</td><td valign="top" align="right">Quarterly<br/>(Sep'06) </td><td valign="top" align="right">Annual<br/>(2006) </td><td valign="top" align="right">Annual<br/>(2005) </td></tr><tr class="highlightGrey"><td class="gb">Total Revenue</td><td align="right">4.39 </td><td align="right">12.17 </td><td align="right">11.75 </td></tr><tr class="highlightWhite"><td class="gb">Gross Profit</td><td align="right">1.07 </td><td align="right">2.05 </td><td align="right">2.36 </td></tr><tr class="highlightGrey"><td class="gb">Operating Income</td><td align="right">-0.47 </td><td align="right">-3.47 </td><td align="right">-3.42 </td></tr><tr class="highlightWhite"><td class="gb">Net Income</td><td align="right">-0.46 </td><td align="right">-3.37 </td><td align="right">-3.48 </td></tr><tr><td valign="bottom" width="30%" style="PADDING-TOP: 0.5em;"><a href="http://finance.google.com/finance?fstype=bicid=659434">BalanceSheet</a>
</td><td></td><td></td><td></td></tr><tr class="highlightGrey"><td class="gb">Total Current Assets</td><td align="right">6.96 </td><td align="right">7.68 </td><td align="right">5.88 </td></tr><tr class="highlightWhite"><td class="gb">Total Assets</td><td align="right">8.66 </td><td align="right">9.17 </td><td align="right">7.61 </td></tr><tr class="highlightGrey"><td class="gb">Total Current Liabilities</td><td align="right">2.57 </td><td align="right">2.71 </td><td align="right">1.62 </td></tr><tr class="highlightWhite"><td class="gb">Total Liabilities</td><td align="right">2.61 </td><td align="right">2.75 </td><td align="right">1.68 </td></tr><tr class="highlightGrey"><td class="gb">Total Equity</td><td align="right">6.05 </td><td align="right">6.43 </td><td align="right">5.93 </td></tr><tr><td valign="bottom" width="30%" style="PADDING-TOP: 0.5em;"><a href="http://finance.google.com/finance?fstype=cicid=659434">CashFlow</a>
</td><td></td><td></td><td></td></tr><tr class="highlightGrey"><td class="gb">Net Income/Starting Line</td><td align="right">-0.46 </td><td align="right">-3.37 </td><td align="right">-3.48 </td></tr><tr class="highlightWhite"><td class="gb">Cash from Operating</td><td align="right">-0.30 </td><td align="right">-1.99 </td><td align="right">-1.10 </td></tr><tr class="highlightGrey"><td class="gb">Cash from Investing</td><td align="right">-0.33 </td><td align="right">-0.56 </td><td align="right">-0.02 </td></tr><tr class="highlightWhite"><td class="gb">Cash from Financing</td><td align="right">-0.00 </td><td align="right">3.85 </td><td align="right">1.05 </td></tr><tr class="highlightGrey"><td class="gb">Net Change in Cash</td><td align="right">-0.62 </td><td align="right">1.30 </td><td align="right">-0.07</td></tr></tbody></table></p>