<SEC-DOCUMENT>0001078782-17-001142.txt : 20170814
<SEC-HEADER>0001078782-17-001142.hdr.sgml : 20170814
<ACCEPTANCE-DATETIME>20170814161940
ACCESSION NUMBER:		0001078782-17-001142
CONFORMED SUBMISSION TYPE:	8-K
PUBLIC DOCUMENT COUNT:		3
CONFORMED PERIOD OF REPORT:	20170808
ITEM INFORMATION:		Results of Operations and Financial Condition
ITEM INFORMATION:		Departure of Directors or Certain Officers; Election of Directors; Appointment of Certain Officers: Compensatory Arrangements of Certain Officers
ITEM INFORMATION:		Shareholder Nominations Pursuant to Exchange Act Rule 14a-11
ITEM INFORMATION:		Other Events
ITEM INFORMATION:		Financial Statements and Exhibits
FILED AS OF DATE:		20170814
DATE AS OF CHANGE:		20170814

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:		171030430

	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>f8k081117_8k.htm
<DESCRIPTION>FORM 8-K CURRENT REPORT
<TEXT>
<HTML>
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<HEAD>
<TITLE>Form 8-K Current Report</TITLE>
</HEAD>
<BODY>
<DIV style=margin-left:36pt;width:540pt><P align=center style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
<P align=center style='font:10pt Times New Roman;margin:0'><A name=BM000 />UNITED STATES</P>
<P align=center style='font:10pt Times New Roman;margin:0'>SECURITIES AND EXCHANGE COMMISSION</P>
<P align=center style='font:10pt Times New Roman;margin:0'>WASHINGTON, D.C. 20549 </P>
<P align=center style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
<P align=center style='font:12pt Times New Roman;margin:0'><B>FORM 8-K </B></P>
<P align=center style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
<P align=center style='font:10pt Times New Roman;margin:0'>CURRENT REPORT PURSUANT</P>
<P align=center style='font:10pt Times New Roman;margin:0'>TO SECTION 13 OR 15(d) OF THE</P>
<P align=center style='font:10pt Times New Roman;margin:0'>SECURITIES EXCHANGE ACT OF 1934 </P>
<P align=center style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
<P align=center style='font:10pt Times New Roman;margin:0'>Date of report (Date of earliest event reported): &nbsp;August 8, 2017 </P>
<P align=center style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
<P align=center style='font:14pt Times New Roman;margin:0'><B>SIGMA LABS, INC</B>.</P>
<P align=center style='font:10pt Times New Roman;margin:0'>(Exact Name of Registrant as Specified in Charter) </P>
<P align=center style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
<TABLE align=center style=border-collapse:collapse;width:65%><TR><TD valign=bottom><P style='font:10pt Times New Roman;margin:0'>&#160;</P>
</TD><TD valign=bottom><P style='font:10pt Times New Roman;margin:0'>&#160;</P>
</TD><TD valign=bottom><P style='font:10pt Times New Roman;margin:0'>&#160;</P>
</TD><TD valign=bottom><P style='font:10pt Times New Roman;margin:0'>&#160;</P>
</TD><TD valign=bottom><P style='font:10pt Times New Roman;margin:0'>&#160;</P>
</TD></TR>
<TR><TD valign=top style='border-bottom:0.5pt solid #000000'><P align=center style='font:10pt Times New Roman;margin:0'><B>Nevada</B></P>
</TD><TD valign=bottom><P style='font:10pt Times New Roman;margin:0'>&#160;</P>
</TD><TD valign=top style='border-bottom:0.5pt solid #000000'><P align=center style='font:10pt Times New Roman;margin:0'><B>001-38015</B></P>
</TD><TD valign=bottom><P style='font:10pt Times New Roman;margin:0'>&#160;</P>
</TD><TD valign=top style='border-bottom:0.5pt solid #000000'><P align=center style='font:10pt Times New Roman;margin:0'><B>27-1865814</B></P>
</TD></TR>
<TR><TD valign=top><P align=center style='font:10pt Times New Roman;margin:0'>(State or Other</P>
<P align=center style='font:10pt Times New Roman;margin:0'>Jurisdiction of</P>
<P align=center style='font:10pt Times New Roman;margin:0'>Incorporation)</P>
</TD><TD valign=bottom><P style='font:10pt Times New Roman;margin:0'>&#160;</P>
</TD><TD valign=top><P align=center style='font:10pt Times New Roman;margin:0'>(Commission File </P>
<P align=center style='font:10pt Times New Roman;margin:0'>Number) </P>
</TD><TD valign=bottom><P style='font:10pt Times New Roman;margin:0'>&#160;</P>
</TD><TD valign=top><P align=center style='font:10pt Times New Roman;margin:0'>(IRS Employer</P>
<P align=center style='font:10pt Times New Roman;margin:0'>Identification No.)</P>
</TD></TR>
<TR><TD colspan=5 valign=bottom><P style='font:10pt Times New Roman;margin:0'>&#160;</P>
</TD></TR>
<TR><TD colspan=5 valign=top style='border-bottom:0.5pt solid #000000'><P align=center style='font:10pt Times New Roman;margin:0'><B>3900 Paseo del Sol, Santa Fe, New Mexico 87507</B></P>
</TD></TR>
<TR style=height:18.15pt><TD colspan=5 valign=top><P align=center style='font:10pt Times New Roman;margin:0'>(Address of Principal Executive Offices)&#160;&#160;(Zip Code)</P>
</TD></TR>
<TR><TD colspan=5 valign=top style='border-bottom:0.5pt solid #000000'><P align=center style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD></TR>
<TR style=height:18.15pt><TD colspan=5 valign=top><P align=center style='font:10pt Times New Roman;margin:0'>(Former Name or Former Address, if Changed Since Last Report)</P>
</TD></TR>
</TABLE>
<P align=center style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
<P align=center style='font:10pt Times New Roman;margin:0'>Registrant&#8217;s telephone number, including area code: <B>(505) 438-2576</B></P>
<P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
<P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
<P align=justify style='font:10pt Times New Roman;margin:0'>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: </P>
<P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
<P style='font:10pt Times New Roman;margin:0;text-indent:18pt'><KBD style='position:absolute;font:10pt Times New Roman;text-indent:0'>[ &nbsp;&nbsp;]</KBD><KBD style=margin-left:18pt></KBD>Written communications pursuant to Rule&#160;425 under the Securities Act (17 CFR 230.425) &nbsp;</P>
<P style='font:10pt Times New Roman;margin:0;text-indent:18pt'><KBD style='position:absolute;font:10pt Times New Roman;text-indent:0'>[ &nbsp;&nbsp;]</KBD><KBD style=margin-left:18pt></KBD>Soliciting material pursuant to Rule&#160;14a-12 under the Exchange Act (17 CFR 240.14a-12) &nbsp;</P>
<P style='font:10pt Times New Roman;margin:0;text-indent:18pt'><KBD style='position:absolute;font:10pt Times New Roman;text-indent:0'>[ &nbsp;&nbsp;]</KBD><KBD style=margin-left:18pt></KBD>Pre-commencement communications pursuant to Rule&#160;14d-2(b) under the Exchange Act (17 CFR 240.14d-2(b)) &nbsp;</P>
<P style='font:10pt Times New Roman;margin:0;text-indent:18pt'><KBD style='position:absolute;font:10pt Times New Roman;text-indent:0'>[ &nbsp;&nbsp;]</KBD><KBD style=margin-left:18pt></KBD>Pre-commencement communications pursuant to Rule&#160;13e-4(c) under the Exchange Act (17 CFR 240.13e-4(c)) &nbsp;</P>
<P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
<P align=justify style='font:10pt Times New Roman;margin:0'>Indicate by check mark whether the registrant is an emerging growth company as defined in Rule 405 of the Securities Act of 1933 (&#167;230.405 of this chapter) or Rule 12b-2 of the Securities Exchange Act of 1934 (&#167;240.12b-2 of this chapter). </P>
<P align=justify style='font:10pt Times New Roman;margin:0;text-indent:36pt'>&nbsp;</P>
<P align=justify style='font:10pt Times New Roman;margin:0;text-indent:18pt'>Emerging growth company [ &nbsp;&nbsp;]</P>
<P align=justify style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
<P align=justify style='font:10pt Times New Roman;margin:0'>If an emerging growth company, indicate by check mark if the registrant has elected not to use the extended transition period for complying with any new or revised financial accounting standards provided pursuant to Section 13(a) of the Exchange Act. [ &nbsp;&nbsp;]</P>
<HR style='page-break-after:always;border:0;height:3pt;background-color:#909090;margin:8pt 0'><P style='font:10pt Times New Roman;margin:0'><A name=BM002 />&nbsp;</P>
<P style='font:10pt Times New Roman;margin:0'><KBD style='position:absolute;font:10pt Times New Roman'><B>Item 2.02</B></KBD><KBD style=margin-left:72pt></KBD><B>Results of Operations and Financial Condition. </B>&nbsp;</P>
<P align=justify style='font:10pt Times New Roman;margin:0;text-indent:36pt'>&nbsp;</P>
<P align=justify style='font:10pt Times New Roman;margin:0;text-indent:36pt'>On August 14, 2017, Sigma Labs, Inc. (&#8220;we,&#8221; &#8220;us,&#8221; &#8220;our,&#8221; &#8220;Sigma,&#8221; or the &#8220;Company&#8221;) issued a press release announcing the Company&#8217;s financial results for the quarter ended June 30, 2017 and providing an update on recent business 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 align=justify style='font:10pt Times New Roman;margin:0;text-indent:36pt'>&nbsp;</P>
<P align=justify style='font:10pt Times New Roman;margin:0;text-indent:36pt'>The information furnished under this Item&#160;2.02, including the accompanying Exhibit 99.1, shall not be deemed to be &#8220;filed&#8221; for the purposes of Section&#160;18 of the Securities Exchange Act of 1934 (the &#8220;Exchange Act&#8221;), 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='font:10pt Times New Roman;margin:0'>&nbsp;</P>
<P align=justify style='font:10pt Times New Roman;margin:0'><KBD style='position:absolute;font:10pt Times New Roman'><B>Item 5.02</B></KBD><KBD style=margin-left:72pt></KBD><B>Departure of Directors or Certain Officers; Election of Directors; Appointment of Certain Officers; Compensatory Arrangements of Certain Officers. &nbsp;</B>&nbsp;</P>
<P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
<P align=justify style='font:10pt Times New Roman;margin:0;text-indent:36pt'>On August 8, 2017, Dennis Duitch was appointed to our Board of Directors. Mr. Duitch was also appointed to serve as Chairman of the Audit Committee and interim Chairman of the Compensation Committee and the Nominating and Corporate Governance Committee. &nbsp;In conjunction with Mr. Duitch's appointment as a director, the Company issued Mr. Duitch 7,489 shares of common stock of the Company, which shares will vest in four equal (as closely as possible), successive quarterly installments beginning on the first quarterly anniversary of the grant date, provided that Mr. Duitch remains in our continuous service as a director through the applicable quarterly anniversary date. &nbsp;Mr. Duitch will enter into the Company&#8217;s standard indemnification agreement for directors.</P>
<P align=justify style='font:10pt Times New Roman;margin:0;text-indent:36pt'>&nbsp;</P>
<P align=justify style='font:10pt Times New Roman;margin:0;text-indent:36pt'>Mr. Duitch, age 72, has served as Managing Director of Duitch Consulting Group, a private consulting company, since 2003. Prior to that time, he practiced public accounting, business management, mediation and consultancy nationally, with expertise in strategic and operations management, finance, accounting, strategic planning and business operations for a wide spectrum of companies, including technology, manufacturing and distribution, marketing, real estate, entertainment, and professional practices. He has served in executive officer roles and as a director of public and private companies, not-for-profit organizations, including as Vice-Chairman for Accountants Global Network, and as a top-level advisor for public companies, closely-held businesses, families and high-wealth individuals for over thirty years. </P>
<P align=justify style='font:10pt Times New Roman;margin:0;text-indent:36pt'>&nbsp;</P>
<P align=justify style='font:10pt Times New Roman;margin:0;text-indent:36pt'>Mr. Duitch began his career with the international CPA firm Grant Thornton in its Chicago, San Francisco and Beverly Hills offices before founding Duitch &amp; Franklin LLP, which evolved to become one of Southern California&#8217;s largest independent CPA/Business Management/Consultancy practices, and which was acquired by a public company in 1998. &nbsp;He subsequently served as President for a consumer products company with direct response marketing, retail, and fulfillment operations, until forming Duitch Consulting Group in 2003 to serve clients in advisory, C-level, and board of director roles.</P>
<P align=justify style='font:10pt Times New Roman;margin:0;text-indent:36pt'>&nbsp;</P>
<P align=justify style='font:10pt Times New Roman;margin:0;text-indent:36pt'>Mr. Duitch is a Certified Family Business and Estate Advisor, and mediator for matters including partner/shareholder agreements and disputes, business and marital property dissolution, and dysfunctional executive teams and boards of directors. He has lectured extensively in management, financial and accounting areas for the California CPA Foundation, business and professional groups, has instructed at several colleges and universities, and has authored technical articles in management and taxation for regional and national publications. &nbsp;&nbsp;</P>
<P align=justify style='font:10pt Times New Roman;margin:0;text-indent:36pt'>&nbsp;</P>
<P align=justify style='font:10pt Times New Roman;margin:0;text-indent:36pt'>Mr. Duitch earned a B.B.A degree in Accounting from the University of Iowa and a Master of Business Administration in Finance from Northwestern University. &nbsp;</P>
<P align=justify style='font:10pt Times New Roman;margin:0;text-indent:36pt'>&nbsp;</P>
<P align=justify style='font:10pt Times New Roman;margin:0;text-indent:36pt'>Our Board of Directors believes that Mr. Duitch is qualified to serve as a member of the board because of his extensive public accounting experience, which will assist the Board and the Audit Committee in addressing the numerous accounting-related issues, regulations and SEC reporting requirements to which we are subject, as well as his expertise in business management, finance and strategic planning. </P>
<P align=justify style='font:10pt Times New Roman;margin:0;text-indent:36pt'>&nbsp;</P>
<P align=justify style='font:10pt Times New Roman;margin:0;text-indent:36pt'>On August 8, 2017, we entered into an &#8220;at will&#8221; unwritten employment arrangement with our Chairman of the Board, John Rice, effective as of August 1, 2017, pursuant to which Mr. Rice serves as our interim Chief Executive Officer.  Under his employment arrangement, Mr. Rice is entitled to receive a monthly salary of $9,000, and is eligible to receive medical and dental benefits, life insurance, and long-term and short-term disability coverage. Further, Mr. Rice is eligible under his employment arrangement to participate in the Company&#8217;s 2013 Equity Incentive Plan,&#160;with equity compensation to Mr. Rice to be determined by our Compensation Committee at a later date. Effective as of Mr. Rice's July 24, 2017 appointment as interim Chief Executive Officer, Mr. Rice is no longer entitled to receive compensation for his service as a director of the Company.</P>
<HR style='border:0;height:0;margin:14pt 0 0 0'><P align=center style='font:10pt Times New Roman;margin:0'>2</P>
<HR style='page-break-after:always;border:0;height:3pt;background-color:#909090;margin:8pt 0'><P align=justify style='font:10pt Times New Roman;margin:0'><KBD style='position:absolute;font:10pt Times New Roman'><B>Item 5.08</B></KBD><KBD style=margin-left:72pt></KBD><B>Shareholder Proposals</B>&nbsp;</P>
<P align=justify style='font:10pt Times New Roman;margin:0;text-indent:36pt'>&nbsp;</P>
<P align=justify style='font:10pt Times New Roman;margin:0;text-indent:36pt'>On August 8, 2017, our Board of Directors established October 2, 2017 as the date of the Company's 2017 Annual Meeting of Stockholders (the &#8220;2017 Annual Meeting&#8221;). As the date of the 2017 Annual Meeting has been changed by more than 30 calendar days from the date of the April 28, 2016 Annual Meeting of Stockholders (the &#8220;2016 Annual Meeting&#8221;), in accordance with Rule 14a-5(f) under the Securities Exchange Act of 1934, as amended (the &#8220;Exchange Act&#8221;), the Company is informing stockholders of such change.</P>
<P align=justify style='font:10pt Times New Roman;margin:0;text-indent:36pt'>&nbsp;</P>
<P align=justify style='font:10pt Times New Roman;margin:0;text-indent:36pt'>Since we did not have a class of equity securities registered pursuant to Section 12 of the Exchange Act during 2016, the proxy rules under the Exchange Act did not apply to us in connection with the 2016 Annual Meeting and our Bylaws in effect in 2016 provided that, to be timely, written notice of a stockholder&#8217;s intent to propose an action or actions for consideration by the stockholders had to be given to the Secretary of the Company not more than five business days after the giving of notice of the date and place of the meeting to the stockholders. &nbsp;Because the date of the 2017 Annual Meeting has been changed by more than 30 calendar days from the date of the 2016 Annual Meeting, a new deadline has been set for submission of proposals by stockholders of the Company intended to be included in the Company&#8217;s 2017 proxy materials. Accordingly, stockholders of the Company who wish to have a proposal considered for inclusion in the Company&#8217;s proxy materials for the 2017 Annual Meeting must ensure that such proposal is received by the Company at 3900 Paseo del Sol, Santa Fe, New Mexico 87507, Attn: Corporate Secretary, on or before the close of business on August 17, 2017, which the Company has determined to be a reasonable time before it expects to begin to distribute its proxy materials for the 2017 Annual Meeting. Any such proposal must also meet the requirements set forth in the rules and regulations of the Securities and Exchange Commission in order to be eligible for inclusion in the proxy materials for the 2017 Annual Meeting.</P>
<P align=justify style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
<P align=justify style='font:10pt Times New Roman;margin:0'><KBD style='position:absolute;font:10pt Times New Roman'><B>Item 8.01</B></KBD><KBD style=margin-left:72pt></KBD><B>Other Events.</B>&nbsp;</P>
<P align=justify style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
<P align=justify style='font:10pt Times New Roman;margin:0'><B><I>Updated Business Strategy</I></B></P>
<P align=justify style='font:10pt Times New Roman;margin:0;text-indent:36pt'>&nbsp;</P>
<P align=justify style='font:10pt Times New Roman;margin:0;text-indent:36pt'>We have grown and evolved from an R&amp;D company with multiple technologies into one focused on In-Process-Quality-Assurance products for the 3D metal manufacturing industry. In 2017, we began a substantial transformation as we (1) launched an initiative to grow through both internal growth and acquisition, (2) uplisted our common stock to NASDAQ, and (3) raised additional capital to fund our business and operations.</P>
<P align=justify style='font:10pt Times New Roman;margin:0;text-indent:36pt'>&nbsp;</P>
<P align=justify style='font:10pt Times New Roman;margin:0;text-indent:36pt'>As previously reported, Mark J. Cola, who serves as our President, was appointed on July 24, 2017 as our Chief Technology Officer, responsible for building and implementing our technological strategy and guiding key technical advancements towards digitalization in the context of the Industrial Internet of Things (IIoT). Together with our executive team members, Mr. Cola will seek to expand and grow the Company through next-generation products and key customer development in a broad range of industries.</P>
<P align=justify style='font:10pt Times New Roman;margin:0;text-indent:36pt'>&nbsp;</P>
<P align=justify style='font:10pt Times New Roman;margin:0;text-indent:36pt'>John Rice, who has served as Chairman of the Board of the Company since his appointment in April 2017, replaced Mr. Cola as Chief Executive Officer effective as of July 24, 2017. As Chairman of the Board and interim Chief Executive Officer, Mr. Rice will oversee our implementation of internal and external growth, with an emphasis on internal focus technology, sales, and efficiency, and externally, reaching into the marketplace to expand the Company&#8217;s digital technical bandwidth with respect to our In-Process Quality Assurance&#8482; (&#8220;IPQA&#174;&#8221;) technology and additive manufacturing. Mr. Rice brings substantial operating and investment experience to the tasks, including with respect to operations of startup and emerging companies, corporate finance, and mergers and acquisitions. &nbsp;</P>
<P align=justify style='font:10pt Times New Roman;margin:0;text-indent:36pt'>&nbsp;</P>
<P align=justify style='font:10pt Times New Roman;margin:0;text-indent:36pt'>As part of our development plans, we are exploring various business opportunities. Consistent with disclosures in our prior filings with the Securities and Exchange Commission, we seek to identify compatible businesses to possibly acquire that will be synergistic with our business, although there is no assurance than any acquisition will be consummated. </P>
<P align=justify style='font:10pt Times New Roman;margin:0;text-indent:36pt'>&nbsp;</P>
<P align=justify style='font:10pt Times New Roman;margin:0;text-indent:36pt'>On August 8, 2017, we engaged Garofalo &amp; Associates, LLC, a limited liability company owned and controlled by Frank Garofalo, a director of the Company, to provide services to the Company as corporate development consultant and financial advisor. Under the engagement letter agreement, Garofalo &amp; Associates, LLC, is entitled to receive in consideration for its services a monthly retainer of $3,000 in cash during the term of the engagement (the engagement may be terminated by both parties upon 30 days' written notice), and (i) 105,000 shares of common stock of the Company upon the closing of an acquisition by the Company of all or substantially all of the equity or assets (or a controlling interest therein) (the &#8220;Closing&#8221;) of a specified entity, and (ii) 75,000 shares of common stock of the Company upon the Closing with respect to at least one of two other specified entities. Mr.&#160;Garofalo is no longer considered an independent director as a result of the engagement.  As of the date of this Current Report on Form 8-K, there are no agreements with respect to the acquisition by the Company of any third party, and there can be no assurance that any agreements will be entered into or, if entered into, that any acquisition or other transaction will be consummated.</P>
<HR style='border:0;height:0;margin:14pt 0 0 0'><P align=center style='font:10pt Times New Roman;margin:0'>3</P>
<HR style='page-break-after:always;border:0;height:3pt;background-color:#909090;margin:8pt 0'><P style='font:10pt Times New Roman;margin:0'><KBD style='position:absolute;font:10pt Times New Roman'><B>Item 9.01</B></KBD><KBD style=margin-left:72pt></KBD><B>Financial Statements and Exhibits.</B>&nbsp;</P>
<P style='font:10pt Times New Roman;margin:0;text-indent:36pt'>&nbsp;</P>
<P style='font:10pt Times New Roman;margin:0;text-indent:36pt'><KBD style='position:absolute;font:10pt Times New Roman;text-indent:0'>(d)</KBD><KBD style=margin-left:36pt></KBD>Exhibits. &nbsp;&nbsp;</P>
<P style='font:10pt Times New Roman;margin:0;text-indent:36pt'>&nbsp;</P>
<TABLE style=border-collapse:collapse><TR><TD valign=top style='width:95.4pt;border-bottom:0.5pt solid #000000'><P align=justify style='font:10pt Times New Roman;margin:0'><B>Exhibit Number</B></P>
</TD><TD valign=top style=width:13.5pt><P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=top style='width:414pt;border-bottom:0.5pt solid #000000'><P style='font:10pt Times New Roman;margin:0'><B>Description</B></P>
</TD></TR>
<TR><TD valign=top style='width:95.4pt;border-top:0.5pt solid #000000'><P align=center style='font:10pt Times New Roman;margin:0'><A href=f8k081117_ex99z1.htm style=text-decoration:none><FONT style='color:#0000FF;border-bottom:1px solid #0000FF'>99.1</FONT></A></P>
</TD><TD valign=top style=width:13.5pt><P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=top style='width:414pt;border-top:0.5pt solid #000000'><P style='font:10pt Times New Roman;margin:0'>Press Release of Sigma Labs, Inc., dated August 14, 2017.</P>
</TD></TR>
</TABLE>
<HR style='border:0;height:0;margin:14pt 0 0 0'><P align=center style='font:10pt Times New Roman;margin:0'>4</P>
<HR style='page-break-after:always;border:0;height:3pt;background-color:#909090;margin:8pt 0'><P align=center style='font:10pt Times New Roman;margin:0'><B>SIGNATURE</B></P>
<P style='font:10.5pt Times New Roman;margin-top:0pt;margin-bottom:12pt;text-indent:36pt'>&nbsp;</P>
<P align=justify style='font:10pt Times New Roman;margin:0;text-indent:36pt'>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 align=justify style='font:10pt Times New Roman;margin:0;text-indent:36pt'>&nbsp;</P>
<TABLE style=border-collapse:collapse><TR><TD valign=top style=width:261.9pt;padding-left:5.4pt;padding-right:5.4pt><P style='font:10pt Times New Roman;margin:0'>August 14, 2017 &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</P>
</TD><TD valign=top style=width:261.9pt;padding-left:5.4pt;padding-right:5.4pt><P style='font:10pt Times New Roman;margin:0'>SIGMA LABS, INC.</P>
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</TD><TD valign=top style=width:261.9pt;padding-left:5.4pt;padding-right:5.4pt><P style='font:10pt Times New Roman;margin:0'><KBD style='position:absolute;font:10pt Times New Roman'>By:</KBD><KBD style=margin-left:36pt></KBD><FONT style='border-bottom:1px solid #000000'><I>/s/ JOHN RICE &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</I></FONT>&nbsp;</P>
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<TR><TD valign=top style='width:95.4pt;border-top:0.5pt solid #000000'><P align=center style='font:10pt Times New Roman;margin:0'><A href=f8k081117_ex99z1.htm style=text-decoration:none><FONT style='color:#0000FF;border-bottom:1px solid #0000FF'>99.1</FONT></A></P>
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</TD><TD valign=top style='width:432pt;border-top:0.5pt solid #000000'><P style='font:10pt Times New Roman;margin:0'>Press Release of Sigma Labs, Inc., dated August 14, 2017.</P>
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<TYPE>EX-99.1
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<FILENAME>f8k081117_ex99z1.htm
<DESCRIPTION>EXHIBIT 99.1 PRESS RELEASE
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<TITLE>Exhibit 99.1 Press Release</TITLE>
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<DIV style=margin-left:36pt;width:540pt><P align=center style='font:10pt Times New Roman;margin:0'><IMG src=f8k081117_ex99z11.jpg width=118 height=96 alt='Sigma Labs logo.jpg' title='Sigma Labs logo.jpg'>&nbsp;</P>
<P align=center style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
<P align=center style='font:10pt Times New Roman;margin:0'><B>Sigma Labs Announces Financial Results for the Second Quarter Ended June 30, 2017 and Provides Corporate Update</B></P>
<P align=center style='font:10pt Times New Roman;margin:0'><I>Conference Call To Be Held Today at 4:30pm Eastern Time</I></P>
<P align=center style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
<P align=justify style='font:10pt Times New Roman;margin:0'>SANTA FE, N.M. &#8211;&nbsp;August 14, 2017 &#8211;&nbsp;Sigma Labs, Inc. (NASDAQ: SGLB) (&#8220;Sigma Labs&#8221; or the &#8220;Company&#8221;), a provider of quality assurance software under the PrintRite3D&#174; brand, today announced financial results for the three and six months ended June 30, 2017 and provided an overview of recent developments.</P>
<P align=justify style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
<P align=justify style='font:10pt Times New Roman;margin:0'><B>Second Quarter 2017 Business Highlights and Recent Developments </B></P>
<P align=justify style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
<P align=justify style='font:10pt Times New Roman;margin:0;text-indent:-18pt;margin-left:36pt'><KBD style='position:absolute;text-indent:0;font:10pt Symbol'>&#61623;</KBD><KBD style=margin-left:18pt></KBD>August 2017 &#8211; Sigma Labs announced that its cloud-based PrintRite3D&#174; INSPECT&#174; software Version 2.0 was installed at Woodward Inc. (NASDAQ: WWD) Aircraft Turbine Systems group at its Zeeland, MI location. The Company's PrintRite3D&#174; software is part of Woodward's additive manufacturing strategies to ensure that Woodward's aerospace and industrial customers receive quality product. &nbsp;</P>
<P align=justify style='font:10pt Times New Roman;margin:0;text-indent:-18pt;margin-left:36pt'><KBD style='position:absolute;text-indent:0;font:10pt Symbol'>&#61623;</KBD><KBD style=margin-left:18pt></KBD>August 2017 &#8211; Sigma Labs announced signing Jeta Enterprises as a new manufacturer&#8217;s representative for sales of Sigma Labs contract printing and additive manufacturing (AM) services in the Pacific Northwest region of the U.S, including Oregon and Washington states. Jeta&#8217;s strong customer base in Aerospace and Medical Devices coupled with its expertise in custom-engineered components positions it to serve a growing base of demand for advanced component manufacturing. &nbsp;</P>
<P align=justify style='font:10pt Times New Roman;margin:0;text-indent:-18pt;margin-left:36pt'><KBD style='position:absolute;text-indent:0;font:10pt Symbol'>&#61623;</KBD><KBD style=margin-left:18pt></KBD>July 2017 &#8211;&nbsp;Sigma Labs announced that Mark Cola was appointed as Sigma Labs&#8217; Chief Technology Officer on July 24, 2017, responsible for building and implementing the Sigma Labs technological strategy and guiding key technical advancements towards digitalization in the context of the Industrial Internet of Things (IIoT). Mr. Cola formerly served as President and CEO of Sigma Labs and his new title is President and Chief Technology Officer. Mr. Cola will seek to expand and grow the Company through next-generation products and key customer development in a broad range of industries. &nbsp;</P>
<P align=justify style='font:10pt Times New Roman;margin:0;text-indent:-18pt;margin-left:36pt'><KBD style='position:absolute;text-indent:0;font:10pt Symbol'>&#61623;</KBD><KBD style=margin-left:18pt></KBD>July 2017 - John Rice, who has served as Chairman of the Board of the Company since his appointment in April 2017, replaced Mr. Cola as CEO. As Chairman and interim CEO, Mr. Rice will oversee Sigma Labs' implementation of internal and external growth, with an emphasis on internal focus technology, sales, and efficiency, and externally, reaching into the marketplace to expand the Company&#8217;s digital technical bandwidth with respect to the Company's In-Process Quality Assurance&#8482; (&#8220;IPQA&#174;&#8221;) technology and AM. Mr. Rice brings substantial operating and investment experience to these tasks<A name=BM002 />, including with respect to operations of startup and emerging companies, corporate finance, and mergers and acquisitions.&nbsp;</P>
<P align=justify style='font:10pt Times New Roman;margin:0;text-indent:-18pt;margin-left:36pt'><KBD style='position:absolute;text-indent:0;font:10pt Symbol'>&#61623;</KBD><KBD style=margin-left:18pt></KBD>July 2017 &#8211;&nbsp;Sigma Labs announced the June 30, 2016 publication of its U.S. Patent Application No. US 2016/0185048; Multi-Sensor Quality Inference and Control for Additive Manufacturing Processes. This patent application is related to real-time quality analysis during AM processes and the characterization of material properties using acoustic signals emitted during AM which can be used in addition to optical signals to simplify the qualification of printed parts.&nbsp;</P>
<P align=justify style='font:10pt Times New Roman;margin:0;text-indent:-18pt;margin-left:36pt'><KBD style='position:absolute;text-indent:0;font:10pt Symbol'>&#61623;</KBD><KBD style=margin-left:18pt></KBD>July 2017 &#8211; Sigma Labs announced that it signed a Technology Development Agreement (TDA) with OXYS Corporation, a technology company in Cambridge, MA working in the Industrie 4.0 space. &nbsp;The first project to be executed under the TDA will be a new architecture platform for the Company's PrintRite3D&#174; INSPECT.&nbsp;</P>
<P align=justify style='font:10pt Times New Roman;margin:0;text-indent:-18pt;margin-left:36pt'><KBD style='position:absolute;text-indent:0;font:10pt Symbol'>&#61623;</KBD><KBD style=margin-left:18pt></KBD>June 2017 &#8211;&nbsp;Sigma Labs announced that its PrintRite3D&#174; INSPECT&#174; software Version 2.0 was installed at Honeywell Aerospace in Honeywell's Advanced Manufacturing Engineering Center in Phoenix, AZ, in connection with Sigma Labs' ongoing participation in the Honeywell lead, DARPA Phase III.&nbsp;</P>
<P align=justify style='font:10pt Times New Roman;margin:0;text-indent:-18pt;margin-left:36pt'><KBD style='position:absolute;text-indent:0;font:10pt Symbol'>&#61623;</KBD><KBD style=margin-left:18pt></KBD>June 2017 &#8211;&nbsp;Sigma Labs announced that the Company entered into agreements with two additional, non-exclusive sales agents in the Asia Pacific region, driven by strong customer interest in the region for PrintRite3D&#174;. One such agent, Enervision Inc., will target the high growth expectations in the South Korean AM market, driven by the Korean government's announcement in April 2017 of a $37 million investment to accelerate the development of 3D printing across the country. &nbsp;Sigma Labs' other new sales agent, Beijing Yida Sifang Technology Co., Ltd, a leading metal AM reseller with multiple offices in China, will assist Sigma Labs with its expansion into the China AM market. &nbsp;&nbsp;</P>
<HR style='border:0;height:0;margin:14pt 0 0 0'><HR style='page-break-after:always;border:0;height:3pt;background-color:#909090;margin:8pt 0'><P align=justify style='font:10pt Times New Roman;margin:0;color:#000000'>&#8220;We are implementing our strategic double down on both Sigma Labs' technology and also on our ongoing efforts to grow Sigma Labs into a robust digital 3D ecosystem by seeking to identify compatible businesses to potentially acquire that will be synergistic with Sigma Labs' technology and business, although there are currently no agreements with respect to the acquisition by the Company of any third party, and there is no assurance than any acquisition will be consummated. In July and early August 2017, we changed our management lineup to add more capacity to implement our strategy. We believe that we have excellent technology and are supported by an excellent team of technologists. We also believe that we have accomplished a hard-won understanding of a rapidly changing market place, and that our early adopter and OEM strategies are gaining traction. We know that we need to perform better operationally, and are reconstituting senior management and the Board to focus on three very defined targets: (1) product development, sales, and support; (2) business operations; and (3) expansion through the exploration of various business opportunities,&quot; said John Rice, interim CEO.</P>
<P align=justify style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
<P align=justify style='font:10pt Times New Roman;margin:0'><B>Second Quarter Ended June 30, 2017 Financial Results</B></P>
<P align=justify style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
<P align=justify style='font:10pt Times New Roman;margin:0'>Revenue for the three months ended June 30, 2017, was $290,553, as compared to revenue of $93,824 during the same period in 2016. The increase in revenue was primarily due to new contracts in 2017, including Honeywell DARPA Phase III, Aerojet Rocketdyne, and Solar Turbines, Pratt and Whitney, and Woodward which accounted for the majority of the $196,729 increase in revenues when comparing Q2 2017 to Q2 2016. In addition, the Q2 2016 revenues were lower due to the completion of the GEA America Makes Program in Q1 2016, providing no revenues from that contract in Q2 2016. </P>
<P align=justify style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
<P align=justify style='font:10pt Times New Roman;margin:0'>General and Administrative expenses for the three months ended June 30, 2017, were $594,193, as compared to $480,697 for the same period in 2016. &nbsp;The $113,496 increase was primarily due to increases in legal fees and the increase in interest and finance costs on the $1,000,000 promissory note originated in October 2016. Payroll expenses for the three months ended June 30, 2017, were $300,661, as compared to $252,895 for the same period in 2016. The $47,766 increase was due to an increase in employees in Q2 2017 versus Q2 2016. Expenses relating to stock-based compensation for the three months ended June 30, 2017, were $166,773, as compared to $59,362 for the same period in 2016. The $107,411 increase was due to more stock and stock options being used to pay for services as a mechanism to preserve cash. Research and Development expenses for the three months ended June 30, 2017, were $118,853, as compared to $11,907 for the same period in 2016. The $106,946 increase was the result of continued improvement and development of the Company's software and technology. </P>
<P align=justify style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
<P align=justify style='font:10pt Times New Roman;margin:0'>Net loss for the three months ended June 30, 2017 increased $246,895 and totaled $988,741, as compared to $741,846 for the same period in 2016. The increase is primarily due to the $375,619 increase in expenses noted above, partially offset by the $116,221 increase in gross profits, which is primarily due to the $196,729 increase in revenues in Q2 2017 compared to Q2 2016.</P>
<P align=justify style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
<P align=justify style='font:10pt Times New Roman;margin:0'>Revenue for the six months ended June 30, 2017, was $440,756, as compared to $452,279 recognized during the same period in 2016. The $11,523 decrease in revenue was primarily due to the completion of the GEA America Makes Program in 2016, providing three months of revenue in 2016 but no revenue in 2017. However, new business in Q2 2017 from customers like Honeywell DARPA Phase III, Aerojet Rocketdyne and Solar Turbines made up for the majority of the reduction that resulted from the completion of the GEA America Makes Program. The Company financed its operations during the six months ended June 30, 2017 and 2016 primarily from PrintRite3D&#174; system sales, DARPA Phase III, Aerojet Rocketdyne and Solar Turbines programs, engineering consulting services provided to third parties, and through sales of the Company's common stock and debt securities. </P>
<P align=justify style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
<P align=justify style='font:10pt Times New Roman;margin:0'>General and Administrative expenses for the six months ended June 30, 2017, were $1,237,988, as compared to $876,185 for the same period in 2016. The costs of the February 2017 public offering that generated net proceeds of approximately $5.25 million, legal fees, and the interest and finance costs related to the Company's $1,000,000 note, are the primary reasons for the $361,803 increase in G&amp;A expenses. Payroll expenses for the six months ended June 30, 2017, were $677,282, as compared to $468,484 for the same period in 2016. Employee additions are the main reason for the $208,798 payroll expense increase. Expenses relating to stock-based compensation for the six months ended June 30, 2017, were $306,405, as compared to $130,913 for the same period in 2016. The $175,492 increase is the result of using stock and stock options to pay for services in order to preserve cash. Research and Development expenses for the six months ended June 30, 2017, were $167,615, as compared to $50,978 for the same period in 2016. The $116,637 increase is the result of increased efforts to continue to develop and improve the Company's software and technology.</P>
<P align=justify style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
<P align=justify style='font:10pt Times New Roman;margin:0'>Net loss for the six months ended June 30, 2017, increased $720,193 over the prior year and totaled $1,932,706 as compared to $1,212,513 for the same period in 2016. While revenue decreased $11,523, the Company experienced an $862,730 net increase in expenses. The Company recorded other income of $201,774, primarily from the receipt of New Mexico state employee incentives, and non-cash income and expenses related to derivative liabilities and debt discounts.</P>
<HR style='border:0;height:0;margin:14pt 0 0 0'><HR style='page-break-after:always;border:0;height:3pt;background-color:#909090;margin:8pt 0'><P align=justify style='font:10pt Times New Roman;margin:0'>As of June 30, 2017, the Company had $3,384,499 in cash on its balance sheet, compared to $398,391 in cash as of June 30, 2016 and a working capital surplus of $3,374,359 as of June 30, 2017, compared to a working capital surplus of $110,799 as of June 30, 2016.</P>
<P align=justify style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
<P align=justify style='font:10pt Times New Roman;margin:0'><B>Investor Conference Call</B></P>
<P align=justify style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
<P align=justify style='font:10pt Times New Roman;margin:0'>Management will host a conference call today, Monday, August 14, 2017 at 4:30pm to review financial results and corporate highlights. Following management&#8217;s formal remarks, there will be a question and answer session. To listen to the call by phone, interested parties within the U.S. should call 1-877-344-7529 and International callers should call 1-412-317-5134. All callers should ask for the Sigma Labs conference call. The conference call will also be available through a live webcast at www.sigmalabsinc.com. Details for the webcast may be found on the Company&#8217;s IR events page at http://client.irwebkit.com/sigmalabsinc/events. A replay of the call will be available approximately one hour after the end of the call through September 14, 2017. The replay can be accessed via Sigma Labs' website or by dialing 877-344-7529 (domestic) or 412-317-0088 (international) or Canada Toll Free at 855-669-9658. The replay conference ID number is 10111326. The webcast replay will be available through November 14, 2017. &nbsp;</P>
<P align=justify style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
<P align=justify style='font:10pt Times New Roman;margin:0'><B>About Sigma Labs, Inc. </B></P>
<P align=justify style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
<P align=justify style='font:10pt Times New Roman;margin:0'>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. &nbsp;</P>
<P align=justify style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
<P align=justify style='font:10pt Times New Roman;margin:0'><B>Forward-Looking Statements</B></P>
<P align=justify style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
<P align=justify style='font:10pt Times New Roman;margin:0'>This press release contains &#8220;forward-looking statements&#8221; within the meaning of Section 27A of the Securities Act of 1933, as amended, and Section 21E of the Securities Exchange Act of 1934, as amended (which Sections were adopted as part of the Private Securities Litigation Reform Act of 1995). Statements preceded by, followed by or that otherwise include the words &#8220;believe,&#8221; &#8220;anticipate,&#8221; &#8220;estimate,&#8221; &#8220;expect,&#8221; &#8220;intend,&#8221; &#8220;plan,&#8221; &#8220;project,&#8221; &#8220;prospects,&#8221; &#8220;outlook,&#8221; and similar words or expressions, or future or conditional verbs such as &#8220;will,&#8221; &#8220;should,&#8221; &#8220;would,&#8221; &#8220;may,&#8221; and &#8220;could&#8221; are generally forward-looking in nature and not historical facts. These forward-looking statements involve known and unknown risks, uncertainties and other factors which may cause the Company's actual results, performance or achievements to be materially different from any anticipated results, performance or achievements. The Company disclaims any intention to, and undertakes no obligation to, revise any forward-looking statements, whether as a result of new information, a future event, or otherwise. For additional risks and uncertainties that could impact the Company&#8217;s forward-looking statements, please see the Company&#8217;s Annual Report on Form 10-K (including but not limited to the discussion under &#8220;Risk Factors&#8221; therein) filed with the SEC on March 31, 2017 and which may be viewed at http://www.sec.gov.</P>
<P align=justify style='font:10pt Times New Roman;margin:0'><A name=_DV_M22 /><A name=_DV_M23 />&nbsp;</P>
<P align=justify style='font:10pt Times New Roman;margin:0'><B>Investor Relations Contact:</B></P>
<P align=justify style='font:10pt Times New Roman;margin:0'>Bret Shapiro</P>
<P align=justify style='font:10pt Times New Roman;margin:0'>Managing Director</P>
<P align=justify style='font:10pt Times New Roman;margin:0'>CORE IR</P>
<P align=justify style='font:10pt Times New Roman;margin:0'>561-479-8566 </P>
<P align=justify style='font:10pt Times New Roman;margin:0'>brets@coreir.com</P>
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</TD><TD valign=bottom style=width:78.7pt;white-space:nowrap><P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:310.5pt;white-space:nowrap><P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:16pt;white-space:nowrap><P align=center style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style='width:78.5pt;white-space:nowrap;border-bottom:1pt solid #000000'><P align=center style='font:10pt Times New Roman;margin:0'><B>June 30, </B></P>
<P align=center style='font:10pt Times New Roman;margin:0'><B>2017</B></P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=center style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style='width:78.7pt;white-space:nowrap;border-bottom:1pt solid #000000'><P align=center style='font:10pt Times New Roman;margin:0'><B>December 31, </B></P>
<P align=center style='font:10pt Times New Roman;margin:0'><B>2016</B></P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:310.5pt;white-space:nowrap><P align=center style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:16pt;white-space:nowrap><P align=center style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.5pt;white-space:nowrap><P align=center style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=center style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.7pt;white-space:nowrap><P align=center style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:310.5pt><P style='font:10pt Times New Roman;margin:0'><B>ASSETS</B></P>
</TD><TD valign=bottom style=width:16pt><P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.5pt><P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt><P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.7pt><P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:310.5pt><P style='font:10pt Times New Roman;margin:0'><B>Current Assets:</B></P>
</TD><TD valign=bottom style=width:16pt><P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.5pt><P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt><P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.7pt><P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:310.5pt><P style='font:10pt Times New Roman;margin:0;margin-left:8.1pt'>Cash</P>
</TD><TD valign=bottom style=width:16pt><P align=right style='font:10pt Times New Roman;margin:0'>$</P>
</TD><TD valign=bottom style=width:78.5pt><P align=right style='font:10pt Times New Roman;margin:0'>3,384,499</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>$</P>
</TD><TD valign=bottom style=width:78.7pt><P align=right style='font:10pt Times New Roman;margin:0'>398,391</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:310.5pt><P style='font:10pt Times New Roman;margin:0;margin-left:8.1pt'>Accounts Receivable, net</P>
</TD><TD valign=bottom style=width:16pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.5pt><P align=right style='font:10pt Times New Roman;margin:0'>235,467</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.7pt><P align=right style='font:10pt Times New Roman;margin:0'>288,236</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:310.5pt><P style='font:10pt Times New Roman;margin:0;margin-left:8.1pt'>Note Receivable, net</P>
</TD><TD valign=bottom style=width:16pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.5pt><P align=right style='font:10pt Times New Roman;margin:0'>762,034</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.7pt><P align=right style='font:10pt Times New Roman;margin:0'>-</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:310.5pt><P style='font:10pt Times New Roman;margin:0;margin-left:8.1pt'>Inventory</P>
</TD><TD valign=bottom style=width:16pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.5pt><P align=right style='font:10pt Times New Roman;margin:0'>227,827</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.7pt><P align=right style='font:10pt Times New Roman;margin:0'>187,241</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:310.5pt><P style='font:10pt Times New Roman;margin:0;margin-left:8.1pt'>Prepaid Assets</P>
</TD><TD valign=bottom style=width:16pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.5pt><P align=right style='font:10pt Times New Roman;margin:0'>37,176</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.7pt><P align=right style='font:10pt Times New Roman;margin:0'>36,056</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:310.5pt><P style='font:10pt Times New Roman;margin:0;margin-left:17.1pt'><B>Total Current Assets</B></P>
</TD><TD valign=bottom style=width:16pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style='width:78.5pt;border-top:0.5pt solid #000000'><P align=right style='font:10pt Times New Roman;margin:0'>4,647,003</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style='width:78.7pt;border-top:0.5pt solid #000000'><P align=right style='font:10pt Times New Roman;margin:0'>909,924</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:310.5pt><P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:16pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.5pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.7pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:310.5pt><P style='font:10pt Times New Roman;margin:0'><B>Other Assets:</B></P>
</TD><TD valign=bottom style=width:16pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.5pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.7pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:310.5pt><P style='font:10pt Times New Roman;margin:0;margin-left:8.1pt'>Property and Equipment, net</P>
</TD><TD valign=bottom style=width:16pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.5pt><P align=right style='font:10pt Times New Roman;margin:0'>491,188</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.7pt><P align=right style='font:10pt Times New Roman;margin:0'>564,933</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:310.5pt><P style='font:10pt Times New Roman;margin:0;margin-left:8.1pt'>Intangible Assets, net</P>
</TD><TD valign=bottom style=width:16pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.5pt><P align=right style='font:10pt Times New Roman;margin:0'>241,978</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.7pt><P align=right style='font:10pt Times New Roman;margin:0'>226,450</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:310.5pt><P style='font:10pt Times New Roman;margin:0;margin-left:8.1pt'>Investment in Joint Venture</P>
</TD><TD valign=bottom style=width:16pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.5pt><P align=right style='font:10pt Times New Roman;margin:0'>500</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.7pt><P align=right style='font:10pt Times New Roman;margin:0'>500</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:310.5pt><P style='font:10pt Times New Roman;margin:0;margin-left:8.1pt'>Prepaid Stock Compensation</P>
</TD><TD valign=bottom style=width:16pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.5pt><P align=right style='font:10pt Times New Roman;margin:0'>111,070</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.7pt><P align=right style='font:10pt Times New Roman;margin:0'>167,562</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:310.5pt><P style='font:10pt Times New Roman;margin:0;margin-left:17.1pt'><B>Total Other Assets</B></P>
</TD><TD valign=bottom style=width:16pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style='width:78.5pt;border-top:0.5pt solid #000000'><P align=right style='font:10pt Times New Roman;margin:0'>844,736</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style='width:78.7pt;border-top:0.5pt solid #000000'><P align=right style='font:10pt Times New Roman;margin:0'>959,445</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:310.5pt><P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:16pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.5pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.7pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:310.5pt><P style='font:10pt Times New Roman;margin:0'><B>TOTAL ASSETS</B></P>
</TD><TD valign=bottom style=width:16pt><P align=right style='font:10pt Times New Roman;margin:0'>$</P>
</TD><TD valign=bottom style='width:78.5pt;border-bottom:3px double #000000'><P align=right style='font:10pt Times New Roman;margin:0'>5,491,739</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>$</P>
</TD><TD valign=bottom style='width:78.7pt;border-bottom:3px double #000000'><P align=right style='font:10pt Times New Roman;margin:0'>1,869,369</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:310.5pt><P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:16pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.5pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.7pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:310.5pt><P style='font:10pt Times New Roman;margin:0'><B>LIABILITIES AND STOCKHOLDERS' EQUITY</B></P>
</TD><TD valign=bottom style=width:16pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.5pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.7pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:310.5pt><P style='font:10pt Times New Roman;margin:0'><B>Current Liabilities:</B></P>
</TD><TD valign=bottom style=width:16pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.5pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.7pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:310.5pt><P style='font:10pt Times New Roman;margin:0;margin-left:8.1pt'>Accounts Payable</P>
</TD><TD valign=bottom style=width:16pt><P align=right style='font:10pt Times New Roman;margin:0'>$</P>
</TD><TD valign=bottom style=width:78.5pt><P align=right style='font:10pt Times New Roman;margin:0'>137,605</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>$</P>
</TD><TD valign=bottom style=width:78.7pt><P align=right style='font:10pt Times New Roman;margin:0'>112,175</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:310.5pt><P style='font:10pt Times New Roman;margin:0;margin-left:8.1pt'>Notes Payable, net of original issue discount $30,297 at </P>
<P style='font:10pt Times New Roman;margin:0;margin-left:17.1pt'>June 30, 2017 and net of original issue discount $69,703 </P>
<P style='font:10pt Times New Roman;margin:0;margin-left:17.1pt'>and net of debt discount $358,280 at December 31, 2016</P>
</TD><TD valign=bottom style=width:16pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.5pt><P align=right style='font:10pt Times New Roman;margin:0'>969,703</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.7pt><P align=right style='font:10pt Times New Roman;margin:0'>561,834</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:310.5pt><P style='font:10pt Times New Roman;margin:0;margin-left:8.1pt'>Accrued Expenses</P>
</TD><TD valign=bottom style=width:16pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.5pt><P align=right style='font:10pt Times New Roman;margin:0'>165,336</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.7pt><P align=right style='font:10pt Times New Roman;margin:0'>125,116</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:310.5pt><P style='font:10pt Times New Roman;margin:0;margin-left:17.1pt'><B>Total Current Liabilities</B></P>
</TD><TD valign=bottom style=width:16pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style='width:78.5pt;border-top:0.5pt solid #000000'><P align=right style='font:10pt Times New Roman;margin:0'>1,272,644</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style='width:78.7pt;border-top:0.5pt solid #000000'><P align=right style='font:10pt Times New Roman;margin:0'>799,125</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:310.5pt><P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:16pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.5pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.7pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:310.5pt><P style='font:10pt Times New Roman;margin:0'><B>Long-Term Liabilities</B></P>
</TD><TD valign=bottom style=width:16pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.5pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.7pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:310.5pt><P style='font:10pt Times New Roman;margin:0;margin-left:8.1pt'>Derivative Liability</P>
</TD><TD valign=bottom style=width:16pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style='width:78.5pt;border-bottom:0.5pt solid #000000'><P align=right style='font:10pt Times New Roman;margin:0'>-</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style='width:78.7pt;border-bottom:0.5pt solid #000000'><P align=right style='font:10pt Times New Roman;margin:0'>93,206</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:310.5pt><P style='font:10pt Times New Roman;margin:0;margin-left:17.1pt'><B>Total Long-Term Liability</B></P>
</TD><TD valign=bottom style=width:16pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style='width:78.5pt;border-bottom:0.5pt solid #000000'><P align=right style='font:10pt Times New Roman;margin:0'>-</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style='width:78.7pt;border-bottom:0.5pt solid #000000'><P align=right style='font:10pt Times New Roman;margin:0'>93,206</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:310.5pt><P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:16pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.5pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.7pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:310.5pt><P style='font:10pt Times New Roman;margin:0'><B>TOTAL LIABILITIES</B></P>
</TD><TD valign=bottom style=width:16pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.5pt><P align=right style='font:10pt Times New Roman;margin:0'>1,272,644</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.7pt><P align=right style='font:10pt Times New Roman;margin:0'>892,331</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:310.5pt><P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:16pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.5pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.7pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:310.5pt><P style='font:10pt Times New Roman;margin:0'><B>Stockholders' Equity</B></P>
</TD><TD valign=bottom style=width:16pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.5pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.7pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:310.5pt;white-space:nowrap><P style='font:10pt Times New Roman;margin:0;margin-left:8.1pt'>Preferred Stock, $0.001 par; 10,000,000 shares authorized;</P>
<P style='font:10pt Times New Roman;margin:0;margin-left:17.1pt'>None issued and outstanding</P>
</TD><TD valign=bottom style=width:16pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.5pt><P align=right style='font:10pt Times New Roman;margin:0'>-</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.7pt><P align=right style='font:10pt Times New Roman;margin:0'>-</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:310.5pt;white-space:nowrap><P style='font:10pt Times New Roman;margin:0;margin-left:8.1pt'>Common Stock, $0.001 par; 7,500,000 shares authorized;</P>
<P style='font:10pt Times New Roman;margin:0;margin-left:17.1pt'>4,570,199 and 3,133,789 issued and outstanding at</P>
<P style='font:10pt Times New Roman;margin:0;margin-left:17.1pt'>June 30, 2017 and 2016, respectively</P>
</TD><TD valign=bottom style=width:16pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.5pt><P align=right style='font:10pt Times New Roman;margin:0'>4,570</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.7pt><P align=right style='font:10pt Times New Roman;margin:0'>3,135</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:310.5pt><P style='font:10pt Times New Roman;margin:0;margin-left:8.1pt'>Additional Paid-In Capital</P>
</TD><TD valign=bottom style=width:16pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.5pt><P align=right style='font:10pt Times New Roman;margin:0'>15,908,185</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.7pt><P align=right style='font:10pt Times New Roman;margin:0'>10,734,857</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:310.5pt><P style='font:10pt Times New Roman;margin:0;margin-left:8.1pt'>Accumulated Deficit</P>
</TD><TD valign=bottom style=width:16pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.5pt><P align=right style='font:10pt Times New Roman;margin:0'>(11,693,660)</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.7pt><P align=right style='font:10pt Times New Roman;margin:0'>(9,760,954)</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:310.5pt><P style='font:10pt Times New Roman;margin:0;margin-left:17.1pt'><B>Total Stockholders' Equity</B></P>
</TD><TD valign=bottom style=width:16pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style='width:78.5pt;border-top:0.5pt solid #000000;border-bottom:0.5pt solid #000000'><P align=right style='font:10pt Times New Roman;margin:0'>4,219,095</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style='width:78.7pt;border-top:0.5pt solid #000000;border-bottom:0.5pt solid #000000'><P align=right style='font:10pt Times New Roman;margin:0'>977,038</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:310.5pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:16pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.5pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:78.7pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:310.5pt><P style='font:10pt Times New Roman;margin:0'><B>TOTAL LIABILITIES AND STOCKHOLDERS' EQUITY </B></P>
</TD><TD valign=bottom style=width:16pt><P align=right style='font:10pt Times New Roman;margin:0'>$</P>
</TD><TD valign=bottom style='width:78.5pt;border-bottom:3px double #000000'><P align=right style='font:10pt Times New Roman;margin:0'>5,491,739</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>$</P>
</TD><TD valign=bottom style='width:78.7pt;border-bottom:3px double #000000'><P align=right style='font:10pt Times New Roman;margin:0'>1,869,369</P>
</TD></TR>
</TABLE>
<HR style='border:0;height:0;margin:14pt 0 0 0'><HR style='page-break-after:always;border:0;height:3pt;background-color:#909090;margin:8pt 0'><TABLE align=center style=border-collapse:collapse;width:533.3pt><TR style=height:7.2pt><TD colspan=9 valign=bottom style=width:533.3pt;white-space:nowrap><P align=center style='font:10pt Times New Roman;margin:0'><B>Sigma Labs, Inc.</B></P>
</TD></TR>
<TR style=height:7.2pt><TD colspan=9 valign=bottom style=width:533.3pt><P align=center style='font:10pt Times New Roman;margin:0'><B>Condensed Statements of Operations</B></P>
</TD></TR>
<TR style=height:7.2pt><TD colspan=9 valign=bottom style=width:533.3pt;white-space:nowrap><P align=center style='font:10pt Times New Roman;margin:0'><B>(Unaudited)</B></P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:244.65pt;white-space:nowrap><P align=center style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=center style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:57pt;white-space:nowrap><P align=center style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=center style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:50.8pt;white-space:nowrap><P align=center style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=center style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:57.5pt;white-space:nowrap><P align=center style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=center style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:60.15pt;white-space:nowrap><P align=center style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:244.65pt;white-space:nowrap><P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=center style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD colspan=3 valign=bottom style='width:123.6pt;white-space:nowrap;border-bottom:1pt solid #000000'><P align=center style='font:10pt Times New Roman;margin:0'><B>Three Months Ended</B></P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=center style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD colspan=3 valign=bottom style='width:133.45pt;white-space:nowrap;border-bottom:1pt solid #000000'><P align=center style='font:10pt Times New Roman;margin:0'><B>Six Months Ended</B></P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:244.65pt;white-space:nowrap><P align=center style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=center style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style='width:57pt;border-bottom:1pt solid #000000'><P align=center style='font:10pt Times New Roman;margin:0'><B>June 30,</B></P>
<P align=center style='font:10pt Times New Roman;margin:0'><B>2017</B></P>
</TD><TD valign=bottom style=width:15.8pt><P align=center style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style='width:50.8pt;border-bottom:1pt solid #000000'><P align=center style='font:10pt Times New Roman;margin:0'><B>June 30,</B></P>
<P align=center style='font:10pt Times New Roman;margin:0'><B>2016</B></P>
</TD><TD valign=bottom style=width:15.8pt><P align=center style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style='width:57.5pt;border-bottom:1pt solid #000000'><P align=center style='font:10pt Times New Roman;margin:0'><B>June 30,</B></P>
<P align=center style='font:10pt Times New Roman;margin:0'><B>2017</B></P>
</TD><TD valign=bottom style=width:15.8pt><P align=center style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style='width:60.15pt;border-bottom:1pt solid #000000'><P align=center style='font:10pt Times New Roman;margin:0'><B>June 30,</B></P>
<P align=center style='font:10pt Times New Roman;margin:0'><B>2016</B></P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:244.65pt;white-space:nowrap><P align=center style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=center style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:57pt;white-space:nowrap><P align=center style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=center style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:50.8pt;white-space:nowrap><P align=center style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=center style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:57.5pt;white-space:nowrap><P align=center style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=center style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:60.15pt;white-space:nowrap><P align=center style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:244.65pt;white-space:nowrap><P align=center style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:57pt;white-space:nowrap><P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:50.8pt;white-space:nowrap><P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:57.5pt;white-space:nowrap><P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:60.15pt;white-space:nowrap><P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:244.65pt><P style='font:10pt Times New Roman;margin:0'><B>Revenues</B></P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>$</P>
</TD><TD valign=bottom style=width:57pt><P align=right style='font:10pt Times New Roman;margin:0'>290,553</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>$</P>
</TD><TD valign=bottom style=width:50.8pt><P align=right style='font:10pt Times New Roman;margin:0'>93,824</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>$</P>
</TD><TD valign=bottom style=width:57.5pt><P align=right style='font:10pt Times New Roman;margin:0'>440,756</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>$</P>
</TD><TD valign=bottom style=width:60.15pt><P align=right style='font:10pt Times New Roman;margin:0'>452,279</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:244.65pt><P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:57pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:50.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:57.5pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:60.15pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:244.65pt><P style='font:10pt Times New Roman;margin:0'><B>COST OF REVENUE</B></P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style='width:57pt;border-bottom:0.5pt solid #000000'><P align=right style='font:10pt Times New Roman;margin:0'>111,412</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style='width:50.8pt;border-bottom:0.5pt solid #000000'><P align=right style='font:10pt Times New Roman;margin:0'>30,904</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style='width:57.5pt;border-bottom:0.5pt solid #000000'><P align=right style='font:10pt Times New Roman;margin:0'>185,946</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style='width:60.15pt;border-bottom:0.5pt solid #000000'><P align=right style='font:10pt Times New Roman;margin:0'>138,485</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:244.65pt><P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:57pt><P align=right style='font:10pt Times New Roman;margin:0'>-</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:50.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:57.5pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:60.15pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:244.65pt><P style='font:10pt Times New Roman;margin:0'><B>GROSS PROFIT</B></P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:57pt><P align=right style='font:10pt Times New Roman;margin:0'>179,141</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:50.8pt><P align=right style='font:10pt Times New Roman;margin:0'>62,920</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:57.5pt><P align=right style='font:10pt Times New Roman;margin:0'>254,810</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:60.15pt><P align=right style='font:10pt Times New Roman;margin:0'>313,794</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:244.65pt><P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:57pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:50.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:57.5pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:60.15pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:244.65pt><P style='font:10pt Times New Roman;margin:0'><B>EXPENSES:</B></P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:57pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:50.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:57.5pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:60.15pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:244.65pt><P style='font:10pt Times New Roman;margin:0;margin-left:8.1pt'>Other General and Administration</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:57pt><P align=right style='font:10pt Times New Roman;margin:0'>594,193</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:50.8pt><P align=right style='font:10pt Times New Roman;margin:0'>480,697</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:57.5pt><P align=right style='font:10pt Times New Roman;margin:0'>1,237,988</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:60.15pt><P align=right style='font:10pt Times New Roman;margin:0'>876,185</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:244.65pt><P style='font:10pt Times New Roman;margin:0;margin-left:8.1pt'>Payroll Expense</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:57pt><P align=right style='font:10pt Times New Roman;margin:0'>300,661</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:50.8pt><P align=right style='font:10pt Times New Roman;margin:0'>252,895</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:57.5pt><P align=right style='font:10pt Times New Roman;margin:0'>677,282</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:60.15pt><P align=right style='font:10pt Times New Roman;margin:0'>468,484</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:244.65pt><P style='font:10pt Times New Roman;margin:0;margin-left:8.1pt'>Stock-Based Compensation</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:57pt><P align=right style='font:10pt Times New Roman;margin:0'>166,773</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:50.8pt><P align=right style='font:10pt Times New Roman;margin:0'>59,362</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:57.5pt><P align=right style='font:10pt Times New Roman;margin:0'>306,405</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:60.15pt><P align=right style='font:10pt Times New Roman;margin:0'>130,913</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:244.65pt><P style='font:10pt Times New Roman;margin:0;margin-left:8.1pt'>Research and Development</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:57pt><P align=right style='font:10pt Times New Roman;margin:0'>118,853</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:50.8pt><P align=right style='font:10pt Times New Roman;margin:0'>11,907</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:57.5pt><P align=right style='font:10pt Times New Roman;margin:0'>167,615</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:60.15pt><P align=right style='font:10pt Times New Roman;margin:0'>50,978</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:244.65pt><P style='font:10pt Times New Roman;margin:0;margin-left:17.1pt'><B>Total Expenses</B></P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style='width:57pt;border-top:0.5pt solid #000000'><P align=right style='font:10pt Times New Roman;margin:0'>1,180,480</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style='width:50.8pt;border-top:0.5pt solid #000000'><P align=right style='font:10pt Times New Roman;margin:0'>804,861</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style='width:57.5pt;border-top:0.5pt solid #000000'><P align=right style='font:10pt Times New Roman;margin:0'>2,389,290</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style='width:60.15pt;border-top:0.5pt solid #000000'><P align=right style='font:10pt Times New Roman;margin:0'>1,526,560</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:244.65pt><P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:57pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:50.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:57.5pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:60.15pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:244.65pt><P style='font:10pt Times New Roman;margin:0'><B>OTHER INCOME (EXPENSE)</B></P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:57pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:50.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:57.5pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:60.15pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:244.65pt><P style='font:10pt Times New Roman;margin:0;margin-left:8.1pt'>Interest Income</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:57pt><P align=right style='font:10pt Times New Roman;margin:0'>12,598</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:50.8pt><P align=right style='font:10pt Times New Roman;margin:0'>95</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:57.5pt><P align=right style='font:10pt Times New Roman;margin:0'>12,941</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:60.15pt><P align=right style='font:10pt Times New Roman;margin:0'>253</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:244.65pt><P style='font:10pt Times New Roman;margin:0;margin-left:8.1pt'>Other Income</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:57pt><P align=right style='font:10pt Times New Roman;margin:0'>-</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:50.8pt><P align=right style='font:10pt Times New Roman;margin:0'>-</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:57.5pt><P align=right style='font:10pt Times New Roman;margin:0'>152,068</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:60.15pt><P align=right style='font:10pt Times New Roman;margin:0'>-</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:244.65pt><P style='font:10pt Times New Roman;margin:0;margin-left:8.1pt'>Other Income-Decrease in fair value of derivative </P>
<P style='font:10pt Times New Roman;margin:0;margin-left:17.1pt'>liabilities</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:57pt><P align=right style='font:10pt Times New Roman;margin:0'>-</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:50.8pt><P align=right style='font:10pt Times New Roman;margin:0'>-</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:57.5pt><P align=right style='font:10pt Times New Roman;margin:0'>93,206</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:60.15pt><P align=right style='font:10pt Times New Roman;margin:0'>-</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:244.65pt><P style='font:10pt Times New Roman;margin:0;margin-left:8.1pt'>Other Expense - Debt discount amortization</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:57pt><P align=right style='font:10pt Times New Roman;margin:0'>-</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:50.8pt><P align=right style='font:10pt Times New Roman;margin:0'>-</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:57.5pt><P align=right style='font:10pt Times New Roman;margin:0'>(56,441)</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:60.15pt><P align=right style='font:10pt Times New Roman;margin:0'>-</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:244.65pt><P style='font:10pt Times New Roman;margin:0;margin-left:17.1pt'><B>Total Other Income</B></P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style='width:57pt;border-top:0.5pt solid #000000;border-bottom:0.5pt solid #000000'><P align=right style='font:10pt Times New Roman;margin:0'>12,598</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style='width:50.8pt;border-top:0.5pt solid #000000;border-bottom:0.5pt solid #000000'><P align=right style='font:10pt Times New Roman;margin:0'>95</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style='width:57.5pt;border-top:0.5pt solid #000000;border-bottom:0.5pt solid #000000'><P align=right style='font:10pt Times New Roman;margin:0'>201,774</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style='width:60.15pt;border-top:0.5pt solid #000000;border-bottom:0.5pt solid #000000'><P align=right style='font:10pt Times New Roman;margin:0'>253</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:244.65pt><P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:57pt><P align=right style='font:10pt Times New Roman;margin:0'>-</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:50.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:57.5pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:60.15pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:244.65pt;white-space:nowrap><P style='font:10pt Times New Roman;margin:0'><B>LOSS BEFORE PROVISION FOR INCOME TAXES</B></P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:57pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>(988,741)</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:50.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>(741,846)</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:57.5pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>(1,932,706)</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:60.15pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>(1,212,513)</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:244.65pt;white-space:nowrap><P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:57pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>-</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:50.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>-</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:57.5pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>-</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:60.15pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>-</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:244.65pt;white-space:nowrap><P style='font:10pt Times New Roman;margin:0'><B>Provision for income Taxes</B></P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:57pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>-</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:50.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>-</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:57.5pt><P align=right style='font:10pt Times New Roman;margin:0'>-</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:60.15pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>-</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:244.65pt;white-space:nowrap><P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style='width:57pt;white-space:nowrap;border-bottom:0.5pt solid #000000'><P align=right style='font:10pt Times New Roman;margin:0'>-</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style='width:50.8pt;white-space:nowrap;border-bottom:0.5pt solid #000000'><P align=right style='font:10pt Times New Roman;margin:0'>-</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style='width:57.5pt;white-space:nowrap;border-bottom:0.5pt solid #000000'><P align=right style='font:10pt Times New Roman;margin:0'>-</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style='width:60.15pt;white-space:nowrap;border-bottom:0.5pt solid #000000'><P align=right style='font:10pt Times New Roman;margin:0'>-</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:244.65pt;white-space:nowrap><P style='font:10pt Times New Roman;margin:0'><B>Net Loss</B></P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>$</P>
</TD><TD valign=bottom style='width:57pt;white-space:nowrap;border-bottom:3px double #000000'><P align=right style='font:10pt Times New Roman;margin:0'>(988,741)</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>$</P>
</TD><TD valign=bottom style='width:50.8pt;white-space:nowrap;border-bottom:3px double #000000'><P align=right style='font:10pt Times New Roman;margin:0'>(741,846)</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>$</P>
</TD><TD valign=bottom style='width:57.5pt;white-space:nowrap;border-bottom:3px double #000000'><P align=right style='font:10pt Times New Roman;margin:0'>(1,932,706)</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>$</P>
</TD><TD valign=bottom style='width:60.15pt;white-space:nowrap;border-bottom:3px double #000000'><P align=right style='font:10pt Times New Roman;margin:0'>(1,212,513)</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:244.65pt;white-space:nowrap><P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:57pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:50.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:57.5pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:60.15pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:244.65pt;white-space:nowrap><P style='font:10pt Times New Roman;margin:0'><B>Net Loss per Common Share - Basic and Diluted</B></P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>$</P>
</TD><TD valign=bottom style='width:57pt;white-space:nowrap;border-bottom:3px double #000000'><P align=right style='font:10pt Times New Roman;margin:0'>(0.24)</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>$</P>
</TD><TD valign=bottom style='width:50.8pt;white-space:nowrap;border-bottom:3px double #000000'><P align=right style='font:10pt Times New Roman;margin:0'>(0.24)</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>$</P>
</TD><TD valign=bottom style='width:57.5pt;white-space:nowrap;border-bottom:3px double #000000'><P align=right style='font:10pt Times New Roman;margin:0'>(0.46)</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>$</P>
</TD><TD valign=bottom style='width:60.15pt;white-space:nowrap;border-bottom:3px double #000000'><P align=right style='font:10pt Times New Roman;margin:0'>(0.38)</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:244.65pt;white-space:nowrap><P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:57pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:50.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:57.5pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:60.15pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:244.65pt;white-space:nowrap><P style='font:10pt Times New Roman;margin:0'><B>Weighted Average Number of Shares</B></P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:57pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:50.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:57.5pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:60.15pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:244.65pt;white-space:nowrap><P style='font:10pt Times New Roman;margin:0'><B>Outstanding - Basic and Diluted</B></P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style='width:57pt;white-space:nowrap;border-bottom:3px double #000000'><P align=right style='font:10pt Times New Roman;margin:0'>4,570,199</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style='width:50.8pt;white-space:nowrap;border-bottom:3px double #000000'><P align=right style='font:10pt Times New Roman;margin:0'>3,117,851</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style='width:57.5pt;white-space:nowrap;border-bottom:3px double #000000'><P align=right style='font:10pt Times New Roman;margin:0'>4,207,116</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style='width:60.15pt;white-space:nowrap;border-bottom:3px double #000000'><P align=right style='font:10pt Times New Roman;margin:0'>3,117,851</P>
</TD></TR>
</TABLE>
<HR style='border:0;height:0;margin:14pt 0 0 0'><HR style='page-break-after:always;border:0;height:3pt;background-color:#909090;margin:8pt 0'><TABLE align=center style=border-collapse:collapse;width:530.6pt><TR style=height:7.2pt><TD colspan=5 valign=bottom style=width:530.6pt;white-space:nowrap><P align=center style='font:10pt Times New Roman;margin:0'><B>Sigma Labs, Inc. </B></P>
</TD></TR>
<TR style=height:7.2pt><TD colspan=5 valign=bottom style=width:530.6pt;white-space:nowrap><P align=center style='font:10pt Times New Roman;margin:0'><B>Condensed Statements of Cash Flows</B></P>
</TD></TR>
<TR style=height:7.2pt><TD colspan=5 valign=bottom style=width:530.6pt;white-space:nowrap><P align=center style='font:10pt Times New Roman;margin:0'><B>(Unaudited)</B></P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:373.5pt;white-space:nowrap><P align=center style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:59pt;white-space:nowrap><P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:66.5pt;white-space:nowrap><P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:373.5pt;white-space:nowrap><P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD colspan=3 valign=bottom style='width:141.3pt;white-space:nowrap;border-bottom:1pt solid #000000'><P align=center style='font:10pt Times New Roman;margin:0'><B>Six Months ended </B></P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:373.5pt;white-space:nowrap><P align=center style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style='width:59pt;white-space:nowrap;border-bottom:1pt solid #000000'><P align=center style='font:10pt Times New Roman;margin:0'><B>2017</B></P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=center style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style='width:66.5pt;white-space:nowrap;border-bottom:1pt solid #000000'><P align=center style='font:10pt Times New Roman;margin:0'><B>2016</B></P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:373.5pt><P style='font:10pt Times New Roman;margin:0'><B>OPERATING ACTIVITIES</B></P>
</TD><TD valign=bottom style=width:15.8pt><P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:59pt><P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt><P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:66.5pt><P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:373.5pt><P style='font:10pt Times New Roman;margin:0'><B>Net Loss</B></P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>$</P>
</TD><TD valign=bottom style=width:59pt><P align=right style='font:10pt Times New Roman;margin:0'>(1,932,706)</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>$</P>
</TD><TD valign=bottom style=width:66.5pt><P align=right style='font:10pt Times New Roman;margin:0'>(1,212,513)</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:373.5pt><P style='font:10pt Times New Roman;margin:0'><B>Adjustments to reconcile Net Income (Loss) to Net Cash used in operating activities:</B></P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:59pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:66.5pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:373.5pt><P style='font:10pt Times New Roman;margin:0'><B>Noncash Expenses:</B></P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:59pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:66.5pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:373.5pt><P style='font:10pt Times New Roman;margin:0;margin-left:8.1pt'>Amortization</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:59pt><P align=right style='font:10pt Times New Roman;margin:0'>6,526</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:66.5pt><P align=right style='font:10pt Times New Roman;margin:0'>5,764</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:373.5pt><P style='font:10pt Times New Roman;margin:0;margin-left:8.1pt'>Depreciation</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:59pt><P align=right style='font:10pt Times New Roman;margin:0'>85,125</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:66.5pt><P align=right style='font:10pt Times New Roman;margin:0'>87,054</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:373.5pt><P style='font:10pt Times New Roman;margin:0;margin-left:8.1pt'>Stock Compensation</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:59pt><P align=right style='font:10pt Times New Roman;margin:0'>307,445</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:66.5pt><P align=right style='font:10pt Times New Roman;margin:0'>130,913</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:373.5pt><P style='font:10pt Times New Roman;margin:0;margin-left:8.1pt'>Loss on Joint Venture</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:59pt><P align=right style='font:10pt Times New Roman;margin:0'>-</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:66.5pt><P align=right style='font:10pt Times New Roman;margin:0'>103</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:373.5pt><P style='font:10pt Times New Roman;margin:0;margin-left:8.1pt'>Revaluation of derivative liability and debt discount related to notes payable</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:59pt><P align=right style='font:10pt Times New Roman;margin:0'>(93,206)</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:66.5pt><P align=right style='font:10pt Times New Roman;margin:0'>-</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:373.5pt><P style='font:10pt Times New Roman;margin:0;margin-left:8.1pt'>Note payable original issue discount</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:59pt><P align=right style='font:10pt Times New Roman;margin:0'>49,589</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:66.5pt><P align=right style='font:10pt Times New Roman;margin:0'>-</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:373.5pt;white-space:nowrap><P style='font:10pt Times New Roman;margin:0;margin-left:8.1pt'>Note payable debt discount amortization</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:59pt><P align=right style='font:10pt Times New Roman;margin:0'>56,441</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:66.5pt><P align=right style='font:10pt Times New Roman;margin:0'>-</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:373.5pt><P style='font:10pt Times New Roman;margin:0'><B>Change in assets and liabilities:</B></P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:59pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:66.5pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:373.5pt><P style='font:10pt Times New Roman;margin:0;margin-left:8.1pt'>Accounts Receivable</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:59pt><P align=right style='font:10pt Times New Roman;margin:0'>52,769</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:66.5pt><P align=right style='font:10pt Times New Roman;margin:0'>27,564</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:373.5pt><P style='font:10pt Times New Roman;margin:0;margin-left:8.1pt'>Inventory</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:59pt><P align=right style='font:10pt Times New Roman;margin:0'>(40,586)</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:66.5pt><P align=right style='font:10pt Times New Roman;margin:0'>(70,765)</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:373.5pt><P style='font:10pt Times New Roman;margin:0;margin-left:8.1pt'>Prepaid Assets</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:59pt><P align=right style='font:10pt Times New Roman;margin:0'>(1,120)</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:66.5pt><P align=right style='font:10pt Times New Roman;margin:0'>7,344</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:373.5pt><P style='font:10pt Times New Roman;margin:0;margin-left:8.1pt'>Accounts Payable</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:59pt><P align=right style='font:10pt Times New Roman;margin:0'>25,430</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:66.5pt><P align=right style='font:10pt Times New Roman;margin:0'>63,974</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:373.5pt><P style='font:10pt Times New Roman;margin:0;margin-left:8.1pt'>Accrued Expenses</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:59pt><P align=right style='font:10pt Times New Roman;margin:0'>40,220</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:66.5pt><P align=right style='font:10pt Times New Roman;margin:0'>46,006</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:373.5pt><P style='font:10pt Times New Roman;margin:0;margin-left:17.1pt'><B>NET CASH USED IN OPERATING ACTIVITIES</B></P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style='width:59pt;border-top:0.5pt solid #000000'><P align=right style='font:10pt Times New Roman;margin:0'>(1,444,073)</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style='width:66.5pt;border-top:0.5pt solid #000000'><P align=right style='font:10pt Times New Roman;margin:0'>(914,556)</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:373.5pt><P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:59pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:66.5pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:373.5pt><P style='font:10pt Times New Roman;margin:0'><B>INVESTING ACTIVITIES</B></P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:59pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:66.5pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:373.5pt><P style='font:10pt Times New Roman;margin:0;margin-left:8.1pt'>Purchase of Furniture and Equipment</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:59pt><P align=right style='font:10pt Times New Roman;margin:0'>(11,380)</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:66.5pt><P align=right style='font:10pt Times New Roman;margin:0'>(25,430)</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:373.5pt><P style='font:10pt Times New Roman;margin:0;margin-left:8.1pt'>Purchase of Intangible Assets</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:59pt><P align=right style='font:10pt Times New Roman;margin:0'>(22,054)</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:66.5pt><P align=right style='font:10pt Times New Roman;margin:0'>(46,835)</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:373.5pt><P style='font:10pt Times New Roman;margin:0;margin-left:8.1pt'>Notes receivable</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style='width:59pt;border-bottom:0.5pt solid #000000'><P align=right style='font:10pt Times New Roman;margin:0'>(762,034)</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style='width:66.5pt;border-bottom:0.5pt solid #000000'><P align=right style='font:10pt Times New Roman;margin:0'>-</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:373.5pt><P style='font:10pt Times New Roman;margin:0;margin-left:17.1pt'><B>NET CASH USED IN INVESTING ACTIVITIES</B></P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:59pt><P align=right style='font:10pt Times New Roman;margin:0'>(795,468)</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:66.5pt><P align=right style='font:10pt Times New Roman;margin:0'>(72,265)</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:373.5pt><P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:59pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:66.5pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:373.5pt;white-space:nowrap><P style='font:10pt Times New Roman;margin:0'><B>FINANCING ACTIVITIES</B></P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:59pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:66.5pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:373.5pt;white-space:nowrap><P style='font:10pt Times New Roman;margin:0;margin-left:8.1pt'>Proceeds from issuance of common stock and warrants</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style='width:59pt;border-bottom:0.5pt solid #000000'><P align=right style='font:10pt Times New Roman;margin:0'>5,225,649</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style='width:66.5pt;border-bottom:0.5pt solid #000000'><P align=right style='font:10pt Times New Roman;margin:0'>-</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:373.5pt><P style='font:10pt Times New Roman;margin:0;margin-left:17.1pt'><B>NET CASH PROVIDED BY FINANCING ACTIVITIES</B></P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style='width:59pt;border-bottom:0.5pt solid #000000'><P align=right style='font:10pt Times New Roman;margin:0'>5,225,649</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style='width:66.5pt;border-bottom:0.5pt solid #000000'><P align=right style='font:10pt Times New Roman;margin:0'>-</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:373.5pt><P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:59pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:66.5pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:373.5pt><P style='font:10pt Times New Roman;margin:0'><B>NET CASH DECREASE FOR PERIOD</B></P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:59pt><P align=right style='font:10pt Times New Roman;margin:0'>2,986,108</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:66.5pt><P align=right style='font:10pt Times New Roman;margin:0'>(986,821)</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:373.5pt><P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:59pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:66.5pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:373.5pt><P style='font:10pt Times New Roman;margin:0'><B>CASH AT BEGINNING OF PERIOD</B></P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style='width:59pt;border-bottom:0.5pt solid #000000'><P align=right style='font:10pt Times New Roman;margin:0'>398,391</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style='width:66.5pt;border-bottom:0.5pt solid #000000'><P align=right style='font:10pt Times New Roman;margin:0'>1,539,809</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:373.5pt><P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style='width:59pt;border-top:0.5pt solid #000000'><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style='width:66.5pt;border-top:0.5pt solid #000000'><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:373.5pt><P style='font:10pt Times New Roman;margin:0'><B>CASH AT END OF PERIOD</B></P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>$</P>
</TD><TD valign=bottom style='width:59pt;border-bottom:3px double #000000'><P align=right style='font:10pt Times New Roman;margin:0'>3,384,499</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>$</P>
</TD><TD valign=bottom style='width:66.5pt;border-bottom:3px double #000000'><P align=right style='font:10pt Times New Roman;margin:0'>552,988</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:373.5pt><P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:59pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:66.5pt><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:373.5pt;white-space:nowrap><P style='font:10pt Times New Roman;margin:0'><B>Supplemental Disclosure of Cash Flow Information:</B></P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:59pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:66.5pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:373.5pt;white-space:nowrap><P style='font:10pt Times New Roman;margin:0'>Cash paid during the period for:</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:59pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:66.5pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:373.5pt;white-space:nowrap><P style='font:10pt Times New Roman;margin:0;margin-left:8.1pt'>Interest</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>$</P>
</TD><TD valign=bottom style='width:59pt;white-space:nowrap;border-bottom:3px double #000000'><P align=right style='font:10pt Times New Roman;margin:0'>50,418</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>$</P>
</TD><TD valign=bottom style='width:66.5pt;white-space:nowrap;border-bottom:3px double #000000'><P align=right style='font:10pt Times New Roman;margin:0'>-</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:373.5pt;white-space:nowrap><P style='font:10pt Times New Roman;margin:0;margin-left:8.1pt'>Income Taxes</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>$</P>
</TD><TD valign=bottom style='width:59pt;white-space:nowrap;border-bottom:3px double #000000'><P align=right style='font:10pt Times New Roman;margin:0'>-</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>$</P>
</TD><TD valign=bottom style='width:66.5pt;white-space:nowrap;border-bottom:3px double #000000'><P align=right style='font:10pt Times New Roman;margin:0'>-</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:373.5pt;white-space:nowrap><P style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:59pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:66.5pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:373.5pt;white-space:nowrap><P style='font:10pt Times New Roman;margin:0'><B>Supplemental Schedule of Noncash Investing and Financing Activities:</B></P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:59pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD><TD valign=bottom style=width:66.5pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>&nbsp;</P>
</TD></TR>
<TR style=height:7.2pt><TD valign=bottom style=width:373.5pt;white-space:nowrap><P style='font:10pt Times New Roman;margin:0;margin-left:8.1pt'>Issuance of Common Stock for services</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>$</P>
</TD><TD valign=bottom style='width:59pt;white-space:nowrap;border-bottom:3px double #000000'><P align=right style='font:10pt Times New Roman;margin:0'>51,408</P>
</TD><TD valign=bottom style=width:15.8pt;white-space:nowrap><P align=right style='font:10pt Times New Roman;margin:0'>$</P>
</TD><TD valign=bottom style='width:66.5pt;white-space:nowrap;border-bottom:3px double #000000'><P align=right style='font:10pt Times New Roman;margin:0'>44,998</P>
</TD></TR>
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