colspan="2">
            <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman;" color="#000000"></font>
            </p>
            <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
              <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;">Aggregate</font><br />
            </p>
            <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman;"></font>
            </p>
            <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman;">Intrinsic</font><br />
            </p>
            <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman;"></font>
            </p>
            <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman;">Value</font>
            </p>
          </td>
        </tr>
        <tr style="HEIGHT: 14.5pt">
          <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="50%">
            <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman;" color="#000000"></font>&#160;
            </p>
          </td>
          <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="14%">
            <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman;" color="#000000">Shares</font>
            </p>
          </td>
          <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="3%">
            <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman;" color="#000000"></font>&#160;
            </p>
          </td>
          <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
            <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman;" color="#000000"></font>&#160;
            </p>
          </td>
        </tr>
        <tr style="HEIGHT: 15.25pt">
          <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="50%">
            <p style="MARGIN: 0in 0in 0pt">
              <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">Options Outstanding at October 31, 2013</font>
            </p>
          </td>
          <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="14%">
            <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
              <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">15,638,845</font>
            </p>
          </td>
          <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="3%">
            <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
              <font style="line-height: normal; font-size: 12pt; text-decoration: none; font-family: times new roman;" color="#000000"></font>&#160;
            </p>
          </td>
          <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="16%">
            <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
              <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">$0.72</font>
            </p>
          </td>
          <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="2%">
            <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
              <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
            </p>
          </td>
          <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="3%">
            <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
              <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
            </p>
          </td>
          <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="12%">
            <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
              <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
            </p>
          </td>
        </tr>
        <tr style="HEIGHT: 15.95pt">
          <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="50%">
            <p style="MARGIN: 0in 0in 0pt">
              <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">Options Outstanding and exercisable at January 31, 2014</font>
            </p>
          </td>
          <td style="BORDER-BOTTOM: windowtext 2.25pt double; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="14%">
            <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
              <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">15,638,845</font>
            </p>
          </td>
          <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="3%">
            <p style="MARGIN: 0in 0in 0pt">
              <font style="line-height: normal; font-size: 12pt; text-decoration: none; font-family: times new roman;" color="#000000"></font>&#160;
            </p>
          </td>
          <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="16%">
            <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
              <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">$0.72</font>
            </p>
          </td>
          <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="2%">
            <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
              <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
            </p>
          </td>
          <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="3%">
            <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
              <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">$</font>
            </p>
          </td>
          <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.95pt; PADDING-TOP: 0in" valign="bottom" width="12%">
            <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
              <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000">461,000</font>
            </p>
          </td>
        </tr>
      </table><table style="width: 50%;" border="0" cellspacing="0" cellpadding="0">

        <tr style="height: 14.5pt;">
          <td style="padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="50%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              &#160;
            </p>
          </td>
          <td style="padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="11%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              &#160;
            </p>
          </td>
          <td style="padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="2%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              &#160;
            </p>
          </td>
          <td style="border-bottom: #000000 1px solid;" rowspan="2" colspan="2" valign="bottom" width="18%">
            <p style="text-align: center; margin: 0in 0in 0pt;" align="center">
              &#160;
            </p>
            <p style="text-align: center; margin: 0in 0in 0pt;" align="center">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman;">Weighted</font>
            </p>
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              &#160;
            </p>
            <p style="text-align: center; margin: 0in 0in 0pt;" align="center">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman;">Average Exercise</font>
            </p>
            <p style="text-align: center; margin: 0in 0in 0pt;" align="center">
              &#160;
            </p>
            <p style="text-align: center; margin: 0in 0in 0pt;" align="center">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman;">Price Per Share</font>
            </p>
          </td>
          <td style="padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="2%">
            <p style="text-align: center; margin: 0in 0in 0pt;" align="center">
              &#160;
            </p>
          </td>
          <td style="border-bottom: #000000 1px solid;" rowspan="2" colspan="2" valign="bottom" width="17%">
            <p style="text-align: center; margin: 0in 0in 0pt;" align="center">
              &#160;
            </p>
            <p style="text-align: center; margin: 0in 0in 0pt;" align="center">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman;">Aggregate</font>
            </p>
            <p style="text-align: center; margin: 0in 0in 0pt;" align="center">
              &#160;
            </p>
            <p style="text-align: center; margin: 0in 0in 0pt;" align="center">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman;">Intrinsic</font>
            </p>
            <p style="text-align: center; margin: 0in 0in 0pt;" align="center">
              &#160;
            </p>
            <p style="text-align: center; margin: 0in 0in 0pt;" align="center">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman;">Value</font>
            </p>
          </td>
        </tr>
        <tr style="height: 14.5pt;">
          <td style="padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="50%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              &#160;
            </p>
          </td>
          <td style="border-bottom: windowtext 1pt solid; padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="11%">
            <p style="text-align: center; margin: 0in 0in 0pt;" align="center">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;">Shares</font>
            </p>
          </td>
          <td style="padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="2%">
            <p style="text-align: center; margin: 0in 0in 0pt;" align="center">
              &#160;
            </p>
          </td>
          <td style="padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="2%">
            <p style="text-align: center; margin: 0in 0in 0pt;" align="center">
              &#160;
            </p>
          </td>
        </tr>
        <tr style="height: 14.5pt;">
          <td style="padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="50%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              &#160;
            </p>
          </td>
          <td style="padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="11%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              &#160;
            </p>
          </td>
          <td style="padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="2%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              &#160;
            </p>
          </td>
          <td style="padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="2%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              &#160;
            </p>
          </td>
          <td style="padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="16%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              &#160;
            </p>
          </td>
          <td style="padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="2%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              &#160;
            </p>
          </td>
          <td style="padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="2%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              &#160;
            </p>
          </td>
          <td style="padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="15%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              &#160;
            </p>
          </td>
        </tr>
        <tr style="height: 14.5pt;">
          <td style="padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="50%">
            <p style="margin: 0in 0in 0pt;">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;">Options Outstanding at October 31, 2013</font>
            </p>
          </td>
          <td style="padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="11%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;">2,984,000</font>
            </p>
          </td>
          <td style="padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="2%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              &#160;
            </p>
          </td>
          <td style="padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" align="left" valign="bottom" width="2%">
            <p style="margin: 0in 0in 0pt;" align="left">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;">$</font>
            </p>
          </td>
          <td style="padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="16%">
            <p style="text-align: center; margin: 0in 0in 0pt;" align="center">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;">0.25</font>
            </p>
          </td>
          <td style="padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="2%">
            <p style="text-align: center; margin: 0in 0in 0pt;" align="center">
              &#160;
            </p>
          </td>
          <td style="padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="2%">
            <p style="text-align: center; margin: 0in 0in 0pt;" align="center">
              &#160;
            </p>
          </td>
          <td style="padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="15%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              &#160;
            </p>
          </td>
        </tr>
        <tr style="height: 14.5pt;">
          <td style="padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="50%">
            <p style="margin: 0in 0in 0pt 10pt;">
              <font style="font-size: 11pt; font-family: times new roman; color: #000000;">Granted</font>
            </p>
          </td>
          <td style="border-bottom: windowtext 1pt solid; padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="11%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;">7,710,000</font>
            </p>
          </td>
          <td style="padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="2%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              &#160;
            </p>
          </td>
          <td style="padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" align="left" valign="bottom" width="2%">
            <p style="margin: 0in 0in 0pt;" align="left">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;">$</font>
            </p>
          </td>
          <td style="padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="16%">
            <p style="text-align: center; margin: 0in 0in 0pt;" align="center">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;">0.20</font>
            </p>
          </td>
          <td style="padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="2%">
            <p style="text-align: center; margin: 0in 0in 0pt;" align="center">
              &#160;
            </p>
          </td>
          <td style="padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="2%">
            <p style="text-align: center; margin: 0in 0in 0pt;" align="center">
              &#160;
            </p>
          </td>
          <td style="padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 14.5pt; padding-top: 0in;" valign="bottom" width="15%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              &#160;
            </p>
          </td>
        </tr>
        <tr style="height: 15.25pt;">
          <td style="padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;" valign="bottom" width="50%">
            <p style="margin: 0in 0in 0pt;">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;">Options Outstanding at January 31, 2014</font>
            </p>
          </td>
          <td style="border-bottom: windowtext 2.25pt double; padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;" valign="bottom" width="11%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;">10,694,000</font>
            </p>
          </td>
          <td style="padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;" valign="bottom" width="2%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              &#160;
            </p>
          </td>
          <td style="padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;" align="left" valign="bottom" width="2%">
            <p style="margin: 0in 0in 0pt;" align="left">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;">$</font>
            </p>
          </td>
          <td style="padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;" valign="bottom" width="16%">
            <p style="text-align: center; margin: 0in 0in 0pt;" align="center">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;">0.21</font>
            </p>
          </td>
          <td style="padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;" valign="bottom" width="2%">
            <p style="text-align: center; margin: 0in 0in 0pt;" align="center">
              &#160;
            </p>
          </td>
          <td style="padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;" align="left" valign="bottom" width="2%">
            <p style="margin: 0in 0in 0pt;" align="left">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;">$</font>
            </p>
          </td>
          <td style="padding-bottom: 0in; background-color: #cceeff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;" valign="bottom" width="15%">
            <p style="text-align: center; margin: 0in 0in 0pt;" align="center">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;">1,980,000</font>
            </p>
          </td>
        </tr>
        <tr style="height: 15.95pt;">
          <td style="padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.95pt; padding-top: 0in;" valign="bottom" width="50%">
            <p style="margin: 0in 0in 0pt;">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;">Options Exercisable at January 31, 2014</font>
            </p>
          </td>
          <td style="border-bottom: windowtext 2.25pt double; padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.95pt; padding-top: 0in;" valign="bottom" width="11%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;">2,881,778</font>
            </p>
          </td>
          <td style="padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.95pt; padding-top: 0in;" valign="bottom" width="2%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              &#160;
            </p>
          </td>
          <td style="padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.95pt; padding-top: 0in;" align="left" valign="bottom" width="2%">
            <p style="margin: 0in 0in 0pt;" align="left">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;">$</font>
            </p>
          </td>
          <td style="padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.95pt; padding-top: 0in;" valign="bottom" width="16%">
            <p style="text-align: center; margin: 0in 0in 0pt;" align="center">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;">0.24</font>
            </p>
          </td>
          <td style="padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.95pt; padding-top: 0in;" valign="bottom" width="2%">
            <p style="text-align: center; margin: 0in 0in 0pt;" align="center">
              &#160;
            </p>
          </td>
          <td style="padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.95pt; padding-top: 0in;" align="left" valign="bottom" width="2%">
            <p style="margin: 0in 0in 0pt;" align="left">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;">$</font>
            </p>
          </td>
          <td style="padding-bottom: 0in; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.95pt; padding-top: 0in;" valign="bottom" width="15%">
            <p style="text-align: center; margin: 0in 0in 0pt;" align="center">
              <font style="line-height: normal; font-size: 11pt; font-family: times new roman; color: #000000;">444,000</font>
            </p>
          </td>
        </tr>
        <tr style="height: 15.25pt;">
          <td style="padding-bottom: 0in; background-color: #ffffff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;" valign="bottom" width="50%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              &#160;
            </p>
          </td>
          <td style="padding-bottom: 0in; background-color: #ffffff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;" valign="bottom" width="11%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              &#160;
            </p>
          </td>
          <td style="padding-bottom: 0in; background-color: #ffffff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;" valign="bottom" width="2%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              &#160;
            </p>
          </td>
          <td style="padding-bottom: 0in; background-color: #ffffff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;" valign="bottom" width="2%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              &#160;
            </p>
          </td>
          <td style="padding-bottom: 0in; background-color: #ffffff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;" valign="bottom" width="16%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              &#160;
            </p>
          </td>
          <td style="padding-bottom: 0in; background-color: #ffffff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;" valign="bottom" width="2%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              &#160;
            </p>
          </td>
          <td style="padding-bottom: 0in; background-color: #ffffff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;" valign="bottom" width="2%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              &#160;
            </p>
          </td>
          <td style="padding-bottom: 0in; background-color: #ffffff; padding-left: 1.5pt; padding-right: 1.5pt; height: 15.25pt; padding-top: 0in;" valign="bottom" width="15%">
            <p style="text-align: right; margin: 0in 0in 0pt;" align="right">
              &#160;
            </p>
          </td>
        </tr>

    </table><span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsVestedAndExpectedToVestOutstandingAndExercisableTableTextBlock', window );">Share-based Compensation Arrangement by Share-based Payment Award, Options, Vested and Expected to Vest, Outstanding and Exercisable [Table Text Block]</a></td>
        <td class="text"><table style="WIDTH: 50%" border="0" cellspacing="0" cellpadding="0">
            <tr style="HEIGHT: 15.25pt">
              <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 15.25pt; PADDING-TOP: 0in" valign="bottom" width="100%" colspan="7" align="center">
                <p style="MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>
                </p>
                <p style="MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;"></font>
                </p>
                <p style="MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;">Stock</font> <font style="line-height: normal; font-size: 11pt; font-family: times new roman;">Options Outstanding</font>
                </p>
              </td>
            </tr>
            <tr style="HEIGHT: 14.5pt">
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="28%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="24%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="BORDER-BOTTOM: #000000 1px solid" valign="bottom" rowspan="3" width="21%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">Weighted</font><br />
                </p>
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;">Average</font><br />
                </p>
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;">Remaining</font><br />
                </p>
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;">Contractual Life</font><br />
                </p>
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;">(in years)</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="BORDER-BOTTOM: #000000 1px solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" rowspan="3" width="21%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">Weighted</font><br />
                </p>
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;">Average</font><br />
                </p>
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;">Exercise Price</font>
                </p>
              </td>
            </tr>
            <tr style="HEIGHT: 14.5pt">
              <td style="BORDER-BOTTOM: #000000 1px solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" rowspan="2" width="28%">
                <p style="MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">Range of</font><br />
                </p>
                <p style="MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;">Exercise</font>
                </p>
                <p style="MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;">&#160;Prices</font>
                </p>
              </td>
              <td style="BORDER-BOTTOM: #000000 1px solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" rowspan="2" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>
                </p>
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;"></font>&#160;
                </p>
              </td>
              <td style="BORDER-BOTTOM: #000000 1px solid" valign="bottom" rowspan="2" width="24%" align="center">
                &#160;<font style="line-height: normal; font-size: 10pt; font-family: times new roman;">Number<br />
                </font><font style="line-height: normal; font-size: 10pt; font-family: times new roman;">Outstanding</font>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
            </tr>
            <tr style="HEIGHT: 14.5pt">
              <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="BORDER-BOTTOM: windowtext 1pt solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
            </tr>
            <tr style="HEIGHT: 14.5pt">
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="28%" align="center">
                <p style="MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">$0.07 - $0.37</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="24%" align="center">
                <p style="MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">1,860,000</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="21%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">2.95</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="21%" align="center">
                <p style="MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">$0.15</font>
                </p>
              </td>
            </tr>
            <tr style="HEIGHT: 14.5pt">
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="28%" align="center">
                <p style="MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">$0.43 - $0.70</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="24%" align="center">
                <p style="MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">5,384,770</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="21%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">1.7</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="21%" align="center">
                <p style="MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">$0.60</font>
                </p>
              </td>
            </tr>
            <tr style="HEIGHT: 14.5pt">
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="28%" align="center">
                <p style="MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">$0.74 - $0.92</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="24%" align="center">
                <p style="MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">6,139,075</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="21%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">2.56</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; BACKGROUND-COLOR: #cceeff; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="21%" align="center">
                <p style="MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">$0.85</font>
                </p>
              </td>
            </tr>
            <tr style="HEIGHT: 14.5pt">
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="28%" align="center">
                <p style="MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">$1.04 - $1.46</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="24%" align="center">
                <p style="MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">2,255,000</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="21%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">1.98</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="21%" align="center">
                <p style="MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">$1.10</font>
                </p>
              </td>
            </tr>
          </table><span></span></td>
      </tr>
      <tr class="rh">
        <td class="pl" style="border-bottom: 0px;" valign="top">
          <div class="a">2010 Share Plan [Member]</div>
        </td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="ro">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_copy_STOCKBASEDCOMPENSATIONTablesLineItems', window );"><strong>STOCK BASED COMPENSATION (Tables) [Line Items]</strong></a></td>
        <td class="text">&#xA0;<span></span></td>
      </tr>
      <tr class="re">
        <td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="top.Show.showAR( this, 'defref_us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsVestedAndExpectedToVestOutstandingAndExercisableTableTextBlock', window );">Share-based Compensation Arrangement by Share-based Payment Award, Options, Vested and Expected to Vest, Outstanding and Exercisable [Table Text Block]</a></td>
        <td class="text"><table style="WIDTH: 50%" border="0" cellspacing="0" cellpadding="0">
            <tr>
              <td valign="bottom" width="14%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>
                </p>
              </td>
              <td valign="bottom" width="2%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>
                </p>
              </td>
              <td style="BORDER-BOTTOM: #000000 1px solid" valign="bottom" width="37%" colspan="6" align="center">
                <p style="MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>
                </p>
                <p style="MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">Options Outstanding</font>
                </p>
              </td>
              <td valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>
                </p>
              </td>
              <td style="BORDER-BOTTOM: #000000 1px solid" valign="bottom" width="45%" colspan="6">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>
                </p>
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">Options Exercisable</font>
                </p>
              </td>
            </tr>
            <tr style="HEIGHT: 14.5pt">
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="14%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="9%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="BORDER-BOTTOM: #000000 1px solid" valign="bottom" rowspan="4" width="12%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">Weighted</font><br />
                </p>
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;">Average</font><br />
                </p>
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;">Remaining</font><br />
                </p>
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;">Contractual Life</font><br />
                </p>
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;">(in years)</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="10%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="BORDER-BOTTOM: #000000 1px solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" rowspan="4" width="15%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">Weighted</font><br />
                </p>
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;">Average</font><br />
                </p>
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;">Remaining</font><br />
                </p>
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;">Contractual Life (in years)</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="14%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
                </p>
              </td>
            </tr>
            <tr style="HEIGHT: 14.5pt">
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="14%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="9%">
                <p style="MARGIN: 0in 0in 0pt">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td valign="bottom" width="2%">
                &#160;
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="BORDER-BOTTOM: #000000 1px solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" rowspan="3" width="12%" colspan="2">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;">Weighted</font><br />
                </p>
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;"></font>
                </p>
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;">Average</font><br />
                </p>
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;">Exercise Price</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="10%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="BORDER-BOTTOM: #000000 1px solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" rowspan="3" width="16%" colspan="2">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>
                </p>
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;">Weighted</font><br />
                </p>
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;"></font>
                </p>
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;">Average</font><br />
                </p>
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;"></font>
                </p>
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;">Exercise Price</font>
                </p>
              </td>
            </tr>
            <tr style="HEIGHT: 14.5pt">
              <td style="BORDER-BOTTOM: #000000 1px solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" rowspan="2" width="14%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">Range of</font><br />
                </p>
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;">Exercise Prices</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="BORDER-BOTTOM: #000000 1px solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" rowspan="2" width="9%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">Number</font><br />
                </p>
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;">Outstanding</font>
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" width="2%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
                </p>
              </td>
              <td style="BORDER-BOTTOM: #000000 1px solid; PADDING-BOTTOM: 0in; PADDING-LEFT: 1.5pt; PADDING-RIGHT: 1.5pt; HEIGHT: 14.5pt; PADDING-TOP: 0in" valign="bottom" rowspan="2" width="10%">
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">Number</font><br />
                </p>
                <p style="TEXT-ALIGN: center; MARGIN: 0in 0in 0pt" align="center">
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                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
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                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
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                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
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                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
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                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
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                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
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                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
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                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
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                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
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                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
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                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
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                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
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                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
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                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">$</font>
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                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">0.21</font>
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                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
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                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">2,881,778</font>
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                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
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                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">5.51</font>
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                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
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                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">$</font>
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                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000">0.24</font>
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                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
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                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
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                  <font style="line-height: normal; font-size: 12pt; font-family: times new roman;" color="#000000"></font>&#160;
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                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
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                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
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                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
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                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
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                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
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                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
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                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
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                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
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                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
                  <font style="line-height: normal; font-size: 10pt; font-family: times new roman;" color="#000000"></font>&#160;
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                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
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                  <font style="line-height: normal; font-size: 11pt; font-family: Calibri,sans-serif;" color="#000000"></font>&#160;
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                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
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                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
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                <p style="TEXT-ALIGN: right; MARGIN: 0in 0in 0pt" align="right">
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                <p>Tabular disclosure of the significant assumptions used during the year to estimate the fair value of stock options, including, but not limited to: (a) expected term of share options and similar instruments, (b) expected volatility of the entity's shares, (c) expected dividends, (d) risk-free rate(s), and (e) discount for post-vesting restrictions.</p>
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