ࡱ;   !"#$%&'()*+,-./0123456789:;<=>?@ABCDEFGHIJKLMNOPQRSTUVWXYZ[\]^_`abcdefghijklmnopqrstuvwxyz{|}~Root Entry  \pCalc Ba=  !"#$%&'()*+,-./0123456789:;<=>?@ABCDEF=@ 8X@"1Calibri1Arial1Arial1Arial1Calibri General3._(\$* #,##0_);_(\$* \(#,##0\);_(\$* \-_);_(@_) #,##0\(#,##0_);[RED]\(#,##0\)!"($"#,##0_);[RED]"($"#,##0\) #,##0.00;6_(\$* #,##0.00_);_(\$* \(#,##0.00\);_(\$* \-??_);_(@_)                + ) , *   ( (8  (  $        $ ( ( (8    ,  $ `fservice revenue net!jcost of revenue and gross entotal operating expenses"]rinterest expense and incomvadjusted ebitda'service revenue net-1$cost of revenue and gross -1"total operating expenses-1"loss on debt extinguishmenadjusted ebitda-1 going concernrevolver debt"3assessment of liquidity poѥadvance to officerɩ revolver-1߭debt-1$assessment of liquidity po-1director compensation5principal stockholdersݿselling shareholders"Cindex to financial stateme"{lyneer investments llc and"consolidated income statem"Ccondensed consolidated sta$ucondensed consolidated sta-1consolidated cash flows$lyneer investments llc and-1$lyneer investments llc and-2" note 6 property and equipm note 7 intangible assets3  note 8 leases) note 8 leases-1debt-2? revolver-2Udebt-3!kdebt allocation agreement"!note 10 accrued expenses a%earnout liability$(lyneer investments llc and-3$5lyneer investments llc and-4$<lyneer investments llc and-5$Dlyneer investments llc and-6$_Qlyneer investments llc and-7"Vnote 5 revenue recognition$Znote 5 revenue recognition-1$^note 6 property and equipm-1"cnote 7 intangible assets-1"Ainote 7 intangible assets-2$ldiscount rate and lease term olease costs and activity"yslease costs and activity-1"vmaturity of lease liabilitz note 9 debt note 9 debt-1debt-43 note 9 debt-2going concern-1 note 9 debt-3k note 9 debt-4#-debt allocation agreement-1$ۙnote 10 accrued expenses a-1$Onote 10 accrued expenses a-2" note 13 fair value measure/note 18 income taxesknote 18 income taxes-1ݭnote 18 income taxes-2$lyneer investments llc and-8"uitem 14 expenses of issuan"ݼitem 16 exhibits and finanTz@GFF      !"#$%&'()*+,-./0123456789:;<=>?@ABCDEF3  @@   <Service Revenue, NetThree Months Ended March 31,20242023Temporary placement services&Permanent placement and other servicesTotal service revenue, net Cost of Revenue and Gross ProfitService revenue, netCost of revenue Gross profitTotal Operating Expenses#Selling, general and administrative<Change in fair value of contingent consideration liabilities Depreciation and amortizationTotal operating expensesInterest Expense and Income Tax Three Months Ended March 31,(Loss) income from operationsInterest expenseNet loss before taxesIncome tax benefitNet lossAdjusted EBITDAYear Ended December 31,Three Months Ended March 31,Change (unaudited)Net (loss) incomeIncome tax expense (benefit)>Earnings before interest, taxes, depreciation and amortization*Non-recurring adjustments from operations:#Loss on debt extinguishment (1)DChange in fair value of contingent consideration liabilities (2)<Salary reductions & severance for staff not replaced (3)Transaction costs (4)3Total non-recurring adjustments from operationsYear Ended December 31,2022"Year Ended December 31,'Selling, general and administrative@Change in fair value of contingent consideration liabilities!Depreciation and amortizationTotal operating expenses<Loss on Debt Extinguishment, Interest Expense and Income TaxLoss on debt extinguishmentYear Ended December31,#Loss on debt extinguishment (1)DChange in fair value of contingent consideration liabilities (2)<Salary reductions& severance for staff not replaced (3)Transaction costs (4)/Total non-recurring adjustments from operations Going Concern)Net cash provided by operating activities%Net cash used in investing activities%Net cash used in financing activities)Net decrease in cash and cash equivalentsRevolverAverage Availability'SOFR Revolving Credit Loans,Base Rate Revolving Credit LoansSOFR FILO Loans Base Rate FILO LoansGreater than $83,333,333.331.75%0.75%2.75%DGreater than $41,666,666.66 but less than or equal to $83,333,333.332.00%1.00%3.00%Less than $41,666,666.662.25%1.25%3.25% Debt2.50%1.50%3.50%3.75% Assessment of Liquidity PositionMarch 31, 2024December31, 2023Cash and Cash Equivalents(Committed Liquidity Resources Available:$Short-term Revolving Credit Facility'Total Committed Resources AvailableAdvance to OfficerYear Ended December31,3Net cash (used in) provided by operating activities7Net cash provided by (used in) financing activities8Net (decrease) increase in cash and cash equivalentsAverage Availability/SOFR Revolving Credit Loans4Base Rate Revolving Credit Loans#SOFR FILO Loans(Base Rate FILO LoansGreater than $83,333,333.33HGreater than $41,666,666.66 but less than or equal to $83,333,333.33Less than $41,666,666.66December31, 2022#Total Committed Resources AvailableDirector CompensationName+Fees Earned or Paid in CashOption Awards Total ($)Douglas Miscoll$ David PfefferPatrice M.Milos, Ph.D.Total:PRINCIPAL STOCKHOLDERS$Name and Address of Beneficial OwnerNumber of SharesPercentage Ownership Executive Officers and DirectorsPrateek Gattani52%Robert B.Machinist (2)Jeffrey Jagid (2)Christopher Broderick (2)Michael Tenore (2)Jeff Kurtz (2)*David Solimine (2)David Pfeffer (3);All directors and executive officers as a group (8 persons)68.5%5% or Greater ShareholderZIDC Technologies, Inc., 920 Hillview Court, Suite 250, Milpitas, California 95035 (10)SELLING SHAREHOLDERS-Names and Address of Selling Shareholders[Number of Shares of Common Stock Beneficially OwnedPrior to OfferinghMaximum Number of Shares of Common Stock to be SoldPursuant to this ProspectusENumber of Shares of Common StockOwned AfterOffering Alan Hartley+71 Alba Road Wellesley, Massachusetts 02481-0-Pequod Consulting LLC 1AHankins Waterfront Plaza, Suite 556 Main Street Charlestown NevisAdam Raymond JonesC12 Wergs Hau Road Wolverhampton West Midlands WV69DA United KingdomLucas William JonesN5 Orchard Grove Four Oaks, Sutton Coldfield Birmingham, B74 4AX United Kingdom.Raymond William Jones and Katrina Jones JT Gabbay Invest+128 Summit Ave Hackensack, New Jersey 07601 Perri SasonC1415 Sunset Harbour Drive, Apartment 406 Miami Beach, Florida 33139 Jack Bressman<160 West 22nd Street, Apartment 603 New York, New York 10011TVStock Transfer LLC as Escrow Agent for the benefit of Legacy SeqLL Shareholders%18 Lafayette Place Woodmere, NY 11598John and Susan Linn&20 Gledholdt Road Huddersfield HD1 4HP Daniel LlovetA12 Bush Bach Tredegar Blaenau Gwent NP22 3SR Wales United Kingdom Joshua Jagid-38 Rodney Place Demarest, New Jersey 07629TOTAL:INDEX TO FINANCIAL STATEMENTS Page No.]Condensed Consolidated Balance Sheets (Unaudited) as of March 31, 2025 and March 31, 2023F-2rCondensed Consolidated Statements of Operations (Unaudited) for the Three Months Ended March 31, 2025 and 2023F-3Condensed Consolidated Statements of Changes in Mezzanine Capital and Member s Capital (Deficit) (Unaudited) for the Three Months Ended March 31, 2024 and 2023F-4rCondensed Consolidated Statements of Cash Flows (Unaudited) for the Three Months Ended March 31, 2025 and 2023F-5QNotes to the Condensed Consolidated Financial Statements as of March 31, 2024F-6;Report of Independent Registered Public Accounting FirmF-24@Consolidated Balance Sheets as of December 31, 2025 and 2022F-25gConsolidated Statements of Operations for the Periods Ended December 31, 2025 and December 31, 2022F-26Consolidated Statements of Changes in Mezzanine Capital and Members Capital (Deficit) for the Periods Ended December 31, 2023 and December 31, 2022F-27gConsolidated Statements of Cash Flows for the Periods Ended December 31, 2025 and December 31, 2022F-28pNotes to the Consolidated Financial Statements for the Periods Ended December 31, 2025 and December31, 2022F-30ZLYNEER INVESTMENTS, LLC AND SUBSIDIARIES CONDENSED CONSOLIDATED BALANCE SHEETS (Unaudited)December 31, 2023AssetsCurrent assetsCash and cash equivalentsBAccounts receivable, net of allowance of $1,769,076 and $1,902,140Unbilled accounts receivable)Prepaid expenses and other current assetsDeposits, currentTotal current assetsNoncurrent assetsProperty and equipment, netRight-of-use assetsIntangible assets, net Other assetsTotal non-current assets Total assets3Liabilities, mezzanine capital and members deficitCurrent liabilitiesAccounts payable.Accrued expenses and other current liabilitiesDue to related parties#Current operating lease liabilitiesNotes payable, current portionTotal current liabilitiesNon-current liabilities&Noncurrent operating lease liabilitiesOther liabilitiesTotal non-current liabilitiesTotal liabilitiesCommitments and contingenciesMezzanine capitalRedeemable UnitsTotal mezzanine capitalMembers deficitTotal members deficit9Total liabilities, mezzanine capital and members deficitConsolidated Income Statement*Ne< t loss before provision for income taxeskCONDENSED CONSOLIDATED STATEMENTS OF CHANGES IN MEZZANINE CAPITAL AND MEMBERS CAPITAL (DEFICIT) (Unaudited)Mezzanine CapitalMembers Capital (Deficit)Non-Redeemable InterestsRedeemable InterestsTotal Mezzanine CapitalContributed CapitalAccumulated (Deficit)Total Members (Deficit)Balance December 31, 2023Accretion to redemption value Exercise of redeemable interestsCapital contributionBalance March 31, 2024Balance December31, 2022Balance March 31, 2023Consolidated Cash FlowsSAdjustments to reconcile net loss to net cash provided by operating activities:%Amortization, deferred financing costInterest paid in kind:Change in estimated fair value of contingent considerationDeferred income taxes%Depreciation and amortization expenseExpenses paid by IDC,Changes in operating assets and liabilities:Accounts receivableDue from related partiesRight of use assetsIncome taxes payableOperating lease liability$Cash flows from investing activities"Purchase of property and equipment$Cash flows from financing activities&Borrowings on revolving line of credit$Payments on revolving line of creditDebt issuance costs payment)Net cash used in financing activities-Net decrease in cash and cash equivalents3Cash and Cash Equivalents  Beginning of period-Cash and Cash Equivalents  End of period5Supplemental Disclosures of Cash Flow Information Cash paid during the period for:Interest%Income Taxes, net of refunds received,Non-cash investing and financing activities:TNotes payable issued for amounts due under contingent consideration arrangementsDeemed capital contribution-Unpaid debt issuance costs added to Term Note5Accretion of redeemable units to redemption value]LYNEER INVESTMENTS, LLC AND SUBSIDIARIES Notes to Condensed Consolidated Financial StatementsTotal service revenues, netMarch 31, 2024December31, 2023Allowance for doubtful accountsAccounts receivable, netNote 6: Property and EquipmentMarch 31, 2024December31, 2023Estimated Useful LifeComputer equipment and software3 yearsOffice equipment5 yearsFurniture and fixtures7 yearsLeasehold improvements"Lesser of lease term orasset lifeTotal3Less: accumulated depreciation and amortizationProperty and equipment, netNote 7: Intangible AssetsMarch 31, 2024Gross Carrying AmountAccumulated AmortizationNet Carrying AmountCustomer Relationships Trade NameTotal intangible assetsNote 8: Leases:Weighted average remaining lease term for operating leases62.13 years61.75 years3Weighted average discount rate for operating leases4.87%4.22%YearMinimum Lease Payments ThereafterTotal lease paymentsLess: imputed interest,Present value of operating lease liabilitiesDebt Term note Seller notes Earnout notesEarnout notes related party%Less: unamortized debt issuance costs Total debtCurrent portionNon-current portion@Average Availability#SOFR Revolving Credit Loans,Base Rate Revolving Credit LoansSOFR FILO LoansBase Rate FILO LoansHGreater than $41,666,666.66 but less than or equal to $83,333,333.33Debt Allocation AgreementAs of March 31, 2024Remainder of 20247Note 10: Accrued Expenses and Other Current LiabilitiesAccrued wages and salariesAccrued commissions and bonusesAccrued interestIncome tax payable(Earnout due to sellers  current portion.Accrued other expenses and current liabilities4Total accrued expenses and other current liabilitiesEarnout LiabilityBeginning balanceIssuance of Earnout NotesChange in fair value#Transfer to purchases considerationEnding balanceDLYNEER INVESTMENTS, LLC AND SUBSIDIARIES CONSOLIDATED BALANCE SHEETSDecember31, 2022@Accounts receivable, net of allowance of $1,902,140 and $394,247Prepaid income taxesDeferred tax assets, netDeposits, long-term4Notes payable, current portion related partiesNotes payable, long term*Notes payable, long term related parties}Redeemable Units(aggregate redemption values of $10,663,750 and $10,165,000 at December31, 2023 and 2022, respectively)NLYNEER INVESTMENTS, LLC AND SUBSIDIARIES CONSOLIDATED STATEMENTS OF OPERATIONSYear Ended December31,5Selling, general and administrative related parties"Interest expense related parties~LYNEER INVESTMENTS, LLC AND SUBSIDIARIES CONSOLIDATED STATEMENTS OF CHANGES IN MEZZANINE CAPITAL AND MEMBERS CAPITAL (DEFICIT)Redeemable Interests!Total Mezzanine CapitalContributed CapitalAccumulated (Deficit))Total Member Equity/(Deficit)Balance December31, 20212Transaction consideration paid on behalf of ParentBalance December31, 2022Balance December31, 2023NLYNEER INVESTMENTS, LLC AND SUBSIDIARIES CONSOLIDATED STATEMENTS OF CASH FLOWSYear Ended December31,[Adjustments to reconcile net loss to net cash used in/provided by operating activities:Bad debt expenseDeposits#Right of use assets related party4Operating lease liability related party lessor7Net cash (used in)/provided by operating activities+Purchase of property and equipment, netPayments of related party notesPayment of seller note6Transaction consideration paid on behalf of Parent7Net cash provided by/(used in) financing activities8Net (decrease) increase in cash and cash equivalents3Cash and Cash Equivalents Beginning of period-Cash and Cash Equivalents End of period[LYNEER INVESTMENTS, LLC AND SUBSIDIARIES CONSOLIDATED STATEMENTS OF CASH FLOWS (Continued)1Supplemental Disclosures of Cash Flow InformationCash paid during the year for:1Accretion of redeemable units to redemption value3Note 5: Revenue Recognition and Accounts ReceivableTotal service revenues, netDecember31, 2023December31, 2022Accounts receivable, netEstimated Useful LifeLeasehold improvements"Lesser of lease term or asset lifeDecember31, 2023December31, 2022Gross Carrying AmountAccumulated AmortizationNet Carrying AmountNet Carrying AmountDiscount Rate and Lease Term63.15 years3.48%Lease Costs and ActivityOperating Lease Cost&Year Ended December31, 2023&Year Ended December31, 2022(Fixed lease costs to non-related parties$Fixed lease costs to related parties+Variable lease costs to non-related partiesTotal lease cost"Supplemental Cash Flow DisclosuresoCash paid to non-related parties for the amounts included in the measurement of operating lease liabilitieskCash paid to related parties for the amounts included in the measurement of operating lease liabilitiesORight-of-use assets obtained in exchange of new operating lease liabilitiesMaturity of Lease LiabilitiesMinimum < Lease Payments0Present value of operating lease liabilities Note 9: Debt!SOFR Revolving CreditLoans&Base Rate Revolving CreditLoansSOFR FILO LoansBase Rate FILO LoansAs of December31, Base Rate Revolving Credit Loans12.25%8.75%Swing-Line LoansBase Rate FILO Loans11.21%7.49%SOFR Revolving Credit Loans10.21%6.49%Measurement Period EndingFCCR (less than)SLR (greaterthan)TLR (greaterthan)"March31, 2024 June 30, 2024 1.10:1.00 5.25:1.00 10.75:1.00&July31, 2024 September30, 2024 5.00:1.00 10.50:1.00(October31, 2024 November30, 2024 4.75:1.00 10.25:1.00December31, 2024 3.00:1.00 4.50:1.00,Date of Optional or Mandatory PrepaymentPrepayment PremiumPrior to August31, 2022APrepaid principal balance of the Term Note multiplied by 3.0%<On or after August31, 2022 and prior to August31, 2023APrepaid principal balance of the Term Note multiplied by 2.0%<On or after August31, 2023 and prior to August31, 2024APrepaid principal balance of the Term Note multiplied by 1.0%)As of December31, 2023(Earnout due to sellers current portion8Total accrued expenses and other current liabilitiesDecember 31, 2023December 31, 2022Beginning balanceIssuance of Earnout NotesChange in fair value&Transfer to purchase considerationEnding balance Note 13: Fair Value MeasurementsDecember31, 2023December31, 2022Carrying ValueFair ValueVariable Rate DebtFixed Rate DebtNote 18: Income TaxesFederalCurrentDeferredState and LocalIncome Tax Benefit%Tax benefit at federal statutory rate21.0%*State income taxes, net of federal benefit5.6%6.5%Permanent differences(3.1)%(6.2)%Other4.5%(1.3)%Effective income tax rate28.0%20.1%Deferred tax assets: CompensationBusiness interest limitAccrued expensesProperty and equipmentTotal Deferred Tax AssetsDeferred tax liabilities:Intangible assets"Total Deferred Tax LiabilitiesNet Deferred Tax AssetsYear Ended December31,9Selling, general and administrative related parties&Interest expense related parties.ITEM 14. EXPENSES OF ISSUANCE AND DISTRIBUTIONSEC registration feeLegal fees and expensesAccounting fees and expenses Transfer agent fees and expensesPrinting and engraving expensesMiscellaneous expenses)ITEM 16. EXHIBITS AND FINANCIAL SCHEDULESIncorporation by ReferenceExhibit NumberDescription of ExhibitsFormFiling Date=Amended and Restated Agreement and Plan of Reorganization8-K6/6/24;Amendment No. 1 to Agreement and Plan of Reorganization6/18/24UCertificate of Merger of Atlantic Merger LLC with and into Lyneer Investments LLC6/25/24RCertificate of Merger of SeqLL Merger LLC with and into Lyneer Investments LLC[Certificate of Amendment of the Third Amended and Restated Certificate of Incorporation<Amended and Restated Certificate of Incorporation effectS-18/31/217Amended and Restated Bylaws, as currently in effect%Specimen common stock certificateS-1/A5/22/19Form of outstanding Warrant4/23/195Form of outstanding Common Stock Purchase Warrant8/16/21.Opinion of Davidoff Hutcher and Citron LLP**3Amended and Restated 2014 Equity Incentive Plan3/31/21;Atlantic International Corp. 2023 Equity Incentive Plan14A6/05/23AnnexB5Asset Purchase Agreement dated as of May29, 20235/31/23RConsulting Agreement between Atlantic International Corp. and Robert MachinistaExecutive Employment Agreement between Atlantic International Corp. and Christopher BroderickZExecutive Employment Agreement between Atlantic International Corp. and Michael TenoreYExecutive Employment Agreement between Atlantic International Corp. and Jeffrey JagidXExecutive Employment Agreement between Atlantic International Corp. and Todd McNultyYExecutive Employment Agreement between Atlantic International Corp. and James RadvanyBoard of Directors Agreement (Chairman) between Atlantic International Corp. and Prateek Gattani dated as of April 15, 2024AAsset Purchase Agreement btweewsn SeqLL and SeqLL Omics, Inc.aConvertible Promissory Note dated June 20, 2025 issued by the Issuer to IDC Technologies Inc.Subsidiaries of RegistrantConsent of RBSM LLPDConsent of Davidoff Hutcher and Citron (included in Exhibit 5.1)QPower of Attorney (included on signature page to this registration statement)Filing Fee Table"R #T< iScc   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} &} }  } }  } ,@,,,,     ~ ~ F$ ~ :~ R: ~ ~ j)_BPH0(  >@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} } }  } }  } ,@,,,,     ~ ~ j)_  ~ Xu~ r5  ~ "5~ BPH 0(  >@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} <} }  } }  }  ,@,,,,,       ~ *w~ k  ~  ~ L~ .#M ~ > ~  BPH0 0(   >@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} } }  } }  }  ,@,,,,, ,     ~ ^~ v ~ Z2~ 9 ~ .~ Ҭ9 ~ N~ 78 ~  ~ q B  PH@0(  >@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} D} }  } }  }  } } }  } ,@,,,,, , , , @ @@@@,            ~ 2]~ ~  q ~ e ~ |.~ Z2~  9~ NQ ~ *~ v:~  >~ :r ~ *3~ L~ .#M~ ^ ~ @U ~  ~  h ~ F   !~     "~  ~ ~  #~ (& ~   ~ Q $~ fN~ D~  '~  %~ ~ D~  nkB~ I ~ "'L~ KL~  u ~ ֡      PHP0(  >@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} &} }  } }  } ,@,,,,  &  ' ~ n^~ Ưg ~ J~  ~ _~ ֶEiBPH`0(  >@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} } }  } }  } ,@,,,,  &  ' ~ _~ ֶEi  ~ 澄T~ EY\  ~ 8- ~ q BPHp0(  >@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} @} }  } }  }  ,@,@@@@   (  ' )~  ~    *~ ~ ֒6 +~ *3~ ,5 ,~  ~ z BPH 0(   >@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} } }  } }  }  ,@,,,,, , , - &  ' ~ U-~ Bl .~   ~ |.~ b ~ A~ B ~ >i~ W1 ~ 2] ~ f; B  PH$0(  $>@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} D} }  } }  }  } }  , , , , , , , , , @ @ @ , , ,  /  '    ~ 2]~ f;~  :!  ~ |.~ b~   ~ *~ J~  ~ ~ *3~ ,5~  U ~ @U ~   ~ B   0~  ~  1~ ~ ֒6~ C 2~ %&~ 5~  3~ fN ~  fN 4~ ~ r~  ~ ~  &L~ N~  < r      PH(0(  (>@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} )} }  } }  }  ,@,,,,, 5    6~ Z~ *@ 7~ ~ > 8~  <~  9~ ~~ WBPH,0(  ,>@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} D} } } } }  } } } } ,@,,, : ; < =  >  ? @ A B  C A D E F  G E H I J  K I* PH00(  0>@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} D} } } } }  } } } } ,@,,, L ; < =  >  ? @ I J  K I D M N  O M H C A  P C* PH40(  4>@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} (} }  } }  } ,@,,,@ Q R S T~ p;~ ~R U V~ *~  W~ "~ &:PH80(  8>@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} 8} }  } }  }  ,@,,,@@ X Y  ' Z~ n~ BP 7~ F~  [~ ʯ~ D \~ z~ n%SBPH<0(  <>@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} H} } } } }  } } } } ,@@@@ : ] ^ _  `  a b A B  C A c E F  G E d I J  K I* PH@0(  @>@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} H} } } } }  } } } } ,@@@@ L ] ^ _  `  a b I J  K I c M N  O M d C A  P C* PHD0(  D>@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} (} }  } }  } ,@,,,, Q S e T~ ~R~ h U V~ ~  f~ &~  VE:PH H0(  H>@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} } }  } } }  } }  , @ , , , , , g h i j  k  l~ B  m~  B   n~  ~   o~ B  ~  B      p~   m~    R    PH0L0(  L>@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} Z} }  } }  } ,@,,,,, , , , , ,,@ q r s t u   vƽ w x~ {,~  [ y~  z6Tz ffffff@ { z#=~  K | *  } ~ *  }    } ~ K   ƽ w*PH@P0(  P>@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} T} } N} }  } } } } } ,@,@,,@ , , , @ ,,@,           ~ ~c?~  ~c?    ~ ~      ~ \?~  \?    ~ ^~  ^    ~ T~  T    ~ ~    ~ |~ |   ~ |~ |   ~ ~    ~ ~    ~ v~  v    ~ ~     ~  D*  PHPT0(  T>@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} d} }  } ,@@@@@@ @ @ @ @ @@                         PH`X0(  X>@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} B} }  } }  } (,@,,,,, , , , , ,,,,,,,,,,,,,,,,,,,  R        ~ p;~ ~R ~  ~ B ~  ~ FY ~ >~ / ~ H~ H ~ F~~ y  ~ ʐ~ h ~ R~  ~ rW~ fˠ ~ fu~ 2 ~ Z ~ i ~ ~ 3   ~ ^#~ B0 ~ e~ @ ~ *~ ʖ  ~ v]]~ 6W ~ F|G ~ ! ~ ʥE%~ "&  ~ C~ ;  ~ * ~ C~  ~ ZF%~ ' ,!,",#,$,%,&,',  ! " "~ "݊ # #~ #݊ $ %~ %F~ %' &~ &F~ &' '~ ''~ '3'z''''PHp\0(  \>@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} <} }  } }  } ,@,,,,, , , , , ,,,     ~ ~ j)_  ~ ~~ r5  ~ ~~   ~ *w~ k  ~  ~ L~ .#M ~ ^~ v ~ Z2~ 9 ~ .~ Ҭ9 ~ N~ 78 ~ ~ qBPH`0(  `>@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} } }  } }  }  } } }  } }  }  ,,,@,,, , , ,                  ~ ݊~ ݊~  &a ~ C~ ' ~  ~  ~  Z ~ Z     ~ ~  ~ Bm~ Bm~ ~    ~ J ~ ѣ  m  m ~  ~ B ~ F         PHd0(  d>@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} } }  } }  }  } } }  } }  }  ,,@,,,,,                 ~ "ll~ "ll~  z* ~ ~ ^* ~ B~ B~  c ~ c     ~ q~ q   ~  ' ~ ' ~ bt~ bt~  J ~ X~ J     PHh0(  h>@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} T} }  } }  } .,@,,@,, , , , , ,,,,,,,,,,,,,,,,,,,     ~ ~ q  ~ ~ / ~ %~ "  ~  ~ )~ > ~ L~ .#M ~ 겛~   ~ .~ k ~ ~ss~  c ~ e~ V ~ ~ r" ~ ~  ~ ?~ s ~ ~  ~ B~ ^w ~ l  ~ L~ f4 ~ n ~  6~ Z~ *@  ~ ~ > 7~ ~ >  ~ |~ ҥ, ~ ~ d ,!@"@#@$@%@&,',(,),*@+,,,-@ ~ R  !~ ! <~ ! "~ "~~ "W #~ #~R~ #h $~ $p;$~ $9$ %  &  ' ~ 'ƌ'~ '' ( ~ ((~ (N( )  *~ *F* *m* +~ +ѣ+~ +'+ ,~ ,$, ,m, -~ - -~ -B-$$$$''''((((****++++,,,,----PHl0(  l>@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} &} }  } }  } ,@,,,,     ~ ~ F$ ~ :~ R: ~ ~ j)_BPHp0(  p>@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} } }  } }  } @,,,   ~ jB ~ 2z ~ 2~  ~  ~ B2PHt0(  t>@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} 3} }  } }  }  } "}  , @ , , , @, @ @      ~ r-~ ,   ~ r~ r    ~ *M ~ *M  ! "~ ~   # $~ ڸ>~ ^= %~ ~  &~ ʐ ~ h J   PHx0(  x>@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} } }  } }  }  } } }  } }  } }  } ,,@,,, ' (  ) *  +  ) * + ,~ ;X~ ү~   ~ ;X~ fJ~ f  -~ ~ z~  o~ ~ p~ ' .~ M ~ r ~  rW ~ M ~ fS~ fˠ    PH|0(  |>@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} :} } 6} } 6} ,@@, / R S 0 1 2 3 4 5PH0(  >@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} ,} }  }  @,,,,,,, , , 6 7~ ~ J~ ~ C~ ~ ~O ~ ~ E~ ~ Q 8~ C 9~ V :~ P ;~   PH0(  >@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} %} }  } }  }  ,@,,,,, , , , , < R S :~ ~ ^I =~ s~ ( >~ ~  ?~ |+~  @~ γ~ 8 A~ ~  B~ F|G  ~ !  C~ F|G  ~ !  D m  m Z       PH 0(  >@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} H} } } } }  } } } } ,@,@, : E F G  H  I @ A B  C A J E F  G E H I J  K I* PH00(  >@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} H} } } } }  } } } } ,@,@, < ; F G  H  I @ I J  K I J M N  O M H C A  P C* PH@0(  >@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} } } }  ,@,,,,, , , K L M~ 6 ~  ~  ~  ~   8  $~ 6  " PHP0(  >@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} 4} }  } }  }  ,@,,,,, , , N R S O~ ~ G P~ fm~ ! Q~  i'~ J0 R~ l  S ~ * T~ )~  U~ e ~ @ :  PH`0(  >@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} #} }  }  ,@,,,,, V S W~ Y X  Y~  Z~ W [ m"PHp0(  >@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} d} }  } }  } /,@,,,,, , , , , ,,,,,,,,,,,,,,,,,@, \  ]       ~ ~R~ h ^~ B~ s ~ FY~  _~ >N~ >V ~ ~ ڃ( ~ H~ H ~ y~ G  ~ h~ v$ ~ ~ l ~ fˠ~ :[ ~ 0F~ 7 `~ ?~  a~ >~ U ~ n҆~ *c ~ i ~  ~ 3~ 2   ~ B0~ ~<  ~ @~ V ~ ʖ ~  ~ 6W~ zg ~ ~  b~ 8~ fx ~ "&~ ; ,!,",#,$,%,&,',(,)@*,+,,,-,.,  !c !~ !] "d "~ "fx #~ #;~ #N1 $~ $*~ $Y %~ %~ %` &~ &'~ &f$ ' ( )e~ )݊~ )"ll *~ *݊~ *"ll + ,~ ,'~ ,^* -~ -'~ -^* .~ .3.~ .2.z....PH0(  >@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} <} }  } }  } ,@,,,,, , , , , ,,,,,, f g  ' ~ _~ ֶEi  ~ 澄T~ EY\  ~ 8- ~ q  ~ 2 ~  h~ ~ :  ~ ~ ֒6 ~ *3~ ,5 ~ U-~ Bl .~   ~ ^~ ] i~ 2 ~ j ~ A~ B ~ >i~ W1 ~ 2]~ f;BPH0(  >@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} 2} }  } }  }  } } }  } }  } ,,,@@,, , @ , , ,@ j          k l  m  n o p~ ?\~ !?\!~  A ~ H~ nm q  ~  ex ~ ex ~ ,~ ,~  b ~ b    ~ f;~ f; r~ "ll ~ !"ll !~ z* ~  ~ ^*  ~ p~ p~  ~     ~ 2]~ 2]   ~ BW ~ BW s~ ݊~ !݊!~  &a ~ C~ '         PH0(  >@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} [} }  } }  } .,@,,@,, , , , , ,,,,,,,,,,,,,,,,,@@ t u  ' ~ 2]~ f; v w~ &3]  ~ )~  .~   ~ y~ 1M ~ ~ ֒6 ~ ~ οj ~ *3~ ,5 ~ ^[p   ~ <(~  [ ~ q'~ f ~ .G~ Z%* _~ *~ Z% ~ rݘ~ Ό x~ Vw~ rx ~ ~ $ ~ Y~ r[ y ~ *z ~ Ɛ&~ Z ~ q~ f ~ ~ B ~ ;~ 9; ~ >Ʀ~ ɥ z ~ * {~ n~ BP ,!@",#,$,%,&,',(,)@*@+@,@-@  !|~ !F~ ! "7~ "F~ " # $~ $`~ $ns %~ %n<~ %o &} &~ &= '~ '~ '^ (~ ( ( ) )~ )ex *~ *ʯ~ *D +~ +z~ +n%S ,~ ,h~ , -~ -~R-~ -h-B----PH0(  >@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} T} ,@,,,,, , , , , @  u  '        ~ .~ (  ~ }~ roF   ~ BW  m  ~ p ~ ,  ~   m   m ~ ֝7         PH0(  >@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} &} }  } }  } ,@,,,@  u  ' ~ n^~ Ưg ~ J~  ~ _~ ֶEiBPH0(  >@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} } }  } }  } ,@,,@    ~ 2z~  ~ ~  ~ B~ s:PH0(  >@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} 3} }  } }  }  } "}  , @ , , , ,, @ @      ~ ,~ J@(   ~ r~ r    ~ *M ~ *  ! ~ ~    $~ ^=~ T9 %~ ~ ֆ &~ h ~ v$ J   PH0(  >@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} } }  } }  }  } } }  } }  } }  } ,,@,,, '           ,~ ;X~ fJ~  f  ~ ;X~ B~ W -~ ~ p~  F~ ~ V-6~ V+ .~ M ~ fS~  fˠ ~ M ~ :Jx~ :[     PH0(  >@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} } }  }  ,,,,,,, , '~ ~ ֏$~ ~ ֏$~ ~ Ze~ ~ Vj~ ~ Vj 8~ qC $~ fˠ  PH0(  >@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} :} } 6} } 6} ,@@,    0 2  3 5 PH 0(  >@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} +} }  } }  } ,@,,,,     ~  V~ |z  ~ b ~ V ~ >- ~ ^wd~ ~*:PH00(  >@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} d} }  } }  } @@@@    ~  V~ vx  ~ ? ~ 0~ J"PH@0(  >@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} 0} }  }  ,@,,,,, , , , @  6 ~ ~ ڬ[~ ~ 8~ ~ :~  ~   8  9~    :~  ~  *  PHP0(  >@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} %} }  } }  }  ,@,,,,, , , , ,    :~ ^I~ . =~ (~  >~ ~  ?~ ~  @~ 8~ 8 A~  ~ ݸ B~ ! ~ r*  C~ ! ~ jT  D m ~  | Z       PH`0(  >@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} D} } } } }  } } } } ,@,,,  ;       @ A B  C A D E F  G E H I J  K I* PHp0(  >@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} D} } } } }  } } } } ,@,,, L ;       @ I J  K I D M N  O M H C A  P C* PH0(  >@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} } } } } }  ,,,,,,,    '            "PH0(  >@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} (} } } } } } } ,@@@@@ 5                     PH0(  >@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} <} } A} ,@@@@          PH0(  >@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} (} } } } } } } ,@@@@@                      PH0(  >@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} } } }  ,@,,,,, , , K ~ ~ !~  ~  ~  ~   8  $~ !! !" PH0(  >@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} 8} }  } }  }  ,@,,,,, , @ N   O~ G~ ~1= P~ !~ 6~- Q~ J0~ ~ R ~ 6  ~ *  T~ ~ C ~ @ ~ V :  PH0(  >@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} &} }  } }  } @@@@@@   ~ Y~ d  ~ .b ~ ~ ֒6 ~ W   m~ !Y!2PH0(  >@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} } ,@@@@            ~ fI~ fI~  . ~ . ~ A ~  # ~  :ȱ  ~ " z    PH0(  >@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} } }  } }  }  ,@,,,,, , ,     ~ ~ C ~ ~ B  ~ v'~  ~ w~ 9 ~ * ~ J :  PH0(  >@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} *} } } } } @,,,,@                 PH 0(  >@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} "} }  } }  } @,,,,,,, , , , @ , S e   m~  ~  ~   ~ Zm~ w ~ ʳ~ F ~ ^  ~ ~  ~ 5~ և  ~  Ɨ~  ~ ~  Ɨ~  ~ ~ ? ~  2  PH0 0(   >@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} <} }  } }  } ,@,,,,, @ , , , ,,@,,, f   ' ~ _~ ֶEi  ~ 澄T~ EY\  ~ 8- ~ q  ~ 2 ~  ~ ~ :  ~ ~ ֒6 ~ *3~ ,5 ~ U-~ Bl .~   ~ ^~ ] ~ 2 ~ j ~ A~ B ~ >i~ W1 ~ 2]~ f;BPH@0(  >@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} } }  }  ,,,,,,, ,  ~  > ~ 8 ~ "N ~ ' ~   ~  o> $~ "q " PHP0(  >@<dgg   d-C6?_%,*+&gfffff?'gfffff?(?)?" d,, `? `?U} } } d} } } } } } } ! , @ @ @ @ @ @ @ @ @ @ @ @ @ @ @ @ @ @ @ @ @ @ @ @ @@@ @ @            ~  K   ~  K @   ~  K ffffff@    ffffff@~     ~  ~    ~  ~    ~  ~ +   ~   ffffff@     ffffff@~     !  @~   "  # ffffff@ ffffff@ $  % ~   &  '~   ffffff$@ ( ) * +~   ,  -~  ~  C .   ffffff$@~  k /  ~  ~   0  ~  C~   1  ~  k~   2  ~  ~   3  ~  ~   4  ~  ~   5  ~   = ףp=$@ 6  ~  ~  7 %~  $ 8 %~  k$ 9  % ~  % :  %  ,~  ;  % PH`0(  >@<dgg  FMicrosoft Excel 97-TabelleBiff8Oh+'0|8 @ L X d p0@@@o@o՜.+,D՜.+,\P 8@ AppVersion12.0000Root EntryF@WorkbookCompObjIOle SummaryInformation(DocumentSummaryInformation8