<SEC-DOCUMENT>0001078782-17-000374.txt : 20170330
<SEC-HEADER>0001078782-17-000374.hdr.sgml : 20170330
<ACCEPTANCE-DATETIME>20170329214442
ACCESSION NUMBER:		0001078782-17-000374
CONFORMED SUBMISSION TYPE:	8-K
PUBLIC DOCUMENT COUNT:		3
CONFORMED PERIOD OF REPORT:	20170330
ITEM INFORMATION:		Results of Operations and Financial Condition
ITEM INFORMATION:		Financial Statements and Exhibits
FILED AS OF DATE:		20170330
DATE AS OF CHANGE:		20170329

FILER:

	COMPANY DATA:	
		COMPANY CONFORMED NAME:			SIGMA LABS, INC.
		CENTRAL INDEX KEY:			0000788611
		STANDARD INDUSTRIAL CLASSIFICATION:	MISCELLANEOUS MANUFACTURING INDUSTRIES [3990]
		IRS NUMBER:				820404220
		STATE OF INCORPORATION:			NV
		FISCAL YEAR END:			1231

	FILING VALUES:
		FORM TYPE:		8-K
		SEC ACT:		1934 Act
		SEC FILE NUMBER:	001-38015
		FILM NUMBER:		17723596

	BUSINESS ADDRESS:	
		STREET 1:		3900 PASEO DEL SOL
		CITY:			SANTE FE
		STATE:			NM
		ZIP:			87507
		BUSINESS PHONE:		(505) 438-2576

	MAIL ADDRESS:	
		STREET 1:		3900 PASEO DEL SOL
		CITY:			SANTE FE
		STATE:			NM
		ZIP:			87507

	FORMER COMPANY:	
		FORMER CONFORMED NAME:	FRAMEWAVES INC
		DATE OF NAME CHANGE:	20010130

	FORMER COMPANY:	
		FORMER CONFORMED NAME:	MESSIDOR LTD
		DATE OF NAME CHANGE:	20010122
</SEC-HEADER>
<DOCUMENT>
<TYPE>8-K
<SEQUENCE>1
<FILENAME>f8k032917_8k.htm
<DESCRIPTION>FORM 8-K CURRENT REPORT
<TEXT>
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<HEAD>
<TITLE>Form 8-K Current Report</TITLE>
<META NAME="author" CONTENT="Troy Gould">
<META NAME="date" CONTENT="03/29/2017">
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<BODY style="margin-top:0;font-family:Times New Roman; font-size:10pt; color:#000000">
<DIV style="width:720px"><P style="margin:0px"><BR></P>
<P style="margin:0px" align=center><B>UNITED STATES</B></P>
<P style="margin:0px" align=center><B>SECURITIES AND EXCHANGE COMMISSION</B></P>
<P style="margin:0px" align=center><B>WASHINGTON, D.C. 20549</B></P>
<P style="margin:0px" align=center>_________________________</P>
<P style="margin:0px" align=center><BR></P>
<P style="margin:0px; font-size:12pt" align=center><B>FORM 8-K</B></P>
<P style="margin:0px" align=center><BR></P>
<P style="margin:0px" align=center><B>CURRENT REPORT</B></P>
<P style="margin:0px" align=center><B>PURSUANT TO SECTION 13 OR 15(D) OF THE</B></P>
<P style="margin:0px" align=center><B>THE SECURITIES EXCHANGE ACT OF 1934</B></P>
<P style="margin:0px" align=center><BR></P>
<P style="margin:0px" align=center><B>Date of report (Date of earliest event reported): March 30, 2017</B></P>
<P style="margin:0px" align=center><BR></P>
<P style="margin:0px" align=center><BR></P>
<P style="margin:0px" align=center><BR></P>
<TABLE style="margin-top:0px; font-size:10pt" cellpadding=0 cellspacing=0 align=center><TR height=0 style="font-size:0"><TD width=637.2 /></TR>
<TR><TD style="margin-top:0px; border-bottom:1px solid #000000" valign=top width=637.2><P style="margin:0px; font-size:14pt" align=center><B>SIGMA LABS, INC.</B></P>
</TD></TR>
<TR><TD style="margin-top:0px" valign=top width=637.2><P style="margin:0px" align=center>(Exact name of registrant as specified in its charter)</P>
</TD></TR>
</TABLE>
<P style="margin:0px" align=center><BR></P>
<P style="margin:0px" align=center><BR></P>
<P style="margin:0px" align=center><BR></P>
<TABLE style="margin-top:0px; font-size:10pt" cellpadding=0 cellspacing=0 align=center><TR height=0 style="font-size:0"><TD width=192 /><TD width=28.8 /><TD width=192 /><TD width=28.8 /><TD width=192 /></TR>
<TR><TD style="margin-top:0px; border-bottom:1px solid #000000" valign=top width=192><P style="margin:0px" align=center><B>Nevada</B></P>
</TD><TD style="margin-top:0px" valign=top width=28.8><P style="margin:0px; padding:0px">&nbsp;</P></TD><TD style="margin-top:0px; border-bottom:1px solid #000000" valign=top width=192><P style="margin:0px" align=center><B>033-02783-S</B></P>
</TD><TD style="margin-top:0px" valign=top width=28.8><P style="margin:0px; padding:0px">&nbsp;</P></TD><TD style="margin-top:0px; border-bottom:1px solid #000000" valign=top width=192><P style="margin:0px" align=center><B>27-1865814</B></P>
</TD></TR>
<TR><TD style="margin-top:0px" valign=top width=192><P style="margin:0px" align=center>(State or other jurisdiction of incorporation or organization)</P>
</TD><TD style="margin-top:0px" valign=top width=28.8><P style="margin:0px; padding:0px">&nbsp;</P></TD><TD style="margin-top:0px" valign=top width=192><P style="margin:0px" align=center>(Commission File Number)</P>
</TD><TD style="margin-top:0px" valign=top width=28.8><P style="margin:0px; padding:0px">&nbsp;</P></TD><TD style="margin-top:0px" valign=top width=192><P style="margin:0px" align=center>(I.R.S. Employer <BR>
Identification No.)</P>
</TD></TR>
</TABLE>
<P style="margin:0px" align=center><BR></P>
<TABLE style="margin-top:0px; font-size:10pt" cellpadding=0 cellspacing=0 align=center><TR height=0 style="font-size:0"><TD width=633.333 /></TR>
<TR><TD style="margin-top:0px" valign=top width=633.333><P style="margin:0px" align=center><B>3900 Paseo del Sol</B></P>
</TD></TR>
<TR><TD style="margin-top:0px; border-bottom:1px solid #000000" valign=top width=633.333><P style="margin:0px" align=center><B>Santa Fe, New Mexico 87507</B></P>
</TD></TR>
<TR><TD style="margin-top:0px" valign=top width=633.333><P style="margin:0px" align=center>(Address of Principal Executive Offices) (Zip Code)</P>
</TD></TR>
</TABLE>
<P style="margin:0px" align=center><BR></P>
<P style="margin:0px" align=center>Registrant&#146;s telephone number, including area code: &nbsp;(505) 438-2576</P>
<P style="margin:0px" align=center><BR></P>
<P style="margin:0px" align=center><B>________________________________________________</B></P>
<P style="margin:0px" align=center>Former name or former address, if changed since last report</P>
<P style="margin:0px"><BR></P>
<P style="margin:0px"><BR></P>
<P style="margin:0px"><BR></P>
<P style="margin:0px" align=justify>Check the appropriate box below if the Form 8-K filing is intended to simultaneously satisfy the filing obligation of the registrant under any of the following provisions (see General Instruction A.2. below): </P>
<P style="margin:0px"><BR></P>
<P style="margin:0px"><BR></P>
<P style="margin:0px; padding-left:38.4px; text-indent:-38.4px; font-size:10.5pt">&nbsp;<FONT style="margin-bottom:1.333px; padding-top:1.333px; font-size:6pt; border:1px solid #000000">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</FONT><FONT style="font-size:6pt; color:#FFFFFF">. &nbsp;</FONT><FONT style="font-size:10pt">Written communications pursuant to Rule 425 under the Securities Act (17 CFR 230.425) </FONT></P>
<P style="margin:0px; padding-left:38.4px; text-indent:-38.4px; font-size:10.5pt">&nbsp;<FONT style="margin-bottom:1.333px; padding-top:1.333px; font-size:6pt; border:1px solid #000000">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</FONT><FONT style="font-size:6pt; color:#FFFFFF">. &nbsp;</FONT><FONT style="font-size:10pt">Soliciting material pursuant to Rule 14a-12 under the Exchange Act (17 CFR 240.14a-12)</FONT></P>
<P style="margin:0px; padding-left:38.4px; text-indent:-38.4px; font-size:10.5pt">&nbsp;<FONT style="margin-bottom:1.333px; padding-top:1.333px; font-size:6pt; border:1px solid #000000">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</FONT><FONT style="font-size:6pt; color:#FFFFFF">. &nbsp;</FONT><FONT style="font-size:10pt">Pre-commencement communications pursuant to Rule 14d-2(b) under the Exchange Act (17 CFR 240.14d-2(b)) </FONT></P>
<P style="margin:0px; padding-left:38.4px; text-indent:-38.4px; font-size:10.5pt">&nbsp;<FONT style="margin-bottom:1.333px; padding-top:1.333px; font-size:6pt; border:1px solid #000000">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</FONT><FONT style="font-size:6pt; color:#FFFFFF">. &nbsp;</FONT><FONT style="font-size:10pt">Pre-commencement communications pursuant to Rule 13e-4(c) under the Exchange Act (17 CFR 240.13e-4(c)) </FONT></P>
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<BR></P>
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<P style="margin-top:0px; margin-bottom:-2px; width:96px; float:left"><B>Item 2.02</B></P>
<P style="margin:0px; text-indent:-2px"><B>Results of Operations and Financial Condition. </B></P>
<P style="margin:0px; clear:left"><BR></P>
<P style="margin:0px; text-indent:48px" align=justify>On March 30, 2017, Sigma Labs, Inc. (the &#147;Company&#148;) issued a press release announcing the Company&#146;s financial results for the fourth quarter and year ended December 31, 2016, and an update on recent developments. &nbsp;A copy of the press release is attached to this Report as Exhibit 99.1 and is incorporated herein by reference.</P>
<P style="margin:0px" align=justify><BR></P>
<P style="margin:0px; text-indent:48px" align=justify>The information furnished under this Item&nbsp;2.02, including the accompanying Exhibit 99.1, shall not be deemed to be &#147;filed&#148; for the purposes of Section&nbsp;18 of the Securities Exchange Act of 1934 (the &#147;Exchange Act&#148;), or otherwise subject to the liability of such section, nor shall such information be deemed to be incorporated by reference in any previous or subsequent filing by the company under the Securities Act of 1933 or the Exchange Act, regardless of the general incorporation language of such filing, except as specifically stated in such filing.</P>
<P style="margin:0px"><BR></P>
<P style="margin-top:0px; margin-bottom:-2px; width:96px; float:left"><B>Item 9.01</B></P>
<P style="margin:0px; text-indent:-2px"><B>Financial Statements and Exhibits.</B></P>
<P style="margin:0px; clear:left"><BR></P>
<P style="margin-top:0px; margin-bottom:-2px; text-indent:48px; width:96px; float:left">(d)</P>
<P style="margin:0px; text-indent:-2px">Exhibits. &nbsp;</P>
<P style="margin:0px; clear:left"><BR></P>
<TABLE style="margin-top:0px; font-size:10pt" cellpadding=0 cellspacing=0><TR height=0 style="font-size:0"><TD width=127.2 /><TD width=18 /><TD width=493.2 /></TR>
<TR><TD style="margin-top:0px" valign=top width=127.2><P style="margin:0px">Exhibit Number</P>
</TD><TD style="margin-top:0px" valign=top width=18><P style="margin:0px; padding:0px">&nbsp;</P></TD><TD style="margin-top:0px" valign=top width=493.2><P style="margin:0px">Description</P>
</TD></TR>
<TR><TD style="margin-top:0px" valign=top width=127.2><P style="margin:0px">99.1</P>
</TD><TD style="margin-top:0px" valign=top width=18><P style="margin:0px; padding:0px">&nbsp;</P></TD><TD style="margin-top:0px" valign=top width=493.2><P style="margin:0px">Press Release of Sigma Labs, Inc., dated March 30, 2017.</P>
</TD></TR>
</TABLE>
<P style="margin:0px"><BR></P>
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<P style="margin:0px" align=center>1</P>
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<P style="margin:0px" align=center><B>SIGNATURES</B></P>
<P style="margin:0px"><BR></P>
<P style="margin:0px" align=justify>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 hereunto duly authorized.</P>
<P style="margin:0px"><BR></P>
<TABLE style="margin-top:0px; font-size:10pt" cellpadding=0 cellspacing=0><TR height=0 style="font-size:0"><TD width=319.2 /><TD width=319.2 /></TR>
<TR><TD style="margin-top:0px" valign=top width=319.2><P style="margin-top:0px; margin-bottom:-2px; width:64.333px; float:left">Date:</P>
<P style="margin:0px; text-indent:-2px">March 30, 2017</P>
</TD><TD style="margin-top:0px" valign=top width=319.2><P style="margin:0px"><B>SIGMA LABS, INC.</B></P>
<P style="margin:0px"><BR></P>
<P style="margin:0px"><BR></P>
<P style="margin:0px">By: <I><U>/s/ Mark Cola &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</U></I></P>
<P style="margin-top:0px; margin-bottom:-2px; text-indent:24.933px; width:80.667px; float:left">Name:</P>
<P style="margin:0px; padding-left:24.933px; text-indent:-2px">Mark Cola</P>
<P style="margin-top:0px; margin-bottom:-2px; text-indent:24.933px; width:80.667px; clear:left; float:left">Title:</P>
<P style="margin:0px; padding-left:24.933px; text-indent:-2px">President and Chief Executive </P>
<P style="margin:0px; padding-left:24.933px; clear:left">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Officer</P>
<P style="margin:0px"><BR></P>
</TD></TR>
</TABLE>
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<BR></P>
<P style="margin:0px" align=center>2</P>
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<DOCUMENT>
<TYPE>EX-99.1
<SEQUENCE>2
<FILENAME>f8k032917_ex99z1.htm
<DESCRIPTION>EXHIBIT 99.1 PRESS RELEASE
<TEXT>
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<TITLE>Exhibit 99.1 Press Release</TITLE>
<META NAME="author" CONTENT="Vivek Dave">
<META NAME="date" CONTENT="03/29/2017">
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<BODY style="margin-top:0;font-family:Times New Roman; font-size:10pt; color:#000000">
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<P style="margin:0px" align=center><img src="f8k032917_ex99z1001.jpg" alt="[f8k032917_ex99z1001.jpg]" align=middle height=103.2 width=127></P>
<P style="margin:0px" align=center><BR></P>
<P style="margin:0px; font-size:11pt" align=center><B>Sigma Labs Announces Full Year 2016 Financial Results</B></P>
<P style="margin:0px" align=center><BR></P>
<P style="margin:0px" align=center><I>Recent Steps Position Company for Next Phase of Growth</I></P>
<P style="margin:0px" align=center><BR></P>
<P style="margin:0px" align=justify>SANTA FE, N.M. &#150; March 30, 2017 &#150; Sigma Labs, Inc. (NASDAQ: SGLB) (&#147;Sigma Labs&#148; or the &#147;Company&#148;), a provider of quality assurance software under the PrintRite3D&#174; brand, today announced financial results for the three and twelve months ended December 31, 2016.</P>
<P style="margin:0px" align=justify><BR></P>
<P style="margin:0px" align=justify><B>Recent Highlights</B></P>
<P style="margin:0px" align=justify><BR></P>
<P style="margin:0px" align=justify>Completed a public offering that raised gross proceeds of approximately $5.8 million concurrent with uplisting to the NASDAQ Capital Market following a reverse stock split. The offering provided funds for the Company&#146;s 2017 growth plans, while moving to the NASDAQ allows for a broader base of potential institutional investors.</P>
<P style="margin:0px" align=justify><BR></P>
<P style="margin:0px" align=justify>The Company also formed strategic alliances with Morf3D and Jaguar Precision Machine (&#147;Jaguar&#148;) to serve the additive manufacturing (&#147;AM&#148;) needs of the aerospace and defense (&#147;A&amp;D&#148;) sector. As part of these agreements, the Company&#146;s PrintRite3D&#174; software will be licensed to Morf3D and Jaguar, and Sigma Labs will utilize its on-site EOS machine to form aerospace components under contract using additive manufacturing. The strategic alliances are expected to significantly enhance the Company&#146;s 2017 top line growth profile.</P>
<P style="margin:0px" align=justify><BR></P>
<P style="margin:0px" align=justify>Sigma Labs announced additional contract wins with Aerojet Rocketdyne, Pratt &amp; Whitney, Honeywell, and Siemens during the fourth quarter and early part of 2017.</P>
<P style="margin:0px" align=justify><BR></P>
<P style="margin:0px" align=justify>The Company also announced, subsequent to the end of 2016, that a leading European AM equipment provider had signed onto its OEM Partner Program as part of a long-term commercial agreement, expanding an existing relationship. Sigma Labs&#146; PrintRite3D&#174; applications will be embedded in certain of the OEM&#146;s AM machines prior to them being sold. </P>
<P style="margin:0px" align=justify><BR></P>
<P style="margin:0px" align=justify>&#147;We&#146;re already well into 2017 and, with so much behind us, I feel the Company is in a position to see greatly improved performance going forward,&#148; said Mark Cola, President &amp; CEO of Sigma Labs. &#147;In a relatively short period of time we&#146;ve raised much-needed growth capital, uplisted to the NASDAQ, signed several important strategic relationships, and won contracts with marquee customers such as Pratt &amp; Whitney and Siemens. We&#146;ve also landed a significant OEM Partner and are actively working on other business development initiatives, setting the stage for stronger growth in the quarters to come. In effect, we&#146;ve done what we said we would do &#150; winning new customers, joining with other leading companies to move the industry forward, and improving our balance sheet to take advantage of the opportunities to come. This year we have the wind at our backs, with unlimited potential for taking additive manufacturing to a whole new level.&#148; </P>
<P style="margin:0px" align=justify><BR></P>
<P style="margin:0px" align=justify><B>2016 Full Year Financial Results</B></P>
<P style="margin:0px" align=justify><BR></P>
<P style="margin:0px" align=justify>Revenue for the year ended December 31, 2016 was approximately $1.0 million versus approximately $1.2 million for 2015. The Company reported a net loss for the year of approximately $2.2 million, or $(0.35) per diluted share, versus a loss of approximately $1.7 million, or $(0.27) per diluted share, for 2015. </P>
<P style="margin:0px" align=justify><BR></P>
<P style="margin:0px" align=justify><B>Investor Conference Call</B></P>
<P style="margin:0px" align=justify><BR></P>
<P style="margin:0px" align=justify>The Company will host a conference call to discuss its 2016 full year financial results today, March 30, 2017, at 11:00 a.m. Eastern Time. To participate in the call, please dial toll free 1-844-802-2441, or 1-412-317-5134, approximately five minutes before the conference call time stated above. A live webcast of the call can also be accessed on the Sigma Labs website at www.sigmalabsinc.com. A recording will be available on the Company's website upon completion of the call.</P>
<P style="margin:0px" align=justify><BR>
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<P style="margin:0px" align=justify><B>About Sigma Labs, Inc. </B></P>
<P style="margin:0px" align=justify><BR></P>
<P style="margin:0px" align=justify>Sigma Labs, Inc. is a provider of quality assurance software under the PrintRite3D&#174; brand and a developer of advanced, in-process, non-destructive quality assurance software for commercial firms worldwide seeking productive solutions for advanced manufacturing. For more information please visit us at www.sigmalabsinc.com. </P>
<P style="margin:0px"><BR></P>
<P style="margin:0px"><B>Forward-Looking Statements</B></P>
<P style="margin:0px" align=justify><BR></P>
<P style="margin:0px" align=justify><I>This press release contains forward-looking statements within the meaning of the Private Securities Litigation Reform Act of </I>1995<I>. Forward-looking statements often contain words such as &quot;expects,&quot; &quot;anticipates,&quot; &quot;intends,&quot; &quot;believes&quot; or &quot;will.&quot; Our forward-looking statements are subject to a number of risks, uncertainties and assumptions that could adversely affect us, including the risks set forth in our annual report on Form 10-K. The forward-looking statements in this press release are made only as of the date of this press release. We undertake no obligation to update our forward-looking statements, whether as a result of new information, future events or otherwise.</I></P>
<A NAME="_DV_M22"></A><A NAME="_DV_M23"></A><P style="margin:0px"><BR></P>
<P style="margin:0px"><B>Investor Relations Contact:</B></P>
<P style="margin:0px"><BR></P>
<P style="margin:0px">Chris Witty</P>
<P style="margin:0px">cwitty@darrowir.com<U>; </U>646-438-9385</P>
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<P style="margin:0px; font-size:9pt" align=center><B>Sigma Labs, Inc.</B></P>
<P style="margin:0px; font-size:9pt" align=center><B>Condensed Statements of Operations</B></P>
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<TABLE style="margin-top:0px; font-size:10pt" cellpadding=0 cellspacing=0 align=center><TR height=0 style="font-size:0"><TD width=330 /><TD width=20.4 /><TD width=75.6 /><TD width=20.4 /><TD width=69.6 /><TD width=20.4 /><TD width=70.4 /><TD width=20.4 /><TD width=70.4 /></TR>
<TR><TD style="margin-top:0px" valign=bottom width=330><P style="margin:0px; padding:0px">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px">&nbsp;</P></TD><TD style="margin-top:0px; border-bottom:1.333px solid #000000" valign=bottom width=165.6 colspan=3><P style="margin:0px; font-size:9pt" align=center><B>Three Months Ended </B></P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px; border-bottom:1.333px solid #000000" valign=bottom width=161.2 colspan=3><P style="margin:0px; font-size:9pt" align=center><B>Twelve Months Ended </B></P>
</TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=330><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px; border-bottom:1.333px solid #000000" valign=bottom width=165.6 colspan=3><P style="margin:0px; font-size:9pt" align=center><B>Years Ended December 31</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px; border-bottom:1.333px solid #000000" valign=bottom width=161.2 colspan=3><P style="margin:0px; font-size:9pt" align=center><B>Years Ended December 31</B></P>
</TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=330><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px; border-bottom:1.333px solid #000000" valign=bottom width=75.6><P style="margin:0px; font-size:9pt" align=center><B>2016</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px; border-bottom:1.333px solid #000000" valign=bottom width=69.6><P style="margin:0px; font-size:9pt" align=center><B>2015</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px; border-bottom:1.333px solid #000000" valign=bottom width=70.4><P style="margin:0px; font-size:9pt" align=center><B>2016</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px; border-bottom:1.333px solid #000000" valign=bottom width=70.4><P style="margin:0px; font-size:9pt" align=center><B>2015</B></P>
</TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=330><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=75.6><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=69.6><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=70.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=70.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=330><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=75.6><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=69.6><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=70.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=70.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=330><P style="margin:0px; font-size:9pt"><B>REVENUE</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; font-size:9pt" align=right>$</P>
</TD><TD style="margin-top:0px" valign=bottom width=75.6><P style="margin:0px; font-size:9pt" align=right>324,192</P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; font-size:9pt" align=right>$</P>
</TD><TD style="margin-top:0px" valign=bottom width=69.6><P style="margin:0px; font-size:9pt" align=right>586,295</P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; font-size:9pt" align=right>$</P>
</TD><TD style="margin-top:0px" valign=bottom width=70.4><P style="margin:0px; font-size:9pt" align=right>966,422</P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; font-size:9pt" align=right>$</P>
</TD><TD style="margin-top:0px" valign=bottom width=70.4><P style="margin:0px; font-size:9pt" align=right>1,234,810</P>
</TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=330><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=75.6><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=69.6><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=70.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=70.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=330><P style="margin:0px; font-size:9pt"><B>COST OF REVENUE</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px; border-bottom:1px solid #000000" valign=bottom width=75.6><P style="margin:0px; font-size:9pt" align=right>21,158</P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px; border-bottom:1px solid #000000" valign=bottom width=69.6><P style="margin:0px; font-size:9pt" align=right>75,625</P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px; border-bottom:1px solid #000000" valign=bottom width=70.4><P style="margin:0px; font-size:9pt" align=right>228,902</P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px; border-bottom:1px solid #000000" valign=bottom width=70.4><P style="margin:0px; font-size:9pt" align=right>214,004</P>
</TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=330><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=75.6><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=69.6><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=70.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=70.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=330><P style="margin:0px; font-size:9pt"><B>GROSS PROFIT</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=75.6><P style="margin:0px; font-size:9pt" align=right><B>303,034</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=69.6><P style="margin:0px; font-size:9pt" align=right><B>510,670</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=70.4><P style="margin:0px; font-size:9pt" align=right><B>737,520</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=70.4><P style="margin:0px; font-size:9pt" align=right><B>1,020,806</B></P>
</TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=330><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=75.6><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=69.6><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=70.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=70.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=330><P style="margin:0px; font-size:9pt"><B>EXPENSES:</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=75.6><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=69.6><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=70.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=70.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=330><P style="margin:0px; padding-left:10.8px; font-size:9pt">Other General and Administration</P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=75.6><P style="margin:0px; font-size:9pt" align=right>444,520</P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=69.6><P style="margin:0px; font-size:9pt" align=right>395,987</P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=70.4><P style="margin:0px; font-size:9pt" align=right>1,790,096</P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=70.4><P style="margin:0px; font-size:9pt" align=right>1,282,952</P>
</TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=330><P style="margin:0px; padding-left:10.8px; font-size:9pt">Payroll Expense</P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=75.6><P style="margin:0px; font-size:9pt" align=right>299,346</P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=69.6><P style="margin:0px; font-size:9pt" align=right>247,173</P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=70.4><P style="margin:0px; font-size:9pt" align=right>1,026,840</P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=70.4><P style="margin:0px; font-size:9pt" align=right>585,706</P>
</TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=330><P style="margin:0px; padding-left:10.8px; font-size:9pt">Stock-Based Compensation</P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=75.6><P style="margin:0px; font-size:9pt" align=right>105,004</P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=69.6><P style="margin:0px; font-size:9pt" align=right>39,938</P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=70.4><P style="margin:0px; font-size:9pt" align=right>341,558</P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=70.4><P style="margin:0px; font-size:9pt" align=right>518,438</P>
</TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=330><P style="margin:0px; padding-left:10.8px; font-size:9pt">Research and Development</P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=75.6><P style="margin:0px; font-size:9pt" align=right>4,488</P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=69.6><P style="margin:0px; font-size:9pt" align=right>124,009</P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=70.4><P style="margin:0px; font-size:9pt" align=right>92,992</P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=70.4><P style="margin:0px; font-size:9pt" align=right>330,554</P>
</TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=330><P style="margin:0px; font-size:9pt"><B>Total Expenses</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px; border-top:1px solid #000000" valign=bottom width=75.6><P style="margin:0px; font-size:9pt" align=right><B>853,358</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px; border-top:1px solid #000000" valign=bottom width=69.6><P style="margin:0px; font-size:9pt" align=right><B>807,107</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px; border-top:1px solid #000000" valign=bottom width=70.4><P style="margin:0px; font-size:9pt" align=right><B>3,251,486</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px; border-top:1px solid #000000" valign=bottom width=70.4><P style="margin:0px; font-size:9pt" align=right><B>2,717,650</B></P>
</TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=330><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=75.6><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=69.6><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=70.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=70.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=330><P style="margin:0px; font-size:9pt"><B>OTHER INCOME (EXPENSE)</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=75.6><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=69.6><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=70.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=70.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=330><P style="margin:0px; padding-left:10.8px; font-size:9pt">Interest Income</P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=75.6><P style="margin:0px; font-size:9pt" align=right>67</P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=69.6><P style="margin:0px; font-size:9pt" align=right>203</P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=70.4><P style="margin:0px; font-size:9pt" align=right>355</P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=70.4><P style="margin:0px; font-size:9pt" align=right>1,340</P>
</TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=330><P style="margin:0px; padding-left:10.8px; font-size:9pt">Other Income</P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=75.6><P style="margin:0px; font-size:9pt" align=right>20,077</P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=69.6><P style="margin:0px; font-size:9pt" align=right>-</P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=70.4><P style="margin:0px; font-size:9pt" align=right>51,703</P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=70.4><P style="margin:0px; font-size:9pt" align=right>-</P>
</TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=330><P style="margin:0px; padding-left:10.8px; font-size:9pt">Other Income-Decrease in fair value of derivative liabilities</P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=75.6><P style="margin:0px; font-size:9pt" align=right>354,644</P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=69.6><P style="margin:0px; font-size:9pt" align=right>-</P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=70.4><P style="margin:0px; font-size:9pt" align=right>354,644</P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=70.4><P style="margin:0px; font-size:9pt" align=right>-</P>
</TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=330><P style="margin:0px; padding-left:10.8px; font-size:9pt">Other Expense - Debt discount amortization</P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=75.6><P style="margin:0px; font-size:9pt" align=right>(89,570)</P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=69.6><P style="margin:0px; font-size:9pt" align=right>-</P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=70.4><P style="margin:0px; font-size:9pt" align=right>(89,570)</P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=70.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=330><P style="margin:0px; padding-left:10.8px; font-size:9pt">Loss on Investment in Joint Venture</P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=75.6><P style="margin:0px; font-size:9pt" align=right>105</P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=69.6><P style="margin:0px; font-size:9pt" align=right>(670)</P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=70.4><P style="margin:0px; font-size:9pt" align=right>-</P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=70.4><P style="margin:0px; font-size:9pt" align=right>(778)</P>
</TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=330><P style="margin:0px; font-size:9pt"><B>Total Other Income</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px; border-top:1px solid #000000; border-bottom:1px solid #000000" valign=bottom width=75.6><P style="margin:0px; font-size:9pt" align=right><B>285,323</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px; border-top:1px solid #000000; border-bottom:1px solid #000000" valign=bottom width=69.6><P style="margin:0px; font-size:9pt" align=right><B>(467)</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px; border-top:1px solid #000000; border-bottom:1px solid #000000" valign=bottom width=70.4><P style="margin:0px; font-size:9pt" align=right><B>317,132</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px; border-top:1px solid #000000; border-bottom:1px solid #000000" valign=bottom width=70.4><P style="margin:0px; font-size:9pt" align=right><B>562</B></P>
</TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=330><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=75.6><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=69.6><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=70.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=70.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=330><P style="margin:0px; font-size:9pt"><B>LOSS BEFORE PROVISION FOR INCOME TAXES</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=75.6><P style="margin:0px; font-size:9pt" align=right><B>(265,001)</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=69.6><P style="margin:0px; font-size:9pt" align=right><B>(296,904)</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=70.4><P style="margin:0px; font-size:9pt" align=right><B>(2,196,834)</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=70.4><P style="margin:0px; font-size:9pt" align=right><B>(1,696,282)</B></P>
</TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=330><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=75.6><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=69.6><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=70.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=70.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=330><P style="margin:0px; font-size:9pt"><B>Provision for income Taxes</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px; border-bottom:1px solid #000000" valign=bottom width=75.6><P style="margin:0px; font-size:9pt" align=right><B>-</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px; border-bottom:1px solid #000000" valign=bottom width=69.6><P style="margin:0px; font-size:9pt" align=right><B>-</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px; border-bottom:1px solid #000000" valign=bottom width=70.4><P style="margin:0px; font-size:9pt" align=right><B>-</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px; border-bottom:1px solid #000000" valign=bottom width=70.4><P style="margin:0px; font-size:9pt" align=right><B>-</B></P>
</TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=330><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=75.6><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=69.6><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=70.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=70.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=330><P style="margin:0px; font-size:9pt"><B>Net Loss</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; font-size:9pt" align=right><B>$</B></P>
</TD><TD style="margin-top:0px; border-bottom:3px double #000000" valign=bottom width=75.6><P style="margin:0px; font-size:9pt" align=right><B>(265,001)</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; font-size:9pt" align=right><B>$</B></P>
</TD><TD style="margin-top:0px; border-bottom:3px double #000000" valign=bottom width=69.6><P style="margin:0px; font-size:9pt" align=right><B>(296,904)</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; font-size:9pt" align=right><B>$</B></P>
</TD><TD style="margin-top:0px; border-bottom:3px double #000000" valign=bottom width=70.4><P style="margin:0px; font-size:9pt" align=right><B>(2,196,834)</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; font-size:9pt" align=right><B>$</B></P>
</TD><TD style="margin-top:0px; border-bottom:3px double #000000" valign=bottom width=70.4><P style="margin:0px; font-size:9pt" align=right><B>(1,696,282)</B></P>
</TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=330><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=75.6><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=69.6><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=70.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=70.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=330><P style="margin:0px; font-size:9pt"><B>Net Loss per Common Share - Basic and Diluted</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; font-size:9pt" align=right><B>$</B></P>
</TD><TD style="margin-top:0px; border-bottom:3px double #000000" valign=bottom width=75.6><P style="margin:0px; font-size:9pt" align=right><B>(0.04)</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; font-size:9pt" align=right><B>$</B></P>
</TD><TD style="margin-top:0px; border-bottom:3px double #000000" valign=bottom width=69.6><P style="margin:0px; font-size:9pt" align=right><B>(0.05)</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; font-size:9pt" align=right><B>$</B></P>
</TD><TD style="margin-top:0px; border-bottom:3px double #000000" valign=bottom width=70.4><P style="margin:0px; font-size:9pt" align=right><B>(0.35)</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; font-size:9pt" align=right><B>$</B></P>
</TD><TD style="margin-top:0px; border-bottom:3px double #000000" valign=bottom width=70.4><P style="margin:0px; font-size:9pt" align=right><B>(0.27)</B></P>
</TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=330><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=75.6><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=69.6><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=70.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=70.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=330><P style="margin:0px; font-size:9pt"><B>Weighted Average Number of Shares</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=75.6><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=69.6><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=70.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=70.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=330><P style="margin:0px; font-size:9pt"><B>&nbsp;&nbsp;Outstanding - Basic and Diluted</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px; border-bottom:3px double #000000" valign=bottom width=75.6><P style="margin:0px; font-size:9pt" align=right>6,267,577</P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px; border-bottom:3px double #000000" valign=bottom width=69.6><P style="margin:0px; font-size:9pt" align=right>6,237,511</P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px; border-bottom:3px double #000000" valign=bottom width=70.4><P style="margin:0px; font-size:9pt" align=right>6,249,609</P>
</TD><TD style="margin-top:0px" valign=bottom width=20.4><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px; border-bottom:3px double #000000" valign=bottom width=70.4><P style="margin:0px; font-size:9pt" align=right>6,228,108</P>
</TD></TR>
</TABLE>
<P style="margin:0px" align=center><BR></P>
<P style="margin:0px" align=center><BR></P>
<P style="margin:0px" align=center><BR>
<BR></P>
<HR style="margin-bottom:9.6px; padding-top:9.6px" noshade size=1.333>
<P style="margin:0px; page-break-before:always" align=center><BR></P>
<P style="margin:0px; font-size:9pt" align=center><B>Sigma Labs, Inc.</B></P>
<P style="margin:0px; font-size:9pt" align=center><B>Condensed Balance Sheets</B></P>
<P style="margin:0px" align=center><BR></P>
<P style="margin:0px" align=center><BR></P>
<TABLE style="margin-top:0px; font-size:10pt" cellpadding=0 cellspacing=0 align=center><TR height=0 style="font-size:0"><TD width=408 /><TD width=21.067 /><TD width=115.733 /><TD width=21.067 /><TD width=111.733 /></TR>
<TR><TD style="margin-top:0px" valign=bottom width=408><P style="margin:0px; padding:0px">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px">&nbsp;</P></TD><TD style="margin-top:0px; border-bottom:1.333px solid #000000" valign=bottom width=115.733><P style="margin:0px; font-size:9pt" align=center><B>December 31, 2016</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px; border-bottom:1.333px solid #000000" valign=bottom width=111.733><P style="margin:0px; font-size:9pt" align=center><B>December 31, 2015</B></P>
</TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=408><P style="margin:0px; font-size:9pt" align=center><B>ASSETS</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=115.733><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=111.733><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=408><P style="margin:0px; font-size:9pt"><B>Current Assets:</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=115.733><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=111.733><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=408><P style="margin:0px; padding-left:10.8px; font-size:9pt">Cash</P>
</TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; font-size:9pt" align=right>$</P>
</TD><TD style="margin-top:0px" valign=bottom width=115.733><P style="margin:0px; font-size:9pt" align=right>398,391</P>
</TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; font-size:9pt" align=right>$</P>
</TD><TD style="margin-top:0px" valign=bottom width=111.733><P style="margin:0px; font-size:9pt" align=right>1,539,809</P>
</TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=408><P style="margin:0px; padding-left:10.8px; font-size:9pt">Accounts Receivable, net</P>
</TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=115.733><P style="margin:0px; font-size:9pt" align=right>288,236</P>
</TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=111.733><P style="margin:0px; font-size:9pt" align=right>280,222</P>
</TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=408><P style="margin:0px; padding-left:10.8px; font-size:9pt">Inventory</P>
</TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=115.733><P style="margin:0px; font-size:9pt" align=right>187,241</P>
</TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=111.733><P style="margin:0px; font-size:9pt" align=right>20,129</P>
</TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=408><P style="margin:0px; padding-left:10.8px; font-size:9pt">Prepaid Assets</P>
</TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=115.733><P style="margin:0px; font-size:9pt" align=right>36,056</P>
</TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=111.733><P style="margin:0px; font-size:9pt" align=right>38,687</P>
</TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=408><P style="margin:0px; font-size:9pt"><B>Total Current Assets</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px; border-top:1px solid #000000" valign=bottom width=115.733><P style="margin:0px; font-size:9pt" align=right><B>909,924</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px; border-top:1px solid #000000" valign=bottom width=111.733><P style="margin:0px; font-size:9pt" align=right><B>1,878,847</B></P>
</TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=408><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=115.733><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=111.733><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=408><P style="margin:0px; font-size:9pt"><B>Other Assets:</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=115.733><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=111.733><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=408><P style="margin:0px; padding-left:10.8px; font-size:9pt">Property and Equipment, net</P>
</TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=115.733><P style="margin:0px; font-size:9pt" align=right>564,933</P>
</TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=111.733><P style="margin:0px; font-size:9pt" align=right>714,754</P>
</TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=408><P style="margin:0px; padding-left:10.8px; font-size:9pt">Intangible Assets, net</P>
</TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=115.733><P style="margin:0px; font-size:9pt" align=right>226,450</P>
</TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=111.733><P style="margin:0px; font-size:9pt" align=right>167,644</P>
</TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=408><P style="margin:0px; padding-left:10.8px; font-size:9pt">Investment in Joint Venture</P>
</TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=115.733><P style="margin:0px; font-size:9pt" align=right>500</P>
</TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=111.733><P style="margin:0px; font-size:9pt" align=right>9,222</P>
</TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=408><P style="margin:0px; padding-left:10.8px; font-size:9pt">Prepaid Stock Compensation</P>
</TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px; border-bottom:1px solid #000000" valign=bottom width=115.733><P style="margin:0px; font-size:9pt" align=right>167,562</P>
</TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px; border-bottom:1px solid #000000" valign=bottom width=111.733><P style="margin:0px; font-size:9pt" align=right>418,547</P>
</TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=408><P style="margin:0px; font-size:9pt"><B>Total Other Assets</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px; border-bottom:1px solid #000000" valign=bottom width=115.733><P style="margin:0px; font-size:9pt" align=right><B>959,445</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px; border-bottom:1px solid #000000" valign=bottom width=111.733><P style="margin:0px; font-size:9pt" align=right><B>1,310,167</B></P>
</TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=408><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=115.733><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=111.733><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=408><P style="margin:0px; font-size:9pt"><B>TOTAL ASSETS</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; font-size:9pt" align=right><B>$</B></P>
</TD><TD style="margin-top:0px; border-bottom:3px double #000000" valign=bottom width=115.733><P style="margin:0px; font-size:9pt" align=right><B>1,869,369</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; font-size:9pt" align=right><B>$</B></P>
</TD><TD style="margin-top:0px; border-bottom:3px double #000000" valign=bottom width=111.733><P style="margin:0px; font-size:9pt" align=right><B>3,189,014</B></P>
</TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=408><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=115.733><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=111.733><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=408><P style="margin:0px; font-size:9pt" align=center><B>LIABILITIES AND STOCKHOLDERS' EQUITY</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=115.733><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=111.733><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=408><P style="margin:0px"><BR></P>
<P style="margin:0px; font-size:9pt"><B>Current Liabilities:</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=115.733><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=111.733><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=408><P style="margin:0px; padding-left:10.8px; font-size:9pt">Accounts Payable</P>
</TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; font-size:9pt" align=right>$</P>
</TD><TD style="margin-top:0px" valign=bottom width=115.733><P style="margin:0px; font-size:9pt" align=right>112,175</P>
</TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; font-size:9pt" align=right>$</P>
</TD><TD style="margin-top:0px" valign=bottom width=111.733><P style="margin:0px; font-size:9pt" align=right>38,393</P>
</TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=408><P style="margin:0px; padding-left:10.8px; font-size:9pt">Notes Payable, net of original issue discount $79,886</P>
</TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=115.733><P style="margin:0px; font-size:9pt" align=right>561,834</P>
</TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=111.733><P style="margin:0px; font-size:9pt" align=right>-</P>
</TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=408><P style="margin:0px; padding-left:10.8px; font-size:9pt">Accrued Expenses</P>
</TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=115.733><P style="margin:0px; font-size:9pt" align=right>125,116</P>
</TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=111.733><P style="margin:0px; font-size:9pt" align=right>71,523</P>
</TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=408><P style="margin:0px; font-size:9pt"><B>Total Current Liabilities</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px; border-top:1px solid #000000" valign=bottom width=115.733><P style="margin:0px; font-size:9pt" align=right><B>799,125</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px; border-top:1px solid #000000" valign=bottom width=111.733><P style="margin:0px; font-size:9pt" align=right><B>109,916</B></P>
</TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=408><P style="margin:0px"><BR></P>
<P style="margin:0px; font-size:9pt"><B>Long-Term Liabilities</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=115.733><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=111.733><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=408><P style="margin:0px; padding-left:10.8px; font-size:9pt">Derivative Liability</P>
</TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px; border-bottom:1px solid #000000" valign=bottom width=115.733><P style="margin:0px; font-size:9pt" align=right>93,206</P>
</TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px; border-bottom:1px solid #000000" valign=bottom width=111.733><P style="margin:0px; font-size:9pt" align=right>-</P>
</TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=408><P style="margin:0px; font-size:9pt"><B>Total Long-Term Liability</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px; border-bottom:1px solid #000000" valign=bottom width=115.733><P style="margin:0px; font-size:9pt" align=right><B>93,206</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px; border-bottom:1px solid #000000" valign=bottom width=111.733><P style="margin:0px; font-size:9pt" align=right><B>-</B></P>
</TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=408><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=115.733><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=111.733><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=408><P style="margin:0px; font-size:9pt"><B>TOTAL LIABILITIES</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=115.733><P style="margin:0px; font-size:9pt" align=right><B>892,331</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=111.733><P style="margin:0px; font-size:9pt" align=right><B>109,916</B></P>
</TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=408><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=115.733><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=111.733><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=408><P style="margin:0px; font-size:9pt"><B>Stockholders' Equity</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=115.733><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=111.733><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=408><P style="margin:0px; padding-left:22.8px; text-indent:-12px; font-size:9pt">Preferred Stock, $0.001 par; 10,000,000 shares authorized;</P>
<P style="margin:0px; padding-left:22.8px; font-size:9pt">None issued and outstanding</P>
</TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=115.733><P style="margin:0px; font-size:9pt" align=right>-</P>
</TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=111.733><P style="margin:0px; font-size:9pt" align=right>-</P>
</TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=408><P style="margin:0px; padding-left:22.8px; text-indent:-12px; font-size:9pt">Common Stock, $0.001 par; 15,000,000 shares authorized;</P>
<P style="margin:0px; padding-left:22.8px; font-size:9pt">6,267,577 and 6,239,073 issued and outstanding at</P>
<P style="margin:0px; padding-left:22.8px; font-size:9pt">December 31, 2016 and 2015, respectively</P>
</TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=115.733><P style="margin:0px; font-size:9pt" align=right>6,268</P>
</TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=111.733><P style="margin:0px; font-size:9pt" align=right>6,239</P>
</TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=408><P style="margin:0px; padding-left:22.8px; text-indent:-12px; font-size:9pt">Additional Paid-In Capital</P>
</TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=115.733><P style="margin:0px; font-size:9pt" align=right>10,731,724</P>
</TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=111.733><P style="margin:0px; font-size:9pt" align=right>10,636,979</P>
</TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=408><P style="margin:0px; padding-left:22.8px; text-indent:-12px; font-size:9pt">Accumulated Deficit</P>
</TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px; border-bottom:1px solid #000000" valign=bottom width=115.733><P style="margin:0px; font-size:9pt" align=right>(9,760,954)</P>
</TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px; border-bottom:1px solid #000000" valign=bottom width=111.733><P style="margin:0px; font-size:9pt" align=right>(7,564,120)</P>
</TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=408><P style="margin:0px; font-size:9pt"><B>Total Stockholders' Equity</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px; border-bottom:1px solid #000000" valign=bottom width=115.733><P style="margin:0px; font-size:9pt" align=right><B>977,038</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px; border-bottom:1px solid #000000" valign=bottom width=111.733><P style="margin:0px; font-size:9pt" align=right><B>3,079,098</B></P>
</TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=408><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=115.733><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD><TD style="margin-top:0px" valign=bottom width=111.733><P style="margin:0px; padding:0px; font-size:9pt">&nbsp;</P></TD></TR>
<TR><TD style="margin-top:0px" valign=bottom width=408><P style="margin:0px; font-size:9pt"><B>TOTAL LIABILITIES AND STOCKHOLDERS' EQUITY</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; font-size:9pt" align=right><B>$</B></P>
</TD><TD style="margin-top:0px; border-bottom:3px double #000000" valign=bottom width=115.733><P style="margin:0px; font-size:9pt" align=right><B>1,869,369</B></P>
</TD><TD style="margin-top:0px" valign=bottom width=21.067><P style="margin:0px; font-size:9pt" align=right><B>$</B></P>
</TD><TD style="margin-top:0px; border-bottom:3px double #000000" valign=bottom width=111.733><P style="margin:0px; font-size:9pt" align=right><B>3,189,014</B></P>
</TD></TR>
</TABLE>
<P style="margin:0px" align=center><BR></P>
<P style="margin:0px" align=center><BR>
<BR></P>
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</SEC-DOCUMENT>
