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(1) Estimated solely for purposes of calculating the filing fee. The transaction value was determined by adding (a) the product of (i) the offer price per share of common stock, par value $0.0001 (the “Shares”), of Alexza Pharmaceuticals,

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i.e. investment professionals within the meaning of Article 19(5) of the Financial Services and Markets Act 2000 (Financial Promotion) Order 2005, as amended (the "FPO"); or (ii) a high net worth company, unincorporated association or other.

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Advised on ongoing compliance and corporate governance matters for Yanzhou Coal Mining Company Limited. Represented Merrill Lynch Private Equity Investment Fund in its Series E investment to iKang Medical Group Company. Represented an on-line shopping for sportswear company in Beijing, China in connection.

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This combined Statement of Additional Information (“SAI”) is not a prospectus. It should be read in conjunction with the current prospectus (the “Prospectus”) for the following funds (each a “Fund” and collectively the “Funds”) of DBX ETF T.

i.e. investment professionals within the meaning of Article 19(5) of the Financial Services and Markets Act 2000 (Financial Promotion) Order 2005, as amended (the ‘FPO’); or (ii) a high net worth company, unincorporated association or other.

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Caxton Associates LP, a global trading & investment firm. Founded by Bruce Kovner in 1983. Andrew Law is Chairman & CEO.

For retail investment funds (i.e. all investment funds other than specialized investment funds), the decades-old principle.

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Represents the preliminary adjustment to record "Deferred income tax liabilities" of $10,702 million associated with the fair value adjustments to assets acquired and liabilities assumed and a decrease of $2,315 million for tax jurisdictions with.

i.e. investment professionals within the meaning of Article 19(5) of the Financial Services and Markets Act 2000 (Financial Promotion) Order 2005, as amended (the ‘FPO’); or (ii) a high net worth company, unincorporated association or other.

© Allen & Overy LLP 2014 www.allenovery.com Myanmar revises scope of prohibited and restricted activities for foreign investment Speed read On 14 August 2014, the Myanmar Investment Commission (MIC) issued a new notification clarifying the activities in which foreign investment is prohibited or restricted.

© 2014 Grant Thornton LLP. All rights reserved. Incentive Design Proposals Second Reading August 16, 2016 Eric Gonzaga, Principal Bill Gentry, Managing Director

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Mr. K. M. Saletore, Executive Director & CFO and Ms. Tejaswini Chaudhari, Deputy Company Secretary do not hold any shares of the Company at the beginning of the year as well as at the end of the year. They have neither acquired any.

As per the provisions of The Companies Act 2013 & Secretarial Standards-I issued by ICSI a company should conduct at least 1 (One) meeting in a quarter i.e. 4

Represents the preliminary adjustment to record "Deferred income tax liabilities" of $10,702 million associated with the fair value adjustments to assets acquired and liabilities assumed and a decrease of $2,315 million for tax jurisdictions with.

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For retail investment funds (i.e. all investment funds other than specialized investment funds), the decades-old principle.

i.e. investment professionals within the meaning of Article 19(5) of the Financial Services and Markets Act 2000 (Financial Promotion) Order 2005, as amended (the "FPO"); or (ii) a high net worth company, unincorporated association or other.

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Mr. K. M. Saletore, Executive Director & CFO and Ms. Tejaswini Chaudhari, Deputy Company Secretary do not hold any shares of the Company at the beginning of the year as well as at the end of the year. They have neither acquired any.

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Their activities go beyond mere investing and constitute trading. The typical hedge fund Schedule K-1 discloses that the partnership's trading activities constitute a trade or business, and the distributive share items are not considered to be derived from a passive activity under Temp. Regs. Sec. 1.469-1T(e)(6). The K-1 will.

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Millennium Trade&investment Llp was formally closed on 2016-03-15. Millennium TradE&Investment LLP was a limited liability partnership that was located at Suite.

201 KPMG LLP, a Delaware limited liability partnership and the U.S. member firm of the KPMG network of independent member. e Investment Planning

Davis & Harman LLP Brian G. King. Ernst & Young LLP or Davis & Harman LLP. SOCIETY OF ACTUARIES. • May differ from IRC Section 72(e) “investment in the

Torreya is a global investment banking boutique providing mergers and acquisitions, capital markets, and licensing advisory services to life sciences companies. Since our inception in 2007, we have advised on more than $100 billion worth of deals for clients in the biotechnology, branded pharmaceutical, generic.

JD Supra provides users with access to its legal industry publishing services (the "Service") through its website (the.