UNITED STATES SECURITIES AND EXCHANGE COMMISSION
Washington, DC. 20549
Form 10-Q
[X]
QUARTERLY REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934
 
For the quarterly period ended March 31, 2016
OR
[   ]
TRANSITION REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934
For the transition period from            to           
Commission file number:         
1-6383

MEDIA GENERAL, INC.
(Exact name of registrant as specified in its charter)
Commonwealth of Virginia
46-5188184
(State or other jurisdiction of 
(I.R.S. Employer
incorporation or organization) 
Identification No.)
 
 
333 E. Franklin St., Richmond, VA
23219
(Address of principal executive offices) 
(Zip Code)
 
(804) 887-5000
(Registrant's telephone number, including area code)
N/A
(Former name, former address and former fiscal year,
if changed since last report.)
Indicate by check mark whether the registrant (1) has filed all reports required to be filed by Section 13 or 15(d) of the Securities Exchange Act of 1934 during the preceding 12 months (or for such shorter period that the registrant was required to file such reports), and (2) has been subject to such filing requirements for the past 90 days.
Yes          X          No               
Indicate by check mark whether the registrant has submitted electronically and posted on its corporate website, if any, every Interactive Data File required to be submitted and posted pursuant to Rule 405 of Regulation S-T (§232.405 of this chapter) during the preceding 12 months (or for such shorter period that the registrant was required to submit and post such files).
Yes          X          No               
Indicate by check mark whether the registrant is a large accelerated filer, an accelerated filer, a non-accelerated filer, or a smaller reporting company (as defined in Rule 12b-2 of the Exchange Act).
 Larger accelerated filer               X       
 Accelerated filer                                      
 Non-accelerated filer                            
 Smaller reporting company                    
Indicate by check mark whether the registrant is a shell company (as defined in Rule 12b-2 of the Exchange Act).
Yes                    No          X     
Indicate the number of shares outstanding of each of the issuer's classes of common stock as of May 4, 2016.
Voting Common shares (no par value):          129,272,908




MEDIA GENERAL, INC.
TABLE OF CONTENTS
FORM 10-Q REPORT
March 31, 2016
 
 
 
Page
Part I.
Financial Information
 
 
 
 
 
Item 1.
Financial Statements
 
 
 
 
 
 
 
Consolidated Condensed Balance Sheets – March 31, 2016 and December 31, 2015
 
 
 
 
 
 
Consolidated Condensed Statements of Comprehensive Income – Three months ended March 31, 2016 and March 31, 2015
 
 
 
 
 
 
Consolidated Condensed Statements of Cash Flows – Three months ended March 31, 2016 and March 31, 2015
 
 
 
 
 
 
Notes to Consolidated Condensed Financial Statements 
 
 
 
 
Item 2.
Management's Discussion and Analysis of Financial Condition and Results of Operations
 
 
 
 
Item 3.
Quantitative and Qualitative Disclosure About Market Risk
 
 
 
 
Item 4.
Controls and Procedures
 
 
 
 
Part II.
Other Information
 
 
 
 
 
Item 2.
Unregistered Sales of Equity Securities and Use of Proceeds
 
 
 
 
Item 5.
 
Other Information
 
 
 
 
Item 6.
Exhibits
 
 
 
 
 
 
(a)     Exhibits
 
 
 
 
Signatures




PART I - FINANCIAL INFORMATION
Item 1. Financial Statements
Media General, Inc.
CONSOLIDATED CONDENSED BALANCE SHEETS
(Unaudited, in thousands, except shares)

 
ASSETS
 
 
 
 
March 31,
2016
 
December 31,
2015
Current assets:
 
 
 
Cash and cash equivalents
$
33,593

 
$
41,091

Trade accounts receivable (less allowance for doubtful accounts 2016 - $4,448; 2015 - $4,634)
291,889

 
298,474

Prepaid expenses and other current assets
17,387

 
15,083

Total current assets
342,869

 
354,648

 
 
 


Property and equipment, net of accumulated depreciation 2016 - $162,653 ; 2015 - $145,274
457,418

 
470,537

Other assets, net
32,910

 
38,070

Definite lived intangible assets, net of accumulated amortization 2016 - $160,897; 2015 - $138,072
849,839

 
871,129

Broadcast licenses
1,097,100

 
1,097,100

Goodwill
1,544,624

 
1,544,624

Total assets (a)
$
4,324,760

 
$
4,376,108

 
 
See accompanying notes.
 

(a) Consolidated assets as of March 31, 2016 and December 31, 2015, include total assets of variable interest entities (VIEs) of $142 million and $145 million, respectively, which can only be used to settle the obligations of the VIEs. See Note 1 and Note 3.

1



Media General, Inc.
CONSOLIDATED CONDENSED BALANCE SHEETS
(Unaudited, in thousands except shares)

LIABILITIES AND STOCKHOLDERS' EQUITY
 
 
March 31,
2016
 
December 31,
2015
Current liabilities:
 
 
 
Trade accounts payable
$
19,854

 
$
35,800

Accrued salaries and wages
21,129

 
21,465

Accrued expenses and other current liabilities
108,110

 
95,500

Current installments of long-term debt
3,514

 
3,804

Current installments of obligation under capital leases
841

 
859

Total current liabilities
153,448

 
157,428

 
 
 
 
Long-term debt, net
2,200,343

 
2,199,110

Deferred tax liability and other long-term tax liabilities
293,973

 
315,234

Long-term capital lease obligations
13,810

 
14,012

Retirement and postretirement plans
179,377

 
182,987

Other liabilities
33,287

 
34,920

Total liabilities (b)
2,874,238

 
2,903,691

 
 
 
 
Commitments and contingencies

 

 
 
 
 
Noncontrolling interests
37,465

 
24,447

 
 
 
 
Stockholders' equity:
 
 
 
Preferred stock (no par value): authorized 50,000,000 shares; none outstanding

 

Common stock (no par value):
 
 
 
Voting common stock, authorized 400,000,000 shares; issued 2016 - 129,241,012 and 2015 - 128,600,384
1,296,879

 
1,305,155

Accumulated other comprehensive loss
(31,224
)
 
(31,224
)
Retained earnings
147,402

 
174,039

Total stockholders' equity
1,413,057

 
1,447,970

Total liabilities, noncontrolling interests and stockholders' equity
$
4,324,760

 
$
4,376,108

 
 
See accompanying notes.

(b) Consolidated liabilities as of March 31, 2016 and December 31, 2015, include total liabilities of VIEs of $36 million and $38 million, respectively, for which the creditors of the VIEs have no recourse to the Company, except for certain of the debt, which the Company guarantees. See Note 1 and Note 3.


2



Media General, Inc.
CONSOLIDATED CONDENSED STATEMENTS OF COMPREHENSIVE INCOME        
(Unaudited, in thousands, except per share amounts)        
 
Three Months Ended
 
 
March 31,
2016
 
March 31,
2015
 
Net operating revenue
$
343,463

 
$
296,734

 
Operating costs:
 
 
 
 
Operating expenses, excluding depreciation expense
151,143

 
125,876

 
Selling, general and administrative expenses
78,321

 
80,470

 
Amortization of program license rights
12,066

 
11,758

 
Corporate and other expenses
10,352

 
12,651

 
Depreciation and amortization
40,121

 
40,283

 
Gain related to property and equipment, net
(768
)
 
(228
)
 
Merger-related expenses
65,882

 
5,277

 
Restructuring expenses
3,982

 

 
Total operating costs
361,099

 
276,087

 
Operating income (loss)
(17,636
)
 
20,647

 
Other income (expense):
 
 
 
 
Interest expense
(28,556
)
 
(31,023
)
 
Debt modification and extinguishment costs

 
(613
)
 
Other, net
74

 
3,290

 
Total other expense
(28,482
)
 
(28,346
)
 
 


 
 
 
Loss before income taxes
(46,118
)
 
(7,699
)
 
Income tax benefit
20,405

 
3,157

 
Net loss
$
(25,713
)
 
$
(4,542
)
 
 


 
 
 
Net income attributable to noncontrolling interests (included above)
477

 
2,891

 
Net loss attributable to Media General
$
(26,190
)
 
$
(7,433
)
 
 


 
 
 
Other comprehensive income

 

 
Total comprehensive loss attributable to Media General
$
(26,190
)
 
$
(7,433
)
 
 
 
 
 
 
Earnings (loss) per common share (basic and diluted):
 
 
 
 
 
 
 
 
 
Net loss per common share (basic)
$
(0.20
)
 
$
(0.06
)
 
Net loss per common share (assuming dilution)
$
(0.20
)
 
$
(0.06
)
 
 
See accompanying notes.

3



Media General, Inc.
CONSOLIDATED CONDENSED STATEMENTS OF CASH FLOWS
(Unaudited, in thousands)
 
Three Months Ended
 
March 31,
2016
 
March 31,
2015
Cash flows from operating activities:
 
 
 
Net loss
$
(25,713
)
 
$
(4,542
)
Adjustments to reconcile net income (loss):
 
 
 
Deferred income tax benefit
(21,261
)
 
(3,357
)
Depreciation and amortization
40,121

 
40,283

Amortization of program license rights
12,066

 
11,758

Amortization of debt premiums, discounts and issue costs
2,033

 
308

Gain on disposal of property and equipment, net
(768
)
 
(228
)
Gain on relocation of spectrum

 
(3,120
)
Stock-based compensation
2,078

 
3,010

Debt modification and extinguishment costs

 
613

Change in assets and liabilities:
 
 
 
Program license rights, net of liabilities
(12,110
)
 
(10,867
)
Trade accounts receivable
6,330

 
31,080

Company owned life insurance (cash surrender value less policy loans including repayments)
(312
)
 
(519
)
Trade accounts payable, accrued expenses and other liabilities
(3,728
)
 
(3,932
)
Contributions to retirement plans

 
(1,250
)
Other, net
(3,535
)
 
(2,818
)
Net cash (used) provided by operating activities
(4,799
)
 
56,419

Cash flows from investing activities:
 
 
 
Capital expenditures
(6,763
)
 
(7,209
)
Proceeds from the sale of property and equipment
3,976

 
262

Proceeds from spectrum relocation

 
620

Other, net
(10
)
 
(5
)
Net cash used by investing activities
(2,797
)
 
(6,332
)
Cash flows from financing activities:
 
 
 
Repayment of borrowings under Media General Credit Agreement

 
(35,000
)
Borrowings under Media General Revolving Credit Facility
30,000

 

Repayments under Media General Revolving Credit Facility
(30,000
)
 

Repayment of borrowings under Shield Media Credit Agreement
(800
)
 
(600
)
Repayment of other borrowings
(290
)
 
(290
)
Exercise of stock options
1,408

 
958

Other, net
(220
)
 
(764
)
Net cash provided (used) by financing activities
98

 
(35,696
)
Net (decrease) increase in cash and cash equivalents
(7,498
)
 
14,391

Cash and cash equivalents at beginning of period
41,091

 
43,920

Cash and cash equivalents at end of period
$
33,593

 
$
58,311

Cash paid for interest
$
24,973

 
$
29,444

Cash paid for income taxes, net
$
618


$
1,963

Cash paid for Meredith termination fee
$
60,000

 
$

See accompanying notes.

4



MEDIA GENERAL, INC.
NOTES TO CONSOLIDATED CONDENSED FINANCIAL STATEMENTS
(Unaudited)
 

Note 1: Basis of Presentation
 
The accompanying unaudited consolidated condensed financial statements have been prepared in accordance with accounting principles generally accepted in the United States and with applicable quarterly reporting regulations of the Securities and Exchange Commission. They do not include all of the information and footnotes required by generally accepted accounting principles for complete financial statements and, accordingly, should be read in conjunction with the consolidated financial statements and related footnotes included in the Annual Report on Form 10-K of Media General, Inc. ("Media General" or the "Company") for the year ended December 31, 2015. In the opinion of management, all adjustments (consisting of normal recurring adjustments) considered necessary for a fair presentation of interim financial information have been included.
 
In September 2015 the Company announced a merger agreement under which the Company would have acquired all of the outstanding common stock of Meredith Corporation (“Meredith”) in a cash and stock transaction. Later in September of 2015 the Company received an unsolicited proposal from Nexstar Broadcasting Group, Inc. (“Nexstar”) to acquire all of the outstanding common stock of Media General. Following discussion between the various parties, in January 2016 Media General terminated its agreement with Meredith with Media General paying Meredith a $60 million termination fee and providing Meredith with an opportunity to negotiate for the purchase of certain broadcast and digital assets owned by the Company. Immediately thereafter, the Company entered into an agreement with Nexstar whereby Nexstar will acquire all outstanding shares of Media General for $10.55 per share in cash, 0.1249 shares of Nexstar Class A common stock for each Media General share and a contingent value right (CVR). The cash consideration and the stock consideration are fixed amounts and do not increase or decrease based upon the proceeds (if any) from the disposition of either Nexstar's or Media General's spectrum in the FCC auction. Upon the completion of the transaction, Nexstar will change its name to Nexstar Media Group. Each CVR will entitle Media General shareholders to a pro rata share of the net cash proceeds as received from the sale of Media General's spectrum in the Federal Communication Commission's upcoming Incentive Auction. It is estimated that Media General shareholders will own approximately 34% and existing Nexstar shareholders will retain approximately 66% ownership of the combined company after closing. The closing of the transaction is subject to the satisfaction of a number of conditions including, but not limited to, the approval of various matters relating to the transaction by Media General and Nexstar shareholders, the approval of the Federal Communications Commission (“FCC”), clearance under the Hart-Scott-Rodino antitrust act and certain third party consents. Merger-related expenses for the Meredith termination fee, legal and professional fees for the Meredith and Nexstar transactions totaled $66 million for the quarter ended March 31, 2016.

The consolidated financial statements include the financial statements of the Company and its wholly owned subsidiaries and certain variable interest entities (“VIE”) for which the Company is considered to be the primary beneficiary. Intercompany accounts and transactions have been eliminated in consolidation. In determining whether the Company is the primary beneficiary of a VIE for financial reporting purposes, the Company considers whether it has the power to direct certain activities of the VIE that most significantly impact the economic performance of the VIE and whether it has the obligation to absorb losses or the right to receive returns that would be significant to the VIE.  Assets of consolidated VIE’s can only be used to settle the obligations of that VIE.  As discussed in Note 3, the Company consolidates the results of WXXA, WLAJ, WBDT, WYTV, KTKA, KWBQ, KRWB, and KASY pursuant to the VIE accounting guidance. All the liabilities are non-recourse to the Company, except for certain of the debt, which the Company guarantees. The Company is also the primary beneficiary of the VIE that holds the Supplemental 401(k) Plan’s investments and consolidates the plan accordingly.

The Company has two reportable segments, “Broadcast” and “Digital” that are disclosed separately from our corporate activities. The Broadcast segment includes 71 television stations that are either owned, operated or serviced by the Company in 48 markets, all of which are engaged principally in the sale of television advertising. The Digital segment includes the operating results of the Company's digital businesses as well as the business operations related to the television station companion websites.
 
The Company guarantees all of the debt of LIN Television Corporation ("LIN Television", a wholly owned subsidiary of the Company) and the debt of its consolidated VIEs. LIN Television guarantees all of the debt of its restricted wholly owned subsidiaries and the debt of its consolidated VIEs. All of the consolidated wholly owned subsidiaries of LIN Television fully and unconditionally guarantee LIN Television's 5.875% Senior Notes due 2022 (the “2022 Notes”) and the 6.375% Senior Notes due 2021 (the "2021 Notes") on a joint-and-several basis, subject to customary release provisions.
     
In May 2014, the Financial Accounting Standards Board (“FASB”) and the International Accounting Standards Board (“IASB”) issued a converged standard on revenue recognition from contracts with customers, Accounting Standards Update

5



("ASU") 2014-09 (Topic 606 and IFRS 15). This standard will supersede nearly all existing revenue recognition guidance. In August 2015 the FASB issued ASU 2015-14, Revenue From Contracts With Customers: Deferral of the Effective Date which defers the effective date of ASU 2014-09 until fiscal years, and interim periods within those years, beginning after December 15, 2017. The Company is currently evaluating the impact this guidance will have on its financial condition, results of operations and cash flows.

In April 2015, the FASB issued ASU 2015-03, Simplifying the Presentation of Debt Issuance Costs ("ASU 2015-03"). ASU 2015-03 requires that debt issuance costs related to a recognized debt liability be presented in the balance sheet as a direct deduction from the carrying amount of that debt liability. ASU 2015-03 is effective for annual periods beginning on or after December 15, 2015. The Company adopted this guidance as of January 1, 2016 and $30.7 million was reclassified to reduce "Long-term Debt" as of March 31, 2016. In order to conform to the presentation adopted $32.2 million was reclassified from "Other assets, net" to "Long-term Debt" in the 2015 figures presented on the Consolidated Condensed Balance Sheets and in Note 10 Guarantor Financial Information. Approximately $285 thousand was reclassified from "Other assets, net" to "Long-term Debt" in the 2015 figures presented in Note 3 Variable Interest Entities.

In February 2016, the FASB issued ASU 2016-02, Leases, which requires the lease rights and obligations arising from lease contracts, including existing and new arrangements, to be recognized as assets and liabilities on the balance sheet. ASU 2016-02 is effective for reporting periods beginning after December 15, 2018 with early adoption permitted. The Company is currently evaluating the impact that this guidance will have on its consolidated financial statements.

In March 2016, the FASB released ASU 2016-09, Compensation - Stock Compensation (Topic 718): Improvements to Employee Share-Based Payment Accounting. The ASU includes multiple provisions intended to simplify various aspects of the accounting for share-based payments. The Company is currently evaluating the impact that this guidance will have on its consolidated financial statements. The ASU is effective for public companies in annual periods beginning after December 15, 2016, and interim periods within those years.


Note 2: Segment Information
 
The Company has two reportable operating segments, “Broadcast” and “Digital” that are disclosed separately from our corporate activities. The Broadcast segment includes 71 television stations that are either owned, operated or serviced by the Company in 48 U.S. markets, all of which are engaged principally in the sale of television advertising. The Digital segment includes the operating results of the digital companies (Federated Media and HYFN) as well as the business operations related to the television station companion websites. Unallocated corporate expenses primarily include costs to operate as a public company and to operate corporate locations.
 
The Company identifies operating segments based on how the chief operating decision maker (“CODM”) allocates resources, assesses performance and makes decisions. The CODM is the President, and Chief Executive Officer. The CODM evaluates performance and allocates resources based on operating income or loss for the Broadcast and Digital segments, excluding non-segment expenses.
 
 
 
Three Months Ended March 31,
(in thousands)
 
2016
 
2015
Revenues
 
 
 
 
Broadcast
 
$
305,593

 
$
266,484

Digital
 
37,870

 
30,250

Revenues
 
$
343,463

 
$
296,734

 
 

6



 
 
Three Months Ended March 31,
(in thousands)
 
2016
 
2015
Operating income
 
 
 
 
Broadcast
 
$
103,618

 
$
80,821

Digital
 
(1,685
)
 
(2,191
)
Segment operating income
 
101,933

 
78,630

Corporate and other expenses
 
(10,352
)
 
(12,651
)
Depreciation and amortization
 
(40,121
)
 
(40,283
)
Gain related to property and equipment, net
 
768

 
228

Merger-related expenses
 
(65,882
)
 
(5,277
)
Restructuring expenses
 
(3,982
)
 

Operating income (loss)
 
$
(17,636
)
 
$
20,647


 

Note 3: Variable Interest Entities
 
Certain of the Company's broadcast stations provide services to other station owners within the same market via Joint Sales Agreements ("JSA") and/or Shared Service Agreements ("SSA"). The Company has JSA and/or SSA agreements with 8 stations. Depending on the specific terms of these agreements, the Company may provide a variety of operational and administrative services, assume an obligation to reimburse certain expenses of the stations and guarantee certain external borrowings by the station parent companies (refer to Note 6 for guaranteed borrowings). The Company is compensated for these services through performance based and/or administrative fees. Under certain JSAs, the Company has an option to acquire the related station at any time, subject to FCC consent, until the expiration of the applicable JSA. The Company has determined that the stations with which it has JSAs and/or SSAs, and certain of their parent companies, are VIEs as a result of the terms of the agreements.

The Company is the primary beneficiary of the VIEs, because (a) subject to the ultimate control of the broadcast licensees, the Company has the power to direct the activities which significantly impact the economic performance of the VIEs through the services the Company provides and (b) the Company absorbs returns and losses which would be considered significant to the VIEs. Therefore, the financial results and financial position of these entities have been consolidated by the Company in accordance with the VIE accounting guidance.

7




The carrying amounts and classification of the assets and liabilities of the consolidated VIE entities described above, which have been included in the consolidated balance sheets as of March 31, 2016, and December 31, 2015, were as follows:
 
(In thousands)
March 31,
2016
 
December 31,
2015
Assets
 
 
 
Current assets
 
 
 
Cash and cash equivalents
$
3,554

 
$
3,693

Trade accounts receivable (less allowance for doubtful accounts 2016 - $89; 2015 - $94)
7,985

 
9,798

Prepaid expenses and other current assets
715

 
796

Total current assets
12,254

 
14,287

Property and equipment, net
1,937

 
1,904

Other assets, net
2,874

 
3,094

Definite lived intangible assets, net
31,479

 
32,244

Broadcast licenses
71,300

 
71,300

Goodwill
21,859

 
21,859

Total assets
$
141,703

 
$
144,688

Liabilities
 
 
 
Current liabilities
 
 
 
Trade accounts payable
$
13

 
$
16

Other accrued expenses and other current liabilities
1,974

 
2,221

Current installments of long-term debt
3,514

 
3,804

Total current liabilities
5,501

 
6,041

Long-term debt, net
23,285

 
24,062

Other liabilities
6,981

 
8,310

Total liabilities
$
35,767

 
$
38,413


The assets of the Company’s consolidated VIEs can only be used to settle the obligations of the VIEs and may not be sold, or otherwise disposed of, except for assets sold or replaced with others of like kind or value. At March 31, 2016, the Company has an option to acquire the assets or member's interest of the VIE entities that it may exercise if the FCC attribution rules change to permit the Company to acquire such interest. The option exercise price is of nominal value and significantly less than the carrying value of their tangible and intangible net assets. The options are carried at zero on the Company’s consolidated balance sheet, as any value attributable to the options is eliminated in the consolidation of the VIEs. In an order adopted in March 2014, the FCC concluded that JSAs should be “attributable” for purposes of the media ownership rules if they permit a television licensee to sell more than 15% of the commercial inventory of a television station owned by a third party in the same market. Pursuant to the Consolidated Appropriations Act of 2016, the Company will be required to modify or terminate its existing JSAs no later than September 30, 2025, unless they are able to obtain a waiver of such rules. Accordingly, absent further developments, or the grant of waivers, the Company continues to monitor regulatory developments and evaluate potential changes to its JSA and SSA arrangements.




8



Note 4: Debt and Other Financial Instruments
 
Long-term debt at March 31, 2016, and December 31, 2015, was as follows:
 
(In thousands)
2016
 
2015
Media General Credit Agreement
$
1,541,000

 
$
1,541,000

2022 Notes
400,000

 
400,000

2021 Notes
275,000

 
275,000

Shield Media Credit Agreement
26,400

 
27,200

Other borrowings
659

 
950

Total debt
2,243,059

 
2,244,150

Less: net unamortized discount
(8,531
)
 
(8,992
)
Less: scheduled current maturities
(3,514
)
 
(3,804
)
Less: unamortized debt issuance fees
(30,671
)
 
(32,244
)
Long-term debt excluding current maturities
$
2,200,343

 
$
2,199,110

 
Media General Credit Agreement
 
In July 2013, the Company entered into a credit agreement with a syndicate of lenders to provide the Company with a term loan and access to a revolving credit facility. The funds borrowed under the credit agreement and subsequent amendments (together the "Credit Agreement") have been used by the Company to facilitate acquisitions and mergers. The term loan under the Credit Agreement matures in July 2020 and bears interest at LIBOR (with a floor of 1%) plus a margin of 3%.
 
There were no principal repayments on the term loan during the first quarter of 2016. The Company repaid $35 million of principal on the term loan during the three months ended March 31, 2015. The early repayment of debt resulted in debt extinguishment costs of $0.6 million during the three months ended March 31, 2015 due to the accelerated recognition of deferred debt-related items. As of March 31, 2016, there was $1.5 billion outstanding under the Credit Agreement.
 
The revolving credit facility under the Credit Agreement also includes revolving credit commitments of $150 million. The revolving credit facility matures in October 2019, bears an interest rate of LIBOR plus a margin of 2.50% and is subject to a 0.5% commitment fee per annum with respect to the undrawn portion of the facility. The Company has $146 million of availability under the revolving credit facility (giving effect to $4 million of letters of credit which have been issued but are undrawn).
 
Shield Media Credit Agreement
 
Shield Media LLC (and its subsidiary WXXA) and Shield Media Lansing LLC (and its subsidiary WLAJ) (collectively, “Shield Media”), companies that control subsidiaries with which the Company has joint sales and shared services arrangements for 2 stations as described in Note 3, entered into a new credit agreement with a syndicate of lenders, dated July 31, 2013. The term loans outstanding under this agreement mature in July 2018 and bear interest at LIBOR plus a margin of 3%. The Shield Media term loans are guaranteed by the Company and are secured by liens on substantially all of the assets of the Company, on a pari passu basis with the Credit Agreement. The Company repaid $0.8 million and $0.6 million of principal on the term loan during the three months ended March 31, 2016 and 2015, respectively.

2022 Notes
 
On November 5, 2014, the Company's predecessor, MGOC, Inc. ("Old Media General") completed the issuance of $400 million in aggregate principal amount of 5.875% Senior Unsecured Notes due in 2022 (the “2022 Notes”) in connection with the financing of the Old Media General's combination (the "LIN Merger") with LIN Media, LLC ("LIN Media"). The net proceeds from the offering of the 2022 Notes were used to repay certain indebtedness of LIN Media in connection with the LIN Merger, including the satisfaction and discharge of LIN Television’s $200 million aggregate principal amount of 8.375% Senior Notes due 2018 and the payment of related fees and expenses. The 2022 Notes were issued under an indenture, dated as of November 5, 2014 (the “2022 Notes Indenture”). Media General, as the direct parent of LIN Television, and certain of the wholly owned subsidiaries of LIN Television provide full and unconditional guarantees to the 2022 Notes, on a senior basis.


 

9



2021 Notes
 
LIN Television’s previously issued 6.375% Senior Notes due 2021 (the "2021 Notes") remained outstanding as of the consummation of the LIN Merger. Following the consummation of the LIN Merger, Media General, as the new direct parent of LIN Television, and certain of the wholly owned subsidiaries of LIN Television provide full and unconditional guarantees of the 2021 Notes, on a senior basis. The Company received an unsolicited offer and repaid $15 million of principal at an $800 thousand premium during the year ended December 31, 2015. No principal payments were made during the first quarter of 2016. As of March 31, 2016, the aggregate principal amount outstanding under the 2021 Notes was $275 million.
 
Fair Value
 
The following table includes information about the carrying values and estimated fair values of the Company’s financial instruments at March 31, 2016, and December 31, 2015:
 
 
March 31, 2016
 
December 31, 2015
 
Carrying
 
Fair
 
Carrying
 
Fair
(In thousands)
Amount
 
Value
 
Amount
 
Value
Assets:
 
 
 
 
 
 
 
Investments
 
 
 
 
 
 
 
Trading securities
$
274

 
$
274

 
$
257

 
$
257

Liabilities:
 
 
 
 
 
 
 
Long-term debt:
 
 
 
 
 
 
 
Media General Credit Agreement
1,508,934

 
1,545,471

 
1,507,182

 
1,529,229

2022 Notes
392,799

 
406,898

 
392,527

 
404,344

2021 Notes
275,324

 
302,502

 
275,340

 
288,228

Shield Media Credit Agreement
26,140

 
26,140

 
26,915

 
27,200

Other borrowings
659

 
659

 
950

 
950

 
Trading securities held by the Supplemental 401(k) Plan are carried at fair value and are determined by reference to quoted market prices.
 
The fair values of the 2021 and 2022 Notes were determined by reference to the most recent trading prices. The fair value of all other debt instruments were determined using discounted cash flow analysis' and an estimate of the current borrowing rate.
 
Under the fair value hierarchy, the Company’s trading securities fall under Level 1 (quoted prices in active markets), the 2021 and 2022 Notes fall under Level 2 (other observable inputs) and the Media General Credit Agreement, Shield Media Credit Agreement and Other Borrowings fall under Level 3 (unobservable inputs).

Note 5: Taxes on Income
 
The effective tax benefit was 44.2% in the first quarter of 2016 as compared to 41.0% in the first quarter of 2015. The higher tax benefit is due primarily to a discrete tax benefit recorded in the first quarter of 2016 related to failed merger-related expenses recorded in the prior year.  In 2016 the Company adopted Approach I as defined under ASC 740 with respect to merger-related expenses and has provided tax benefit on “sell-side” merger expenses until the proposed transaction is finalized.  Ultimately, some of these expenses may be non-deductible. The tax expense in both years was predominantly non-cash due to the Company’s significant net operating loss carryover.  Current tax expense was approximately $0.9 million and $0.2 million for the first quarters of 2016 and 2015, respectively; it was attributable primarily to state income taxes.
 

10



Note 6: Earnings Per Share
 
The following table sets forth the computation of basic and diluted income per share for the three months ended March 31, 2016, and 2015:
 
 
 
Three Months Ended March 31, 2016
 
Three Months Ended March 31, 2015
(In thousands, except
Income
 
Shares
 
Per Share
 
Income
 
Shares
 
Per Share
per share amounts)
(Numerator)
 
(Denominator)
 
Amount
 
(Numerator)
 
(Denominator)
 
Amount
Net income (loss) attributable to Media General
$
(26,190
)
 
 

 
 

 
$
(7,433
)
 
 

 
 

 
 
 
 
 
 
 
 
 
 
 
 
Undistributed earnings attributable to participating securities

 
 

 
 

 

 
 

 
 

 
 
 
 
 
 
 
 
 
 
 
 
Basic EPS
 
 
 
 
 
 
 
 
 
 
 
Income (loss) attributable to common stockholders
$
(26,190
)
 
128,595

 
$
(0.20
)
 
$
(7,433
)
 
129,384

 
$
(0.06
)
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
Effect of dilutive securities:
 
 
 
 
 
 
 
 
 
 
 
Stock options and warrants
 

 

 
 

 
 

 

 
 

 
 
 
 
 
 
 
 
 
 
 
 
Diluted EPS
 
 
 
 
 
 
 
 
 
 
 
Income (loss) attributable to common stockholders
$
(26,190
)
 
128,595

 
$
(0.20
)
 
$
(7,433
)
 
129,384

 
$
(0.06
)

We have excluded 1.2 million and 1.1 million of common shares issuable for share options and restricted shares from the calculation of diluted earnings per share for the three months ended March 31, 2016 and 2015, respectively, because the net loss causes these shares to be anti-dilutive.


Note 7: Retirement and Postretirement Plans
 
The Company has a funded, qualified non-contributory defined benefit retirement plan which covers substantially all Legacy Media General employees hired before 2007 along with defined benefit retirement plans for KRON-TV and LIN that were merged into the Media General qualified plan on December 31, 2014 and December 31, 2015, respectively. Additionally the Company has a non-contributory unfunded supplemental executive retirement and ERISA excess plans which supplement the coverage available to certain executives. All of these retirement plans are frozen. The Company also has a retiree medical savings account plan which reimburses eligible retired employees for certain medical expenses and an unfunded plan that provides certain health and life insurance benefits to retired employees who were hired prior to 1992.


11



     The following tables provide the components of net periodic benefit cost (income) for the Company’s benefit plans for the first quarters of 2016 and 2015:


 
Three Months Ended
 
Pension Benefits
 
Other Benefits
(In thousands)
March 31,
2016
 
March 31,
2015
 
March 31,
2016
 
March 31,
2015
Service cost
$

 
$

 
$

 
$
10

Interest cost
4,650

 
7,400

 
200

 
110

Expected return on plan assets
(6,950
)
 
(9,981
)
 

 

Amortization of net loss

 
258

 
(25
)
 

Net periodic benefit (income) cost
$
(2,300
)
 
$
(2,323
)
 
$
175

 
$
120



Note 8: Stockholders’ Equity
 
The following table shows the components of the Company’s stockholders’ equity as of and for the three months ended March 31, 2016:
 
 
 
 
 
 
Accumulated
 
 
 
 
 
 
 
 
 
Other
 
 
 
Total
 
Common Stock
 
Comprehensive
 
Retained
 
Stockholders'
(In thousands)
Voting
 
Non-Voting
 
Loss
 
Earnings
 
Equity
Balance at December 31, 2015
$
1,305,155

 
$

 
$
(31,224
)
 
$
174,039

 
$
1,447,970

Net loss attributable to Media General


 

 

 
(26,190
)
 
(26,190
)
Exercise of stock options
1,408

 

 

 

 
1,408

Stock-based compensation
2,078

 

 

 

 
2,078

Revaluation of redeemable noncontrolling interest
(12,094
)
 

 

 
(447
)
 
(12,541
)
Other
332

 

 

 

 
332

Balance at March 31, 2016
$
1,296,879

 
$

 
$
(31,224
)
 
$
147,402

 
$
1,413,057


The following table shows the components of the Company’s stockholders’ equity as of and for the three months ended March 31, 2015:

 
 
 
 
 
Accumulated
 
 
 
 
 
 
 
 
 
Other
 
 
 
Total
 
Common Stock
 
Comprehensive
 
Retained
 
Stockholders'
(In thousands)
Voting
 
Non-Voting
 
Income
 
Earnings
 
Equity
Balance at December 31, 2014
$
1,322,284

 
$

 
$
(36,445
)
 
$
214,582

 
$
1,500,421

Net income attributable to Media General

 

 

 
(7,433
)
 
(7,433
)
Exercise of stock options
1,034

 

 

 

 
1,034

Stock-based compensation
3,010

 

 

 

 
3,010

Revaluation of redeemable noncontrolling interest

 

 

 
(586
)
 
(586
)
Other
(633
)
 

 

 

 
(633
)
Balance at March 31, 2015
$
1,325,695

 
$

 
$
(36,445
)
 
$
206,563

 
$
1,495,813

 

12




Note 9: Other
 
Restructuring activities

In the first quarter of 2016, the Company took additional steps under a plan to restructure certain digital segment operations that began in September 2015. The plan is expected to save the Company approximately $14.7 million in operating costs annually based on the steps completed since plan inception. The Company recorded restructuring expense of $2.5 million related to the plan during the first quarter ended March 31, 2016 comprised of $1.8 million of severance and $630 thousand of lease termination charges.

On October 16, 2009, Media General entered into a Joint Sales Agreement (“JSA”) and Shared Services Agreement (“SSA”) with Schurz Communications, Inc and WAGT Television, Inc.   Pursuant to the JSA and SSA, Media General provided certain services and sold advertising time for WAGT. In February 2016, Schurz Communications, Inc. sold WAGT to Gray Television Group, Inc., ("Gray") and assigned the JSA and SSA to Gray. However, upon the closing of the station sale, WAGT ceased performance of the agreements. For the first quarter ending March 31, 2016, the Company recorded a restructuring charge of $1.5 million for WAGT. As of March 31, 2016, Media General is still pursing legal causes of action against Gray, and Schurz Communications, Inc. and WAGT Television, Inc., including but not limited to, causes of action for breach of contract.

The following tables present the activity associated with the March 31, 2016 balance of the restructuring liability and the nature and amount of exit charges incurred in the three months ended March 31, 2016:

 
As of March 31, 2016
(In thousands)
Digital
WAGT
Total
Accrued restructuring as of December 31, 2015
$
1,312

$

$
1,312

Severance charges
1,826

538
2,364

Contract termination charges
630

172
802

Cash severance payments
(1,594
)

(1,594
)
Accrued restructuring as of March 31, 2016
$
2,174

$
710

$
2,884





 
 
 
 
 


Three months ended March 31, 2016
(In thousands)
Digital
WAGT
Total
Severance charges
$
1,826

$
538

$
2,364

Contract termination charges
630

172
802

Asset impairment

282
282

Legal fees

477
477

Other

57
57
Total restructuring expense
$
2,456

$
1,526

$
3,982


Subsequent Event

In April 2016, the Company acquired the remaining shares of HYFN, a full service digital advertising agency for a purchase price of approximately $35 million plus one-time compensation expense of $7 million related to the transaction for a total cash outflow of $42 million. Prior to the transaction, the Company held 50.1% of the outstanding shares of HYFN. For the first quarter ended March 31, 2016, the Company increased the value of noncontrolling interest in HYFN by $12.1 million.
 




13



Note 10: Guarantor Financial Information
 
LIN Television, a 100% owned subsidiary of Media General, is the primary obligor of the 2021 Notes and 2022 Notes. Media General fully and unconditionally guarantees all of LIN Television’s obligations under the 2021 Notes and the 2022 Notes on a joint and several basis. Additionally, all of the consolidated 100% owned subsidiaries of LIN Television fully and unconditionally guarantee LIN Television’s obligations under the 2021 Notes and 2022 Notes on a joint and several basis. There are certain limitations in the ability of the subsidiaries to pay dividends to Media General. The following financial information presents condensed consolidating balance sheets, statements of operations, and statements of cash flows for Media General, LIN Television (as the issuer), the Guarantor Subsidiaries, and the Non-Guarantor Subsidiaries, together with certain eliminations.


14



Media General, Inc.
Condensed Consolidating Balance Sheet
March 31, 2016
(in thousands)
 
Media General
 
LIN Television Corporation
 
Guarantor Subsidiaries
 
Non-Guarantor Subsidiaries
 
Eliminations
 
Consolidated
ASSETS
 
 
 
 
 
 
 
 
 
 
 
Current assets:
 
 
 
 
 
 
 
 
 
 
 
Cash and cash equivalents
$

 
$

 
$
29,512

 
$
4,081

 
$

 
$
33,593

Trade accounts receivable, net

 
77,599

 
183,913

 
30,377

 

 
291,889

Prepaid expenses and other current assets

 
2,743

 
13,144

 
1,500

 

 
17,387

Total current assets

 
80,342

 
226,569

 
35,958

 

 
342,869

Property and equipment, net

 
153,261

 
301,380

 
2,777

 

 
457,418

Other assets, net

 
727

 
29,038

 
3,145

 

 
32,910

Definite lived intangible assets, net

 
359,722

 
445,675

 
44,442

 

 
849,839

Broadcast licenses

 

 
1,025,800

 
71,300

 

 
1,097,100

Goodwill

 
527,077

 
924,708

 
92,839

 

 
1,544,624

Advances to consolidated subsidiaries

 
(237,643
)
 
254,351

 
(16,708
)
 

 

Investment in consolidated subsidiaries
1,413,057

 
1,296,899

 

 

 
(2,709,956
)
 

Total assets
$
1,413,057

 
$
2,180,385

 
$
3,207,521

 
$
233,753

 
$
(2,709,956
)
 
$
4,324,760

 
 
 
 
 
 
 
 
 
 
 
 
LIABILITIES AND STOCKHOLDER'S EQUITY (DEFICIT)
 
 
 
 
 
 
 
 
Current liabilities:
 
 
 
 
 
 
 
 
 
 
 
Trade accounts payable
$

 
$
399

 
$
16,459

 
$
2,996

 
$

 
$
19,854

Accrued salaries and wages

 
3,850

 
16,709

 
570

 

 
21,129

Accrued expenses and other current liabilities

 
22,291

 
80,050

 
5,769

 

 
108,110

Current installments of long-term debt

 

 

 
3,514

 

 
3,514

Current installments of obligation under capital leases

 
575

 
246

 
20

 

 
841

Total current liabilities

 
27,115

 
113,464

 
12,869

 

 
153,448

Long-term debt, net

 
668,122

 
1,508,935

 
23,286

 

 
2,200,343

Deferred tax liability and other long-term tax liabilities

 
58,015

 
237,358

 
(1,400
)
 

 
293,973

Long-term capital lease obligations

 
12,811

 
999

 

 

 
13,810

Retirement and postretirement plans

 

 
179,377

 

 

 
179,377

Other liabilities

 
1,265

 
27,056

 
4,966

 

 
33,287

Total liabilities

 
767,328

 
2,067,189

 
39,721

 

 
2,874,238

 
 
 
 
 
 
 
 
 
 
 
 
Noncontrolling interests

 

 

 
37,465

 

 
37,465

 
 
 
 
 
 
 
 
 
 
 
 
Total stockholders (deficit) equity
1,413,057

 
1,413,057

 
1,140,332

 
156,567

 
(2,709,956
)
 
1,413,057

Total liabilities, noncontrolling interest and stockholders' equity (deficit)
$
1,413,057

 
$
2,180,385

 
$
3,207,521

 
$
233,753

 
$
(2,709,956
)
 
$
4,324,760



15



Media General, Inc.
Condensed Consolidating Balance Sheet
December 31, 2015
(in thousands)
 
Media General
 
LIN Television Corporation
 
Guarantor Subsidiaries
 
Non-Guarantor Subsidiaries
 
Eliminations
 
Consolidated
ASSETS
 
 
 
 
 
 
 
 
 
 
 
Current assets:
 
 
 
 
 
 
 
 
 
 
 
Cash and cash equivalents
$

 
$
1,103

 
$
35,925

 
$
4,063

 
$

 
$
41,091

Trade accounts receivable, net

 
75,866

 
192,306

 
30,302

 

 
298,474

Prepaid expenses and other current assets

 
3,264

 
10,441

 
1,378

 

 
15,083

Total current assets

 
80,233

 
238,672

 
35,743

 

 
354,648

Property and equipment, net

 
158,627

 
309,160

 
2,750

 

 
470,537

Other assets, net

 
7,199

 
27,523

 
3,348

 

 
38,070

Definite lived intangible assets, net

 
368,011

 
458,261

 
44,857

 

 
871,129

Broadcast licenses

 

 
1,025,800

 
71,300

 

 
1,097,100

Goodwill

 
527,077

 
924,708

 
92,839

 

 
1,544,624

Advances to consolidated subsidiaries

 
(206,396
)
 
223,051

 
(16,655
)
 


 

Investment in consolidated subsidiaries
1,447,970

 
1,319,392

 

 

 
(2,767,362
)
 

Total assets
$
1,447,970

 
$
2,254,143

 
$
3,207,175

 
$
234,182

 
$
(2,767,362
)
 
$
4,376,108

 
 
 
 
 
 
 
 
 
 
 
 
LIABILITIES AND STOCKHOLDER'S EQUITY (DEFICIT)
 
 
 
 
 
 
 
 
Current liabilities:
 
 
 
 
 
 
 
 
 
 
 
Trade accounts payable
$

 
$
2,010

 
$
30,689

 
$
3,101

 
$

 
$
35,800

Accrued salaries and wages

 
2,022

 
19,016

 
427

 

 
21,465

Accrued expenses and other current liabilities

 
23,237

 
68,101

 
4,162

 

 
95,500

Current installments of long-term debt

 

 

 
3,804

 

 
3,804

Current installments of obligation under capital leases

 
575

 
256

 
28

 

 
859

Total current liabilities

 
27,844

 
118,062

 
11,522

 

 
157,428

Long-term debt, net

 
667,867

 
1,507,181

 
24,062

 

 
2,199,110

Deferred tax liability and other long-term tax liabilities

 
62,785

 
253,232

 
(783
)
 

 
315,234

Long-term capital lease obligations

 
12,953

 
1,059

 

 

 
14,012

Retirement and postretirement plans

 
25,917

 
157,070

 

 

 
182,987

Other liabilities

 
8,807

 
20,999

 
5,114

 

 
34,920

Total liabilities

 
806,173

 
2,057,603

 
39,915

 

 
2,903,691

 
 
 
 
 
 
 
 
 
 
 
 
Noncontrolling interests

 

 

 
24,447

 

 
24,447

 
 
 
 
 
 
 
 
 
 
 
 
Total stockholders (deficit) equity
1,447,970

 
1,447,970

 
1,149,572

 
169,820

 
(2,767,362
)
 
1,447,970

Total liabilities, noncontrolling interest and stockholders' equity (deficit)
$
1,447,970

 
$
2,254,143

 
$
3,207,175

 
$
234,182

 
$
(2,767,362
)
 
$
4,376,108


16



Media General, Inc.
Condensed Consolidated Statement of Comprehensive Income
For the Three Months Ended March 31, 2016
(in thousands)
 
Media General
 
LIN Television Corporation
 
Guarantor Subsidiaries
 
Non-Guarantor Subsidiaries
 
Eliminations
 
Consolidated
Net operating revenue
$

 
$
99,091

 
$
235,157

 
$
17,855

 
$
(8,640
)
 
$
343,463

 
 
 
 
 
 
 
 
 
 
 
 
Operating costs:
 
 
 
 
 
 
 
 
 
 
 
Operating expenses, excluding depreciation expense

 
42,160

 
100,634

 
13,447

 
(5,098
)
 
151,143

Selling, general and administrative expenses

 
22,693

 
53,541

 
2,252

 
(165
)
 
78,321

Amortization of program licenses rights

 
4,480

 
7,574

 
513

 
(501
)
 
12,066

Corporate and other expenses

 

 
10,350

 
2

 

 
10,352

Depreciation and amortization

 
14,399

 
23,948

 
1,774

 

 
40,121

(Gain) loss related to property and equipment, net

 
(7
)
 
(833
)
 
72

 

 
(768
)
Merger-related expenses

 

 
65,882

 

 

 
65,882

Restructuring expenses

 

 
3,982

 

 

 
3,982

Operating income (loss)

 
15,366

 
(29,921
)
 
(205
)
 
(2,876
)
 
(17,636
)
 
 
 
 
 
 
 
 
 
 
 
 
Other income (expense):
 
 
 
 
 
 
 
 
 
 
 
Interest expense, net

 
(10,694
)
 
(17,586
)
 
(276
)
 

 
(28,556
)
Intercompany income and (expenses)

 
(10,107
)
 
10,451

 
(344
)
 

 

Equity in income (loss) from operations of consolidated subsidiaries
(26,190
)
 
(15,958
)
 

 

 
42,148

 

Other, net

 

 
74

 

 

 
74

Total other income (expense)
(26,190
)
 
(36,759
)
 
(7,061
)
 
(620
)
 
42,148

 
(28,482
)
 
 
 
 
 
 
 
 
 
 
 
 
Income (loss) before income taxes
(26,190
)
 
(21,393
)
 
(36,982
)
 
(825
)
 
39,272

 
(46,118
)
Income tax benefit (expense)

 
(4,797
)
 
24,584

 
618

 

 
20,405

Net income (loss)
$
(26,190
)
 
$
(26,190
)
 
$
(12,398
)
 
$
(207
)
 
$
39,272

 
$
(25,713
)
 
 
 
 
 
 
 
 
 
 
 
 
Net income (loss) attributable to noncontrolling interest

 

 

 
477

 

 
477

Net income (loss) attributable to Media General
$
(26,190
)
 
$
(26,190
)
 
$
(12,398
)
 
$
(684
)
 
$
39,272

 
$
(26,190
)
 
 
 
 
 
 
 
 
 
 
 
 
Other comprehensive income

 

 

 

 

 

Total comprehensive income (loss) attributable to Media General
$
(26,190
)
 
$
(26,190
)
 
$
(12,398
)
 
$
(684
)
 
$
39,272

 
$
(26,190
)




17



Media General, Inc.
Condensed Consolidating Statement of Comprehensive Income
For the Three Months Ended March 31, 2015
(in thousands)
 
Media General
 
LIN Television Corporation
 
Guarantor Subsidiaries
 
Non-Guarantor Subsidiaries
 
Eliminations
 
Media General Consolidated
Net operating revenue
$

 
$
88,218

 
$
199,730

 
$
13,742

 
$
(4,956
)
 
$
296,734

Operating costs:
 
 
 
 
 
 
 
 
 
 
 
Operating expenses, excluding depreciation expense

 
37,599

 
83,759

 
7,542

 
(3,024
)
 
125,876

Selling, general and administrative expenses

 
23,524

 
53,218

 
4,137

 
(409
)
 
80,470

Amortization of program license rights

 
4,178

 
7,101

 
479

 

 
11,758

Corporate and other expenses

 
3,201

 
9,458

 
(8
)
 

 
12,651

Depreciation and amortization

 
14,136

 
24,672

 
1,475

 

 
40,283

Gain related to property and equipment, net

 
(36
)
 
(192
)
 

 

 
(228
)
Merger-related expenses

 
1,374

 
3,903

 

 

 
5,277

Restructuring expenses

 

 

 

 

 

Operating income (loss)

 
4,242

 
17,811

 
117

 
(1,523
)
 
20,647

 
 
 
 
 
 
 
 
 
 
 
 
Other income (expense)
 

 
 

 
 
 
 
 
 
 
 
Interest expense
(1
)
 
(10,650
)
 
(20,087
)
 
(285
)
 

 
(31,023
)
Debt modification and extinguishment costs

 

 
(613
)
 

 

 
(613
)
Intercompany income and (expenses)

 
(5,535
)

5,767

 
(232
)
 

 

Equity in income (loss) from operations of consolidated subsidiaries
(7,432
)
 
(434
)
 

 

 
7,866

 

Other, net

 
82

 
708

 
2,500

 

 
3,290

Total other income (expense)
(7,433
)
 
(16,537
)
 
(14,225
)
 
1,983

 
7,866

 
(28,346
)
 
 
 
 
 
 
 
 
 
 
 
 
Income (loss) before income taxes
(7,433
)
 
(12,295
)
 
3,586

 
2,100

 
6,343

 
(7,699
)
Income tax benefit (expense)

 
4,863

 
(2,274
)
 
568

 

 
3,157

Net income (loss)
$
(7,433
)
 
$
(7,432
)
 
$
1,312

 
$
2,668

 
$
6,343

 
$
(4,542
)
 
 
 
 
 
 
 
 
 
 
 
 
Net income (loss) attributable to noncontrolling interests

 

 
(178
)
 
3,069

 

 
2,891

Net income (loss) attributable to Media General
$
(7,433
)
 
$
(7,432
)
 
$
1,490

 
$
(401
)
 
$
6,343

 
$
(7,433
)
 
 
 
 
 
 
 
 
 
 
 
 
Other comprehensive income

 

 

 

 

 

Total comprehensive income (loss) attributable to Media General
$
(7,433
)
 
$
(7,432
)
 
$
1,490

 
$
(401
)
 
$
6,343

 
$
(7,433
)


18



Media General, Inc.
Condensed Consolidating Statement of Cash Flows
Year to date through March 31, 2016
(in thousands)
 
 
Media General
 
LIN Television Corporation
 
Guarantor Subsidiaries
 
Non-Guarantor Subsidiaries
 
Eliminations
 
Media General Consolidated
Cash flows from operating activities:
 
 
 
 
 
 
 
 
 
 
 
Net cash used by operating activities
$

 
$
(4,065
)
 
$
(596
)
 
$
(138
)
 
$

 
$
(4,799
)
 
 
 
 
 
 
 
 
 
 
 
 
Cash flows from investing activities:
 
 
 
 
 
 
 
 
 
 
 
Capital expenditures

 
(1,716
)
 
(3,649
)
 
(1,398
)
 

 
(6,763
)
Proceeds from the sale of PP&E

 
29

 
3,947

 

 

 
3,976

Receipt of dividend

 
19,502

 

 

 
(19,502
)
 

Advances on intercompany borrowings

 
(2,644
)
 

 

 
2,644

 

Payments from intercompany borrowings

 

 
12,060

 

 
(12,060
)
 

Other, net

 

 
(10
)
 

 

 
(10
)
Net cash provided (used) by investing activities

 
15,171

 
12,348

 
(1,398
)
 
(28,918
)
 
(2,797
)
 
 
 
 
 
 
 
 
 
 
 
 
Cash flows from financing activities:
 
 
 
 
 
 
 
 
 
 
 
Borrowings under Media General Revolving Credit Facility

 

 
30,000

 

 

 
30,000

Repayments under Media General Revolving Credit Facility

 

 
(30,000
)
 

 

 
(30,000
)
Repayment of borrowings under Shield Media Credit Agreement

 

 

 
(800
)
 

 
(800
)
Repayment of other borrowings

 

 

 
(290
)
 

 
(290
)
Payment of dividend

 

 
(19,502
)
 

 
19,502

 

Proceeds from intercompany borrowings

 

 

 
2,644

 
(2,644
)
 

Payments on intercompany borrowing

 
(12,060
)
 

 

 
12,060

 

Exercise of stock options

 

 
1,408

 

 

 
1,408

Other, net

 
(149
)
 
(71
)
 

 

 
(220
)
Net cash provided (used) by financing activities

 
(12,209
)
 
(18,165
)
 
1,554

 
28,918

 
98

 
 
 
 
 
 
 
 
 
 
 
 
Net (decrease) increase in cash and cash equivalents

 
(1,103
)
 
(6,413
)
 
18

 

 
(7,498
)
Cash and cash equivalents at beginning of period

 
1,103

 
35,925

 
4,063

 

 
41,091

Cash and cash equivalents at end of period
$

 
$

 
$
29,512

 
$
4,081

 
$

 
$
33,593



19



Media General, Inc.
Condensed Consolidating Statement of Cash Flows
Year to date through March 31, 2015
(in thousands)
 
 
Media General
 
LIN Television Corporation
 
Guarantor Subsidiaries
 
Non-Guarantor Subsidiaries
 
Eliminations
 
Media General Consolidated
Cash flows from operating activities:
 
 
 
 
 
 
 
 
 
 
 
Net cash provided (used) by operating activities
$
(1,402
)
 
$
12,021

 
$
42,361

 
$
3,439

 
$

 
$
56,419

 
 
 
 
 
 
 
 
 
 
 
 
Cash flows from investing activities:
 
 
 
 
 
 
 
 
 
 
 
Capital expenditures

 
(2,314
)
 
(4,288
)
 
(607
)
 

 
(7,209
)
Proceeds from sale the of PP&E

 
36

 
226

 

 

 
262

Proceeds from spectrum sale

 

 
620

 

 

 
620

Receipt of dividend

 
19,502

 

 

 
(19,502
)
 

Payments from intercompany borrowings
2,025

 

 
12,073

 

 
(14,098
)
 

Payment of capital contributions
(3,011
)
 

 

 

 
3,011

 

Other, net

 

 

 
(5
)
 

 
(5
)
Net cash provided (used) by investing activities
(986
)
 
17,224

 
8,631

 
(612
)
 
(30,589
)
 
(6,332
)
 
 
 
 
 
 
 
 
 
 
 
 
Cash flows from financing activities:
 
 
 
 
 
 
 
 
 
 
 
Repayment of borrowings under Media General Credit Agreement

 

 
(35,000
)
 

 

 
(35,000
)
Repayment of borrowings under Shield Media Credit Agreement

 

 

 
(600
)
 

 
(600
)
Repayment of other borrowings

 

 

 
(290
)
 

 
(290
)
Payment of dividend

 

 
(19,502
)
 

 
19,502

 

Payments on intercompany borrowing

 
(14,098
)
 

 

 
14,098

 

Receipt of capital contributions

 
3,011

 

 

 
(3,011
)
 

Exercise of stock options

 

 
958

 

 

 
958

Other, net

 

 
(777
)
 
13

 

 
(764
)
Net cash (used) provided by financing activities

 
(11,087
)
 
(54,321
)
 
(877
)
 
30,589

 
(35,696
)
 
 
 
 
 
 
 
 
 
 
 
 
Net (decrease) increase in cash and cash equivalents
(2,388
)
 
18,158

 
(3,329
)
 
1,950

 

 
14,391

Cash and cash equivalents at beginning of period
2,388

 
9,658

 
27,371

 
4,503

 

 
43,920

Cash and cash equivalents at end of period
$

 
$
27,816

 
$
24,042

 
$
6,453

 
$

 
$
58,311


20



Item 2.     Management's Discussion and Analysis of Financial Condition and Results of Operations
 
OVERVIEW
 
Media General is one of the U.S.’s largest local multimedia companies, providing top-rated news, information and entertainment across 48 markets. Media General, Inc. owns, operates or provides services to 71 network-affiliated broadcast television stations (23 with CBS, 13 with NBC, 12 with ABC, 8 with FOX, 8 with CW and 7 with MyNetworkTV) and their associated digital media and mobile platforms. These stations reach approximately 23% of U.S. TV households, and the Company reaches almost 40% of the U.S. Internet audience. 50 of the 71 stations are located in the top 100 designated market areas as grouped by Nielsen (“DMAs”), while 27 of the 71 stations are located in the top 50 markets. The Company also has a large and diverse digital media business.

In September 2015, Media General announced a merger agreement under which the Company would have acquired all of the outstanding common stock of Meredith Corporation in a cash and stock transaction. Later in September of 2015, the Company received an unsolicited proposal from Nexstar Broadcasting Group, Inc. to acquire all of the outstanding common stock of Media General. Following discussion between the various parties, in January 2016 Media General terminated its agreement with Meredith with Media General paying Meredith a $60 million termination fee and providing Meredith with an opportunity to negotiate for the purchase of certain broadcast and digital assets owned by Media General. Immediately thereafter, the Company entered into an agreement with Nexstar whereby Nexstar will acquire all outstanding shares of Media General for $10.55 per share in cash, 0.1249 shares of Nexstar Class A common stock for each Media General share and a contingent value right (CVR) related to FCC auction proceeds. The cash consideration and the stock consideration are fixed amounts and do not increase or decrease based upon the proceeds (if any) from the disposition of either Nexstar's or Media General's spectrum in the FCC auction. Upon the completion of the transaction, Nexstar will change its name to Nexstar Media Group. Each CVR will entitle Media General shareholders to a pro rata share of the net cash proceeds as received from the sale of Media General's spectrum in the Federal Communication Commission's upcoming Incentive Auction discussed further below. It is estimated that Media General shareholders will own approximately 34% and existing Nexstar shareholders will retain approximately 66% ownership of the combined company after closing. The closing of the transaction is subject to the satisfaction of a number of conditions including, but not limited to, the approval of various matters relating to the transaction by Media General and Nexstar shareholders, the approval of the Federal Communications Commission (“FCC”), clearance under the Hart-Scott-Rodino antitrust act and certain third-party consents.

In April 2012, President Obama signed into law the American Jobs Act, which provides the FCC with the authority to
conduct an “incentive auction” to auction and repurpose broadcast television spectrum for mobile broadband use. Pursuant to this authority and to encourage broadcasters to tender their licenses for auction, the FCC is permitted to share the proceeds of spectrum auction with incumbent television station licensees. In order to receive proceeds, licensees must agree to give up their licenses, share spectrum, or, in some cases, move to a different channel to facilitate an auction of their previous channel. The FCC would then “repack” non-tendering UHF broadcasters into the lower portions of the UHF band and auction new “flexible use” wireless licenses in the upper portion of the UHF band. By statute, television stations’ participation in the “incentive auction” is voluntary. Final applications to participate were due, as anticipated, on March 29, 2016. On April 29, 2016, the FCC announced the initial clearing target of 126 MHz of spectrum and that bidding in the Clock Phase of the reverse auction would begin on May 31, 2016. The Company expects to participate in certain markets as discussed earlier. As part of the Nexstar agreement, the Company has a contingent value right entitling Media General shareholders to a pro rata share of the net cash proceeds as received from the sale of Media General’s spectrum. The Company anticipates that this right could be worth anywhere from $0 to $4 per share.


  

21



RESULTS OF OPERATIONS
 
The Company recorded a net loss attributable to Media General of $26 million (($0.20) per diluted share) during the first three months of 2016 compared to a net loss attributable to Media General of $7 million ($(0.06) per diluted share) in the first three months of 2015. The net loss attributable to Media General for the first quarter of 2016 included the $60 million termination fee paid to Meredith in January 2016 recorded in "merger-related expenses." The Company's results during the first three months of 2016 included an additional $6 million of merger-related expenses and restructuring expenses of $4 million. Comparatively, the first three months of 2015 did not have any restructuring charges and included merger-related expense of $5 million.
 
The net loss recorded by the Company in the first quarter of 2016 was $26 million and included net income attributable to noncontrolling interests of $0.5 million. The income attributable to noncontrolling interests represents the aggregate income of certain stations operated by the Company through JSA/SSA arrangements as well as the performance of HYFN Inc., a digital media operation. The remaining noncontrolling interest in HYFN Inc. was acquired by the Company on April 1, 2016.
 
The Company generated $104 million of operating income from its Broadcast segment in the first quarter of 2016. Its Digital segment recorded an operating loss of $1.7 million in the first quarter of 2016.


REVENUES
 
Revenues were $343 million in the first three months of 2016 compared to $297 million in the same prior-year period. Revenues are grouped primarily into four major categories: Local, National, Political and Digital. The following chart summarizes the consolidated period-over-period changes in these select revenue categories.
 
 
Three Months Ended
 
 
 
 
 
 
 
(Unaudited, in thousands)
March 31,
2016
% of Total
 
March 31,
2015
 
Percent Change
Local
$
230,224

67.0
%
 
$
206,885

 
11.3
%
National
49,564

14.4
%
 
49,254

 
0.6
%
Political
16,010

4.7
%
 
977

 
1,538.7
%
Digital
37,870

11.0
%
 
30,250

 
25.2
%
Other
9,795

2.9
%
 
9,368

 
4.6
%
Net operating revenue
$
343,463

 
 
$
296,734

 
15.7
%


Local revenue was up $23 million during the three months ended March 31, 2016 as a result of increased retransmission revenue and, to a lesser extent, an increase in core local advertising. National advertising revenue increased slightly driven by automotive and retail. Political revenue for the company grew more than 15 times from the prior-year level due to strong Presidential primary spending in the states of Iowa, South Carolina and Florida. The 25% increase in Digital revenue was primarily the result of increased activity in social media and website advertising.

OPERATING COSTS
 
Operating costs increased $85 million in the first quarter of 2016 from the prior-year equivalent periods overwhelmingly due to the $60 million fee paid to Meredith to terminate that merger agreement and $4 million in restructuring expenses. Also contributing to the increase in operating costs were $13 million higher network programming payments driven, in part, by the increase in retransmission revenue and increased cost of sales for digital due to higher revenue. Absent the merger-related expenses, restructuring costs and higher network fees, total operating costs increased 3% from the first quarter of 2015, reflecting effective expense management. In March of 2015, the Company received $2.5 million in settlement proceeds as a party to an industry-wide lawsuit alleging overcharges by a music licensing agency. The settlement proceeds were recorded as a reduction in Operating expenses a year ago.
 

22



Corporate and other expenses as reported on the consolidated statements of comprehensive income decreased by $2.3 million in the three months ended March 31, 2016 primarily due to the impact of lower stock-based compensation and merger related synergies.
 
Depreciation and amortization expense as reported on the consolidated statements of comprehensive income was $40 million in both the three months ended March 31, 2016 and March 31, 2015.

The Company recorded $66 million and $5.3 million of merger-related costs in the first quarter of 2016 and 2015, respectively, as shown on the consolidated statements of comprehensive income primarily due to the $60 million termination fee paid in January 2016 associated with the terminated Meredith merger, and also for employee severance, investment banking and professional fees related to the LIN Merger and the merger with Nexstar (reflected in 2016 only). The 2016 costs also included fees to outside legal and advisory consultants related to the terminated merger with Meredith.

In September 2015, the Company adopted a plan to restructure certain digital segment operations which is expected to save the Company $14.7 million in operating costs annually. In the first quarter of 2016, the Company recorded severance and contract termination expense of $2.5 million related to additional steps on that restructuring plan.

For the first quarter ending March 31, 2106, the Company recorded a restructuring charge of $1.5 million for WAGT as described more fully in Item 1, Note 9. As of March 31, 2016, Media General is still pursuing legal causes of action against Gray, Schurz Communications, Inc. and WAGT Television, Inc., including but not limited to, causes of action for breach of conduct .


INTEREST EXPENSE
 
Interest expense of almost $29 million in the first three months of 2016 decreased 8% from the corresponding period in the prior year due to repayments of debt during 2015. The Company’s effective interest rate decreased from 5.3% in the first quarter of 2015 (based on $2.4 billion of average outstanding debt) to 5.1% during the equivalent period of 2016 (based on $2.2 billion of average outstanding debt). The decrease is due to a rate decrease on the Media General Credit Agreement negotiated during 2015.
 
During the first three months of 2016, the Company repaid $1.1 million on certain borrowings.


INCOME TAXES
 
The effective tax benefit was 44.2% in the first quarter of 2016 as compared to 41.0% in the first quarter of 2015. The higher tax benefit is due primarily to a discrete tax benefit recorded in the first quarter of 2016 related to failed merger-related expenses recorded in the prior year.  In 2016 the Company adopted Approach I as defined under ASC 740 with respect to merger-related expenses and has provided tax benefit on “sell-side” merger expenses until the proposed transaction is finalized.  Ultimately, some of these expenses may be non-deductible. The tax expense in both years was predominantly non-cash due to the Company’s significant net operating loss carryover.  Current tax expense was approximately $0.9 million and $0.2 million for the first quarters of 2016 and 2015, respectively; it was attributable primarily to state income taxes.

The Company records income tax expense using the liability method, under which deferred tax assets and liabilities are recorded for the differing treatments of various items for financial reporting versus tax reporting purposes. The Company evaluates the need for a valuation allowance for deferred tax assets. Included in that analysis is the fact that the Company has carried forward $595 million of net operating losses (NOLs) as of March 31, 2016. The Company anticipates being able to use the NOLs recorded before they expire over the course of the next 20 years although there are certain limitations in future years.
 
OTHER
 
The Company recorded $3.1 million of non-operating gains in the three month period ended March 31, 2015 related to the relocation of broadcast channels in the Lansing, Michigan and Austin, Texas markets.
 

LIQUIDITY AND CAPITAL RESOURCES
 
The Company’s primary source of liquidity is its cash flow from operations, but it also has access to the $150 million revolving credit facility and cash on its balance sheet. The Company has $146 million of availability under the revolving credit

23



facility (giving effect to $4 million of letters of credit which have been issued but are undrawn) and $34 million of cash on its balance sheet as of March 31, 2016. There is $3.6 million of cash in the consolidated balance sheet as of March 31, 2016 which can only be used to settle the obligations of the VIEs as discussed in Note 3. During the first quarter of 2016, the Company has used its cash for the Meredith termination fee, capital expenditures, further investment in its operations and other corporate initiatives.
  
The Company used $5 million of cash in operating activities during the three months ended March 31, 2016. This compared to $56 million of net cash generated by operating activities in the year-ago period. The decrease from the year-ago period is primarily the result of the $60 million termination fee paid during the quarter.

The Company internally, and analysts in the Broadcast industry, use a non-GAAP Broadcast Cash Flow (BCF) metric as a key performance measure. BCF is defined as operating income plus corporate and other expenses, depreciation and amortization, net gains related to property and equipment, program license rights amortization less payments for program license rights, merger-related expenses, and restructuring expenses. As shown in the table that follows, BCF increased from $78 million to $102 million in the first quarter of 2016, primarily due to the impact of Presidential primary spending during 2016:

 
Three Months Ended
 
 
 
 
 
(Unaudited, in thousands)
March 31,
2016
 
March 31,
2015
 
Net Operating Revenue
$
343,463

 
$
296,734

 
Less: Operating Costs
(361,099
)
 
(276,087
)
 
Operating Income
(17,636
)
 
20,647

 
Add:
 
 
 
 
Depreciation and amortization
40,121

 
40,283

 
Corporate and other expenses
10,352

 
12,651

 
Gain related to property and equipment, net
(768
)
 
(228
)
 
Program license rights, net
(44
)
 
(874
)
 
Merger-related expenses
65,882

 
5,277

 
Restructuring expenses
3,982

 

 
Broadcast cash flow
$
101,889

 
$
77,756

 
 
The Company used cash for its investing activities of $3 million during the first three months of 2016 primarily due to $6.8 million of capital expenditures partially offset by $4.0 million of proceeds from the sale of property and equipment during the first three months of 2016. For the first three months of 2015, the Company had capital expenditures of $7.2 million and cash inflows of $620 thousand related to the relocation of broadcast channels in Lansing, Michigan and Austin, Texas.
 
Cash provided by financing activities of $98 thousand in the three months ended March 31, 2016 compared to cash used by financing activities of $36 million in the three months ended March 31, 2015. The higher outflow in 2015 primarily resulted from debt repayments of $36 million in the prior-year period.
 
Debt Agreements
 
At March 31, 2016, the Company had the following debt facilities and other debt instruments:
 
 
Maturity Date
Amount
Interest Rate
Term Loan
2020
$1,541 million
LIBOR + 3.00% w/ 1% LIBOR floor
Revolver
2018
$146 million available; None drawn
LIBOR + 2.50%; 0.5% commitment fee
5.875% Senior Notes
2022
$400 million
Fixed
6.375% Senior Notes
2021
$275 million
Fixed
Shield Media Term Loans
2018
$26 million
LIBOR + 3.00%
Other Borrowings
2016/2017
$0.7 million
LIBOR + 3.00%

24



  
The Company loans are guaranteed by its subsidiaries, and the Company has pledged substantially all of its assets as collateral for the loans. The Shield Media loans are guaranteed by the Company, and the Company has pledged substantially all of its assets as collateral for the loans, on a pari passu basis with the Media General credit agreement. Both sets of Senior Notes are also guaranteed by the Company and certain of LIN TV’s subsidiaries on a full and unconditional basis.

As a result of a series of amendments to the Senior Secured Credit Facility, the credit agreement governing the Senior
Secured Credit Facility contains a leverage ratio covenant which is tested for purposes of the Revolving Loan Facility if and when
the Revolver borrowings and non-collateralized letters of credit exceed $45 million at a quarter end. At other times, there is not a required maximum leverage ratio that the Company must operate within. The leverage ratio involves debt levels and a rolling eight-quarter calculation of EBITDA, as defined in the agreement if applicable. For the first quarter of 2016, the maximum ratio was 5.25 times, decreasing to 5.0 times for the second quarter of 2016 and thereafter. Additionally, the agreement has restrictions on certain transactions that are operational regardless of Revolver borrowing level, including the incurrence of additional debt, capital leases, investments, fundamental changes (including additional acquisitions mergers or consolidations), limitation liens, prepayment or amendment of certain debt, transactions with affiliates, changes in the nature of the business, asset sales and restricted payments (including dividends and share repurchases) as defined in the agreement.

The Shield Media loans have a fixed charge coverage ratio (a ratio of fixed charges (interest, debt payments, capital expenditures and taxes) to EBITDA, calculated on a rolling eight-quarter basis, as defined in the agreement). The Shield Media loans also have restrictions on transactions similar in nature to those in the new Media General credit agreement, but scaled to Shield Media’s smaller size. Additionally, the Shield Media loans have more specific covenants regarding the operation of the Shield Media business and requires that each Shield Media holding company that controls a Shield Media station limit its activities
to the performance of its obligations under the Shield Media credit documents, and activities incidental thereto, including owning a Shield Media station and the performance of its obligations under and activities related to the shared services agreement. The Senior Notes do not contain financial maintenance covenants, but do include restrictive covenants with respect to the ability to incur additional debt and issue disqualified stock; pay dividends or make other restricted payments; prepay, redeem or repurchase capital stock or subordinated debt; transfer or sell assets; make investments; enter into transactions with affiliates; create or incur liens; and merge or consolidate with any other person. The Media General and Shield Media credit agreements along with both sets of Senior Notes contain cross-default provisions.

The Company does not have material off-balance sheet arrangements.

Consolidated net leverage, as defined in the Credit Agreement governing the Revolving Credit Facility, was 5.03x as of March 31, 2016. The Company is in compliance with all financial covenants at March 31, 2016.
 
OUTLOOK
 
The Company owns, operates or provides services to 71 stations across 48 markets covering 23% of U.S. TV households. The Company’s scale and location within several strongly contested states with substantial political spending has already facilitated increased cash flow generation during the active primary season. Additionally, the Company grew retransmission revenue in the first quarter of 2016 and is participating in the FCC spectrum auction that is currently ongoing. For the remainder of 2016, the Company expects to benefit from the Olympics in Rio de Janeiro, Brazil as the location should enable more “live” events on the Company’s 13 NBC stations. The Company expects to continue to generate strong free cash flow from Political and retransmission during the remainder of the year to create liquidity available for debt reduction. The Company continues to work with Nexstar to secure the necessary approvals to effectuate the announced Nexstar transaction.

* * * * * * * *
 

25



Certain statements in this quarterly report, particularly those in the section with the heading “Outlook” are not historical facts and are “forward-looking” statements, as that term is defined by the federal securities laws. Forward-looking statements include, among others, statements related to accounting estimates and assumptions, expectations regarding the pending merger, regulatory approvals and debt levels, interest rates, the impact of technological advances including consumer acceptance of mobile television and expectations regarding the effects of retransmission fees, network affiliate fees, pension and postretirement plans, capital spending, general advertising levels and political advertising levels, the effects of changes to FCC regulations and FCC approval of license applications. Forward-looking statements, including those which use words such as the Company “believes,” “anticipates,” "hopes," “expects,” “estimates,” “intends,” “projects,” “plans,” “may” and similar words, including “outlook”, are made as of the date of this quarterly report on Form 10-Q and are subject to risks and uncertainties that could potentially cause actual results to differ materially from those results expressed in or implied by such statements. The reader should understand that it is not possible to foresee or identify all risk factors. Consequently, any such list should not be considered a complete statement of all potential risks or uncertainties.
 
 Various important factors could cause actual results to differ materially from the Company’s forward looking statements, estimates or projections including, without limitation:  the impact of the Nexstar merger transaction, changes in advertising demand, failure to achieve cost savings in connection with restructuring digital, emergence of new digital advertising platforms, health care cost trends, changes to pending accounting standards, changes in consumer preferences for programming and delivery method, changes in relationships with broadcast networks and advertisers, the performance of pension plan assets, regulatory rulings including those related to joint sales and shared service agreements and tax law, natural disasters, and the ability to renew retransmission and broadcast network agreements. Actual results may differ materially from those suggested by forward-looking statements for a number of reasons including those described in Item 1A (“Risk Factors”) of the Company’s Annual Report on Form 10-K for the year ended December 31, 2015.

26



Item 3.          Quantitative and Qualitative Disclosure About Market Risk
 
The Company’s Annual Report on Form 10-K for the year ended December 31, 2015, provides disclosures about market risk. As of March 31, 2016, there have been no material changes in the Company’s market risk from December 31, 2015.
 

Item 4.          Controls and Procedures
 
 
      The Company’s management, including its chief executive officer and chief financial officer, performed an evaluation of the effectiveness of the design and operation of the Company’s disclosure controls and procedures as of March 31, 2016. Based on that evaluation, the Company’s management, including its chief executive officer and chief financial officer, concluded that the Company’s disclosure controls and procedures were effective as of March 31, 2016. There have been no significant changes in the Company’s internal controls over financial reporting or in other factors during the quarter ended March 31, 2016 that have materially affected or are reasonably likely to materially affect the Company's internal controls over financial reporting.

27



PART II.     OTHER INFORMATION
 
Item 2.          Unregistered Sales of Equity Securities and Use of Proceeds

None.

Item 5.          Other Information

None.

28



Item 6.          Exhibits
 
(a)      Exhibits
 
 
 
 
 
 
 
31.1
Section 302 Chief Executive Officer Certification
 
 
31.2
Section 302 Chief Financial Officer Certification
 
 
32
Section 906 Chief Executive Officer and Chief Financial Officer Certification
 
 
101
The following financial information from the Media General, Inc. Quarterly Report on Form 10-Q for the quarter ended March 31, 2016, formatted in XBRL includes: (i) Consolidated Condensed Balance Sheets at March 31, 2016 and December 31, 2015, (ii) Consolidated Condensed Statements of Comprehensive Income for the three month periods ended March 31, 2016 and March 31, 2015, (iii) Consolidated Condensed Statements of Cash Flows for the three months ended March 31, 2016 and March 31, 2015, and (iv) the Notes to Consolidated Condensed Financial Statements.

29



SIGNATURES
 
 
 
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 thereunto duly authorized.
 
 
 MEDIA GENERAL, INC.
 
 
 
 
 
 
Date: May 9, 2016
By:
/s/ Vincent L. Sadusky
 
 
 Vincent L. Sadusky
 
 
 President and Chief Executive Officer
 
 
 
 
 
 
 
Date: May 9, 2016
By:
/s/ James F. Woodward
 
 
 James F. Woodward
 
 
 Senior Vice President, Chief Financial Officer


30

Exhibit


Exhibit 31.1
CERTIFICATION PURSUANT TO RULE 13a-14(a) and RULE 15d-14(a)
OF THE SECURITIES EXCHANGE ACT AS ADOPTED PURSUANT TO
SECTION 302 OF THE SARBANES-OXLEY ACT OF 2002 
 
I, Vincent L. Sadusky, certify that:
 
1.
I have reviewed this quarterly report on Form 10-Q of Media General, Inc.;
2.
Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;
3.
Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations and cash flows of the registrant as of, and for, the periods presented in this report;
4.
The registrant's other certifying officer and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a-15(e) and 15d-15(e)) and internal control over financial reporting (as defined in Exchange Act Rules 13a-15(f) and 15d-15(f)) for the registrant and have:
 
a)
designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this quarterly report is being prepared;
 
b)
designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;
 
c)
evaluated the effectiveness of the registrant's disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the controls and procedures, as of the end of the period covered by this report based on such evaluation; and
 
d)
disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the registrant’s most recent fiscal quarter (the registrants' fourth fiscal quarter in the case of an annual report) that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting: and
5.
The registrant's other certifying officer and I have disclosed, based on our most recent evaluation of internal control over financial reporting, to the registrant's auditors and the audit committee of the registrant's board of directors (or persons performing the equivalent functions):
 
a)
all significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant's ability to record, process, summarize and report financial information; and
 
b)
any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant's internal control over financial reporting.
 
 Date:    May 9, 2016 
 
 
 
 
By:
/s/ Vincent L. Sadusky
 
 
 
 Vincent L. Sadusky
 
 
 
 President and Chief Executive Officer
 



Exhibit


Exhibit 31.2
CERTIFICATION PURSUANT TO RULE 13a-14(a) and RULE 15d-14(a)
OF THE SECURITIES EXCHANGE ACT AS ADOPTED PURSUANT TO
SECTION 302 OF THE SARBANES-OXLEY ACT OF 2002
 
I, James F. Woodward, certify that:
 
1.
I have reviewed this quarterly report on Form 10-Q of Media General, Inc.;
2.
Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;
3.
Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations and cash flows of the registrant as of, and for, the periods presented in this report;
4.
The registrant's other certifying officer and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a-15(e) and 15d-15(e)) and internal control over financial reporting (as defined in Exchange Act Rules 13a-15(f) and 15d-15(f)) for the registrant and have:
 
a)
designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this quarterly report is being prepared;
 
 
b)
designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;
 
c)
evaluated the effectiveness of the registrant's disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the controls and procedures, as of the end of the period covered by this report based on such evaluation; and
 
d)
disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the registrant’s most recent fiscal quarter (the registrants' fourth fiscal quarter in the case of an annual report) that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and
5.
The registrant's other certifying officer and I have disclosed, based on our most recent evaluation of internal control over financial reporting, to the registrant's auditors and the audit committee of the registrant's board of directors (or persons performing the equivalent functions):
 
a)
all significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant's ability to record, process, summarize and report financial information; and
 
b)
any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant's internal control over financial reporting.
 
 Date:     May 9, 2016
 
 
 
 
By:
/s/ James F. Woodward
 
 
 
 James F. Woodward
 
 
 
 Senior Vice President, Chief Financial Officer
 



Exhibit


Exhibit 32
CERTIFICATION PURSUANT TO
18 U.S.C. SECTION 1350,
AS ADOPTED PURSUANT TO
SECTION 906 OF THE SARBANES-OXLEY ACT OF 2002
 
 
In connection with the Quarterly Report of Media General, Inc. (the “Company”) on Form 10-Q for the quarterly period ended March 31, 2016, as filed with the Securities and Exchange Commission on the date hereof (the “Report”), we, Vincent L. Sadusky, Chief Executive Officer, and James F. Woodward, Senior Vice President, Chief Financial Officer, certify, pursuant to 18 U.S.C. Section 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, that:
 
1.     The Report fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934, as amended; and
 
2.     The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Company.
 
 
 
 
 
By:
/s/ Vincent L. Sadusky
 
 
Vincent L. Sadusky 
 
 
President and Chief Executive Officer
 
 
May 9, 2016
 
 
By:
/s/ James F. Woodward
 
 
James F. Woodward
 
 
Senior Vice President, Chief Financial Officer
 
 
May 9, 2016




meg-20160331.xml
Attachment: XBRL INSTANCE DOCUMENT


meg-20160331.xsd
Attachment: XBRL TAXONOMY EXTENSION SCHEMA DOCUMENT


meg-20160331_cal.xml
Attachment: XBRL TAXONOMY EXTENSION CALCULATION LINKBASE DOCUMENT


meg-20160331_def.xml
Attachment: XBRL TAXONOMY EXTENSION DEFINITION LINKBASE DOCUMENT


meg-20160331_lab.xml
Attachment: XBRL TAXONOMY EXTENSION LABEL LINKBASE DOCUMENT


meg-20160331_pre.xml
Attachment: XBRL TAXONOMY EXTENSION PRESENTATION LINKBASE DOCUMENT


v3.4.0.3
Document and Entity Information - shares
3 Months Ended
Mar. 31, 2016
May. 04, 2016
Document and Entity Information [Abstract]    
Entity Registrant Name MEDIA GENERAL INC  
Document Type 10-Q  
Current Fiscal Year End Date --12-31  
Entity Common Stock, Shares Outstanding   129,272,908
Amendment Flag false  
Entity Central Index Key 0000216539  
Entity Filer Category Large Accelerated Filer  
Document Period End Date Mar. 31, 2016  
Document Fiscal Year Focus 2016  
Document Fiscal Period Focus Q1  

v3.4.0.3
Consolidated Condensed Balance Sheets - USD ($)
$ in Thousands
Mar. 31, 2016
Dec. 31, 2015
Current assets:    
Cash and cash equivalents $ 33,593 $ 41,091
Trade accounts receivable (less allowance for doubtful accounts 2016 - $4,448; 2015 - $4,634) 291,889 298,474
Prepaid expenses and other current assets 17,387 15,083
Total current assets 342,869 354,648
Property and equipment, net of accumulated depreciation 2016 - $162,653 ; 2015 - $145,274 457,418 470,537
Other assets, net 32,910 38,070
Definite lived intangible assets, net of accumulated amortization 2016 - $160,897; 2015 - $138,072 849,839 871,129
Broadcast licenses 1,097,100 1,097,100
Goodwill 1,544,624 1,544,624
Total assets [1] 4,324,760 4,376,108
Current liabilities:    
Trade accounts payable 19,854 35,800
Accrued salaries and wages 21,129 21,465
Accrued expenses and other current liabilities 108,110 95,500
Current installments of long-term debt 3,514 3,804
Current installments of obligation under capital leases 841 859
Total current liabilities 153,448 157,428
Long-term debt, net 2,200,343 2,199,110
Deferred tax liability and other long-term tax liabilities 293,973 315,234
Long-term capital lease obligations 13,810 14,012
Retirement and postretirement plans 179,377 182,987
Other liabilities 33,287 34,920
Total liabilities [2] $ 2,874,238 $ 2,903,691
Commitments and contingencies
Noncontrolling interests $ 37,465 $ 24,447
Stockholders' equity:    
Preferred stock (no par value): authorized 50,000,000 shares; none outstanding 0 0
Voting common stock, authorized 400,000,000 shares; issued 2016 - 129,241,012 and 2015 - 128,600,384 1,296,879 1,305,155
Accumulated other comprehensive loss (31,224) (31,224)
Retained earnings 147,402 174,039
Total stockholders' equity 1,413,057 1,447,970
Total liabilities, noncontrolling interest and stockholders' equity (deficit) 4,324,760 4,376,108
Total assets of variable interest entities(VIE) 142,000 145,000
Total liabilities of variable interest entities (VIE) $ 36,000 $ 38,000
[1] Consolidated assets as of March 31, 2016 and December 31, 2015, include total assets of variable interest entities (VIEs) of $142 million and $145 million, respectively, which can only be used to settle the obligations of the VIEs. See Note 1 and Note 3.
[2] Consolidated liabilities as of March 31, 2016 and December 31, 2015, include total liabilities of VIEs of $36 million and $38 million, respectively, for which the creditors of the VIEs have no recourse to the Company, except for certain of the debt, which the Company guarantees. See Note 1 and Note 3.

v3.4.0.3
Consolidated Condensed Balance Sheets (Unaudited) (Parenthetical) - USD ($)
$ in Thousands
Mar. 31, 2016
Dec. 31, 2015
Statement of Financial Position [Abstract]    
Trade accounts receivable, allowance for doubtful accounts (in Dollars) $ 4,448 $ 4,634
Accumulated depreciation 162,653 145,274
Accumulated amortization $ 160,897 $ 138,072
Preferred stock par value (in Dollars per share) $ 0 $ 0
Preferred stock, shares authorized 50,000,000 50,000,000
Preferred stock, shares outstanding 0 0
Common stock, par value (in Dollars per share) $ 0 $ 0
Common stock, shares authorized 400,000,000 400,000,000
Common stock, shares issued 129,241,012 128,600,384

v3.4.0.3
Consolidated Condensed Statements of Comprehensive Income - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2016
Mar. 31, 2015
Statement of Comprehensive Income [Abstract]    
Net operating revenue $ 343,463 $ 296,734
Operating costs:    
Operating expenses, excluding depreciation expense 151,143 125,876
Selling, general and administrative expenses 78,321 80,470
Amortization of program license rights 12,066 11,758
Corporate and other expenses 10,352 12,651
Depreciation and amortization 40,121 40,283
Gain related to property and equipment, net (768) (228)
Merger-related expenses 65,882 5,277
Restructuring expenses 3,982 0
Total operating costs 361,099 276,087
Operating income (loss) (17,636) 20,647
Other income (expense):    
Interest expense (28,556) (31,023)
Debt modification and extinguishment costs 0 (613)
Other, net 74 3,290
Total other income (expense) (28,482) (28,346)
Loss before income taxes (46,118) (7,699)
Income tax benefit 20,405 3,157
Net income (loss) (25,713) (4,542)
Net income attributable to noncontrolling interests (included above) 477 2,891
Net loss attributable to Media General (26,190) (7,433)
Other comprehensive income 0 0
Total comprehensive loss attributable to Media General $ (26,190) $ (7,433)
Earnings (loss) per common share (basic and diluted):    
Net loss per common share (basic) (in dollars per share) $ (0.20) $ (0.06)
Net loss per common share (assuming dilution) (in dollars per share) $ (0.20) $ (0.06)

v3.4.0.3
Consolidated Condensed Statements of Cash Flows - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2016
Mar. 31, 2015
Cash flows from operating activities:    
Net loss $ (25,713) $ (4,542)
Deferred income tax benefit (21,261) (3,357)
Depreciation and amortization 40,121 40,283
Amortization of program license rights 12,066 11,758
Amortization of debt premiums, discounts and issue costs 2,033 308
Gain related to property and equipment, net (768) (228)
Gain on relocation of spectrum 0 (3,120)
Stock-based compensation 2,078 3,010
Debt modification and extinguishment costs 0 613
Program license rights, net of liabilities (12,110) (10,867)
Trade accounts receivable 6,330 31,080
Company owned life insurance (cash surrender value less policy loans including repayments) (312) (519)
Trade accounts payable, accrued expenses and other liabilities (3,728) (3,932)
Contributions to retirement plans 0 (1,250)
Other, net (3,535) (2,818)
Net cash (used) provided by operating activities (4,799) 56,419
Cash flows from investing activities:    
Capital expenditures (6,763) (7,209)
Proceeds from the sale of property and equipment 3,976 262
Proceeds from spectrum relocation 0 620
Other, net (10) (5)
Net cash provided (used) by investing activities (2,797) (6,332)
Cash flows from financing activities:    
Repayments of borrowings (800)  
Borrowings under Media General Revolving Credit Facility 30,000 0
Repayments under Media General Revolving Credit Facility (30,000) 0
Repayment of other borrowings (290) (290)
Exercise of stock options 1,408 958
Other, net (220) (764)
Net cash provided (used) by financing activities 98 (35,696)
Net (decrease) increase in cash and cash equivalents (7,498) 14,391
Cash and cash equivalents at beginning of period 41,091 43,920
Cash and cash equivalents at end of period 33,593 58,311
Cash paid for interest 24,973 29,444
Cash paid for income taxes, net 618 1,963
Cash paid for Meredith termination fee 60,000 0
Media General Credit Agreement [Member]    
Cash flows from financing activities:    
Repayments of borrowings 0 (35,000)
Shield Media Credit Agreement [Member]    
Cash flows from financing activities:    
Repayments of borrowings $ (800) $ (600)

v3.4.0.3
Basis of Presentation
3 Months Ended
Mar. 31, 2016
Organization, Consolidation and Presentation of Financial Statements [Abstract]  
Basis of Presentation
Basis of Presentation
 
The accompanying unaudited consolidated condensed financial statements have been prepared in accordance with accounting principles generally accepted in the United States and with applicable quarterly reporting regulations of the Securities and Exchange Commission. They do not include all of the information and footnotes required by generally accepted accounting principles for complete financial statements and, accordingly, should be read in conjunction with the consolidated financial statements and related footnotes included in the Annual Report on Form 10-K of Media General, Inc. ("Media General" or the "Company") for the year ended December 31, 2015. In the opinion of management, all adjustments (consisting of normal recurring adjustments) considered necessary for a fair presentation of interim financial information have been included.
 
In September 2015 the Company announced a merger agreement under which the Company would have acquired all of the outstanding common stock of Meredith Corporation (“Meredith”) in a cash and stock transaction. Later in September of 2015 the Company received an unsolicited proposal from Nexstar Broadcasting Group, Inc. (“Nexstar”) to acquire all of the outstanding common stock of Media General. Following discussion between the various parties, in January 2016 Media General terminated its agreement with Meredith with Media General paying Meredith a $60 million termination fee and providing Meredith with an opportunity to negotiate for the purchase of certain broadcast and digital assets owned by the Company. Immediately thereafter, the Company entered into an agreement with Nexstar whereby Nexstar will acquire all outstanding shares of Media General for $10.55 per share in cash, 0.1249 shares of Nexstar Class A common stock for each Media General share and a contingent value right (CVR). The cash consideration and the stock consideration are fixed amounts and do not increase or decrease based upon the proceeds (if any) from the disposition of either Nexstar's or Media General's spectrum in the FCC auction. Upon the completion of the transaction, Nexstar will change its name to Nexstar Media Group. Each CVR will entitle Media General shareholders to a pro rata share of the net cash proceeds as received from the sale of Media General's spectrum in the Federal Communication Commission's upcoming Incentive Auction. It is estimated that Media General shareholders will own approximately 34% and existing Nexstar shareholders will retain approximately 66% ownership of the combined company after closing. The closing of the transaction is subject to the satisfaction of a number of conditions including, but not limited to, the approval of various matters relating to the transaction by Media General and Nexstar shareholders, the approval of the Federal Communications Commission (“FCC”), clearance under the Hart-Scott-Rodino antitrust act and certain third party consents. Merger-related expenses for the Meredith termination fee, legal and professional fees for the Meredith and Nexstar transactions totaled $66 million for the quarter ended March 31, 2016.

The consolidated financial statements include the financial statements of the Company and its wholly owned subsidiaries and certain variable interest entities (“VIE”) for which the Company is considered to be the primary beneficiary. Intercompany accounts and transactions have been eliminated in consolidation. In determining whether the Company is the primary beneficiary of a VIE for financial reporting purposes, the Company considers whether it has the power to direct certain activities of the VIE that most significantly impact the economic performance of the VIE and whether it has the obligation to absorb losses or the right to receive returns that would be significant to the VIE.  Assets of consolidated VIE’s can only be used to settle the obligations of that VIE.  As discussed in Note 3, the Company consolidates the results of WXXA, WLAJ, WBDT, WYTV, KTKA, KWBQ, KRWB, and KASY pursuant to the VIE accounting guidance. All the liabilities are non-recourse to the Company, except for certain of the debt, which the Company guarantees. The Company is also the primary beneficiary of the VIE that holds the Supplemental 401(k) Plan’s investments and consolidates the plan accordingly.

The Company has two reportable segments, “Broadcast” and “Digital” that are disclosed separately from our corporate activities. The Broadcast segment includes 71 television stations that are either owned, operated or serviced by the Company in 48 markets, all of which are engaged principally in the sale of television advertising. The Digital segment includes the operating results of the Company's digital businesses as well as the business operations related to the television station companion websites.
 
The Company guarantees all of the debt of LIN Television Corporation ("LIN Television", a wholly owned subsidiary of the Company) and the debt of its consolidated VIEs. LIN Television guarantees all of the debt of its restricted wholly owned subsidiaries and the debt of its consolidated VIEs. All of the consolidated wholly owned subsidiaries of LIN Television fully and unconditionally guarantee LIN Television's 5.875% Senior Notes due 2022 (the “2022 Notes”) and the 6.375% Senior Notes due 2021 (the "2021 Notes") on a joint-and-several basis, subject to customary release provisions.
     
In May 2014, the Financial Accounting Standards Board (“FASB”) and the International Accounting Standards Board (“IASB”) issued a converged standard on revenue recognition from contracts with customers, Accounting Standards Update ("ASU") 2014-09 (Topic 606 and IFRS 15). This standard will supersede nearly all existing revenue recognition guidance. In August 2015 the FASB issued ASU 2015-14, Revenue From Contracts With Customers: Deferral of the Effective Date which defers the effective date of ASU 2014-09 until fiscal years, and interim periods within those years, beginning after December 15, 2017. The Company is currently evaluating the impact this guidance will have on its financial condition, results of operations and cash flows.

In April 2015, the FASB issued ASU 2015-03, Simplifying the Presentation of Debt Issuance Costs ("ASU 2015-03"). ASU 2015-03 requires that debt issuance costs related to a recognized debt liability be presented in the balance sheet as a direct deduction from the carrying amount of that debt liability. ASU 2015-03 is effective for annual periods beginning on or after December 15, 2015. The Company adopted this guidance as of January 1, 2016 and $30.7 million was reclassified to reduce "Long-term Debt" as of March 31, 2016. In order to conform to the presentation adopted $32.2 million was reclassified from "Other assets, net" to "Long-term Debt" in the 2015 figures presented on the Consolidated Condensed Balance Sheets and in Note 10 Guarantor Financial Information. Approximately $285 thousand was reclassified from "Other assets, net" to "Long-term Debt" in the 2015 figures presented in Note 3 Variable Interest Entities.

In February 2016, the FASB issued ASU 2016-02, Leases, which requires the lease rights and obligations arising from lease contracts, including existing and new arrangements, to be recognized as assets and liabilities on the balance sheet. ASU 2016-02 is effective for reporting periods beginning after December 15, 2018 with early adoption permitted. The Company is currently evaluating the impact that this guidance will have on its consolidated financial statements.

In March 2016, the FASB released ASU 2016-09, Compensation - Stock Compensation (Topic 718): Improvements to Employee Share-Based Payment Accounting. The ASU includes multiple provisions intended to simplify various aspects of the accounting for share-based payments. The Company is currently evaluating the impact that this guidance will have on its consolidated financial statements. The ASU is effective for public companies in annual periods beginning after December 15, 2016, and interim periods within those years.

v3.4.0.3
Segment Information
3 Months Ended
Mar. 31, 2016
Segment Reporting [Abstract]  
Segment Information
Segment Information
 
The Company has two reportable operating segments, “Broadcast” and “Digital” that are disclosed separately from our corporate activities. The Broadcast segment includes 71 television stations that are either owned, operated or serviced by the Company in 48 U.S. markets, all of which are engaged principally in the sale of television advertising. The Digital segment includes the operating results of the digital companies (Federated Media and HYFN) as well as the business operations related to the television station companion websites. Unallocated corporate expenses primarily include costs to operate as a public company and to operate corporate locations.
 
The Company identifies operating segments based on how the chief operating decision maker (“CODM”) allocates resources, assesses performance and makes decisions. The CODM is the President, and Chief Executive Officer. The CODM evaluates performance and allocates resources based on operating income or loss for the Broadcast and Digital segments, excluding non-segment expenses.
 
 
 
Three Months Ended March 31,
(in thousands)
 
2016
 
2015
Revenues
 
 
 
 
Broadcast
 
$
305,593

 
$
266,484

Digital
 
37,870

 
30,250

Revenues
 
$
343,463

 
$
296,734


 
 
 
 
Three Months Ended March 31,
(in thousands)
 
2016
 
2015
Operating income
 
 
 
 
Broadcast
 
$
103,618

 
$
80,821

Digital
 
(1,685
)
 
(2,191
)
Segment operating income
 
101,933

 
78,630

Corporate and other expenses
 
(10,352
)
 
(12,651
)
Depreciation and amortization
 
(40,121
)
 
(40,283
)
Gain related to property and equipment, net
 
768

 
228

Merger-related expenses
 
(65,882
)
 
(5,277
)
Restructuring expenses
 
(3,982
)
 

Operating income (loss)
 
$
(17,636
)
 
$
20,647




v3.4.0.3
Variable Interest Entities
3 Months Ended
Mar. 31, 2016
Organization, Consolidation and Presentation of Financial Statements [Abstract]  
Variable Interest Entities
Variable Interest Entities
 
Certain of the Company's broadcast stations provide services to other station owners within the same market via Joint Sales Agreements ("JSA") and/or Shared Service Agreements ("SSA"). The Company has JSA and/or SSA agreements with 8 stations. Depending on the specific terms of these agreements, the Company may provide a variety of operational and administrative services, assume an obligation to reimburse certain expenses of the stations and guarantee certain external borrowings by the station parent companies (refer to Note 6 for guaranteed borrowings). The Company is compensated for these services through performance based and/or administrative fees. Under certain JSAs, the Company has an option to acquire the related station at any time, subject to FCC consent, until the expiration of the applicable JSA. The Company has determined that the stations with which it has JSAs and/or SSAs, and certain of their parent companies, are VIEs as a result of the terms of the agreements.

The Company is the primary beneficiary of the VIEs, because (a) subject to the ultimate control of the broadcast licensees, the Company has the power to direct the activities which significantly impact the economic performance of the VIEs through the services the Company provides and (b) the Company absorbs returns and losses which would be considered significant to the VIEs. Therefore, the financial results and financial position of these entities have been consolidated by the Company in accordance with the VIE accounting guidance.

The carrying amounts and classification of the assets and liabilities of the consolidated VIE entities described above, which have been included in the consolidated balance sheets as of March 31, 2016, and December 31, 2015, were as follows:
 
(In thousands)
March 31,
2016
 
December 31,
2015
Assets
 
 
 
Current assets
 
 
 
Cash and cash equivalents
$
3,554

 
$
3,693

Trade accounts receivable (less allowance for doubtful accounts 2016 - $89; 2015 - $94)
7,985

 
9,798

Prepaid expenses and other current assets
715

 
796

Total current assets
12,254

 
14,287

Property and equipment, net
1,937

 
1,904

Other assets, net
2,874

 
3,094

Definite lived intangible assets, net
31,479

 
32,244

Broadcast licenses
71,300

 
71,300

Goodwill
21,859

 
21,859

Total assets
$
141,703

 
$
144,688

Liabilities
 
 
 
Current liabilities
 
 
 
Trade accounts payable
$
13

 
$
16

Other accrued expenses and other current liabilities
1,974

 
2,221

Current installments of long-term debt
3,514

 
3,804

Total current liabilities
5,501

 
6,041

Long-term debt, net
23,285

 
24,062

Other liabilities
6,981

 
8,310

Total liabilities
$
35,767

 
$
38,413



The assets of the Company’s consolidated VIEs can only be used to settle the obligations of the VIEs and may not be sold, or otherwise disposed of, except for assets sold or replaced with others of like kind or value. At March 31, 2016, the Company has an option to acquire the assets or member's interest of the VIE entities that it may exercise if the FCC attribution rules change to permit the Company to acquire such interest. The option exercise price is of nominal value and significantly less than the carrying value of their tangible and intangible net assets. The options are carried at zero on the Company’s consolidated balance sheet, as any value attributable to the options is eliminated in the consolidation of the VIEs. In an order adopted in March 2014, the FCC concluded that JSAs should be “attributable” for purposes of the media ownership rules if they permit a television licensee to sell more than 15% of the commercial inventory of a television station owned by a third party in the same market. Pursuant to the Consolidated Appropriations Act of 2016, the Company will be required to modify or terminate its existing JSAs no later than September 30, 2025, unless they are able to obtain a waiver of such rules. Accordingly, absent further developments, or the grant of waivers, the Company continues to monitor regulatory developments and evaluate potential changes to its JSA and SSA arrangements.

v3.4.0.3
Debt and Other Financial Instruments
3 Months Ended
Mar. 31, 2016
Debt Disclosure [Abstract]  
Debt and Other Financial Instruments
Debt and Other Financial Instruments
 
Long-term debt at March 31, 2016, and December 31, 2015, was as follows:
 
(In thousands)
2016
 
2015
Media General Credit Agreement
$
1,541,000

 
$
1,541,000

2022 Notes
400,000

 
400,000

2021 Notes
275,000

 
275,000

Shield Media Credit Agreement
26,400

 
27,200

Other borrowings
659

 
950

Total debt
2,243,059

 
2,244,150

Less: net unamortized discount
(8,531
)
 
(8,992
)
Less: scheduled current maturities
(3,514
)
 
(3,804
)
Less: unamortized debt issuance fees
(30,671
)
 
(32,244
)
Long-term debt excluding current maturities
$
2,200,343

 
$
2,199,110


 
Media General Credit Agreement
 
In July 2013, the Company entered into a credit agreement with a syndicate of lenders to provide the Company with a term loan and access to a revolving credit facility. The funds borrowed under the credit agreement and subsequent amendments (together the "Credit Agreement") have been used by the Company to facilitate acquisitions and mergers. The term loan under the Credit Agreement matures in July 2020 and bears interest at LIBOR (with a floor of 1%) plus a margin of 3%.
 
There were no principal repayments on the term loan during the first quarter of 2016. The Company repaid $35 million of principal on the term loan during the three months ended March 31, 2015. The early repayment of debt resulted in debt extinguishment costs of $0.6 million during the three months ended March 31, 2015 due to the accelerated recognition of deferred debt-related items. As of March 31, 2016, there was $1.5 billion outstanding under the Credit Agreement.
 
The revolving credit facility under the Credit Agreement also includes revolving credit commitments of $150 million. The revolving credit facility matures in October 2019, bears an interest rate of LIBOR plus a margin of 2.50% and is subject to a 0.5% commitment fee per annum with respect to the undrawn portion of the facility. The Company has $146 million of availability under the revolving credit facility (giving effect to $4 million of letters of credit which have been issued but are undrawn).
 
Shield Media Credit Agreement
 
Shield Media LLC (and its subsidiary WXXA) and Shield Media Lansing LLC (and its subsidiary WLAJ) (collectively, “Shield Media”), companies that control subsidiaries with which the Company has joint sales and shared services arrangements for 2 stations as described in Note 3, entered into a new credit agreement with a syndicate of lenders, dated July 31, 2013. The term loans outstanding under this agreement mature in July 2018 and bear interest at LIBOR plus a margin of 3%. The Shield Media term loans are guaranteed by the Company and are secured by liens on substantially all of the assets of the Company, on a pari passu basis with the Credit Agreement. The Company repaid $0.8 million and $0.6 million of principal on the term loan during the three months ended March 31, 2016 and 2015, respectively.

2022 Notes
 
On November 5, 2014, the Company's predecessor, MGOC, Inc. ("Old Media General") completed the issuance of $400 million in aggregate principal amount of 5.875% Senior Unsecured Notes due in 2022 (the “2022 Notes”) in connection with the financing of the Old Media General's combination (the "LIN Merger") with LIN Media, LLC ("LIN Media"). The net proceeds from the offering of the 2022 Notes were used to repay certain indebtedness of LIN Media in connection with the LIN Merger, including the satisfaction and discharge of LIN Television’s $200 million aggregate principal amount of 8.375% Senior Notes due 2018 and the payment of related fees and expenses. The 2022 Notes were issued under an indenture, dated as of November 5, 2014 (the “2022 Notes Indenture”). Media General, as the direct parent of LIN Television, and certain of the wholly owned subsidiaries of LIN Television provide full and unconditional guarantees to the 2022 Notes, on a senior basis.


 
2021 Notes
 
LIN Television’s previously issued 6.375% Senior Notes due 2021 (the "2021 Notes") remained outstanding as of the consummation of the LIN Merger. Following the consummation of the LIN Merger, Media General, as the new direct parent of LIN Television, and certain of the wholly owned subsidiaries of LIN Television provide full and unconditional guarantees of the 2021 Notes, on a senior basis. The Company received an unsolicited offer and repaid $15 million of principal at an $800 thousand premium during the year ended December 31, 2015. No principal payments were made during the first quarter of 2016. As of March 31, 2016, the aggregate principal amount outstanding under the 2021 Notes was $275 million.
 
Fair Value
 
The following table includes information about the carrying values and estimated fair values of the Company’s financial instruments at March 31, 2016, and December 31, 2015:
 
 
March 31, 2016
 
December 31, 2015
 
Carrying
 
Fair
 
Carrying
 
Fair
(In thousands)
Amount
 
Value
 
Amount
 
Value
Assets:
 
 
 
 
 
 
 
Investments
 
 
 
 
 
 
 
Trading securities
$
274

 
$
274

 
$
257

 
$
257

Liabilities:
 
 
 
 
 
 
 
Long-term debt:
 
 
 
 
 
 
 
Media General Credit Agreement
1,508,934

 
1,545,471

 
1,507,182

 
1,529,229

2022 Notes
392,799

 
406,898

 
392,527

 
404,344

2021 Notes
275,324

 
302,502

 
275,340

 
288,228

Shield Media Credit Agreement
26,140

 
26,140

 
26,915

 
27,200

Other borrowings
659

 
659

 
950

 
950


 
Trading securities held by the Supplemental 401(k) Plan are carried at fair value and are determined by reference to quoted market prices.
 
The fair values of the 2021 and 2022 Notes were determined by reference to the most recent trading prices. The fair value of all other debt instruments were determined using discounted cash flow analysis' and an estimate of the current borrowing rate.
 
Under the fair value hierarchy, the Company’s trading securities fall under Level 1 (quoted prices in active markets), the 2021 and 2022 Notes fall under Level 2 (other observable inputs) and the Media General Credit Agreement, Shield Media Credit Agreement and Other Borrowings fall under Level 3 (unobservable inputs).

v3.4.0.3
Taxes on Income
3 Months Ended
Mar. 31, 2016
Income Tax Disclosure [Abstract]  
Taxes on Income
Taxes on Income
 
The effective tax benefit was 44.2% in the first quarter of 2016 as compared to 41.0% in the first quarter of 2015. The higher tax benefit is due primarily to a discrete tax benefit recorded in the first quarter of 2016 related to failed merger-related expenses recorded in the prior year.  In 2016 the Company adopted Approach I as defined under ASC 740 with respect to merger-related expenses and has provided tax benefit on “sell-side” merger expenses until the proposed transaction is finalized.  Ultimately, some of these expenses may be non-deductible. The tax expense in both years was predominantly non-cash due to the Company’s significant net operating loss carryover.  Current tax expense was approximately $0.9 million and $0.2 million for the first quarters of 2016 and 2015, respectively; it was attributable primarily to state income taxes.

v3.4.0.3
Earnings Per Share
3 Months Ended
Mar. 31, 2016
Earnings Per Share [Abstract]  
Earnings Per Share
Earnings Per Share
 
The following table sets forth the computation of basic and diluted income per share for the three months ended March 31, 2016, and 2015:
 
 
 
Three Months Ended March 31, 2016
 
Three Months Ended March 31, 2015
(In thousands, except
Income
 
Shares
 
Per Share
 
Income
 
Shares
 
Per Share
per share amounts)
(Numerator)
 
(Denominator)
 
Amount
 
(Numerator)
 
(Denominator)
 
Amount
Net income (loss) attributable to Media General
$
(26,190
)
 
 

 
 

 
$
(7,433
)
 
 

 
 

 
 
 
 
 
 
 
 
 
 
 
 
Undistributed earnings attributable to participating securities

 
 

 
 

 

 
 

 
 

 
 
 
 
 
 
 
 
 
 
 
 
Basic EPS
 
 
 
 
 
 
 
 
 
 
 
Income (loss) attributable to common stockholders
$
(26,190
)
 
128,595

 
$
(0.20
)
 
$
(7,433
)
 
129,384

 
$
(0.06
)
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
Effect of dilutive securities:
 
 
 
 
 
 
 
 
 
 
 
Stock options and warrants
 

 

 
 

 
 

 

 
 

 
 
 
 
 
 
 
 
 
 
 
 
Diluted EPS
 
 
 
 
 
 
 
 
 
 
 
Income (loss) attributable to common stockholders
$
(26,190
)
 
128,595

 
$
(0.20
)
 
$
(7,433
)
 
129,384

 
$
(0.06
)


We have excluded 1.2 million and 1.1 million of common shares issuable for share options and restricted shares from the calculation of diluted earnings per share for the three months ended March 31, 2016 and 2015, respectively, because the net loss causes these shares to be anti-dilutive.

v3.4.0.3
Retirement and Postretirement Plans
3 Months Ended
Mar. 31, 2016
Compensation and Retirement Disclosure [Abstract]  
Retirement and Postretirement Plans
Retirement and Postretirement Plans
 
The Company has a funded, qualified non-contributory defined benefit retirement plan which covers substantially all Legacy Media General employees hired before 2007 along with defined benefit retirement plans for KRON-TV and LIN that were merged into the Media General qualified plan on December 31, 2014 and December 31, 2015, respectively. Additionally the Company has a non-contributory unfunded supplemental executive retirement and ERISA excess plans which supplement the coverage available to certain executives. All of these retirement plans are frozen. The Company also has a retiree medical savings account plan which reimburses eligible retired employees for certain medical expenses and an unfunded plan that provides certain health and life insurance benefits to retired employees who were hired prior to 1992.

     The following tables provide the components of net periodic benefit cost (income) for the Company’s benefit plans for the first quarters of 2016 and 2015:


 
Three Months Ended
 
Pension Benefits
 
Other Benefits
(In thousands)
March 31,
2016
 
March 31,
2015
 
March 31,
2016
 
March 31,
2015
Service cost
$

 
$

 
$

 
$
10

Interest cost
4,650

 
7,400

 
200

 
110

Expected return on plan assets
(6,950
)
 
(9,981
)
 

 

Amortization of net loss

 
258

 
(25
)
 

Net periodic benefit (income) cost
$
(2,300
)
 
$
(2,323
)
 
$
175

 
$
120


v3.4.0.3
Stockholders' Equity
3 Months Ended
Mar. 31, 2016
Equity [Abstract]  
Stockholders' Equity
Stockholders’ Equity
 
The following table shows the components of the Company’s stockholders’ equity as of and for the three months ended March 31, 2016:
 
 
 
 
 
 
Accumulated
 
 
 
 
 
 
 
 
 
Other
 
 
 
Total
 
Common Stock
 
Comprehensive
 
Retained
 
Stockholders'
(In thousands)
Voting
 
Non-Voting
 
Loss
 
Earnings
 
Equity
Balance at December 31, 2015
$
1,305,155

 
$

 
$
(31,224
)
 
$
174,039

 
$
1,447,970

Net loss attributable to Media General


 

 

 
(26,190
)
 
(26,190
)
Exercise of stock options
1,408

 

 

 

 
1,408

Stock-based compensation
2,078

 

 

 

 
2,078

Revaluation of redeemable noncontrolling interest
(12,094
)
 

 

 
(447
)
 
(12,541
)
Other
332

 

 

 

 
332

Balance at March 31, 2016
$
1,296,879

 
$

 
$
(31,224
)
 
$
147,402

 
$
1,413,057


The following table shows the components of the Company’s stockholders’ equity as of and for the three months ended March 31, 2015:

 
 
 
 
 
Accumulated
 
 
 
 
 
 
 
 
 
Other
 
 
 
Total
 
Common Stock
 
Comprehensive
 
Retained
 
Stockholders'
(In thousands)
Voting
 
Non-Voting
 
Income
 
Earnings
 
Equity
Balance at December 31, 2014
$
1,322,284

 
$

 
$
(36,445
)
 
$
214,582

 
$
1,500,421

Net income attributable to Media General

 

 

 
(7,433
)
 
(7,433
)
Exercise of stock options
1,034

 

 

 

 
1,034

Stock-based compensation
3,010

 

 

 

 
3,010

Revaluation of redeemable noncontrolling interest

 

 

 
(586
)
 
(586
)
Other
(633
)
 

 

 

 
(633
)
Balance at March 31, 2015
$
1,325,695

 
$

 
$
(36,445
)
 
$
206,563

 
$
1,495,813


v3.4.0.3
Other
3 Months Ended
Mar. 31, 2016
Other Income and Expenses [Abstract]  
Other
Other
 
Restructuring activities

In the first quarter of 2016, the Company took additional steps under a plan to restructure certain digital segment operations that began in September 2015. The plan is expected to save the Company approximately $14.7 million in operating costs annually based on the steps completed since plan inception. The Company recorded restructuring expense of $2.5 million related to the plan during the first quarter ended March 31, 2016 comprised of $1.8 million of severance and $630 thousand of lease termination charges.

On October 16, 2009, Media General entered into a Joint Sales Agreement (“JSA”) and Shared Services Agreement (“SSA”) with Schurz Communications, Inc and WAGT Television, Inc.   Pursuant to the JSA and SSA, Media General provided certain services and sold advertising time for WAGT. In February 2016, Schurz Communications, Inc. sold WAGT to Gray Television Group, Inc., ("Gray") and assigned the JSA and SSA to Gray. However, upon the closing of the station sale, WAGT ceased performance of the agreements. For the first quarter ending March 31, 2016, the Company recorded a restructuring charge of $1.5 million for WAGT. As of March 31, 2016, Media General is still pursing legal causes of action against Gray, and Schurz Communications, Inc. and WAGT Television, Inc., including but not limited to, causes of action for breach of contract.

The following tables present the activity associated with the March 31, 2016 balance of the restructuring liability and the nature and amount of exit charges incurred in the three months ended March 31, 2016:

 
As of March 31, 2016
(In thousands)
Digital
WAGT
Total
Accrued restructuring as of December 31, 2015
$
1,312

$

$
1,312

Severance charges
1,826

538
2,364

Contract termination charges
630

172
802

Cash severance payments
(1,594
)

(1,594
)
Accrued restructuring as of March 31, 2016
$
2,174

$
710

$
2,884





 
 
 
 
 


Three months ended March 31, 2016
(In thousands)
Digital
WAGT
Total
Severance charges
$
1,826

$
538

$
2,364

Contract termination charges
630

172
802

Asset impairment

282
282

Legal fees

477
477

Other

57
57
Total restructuring expense
$
2,456

$
1,526

$
3,982



Subsequent Event

In April 2016, the Company acquired the remaining shares of HYFN, a full service digital advertising agency for a purchase price of approximately $35 million plus one-time compensation expense of $7 million related to the transaction for a total cash outflow of $42 million. Prior to the transaction, the Company held 50.1% of the outstanding shares of HYFN. For the first quarter ended March 31, 2016, the Company increased the value of noncontrolling interest in HYFN by $12.1 million.

v3.4.0.3
Guarantor Financial Information
3 Months Ended
Mar. 31, 2016
Condensed Financial Statements Guarantor Financials [Abstract]  
Guarantor Financial Information
Guarantor Financial Information
 
LIN Television, a 100% owned subsidiary of Media General, is the primary obligor of the 2021 Notes and 2022 Notes. Media General fully and unconditionally guarantees all of LIN Television’s obligations under the 2021 Notes and the 2022 Notes on a joint and several basis. Additionally, all of the consolidated 100% owned subsidiaries of LIN Television fully and unconditionally guarantee LIN Television’s obligations under the 2021 Notes and 2022 Notes on a joint and several basis. There are certain limitations in the ability of the subsidiaries to pay dividends to Media General. The following financial information presents condensed consolidating balance sheets, statements of operations, and statements of cash flows for Media General, LIN Television (as the issuer), the Guarantor Subsidiaries, and the Non-Guarantor Subsidiaries, together with certain eliminations.
Media General, Inc.
Condensed Consolidating Balance Sheet
March 31, 2016
(in thousands)
 
Media General
 
LIN Television Corporation
 
Guarantor Subsidiaries
 
Non-Guarantor Subsidiaries
 
Eliminations
 
Consolidated
ASSETS
 
 
 
 
 
 
 
 
 
 
 
Current assets:
 
 
 
 
 
 
 
 
 
 
 
Cash and cash equivalents
$

 
$

 
$
29,512

 
$
4,081

 
$

 
$
33,593

Trade accounts receivable, net

 
77,599

 
183,913

 
30,377

 

 
291,889

Prepaid expenses and other current assets

 
2,743

 
13,144

 
1,500

 

 
17,387

Total current assets

 
80,342

 
226,569

 
35,958

 

 
342,869

Property and equipment, net

 
153,261

 
301,380

 
2,777

 

 
457,418

Other assets, net

 
727

 
29,038

 
3,145

 

 
32,910

Definite lived intangible assets, net

 
359,722

 
445,675

 
44,442

 

 
849,839

Broadcast licenses

 

 
1,025,800

 
71,300

 

 
1,097,100

Goodwill

 
527,077

 
924,708

 
92,839

 

 
1,544,624

Advances to consolidated subsidiaries

 
(237,643
)
 
254,351

 
(16,708
)
 

 

Investment in consolidated subsidiaries
1,413,057

 
1,296,899

 

 

 
(2,709,956
)
 

Total assets
$
1,413,057

 
$
2,180,385

 
$
3,207,521

 
$
233,753

 
$
(2,709,956
)
 
$
4,324,760

 
 
 
 
 
 
 
 
 
 
 
 
LIABILITIES AND STOCKHOLDER'S EQUITY (DEFICIT)
 
 
 
 
 
 
 
 
Current liabilities:
 
 
 
 
 
 
 
 
 
 
 
Trade accounts payable
$

 
$
399

 
$
16,459

 
$
2,996

 
$

 
$
19,854

Accrued salaries and wages

 
3,850

 
16,709

 
570

 

 
21,129

Accrued expenses and other current liabilities

 
22,291

 
80,050

 
5,769

 

 
108,110

Current installments of long-term debt

 

 

 
3,514

 

 
3,514

Current installments of obligation under capital leases

 
575

 
246

 
20

 

 
841

Total current liabilities

 
27,115

 
113,464

 
12,869

 

 
153,448

Long-term debt, net

 
668,122

 
1,508,935

 
23,286

 

 
2,200,343

Deferred tax liability and other long-term tax liabilities

 
58,015

 
237,358

 
(1,400
)
 

 
293,973

Long-term capital lease obligations

 
12,811

 
999

 

 

 
13,810

Retirement and postretirement plans

 

 
179,377

 

 

 
179,377

Other liabilities

 
1,265

 
27,056

 
4,966

 

 
33,287

Total liabilities

 
767,328

 
2,067,189

 
39,721

 

 
2,874,238

 
 
 
 
 
 
 
 
 
 
 
 
Noncontrolling interests

 

 

 
37,465

 

 
37,465

 
 
 
 
 
 
 
 
 
 
 
 
Total stockholders (deficit) equity
1,413,057

 
1,413,057

 
1,140,332

 
156,567

 
(2,709,956
)
 
1,413,057

Total liabilities, noncontrolling interest and stockholders' equity (deficit)
$
1,413,057

 
$
2,180,385

 
$
3,207,521

 
$
233,753

 
$
(2,709,956
)
 
$
4,324,760


Media General, Inc.
Condensed Consolidating Balance Sheet
December 31, 2015
(in thousands)
 
Media General
 
LIN Television Corporation
 
Guarantor Subsidiaries
 
Non-Guarantor Subsidiaries
 
Eliminations
 
Consolidated
ASSETS
 
 
 
 
 
 
 
 
 
 
 
Current assets:
 
 
 
 
 
 
 
 
 
 
 
Cash and cash equivalents
$

 
$
1,103

 
$
35,925

 
$
4,063

 
$

 
$
41,091

Trade accounts receivable, net

 
75,866

 
192,306

 
30,302

 

 
298,474

Prepaid expenses and other current assets

 
3,264

 
10,441

 
1,378

 

 
15,083

Total current assets

 
80,233

 
238,672

 
35,743

 

 
354,648

Property and equipment, net

 
158,627

 
309,160

 
2,750

 

 
470,537

Other assets, net

 
7,199

 
27,523

 
3,348

 

 
38,070

Definite lived intangible assets, net

 
368,011

 
458,261

 
44,857

 

 
871,129

Broadcast licenses

 

 
1,025,800

 
71,300

 

 
1,097,100

Goodwill

 
527,077

 
924,708

 
92,839

 

 
1,544,624

Advances to consolidated subsidiaries

 
(206,396
)
 
223,051

 
(16,655
)
 


 

Investment in consolidated subsidiaries
1,447,970

 
1,319,392

 

 

 
(2,767,362
)
 

Total assets
$
1,447,970

 
$
2,254,143

 
$
3,207,175

 
$
234,182

 
$
(2,767,362
)
 
$
4,376,108

 
 
 
 
 
 
 
 
 
 
 
 
LIABILITIES AND STOCKHOLDER'S EQUITY (DEFICIT)
 
 
 
 
 
 
 
 
Current liabilities:
 
 
 
 
 
 
 
 
 
 
 
Trade accounts payable
$

 
$
2,010

 
$
30,689

 
$
3,101

 
$

 
$
35,800

Accrued salaries and wages

 
2,022

 
19,016

 
427

 

 
21,465

Accrued expenses and other current liabilities

 
23,237

 
68,101

 
4,162

 

 
95,500

Current installments of long-term debt

 

 

 
3,804

 

 
3,804

Current installments of obligation under capital leases

 
575

 
256

 
28

 

 
859

Total current liabilities

 
27,844

 
118,062

 
11,522

 

 
157,428

Long-term debt, net

 
667,867

 
1,507,181

 
24,062

 

 
2,199,110

Deferred tax liability and other long-term tax liabilities

 
62,785

 
253,232

 
(783
)
 

 
315,234

Long-term capital lease obligations

 
12,953

 
1,059

 

 

 
14,012

Retirement and postretirement plans

 
25,917

 
157,070

 

 

 
182,987

Other liabilities

 
8,807

 
20,999

 
5,114

 

 
34,920

Total liabilities

 
806,173

 
2,057,603

 
39,915

 

 
2,903,691

 
 
 
 
 
 
 
 
 
 
 
 
Noncontrolling interests

 

 

 
24,447

 

 
24,447

 
 
 
 
 
 
 
 
 
 
 
 
Total stockholders (deficit) equity
1,447,970

 
1,447,970

 
1,149,572

 
169,820

 
(2,767,362
)
 
1,447,970

Total liabilities, noncontrolling interest and stockholders' equity (deficit)
$
1,447,970

 
$
2,254,143

 
$
3,207,175

 
$
234,182

 
$
(2,767,362
)
 
$
4,376,108

Media General, Inc.
Condensed Consolidated Statement of Comprehensive Income
For the Three Months Ended March 31, 2016
(in thousands)
 
Media General
 
LIN Television Corporation
 
Guarantor Subsidiaries
 
Non-Guarantor Subsidiaries
 
Eliminations
 
Consolidated
Net operating revenue
$

 
$
99,091

 
$
235,157

 
$
17,855

 
$
(8,640
)
 
$
343,463

 
 
 
 
 
 
 
 
 
 
 
 
Operating costs:
 
 
 
 
 
 
 
 
 
 
 
Operating expenses, excluding depreciation expense

 
42,160

 
100,634

 
13,447

 
(5,098
)
 
151,143

Selling, general and administrative expenses

 
22,693

 
53,541

 
2,252

 
(165
)
 
78,321

Amortization of program licenses rights

 
4,480

 
7,574

 
513

 
(501
)
 
12,066

Corporate and other expenses

 

 
10,350

 
2

 

 
10,352

Depreciation and amortization

 
14,399

 
23,948

 
1,774

 

 
40,121

(Gain) loss related to property and equipment, net

 
(7
)
 
(833
)
 
72

 

 
(768
)
Merger-related expenses

 

 
65,882

 

 

 
65,882

Restructuring expenses

 

 
3,982

 

 

 
3,982

Operating income (loss)

 
15,366

 
(29,921
)
 
(205
)
 
(2,876
)
 
(17,636
)
 
 
 
 
 
 
 
 
 
 
 
 
Other income (expense):
 
 
 
 
 
 
 
 
 
 
 
Interest expense, net

 
(10,694
)
 
(17,586
)
 
(276
)
 

 
(28,556
)
Intercompany income and (expenses)

 
(10,107
)
 
10,451

 
(344
)
 

 

Equity in income (loss) from operations of consolidated subsidiaries
(26,190
)
 
(15,958
)
 

 

 
42,148

 

Other, net

 

 
74

 

 

 
74

Total other income (expense)
(26,190
)
 
(36,759
)
 
(7,061
)
 
(620
)
 
42,148

 
(28,482
)
 
 
 
 
 
 
 
 
 
 
 
 
Income (loss) before income taxes
(26,190
)
 
(21,393
)
 
(36,982
)
 
(825
)
 
39,272

 
(46,118
)
Income tax benefit (expense)

 
(4,797
)
 
24,584

 
618

 

 
20,405

Net income (loss)
$
(26,190
)
 
$
(26,190
)
 
$
(12,398
)
 
$
(207
)
 
$
39,272

 
$
(25,713
)
 
 
 
 
 
 
 
 
 
 
 
 
Net income (loss) attributable to noncontrolling interest

 

 

 
477

 

 
477

Net income (loss) attributable to Media General
$
(26,190
)
 
$
(26,190
)
 
$
(12,398
)
 
$
(684
)
 
$
39,272

 
$
(26,190
)
 
 
 
 
 
 
 
 
 
 
 
 
Other comprehensive income

 

 

 

 

 

Total comprehensive income (loss) attributable to Media General
$
(26,190
)
 
$
(26,190
)
 
$
(12,398
)
 
$
(684
)
 
$
39,272

 
$
(26,190
)



Media General, Inc.
Condensed Consolidating Statement of Comprehensive Income
For the Three Months Ended March 31, 2015
(in thousands)
 
Media General
 
LIN Television Corporation
 
Guarantor Subsidiaries
 
Non-Guarantor Subsidiaries
 
Eliminations
 
Media General Consolidated
Net operating revenue
$

 
$
88,218

 
$
199,730

 
$
13,742

 
$
(4,956
)
 
$
296,734

Operating costs:
 
 
 
 
 
 
 
 
 
 
 
Operating expenses, excluding depreciation expense

 
37,599

 
83,759

 
7,542

 
(3,024
)
 
125,876

Selling, general and administrative expenses

 
23,524

 
53,218

 
4,137

 
(409
)
 
80,470

Amortization of program license rights

 
4,178

 
7,101

 
479

 

 
11,758

Corporate and other expenses

 
3,201

 
9,458

 
(8
)
 

 
12,651

Depreciation and amortization

 
14,136

 
24,672

 
1,475

 

 
40,283

Gain related to property and equipment, net

 
(36
)
 
(192
)
 

 

 
(228
)
Merger-related expenses

 
1,374

 
3,903

 

 

 
5,277

Restructuring expenses

 

 

 

 

 

Operating income (loss)

 
4,242

 
17,811

 
117

 
(1,523
)
 
20,647

 
 
 
 
 
 
 
 
 
 
 
 
Other income (expense)
 

 
 

 
 
 
 
 
 
 
 
Interest expense
(1
)
 
(10,650
)
 
(20,087
)
 
(285
)
 

 
(31,023
)
Debt modification and extinguishment costs

 

 
(613
)
 

 

 
(613
)
Intercompany income and (expenses)

 
(5,535
)

5,767

 
(232
)
 

 

Equity in income (loss) from operations of consolidated subsidiaries
(7,432
)
 
(434
)
 

 

 
7,866

 

Other, net

 
82

 
708

 
2,500

 

 
3,290

Total other income (expense)
(7,433
)
 
(16,537
)
 
(14,225
)
 
1,983

 
7,866

 
(28,346
)
 
 
 
 
 
 
 
 
 
 
 
 
Income (loss) before income taxes
(7,433
)
 
(12,295
)
 
3,586

 
2,100

 
6,343

 
(7,699
)
Income tax benefit (expense)

 
4,863

 
(2,274
)
 
568

 

 
3,157

Net income (loss)
$
(7,433
)
 
$
(7,432
)
 
$
1,312

 
$
2,668

 
$
6,343

 
$
(4,542
)
 
 
 
 
 
 
 
 
 
 
 
 
Net income (loss) attributable to noncontrolling interests

 

 
(178
)
 
3,069

 

 
2,891

Net income (loss) attributable to Media General
$
(7,433
)
 
$
(7,432
)
 
$
1,490

 
$
(401
)
 
$
6,343

 
$
(7,433
)
 
 
 
 
 
 
 
 
 
 
 
 
Other comprehensive income

 

 

 

 

 

Total comprehensive income (loss) attributable to Media General
$
(7,433
)
 
$
(7,432
)
 
$
1,490

 
$
(401
)
 
$
6,343

 
$
(7,433
)
Media General, Inc.
Condensed Consolidating Statement of Cash Flows
Year to date through March 31, 2016
(in thousands)
 
 
Media General
 
LIN Television Corporation
 
Guarantor Subsidiaries
 
Non-Guarantor Subsidiaries
 
Eliminations
 
Media General Consolidated
Cash flows from operating activities:
 
 
 
 
 
 
 
 
 
 
 
Net cash used by operating activities
$

 
$
(4,065
)
 
$
(596
)
 
$
(138
)
 
$

 
$
(4,799
)
 
 
 
 
 
 
 
 
 
 
 
 
Cash flows from investing activities:
 
 
 
 
 
 
 
 
 
 
 
Capital expenditures

 
(1,716
)
 
(3,649
)
 
(1,398
)
 

 
(6,763
)
Proceeds from the sale of PP&E

 
29

 
3,947

 

 

 
3,976

Receipt of dividend

 
19,502

 

 

 
(19,502
)
 

Advances on intercompany borrowings

 
(2,644
)
 

 

 
2,644

 

Payments from intercompany borrowings

 

 
12,060

 

 
(12,060
)
 

Other, net

 

 
(10
)
 

 

 
(10
)
Net cash provided (used) by investing activities

 
15,171

 
12,348

 
(1,398
)
 
(28,918
)
 
(2,797
)
 
 
 
 
 
 
 
 
 
 
 
 
Cash flows from financing activities:
 
 
 
 
 
 
 
 
 
 
 
Borrowings under Media General Revolving Credit Facility

 

 
30,000

 

 

 
30,000

Repayments under Media General Revolving Credit Facility

 

 
(30,000
)
 

 

 
(30,000
)
Repayment of borrowings under Shield Media Credit Agreement

 

 

 
(800
)
 

 
(800
)
Repayment of other borrowings

 

 

 
(290
)
 

 
(290
)
Payment of dividend

 

 
(19,502
)
 

 
19,502

 

Proceeds from intercompany borrowings

 

 

 
2,644

 
(2,644
)
 

Payments on intercompany borrowing

 
(12,060
)
 

 

 
12,060

 

Exercise of stock options

 

 
1,408

 

 

 
1,408

Other, net

 
(149
)
 
(71
)
 

 

 
(220
)
Net cash provided (used) by financing activities

 
(12,209
)
 
(18,165
)
 
1,554

 
28,918

 
98

 
 
 
 
 
 
 
 
 
 
 
 
Net (decrease) increase in cash and cash equivalents

 
(1,103
)
 
(6,413
)
 
18

 

 
(7,498
)
Cash and cash equivalents at beginning of period

 
1,103

 
35,925

 
4,063

 

 
41,091

Cash and cash equivalents at end of period
$

 
$

 
$
29,512

 
$
4,081

 
$

 
$
33,593


Media General, Inc.
Condensed Consolidating Statement of Cash Flows
Year to date through March 31, 2015
(in thousands)
 
 
Media General
 
LIN Television Corporation
 
Guarantor Subsidiaries
 
Non-Guarantor Subsidiaries
 
Eliminations
 
Media General Consolidated
Cash flows from operating activities:
 
 
 
 
 
 
 
 
 
 
 
Net cash provided (used) by operating activities
$
(1,402
)
 
$
12,021

 
$
42,361

 
$
3,439

 
$

 
$
56,419

 
 
 
 
 
 
 
 
 
 
 
 
Cash flows from investing activities:
 
 
 
 
 
 
 
 
 
 
 
Capital expenditures

 
(2,314
)
 
(4,288
)
 
(607
)
 

 
(7,209
)
Proceeds from sale the of PP&E

 
36

 
226

 

 

 
262

Proceeds from spectrum sale

 

 
620

 

 

 
620

Receipt of dividend

 
19,502

 

 

 
(19,502
)
 

Payments from intercompany borrowings
2,025

 

 
12,073

 

 
(14,098
)
 

Payment of capital contributions
(3,011
)
 

 

 

 
3,011

 

Other, net

 

 

 
(5
)
 

 
(5
)
Net cash provided (used) by investing activities
(986
)
 
17,224

 
8,631

 
(612
)
 
(30,589
)
 
(6,332
)
 
 
 
 
 
 
 
 
 
 
 
 
Cash flows from financing activities:
 
 
 
 
 
 
 
 
 
 
 
Repayment of borrowings under Media General Credit Agreement

 

 
(35,000
)
 

 

 
(35,000
)
Repayment of borrowings under Shield Media Credit Agreement

 

 

 
(600
)
 

 
(600
)
Repayment of other borrowings

 

 

 
(290
)
 

 
(290
)
Payment of dividend

 

 
(19,502
)
 

 
19,502

 

Payments on intercompany borrowing

 
(14,098
)
 

 

 
14,098

 

Receipt of capital contributions

 
3,011

 

 

 
(3,011
)
 

Exercise of stock options

 

 
958

 

 

 
958

Other, net

 

 
(777
)
 
13

 

 
(764
)
Net cash (used) provided by financing activities

 
(11,087
)
 
(54,321
)
 
(877
)
 
30,589

 
(35,696
)
 
 
 
 
 
 
 
 
 
 
 
 
Net (decrease) increase in cash and cash equivalents
(2,388
)
 
18,158

 
(3,329
)
 
1,950

 

 
14,391

Cash and cash equivalents at beginning of period
2,388

 
9,658

 
27,371

 
4,503

 

 
43,920

Cash and cash equivalents at end of period
$

 
$
27,816

 
$
24,042

 
$
6,453

 
$

 
$
58,311


v3.4.0.3
Segment Information (Tables)
3 Months Ended
Mar. 31, 2016
Segment Reporting [Abstract]  
Reconciliation of Revenue from Segments to Consolidated
 
 
Three Months Ended March 31,
(in thousands)
 
2016
 
2015
Revenues
 
 
 
 
Broadcast
 
$
305,593

 
$
266,484

Digital
 
37,870

 
30,250

Revenues
 
$
343,463

 
$
296,734

Reconciliation of Operating Profit (Loss) from Segments to Consolidated
 
 
Three Months Ended March 31,
(in thousands)
 
2016
 
2015
Operating income
 
 
 
 
Broadcast
 
$
103,618

 
$
80,821

Digital
 
(1,685
)
 
(2,191
)
Segment operating income
 
101,933

 
78,630

Corporate and other expenses
 
(10,352
)
 
(12,651
)
Depreciation and amortization
 
(40,121
)
 
(40,283
)
Gain related to property and equipment, net
 
768

 
228

Merger-related expenses
 
(65,882
)
 
(5,277
)
Restructuring expenses
 
(3,982
)
 

Operating income (loss)
 
$
(17,636
)
 
$
20,647


v3.4.0.3
Variable Interest Entities (Tables)
3 Months Ended
Mar. 31, 2016
Organization, Consolidation and Presentation of Financial Statements [Abstract]  
Schedule of Variable Interest Entities
The carrying amounts and classification of the assets and liabilities of the consolidated VIE entities described above, which have been included in the consolidated balance sheets as of March 31, 2016, and December 31, 2015, were as follows:
 
(In thousands)
March 31,
2016
 
December 31,
2015
Assets
 
 
 
Current assets
 
 
 
Cash and cash equivalents
$
3,554

 
$
3,693

Trade accounts receivable (less allowance for doubtful accounts 2016 - $89; 2015 - $94)
7,985

 
9,798

Prepaid expenses and other current assets
715

 
796

Total current assets
12,254

 
14,287

Property and equipment, net
1,937

 
1,904

Other assets, net
2,874

 
3,094

Definite lived intangible assets, net
31,479

 
32,244

Broadcast licenses
71,300

 
71,300

Goodwill
21,859

 
21,859

Total assets
$
141,703

 
$
144,688

Liabilities
 
 
 
Current liabilities
 
 
 
Trade accounts payable
$
13

 
$
16

Other accrued expenses and other current liabilities
1,974

 
2,221

Current installments of long-term debt
3,514

 
3,804

Total current liabilities
5,501

 
6,041

Long-term debt, net
23,285

 
24,062

Other liabilities
6,981

 
8,310

Total liabilities
$
35,767

 
$
38,413


v3.4.0.3
Debt and Other Financial Instruments (Tables)
3 Months Ended
Mar. 31, 2016
Debt Disclosure [Abstract]  
Schedule of Debt
Long-term debt at March 31, 2016, and December 31, 2015, was as follows:
 
(In thousands)
2016
 
2015
Media General Credit Agreement
$
1,541,000

 
$
1,541,000

2022 Notes
400,000

 
400,000

2021 Notes
275,000

 
275,000

Shield Media Credit Agreement
26,400

 
27,200

Other borrowings
659

 
950

Total debt
2,243,059

 
2,244,150

Less: net unamortized discount
(8,531
)
 
(8,992
)
Less: scheduled current maturities
(3,514
)
 
(3,804
)
Less: unamortized debt issuance fees
(30,671
)
 
(32,244
)
Long-term debt excluding current maturities
$
2,200,343

 
$
2,199,110

Schedule of Carrying Values and Estimated Fair Values of Debt Instruments
The following table includes information about the carrying values and estimated fair values of the Company’s financial instruments at March 31, 2016, and December 31, 2015:
 
 
March 31, 2016
 
December 31, 2015
 
Carrying
 
Fair
 
Carrying
 
Fair
(In thousands)
Amount
 
Value
 
Amount
 
Value
Assets:
 
 
 
 
 
 
 
Investments
 
 
 
 
 
 
 
Trading securities
$
274

 
$
274

 
$
257

 
$
257

Liabilities:
 
 
 
 
 
 
 
Long-term debt:
 
 
 
 
 
 
 
Media General Credit Agreement
1,508,934

 
1,545,471

 
1,507,182

 
1,529,229

2022 Notes
392,799

 
406,898

 
392,527

 
404,344

2021 Notes
275,324

 
302,502

 
275,340

 
288,228

Shield Media Credit Agreement
26,140

 
26,140

 
26,915

 
27,200

Other borrowings
659

 
659

 
950

 
950


v3.4.0.3
Earnings Per Share (Tables)
3 Months Ended
Mar. 31, 2016
Earnings Per Share [Abstract]  
Schedule of Earnings Per Share, Basic and Diluted
The following table sets forth the computation of basic and diluted income per share for the three months ended March 31, 2016, and 2015:
 
 
 
Three Months Ended March 31, 2016
 
Three Months Ended March 31, 2015
(In thousands, except
Income
 
Shares
 
Per Share
 
Income
 
Shares
 
Per Share
per share amounts)
(Numerator)
 
(Denominator)
 
Amount
 
(Numerator)
 
(Denominator)
 
Amount
Net income (loss) attributable to Media General
$
(26,190
)
 
 

 
 

 
$
(7,433
)
 
 

 
 

 
 
 
 
 
 
 
 
 
 
 
 
Undistributed earnings attributable to participating securities

 
 

 
 

 

 
 

 
 

 
 
 
 
 
 
 
 
 
 
 
 
Basic EPS
 
 
 
 
 
 
 
 
 
 
 
Income (loss) attributable to common stockholders
$
(26,190
)
 
128,595

 
$
(0.20
)
 
$
(7,433
)
 
129,384

 
$
(0.06
)
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
Effect of dilutive securities:
 
 
 
 
 
 
 
 
 
 
 
Stock options and warrants
 

 

 
 

 
 

 

 
 

 
 
 
 
 
 
 
 
 
 
 
 
Diluted EPS
 
 
 
 
 
 
 
 
 
 
 
Income (loss) attributable to common stockholders
$
(26,190
)
 
128,595

 
$
(0.20
)
 
$
(7,433
)
 
129,384

 
$
(0.06
)

v3.4.0.3
Retirement and Postretirement Plans (Tables)
3 Months Ended
Mar. 31, 2016
Compensation and Retirement Disclosure [Abstract]  
Schedule of Net Benefit Costs
The following tables provide the components of net periodic benefit cost (income) for the Company’s benefit plans for the first quarters of 2016 and 2015:


 
Three Months Ended
 
Pension Benefits
 
Other Benefits
(In thousands)
March 31,
2016
 
March 31,
2015
 
March 31,
2016
 
March 31,
2015
Service cost
$

 
$

 
$

 
$
10

Interest cost
4,650

 
7,400

 
200

 
110

Expected return on plan assets
(6,950
)
 
(9,981
)
 

 

Amortization of net loss

 
258

 
(25
)
 

Net periodic benefit (income) cost
$
(2,300
)
 
$
(2,323
)
 
$
175

 
$
120


v3.4.0.3
Stockholders' Equity (Tables)
3 Months Ended
Mar. 31, 2016
Equity [Abstract]  
Schedule of Stockholders Equity
The following table shows the components of the Company’s stockholders’ equity as of and for the three months ended March 31, 2016:
 
 
 
 
 
 
Accumulated
 
 
 
 
 
 
 
 
 
Other
 
 
 
Total
 
Common Stock
 
Comprehensive
 
Retained
 
Stockholders'
(In thousands)
Voting
 
Non-Voting
 
Loss
 
Earnings
 
Equity
Balance at December 31, 2015
$
1,305,155

 
$

 
$
(31,224
)
 
$
174,039

 
$
1,447,970

Net loss attributable to Media General


 

 

 
(26,190
)
 
(26,190
)
Exercise of stock options
1,408

 

 

 

 
1,408

Stock-based compensation
2,078

 

 

 

 
2,078

Revaluation of redeemable noncontrolling interest
(12,094
)
 

 

 
(447
)
 
(12,541
)
Other
332

 

 

 

 
332

Balance at March 31, 2016
$
1,296,879

 
$

 
$
(31,224
)
 
$
147,402

 
$
1,413,057


The following table shows the components of the Company’s stockholders’ equity as of and for the three months ended March 31, 2015:

 
 
 
 
 
Accumulated
 
 
 
 
 
 
 
 
 
Other
 
 
 
Total
 
Common Stock
 
Comprehensive
 
Retained
 
Stockholders'
(In thousands)
Voting
 
Non-Voting
 
Income
 
Earnings
 
Equity
Balance at December 31, 2014
$
1,322,284

 
$

 
$
(36,445
)
 
$
214,582

 
$
1,500,421

Net income attributable to Media General

 

 

 
(7,433
)
 
(7,433
)
Exercise of stock options
1,034

 

 

 

 
1,034

Stock-based compensation
3,010

 

 

 

 
3,010

Revaluation of redeemable noncontrolling interest

 

 

 
(586
)
 
(586
)
Other
(633
)
 

 

 

 
(633
)
Balance at March 31, 2015
$
1,325,695

 
$

 
$
(36,445
)
 
$
206,563

 
$
1,495,813


v3.4.0.3
Other (Tables)
3 Months Ended
Mar. 31, 2016
Other Income and Expenses [Abstract]  
Schedule of Restructuring Reserve and Restructuring Costs
The following tables present the activity associated with the March 31, 2016 balance of the restructuring liability and the nature and amount of exit charges incurred in the three months ended March 31, 2016:

 
As of March 31, 2016
(In thousands)
Digital
WAGT
Total
Accrued restructuring as of December 31, 2015
$
1,312

$

$
1,312

Severance charges
1,826

538
2,364

Contract termination charges
630

172
802

Cash severance payments
(1,594
)

(1,594
)
Accrued restructuring as of March 31, 2016
$
2,174

$
710

$
2,884





 
 
 
 
 


Three months ended March 31, 2016
(In thousands)
Digital
WAGT
Total
Severance charges
$
1,826

$
538

$
2,364

Contract termination charges
630

172
802

Asset impairment

282
282

Legal fees

477
477

Other

57
57
Total restructuring expense
$
2,456

$
1,526

$
3,982


v3.4.0.3
Guarantor Financial Information (Tables)
3 Months Ended
Mar. 31, 2016
Condensed Financial Statements Guarantor Financials [Abstract]  
Condensed Consolidating Balance Sheet
Media General, Inc.
Condensed Consolidating Balance Sheet
March 31, 2016
(in thousands)
 
Media General
 
LIN Television Corporation
 
Guarantor Subsidiaries
 
Non-Guarantor Subsidiaries
 
Eliminations
 
Consolidated
ASSETS
 
 
 
 
 
 
 
 
 
 
 
Current assets:
 
 
 
 
 
 
 
 
 
 
 
Cash and cash equivalents
$

 
$

 
$
29,512

 
$
4,081

 
$

 
$
33,593

Trade accounts receivable, net

 
77,599

 
183,913

 
30,377

 

 
291,889

Prepaid expenses and other current assets

 
2,743

 
13,144

 
1,500

 

 
17,387

Total current assets

 
80,342

 
226,569

 
35,958

 

 
342,869

Property and equipment, net

 
153,261

 
301,380

 
2,777

 

 
457,418

Other assets, net

 
727

 
29,038

 
3,145

 

 
32,910

Definite lived intangible assets, net

 
359,722

 
445,675

 
44,442

 

 
849,839

Broadcast licenses

 

 
1,025,800

 
71,300

 

 
1,097,100

Goodwill

 
527,077

 
924,708

 
92,839

 

 
1,544,624

Advances to consolidated subsidiaries

 
(237,643
)
 
254,351

 
(16,708
)
 

 

Investment in consolidated subsidiaries
1,413,057

 
1,296,899

 

 

 
(2,709,956
)
 

Total assets
$
1,413,057

 
$
2,180,385

 
$
3,207,521

 
$
233,753

 
$
(2,709,956
)
 
$
4,324,760

 
 
 
 
 
 
 
 
 
 
 
 
LIABILITIES AND STOCKHOLDER'S EQUITY (DEFICIT)
 
 
 
 
 
 
 
 
Current liabilities:
 
 
 
 
 
 
 
 
 
 
 
Trade accounts payable
$

 
$
399

 
$
16,459

 
$
2,996

 
$

 
$
19,854

Accrued salaries and wages

 
3,850

 
16,709

 
570

 

 
21,129

Accrued expenses and other current liabilities

 
22,291

 
80,050

 
5,769

 

 
108,110

Current installments of long-term debt

 

 

 
3,514

 

 
3,514

Current installments of obligation under capital leases

 
575

 
246

 
20

 

 
841

Total current liabilities

 
27,115

 
113,464

 
12,869

 

 
153,448

Long-term debt, net

 
668,122

 
1,508,935

 
23,286

 

 
2,200,343

Deferred tax liability and other long-term tax liabilities

 
58,015

 
237,358

 
(1,400
)
 

 
293,973

Long-term capital lease obligations

 
12,811

 
999

 

 

 
13,810

Retirement and postretirement plans

 

 
179,377

 

 

 
179,377

Other liabilities

 
1,265

 
27,056

 
4,966

 

 
33,287

Total liabilities

 
767,328

 
2,067,189

 
39,721

 

 
2,874,238

 
 
 
 
 
 
 
 
 
 
 
 
Noncontrolling interests

 

 

 
37,465

 

 
37,465

 
 
 
 
 
 
 
 
 
 
 
 
Total stockholders (deficit) equity
1,413,057

 
1,413,057

 
1,140,332

 
156,567

 
(2,709,956
)
 
1,413,057

Total liabilities, noncontrolling interest and stockholders' equity (deficit)
$
1,413,057

 
$
2,180,385

 
$
3,207,521

 
$
233,753

 
$
(2,709,956
)
 
$
4,324,760


Media General, Inc.
Condensed Consolidating Balance Sheet
December 31, 2015
(in thousands)
 
Media General
 
LIN Television Corporation
 
Guarantor Subsidiaries
 
Non-Guarantor Subsidiaries
 
Eliminations
 
Consolidated
ASSETS
 
 
 
 
 
 
 
 
 
 
 
Current assets:
 
 
 
 
 
 
 
 
 
 
 
Cash and cash equivalents
$

 
$
1,103

 
$
35,925

 
$
4,063

 
$

 
$
41,091

Trade accounts receivable, net

 
75,866

 
192,306

 
30,302

 

 
298,474

Prepaid expenses and other current assets

 
3,264

 
10,441

 
1,378

 

 
15,083

Total current assets

 
80,233

 
238,672

 
35,743

 

 
354,648

Property and equipment, net

 
158,627

 
309,160

 
2,750

 

 
470,537

Other assets, net

 
7,199

 
27,523

 
3,348

 

 
38,070

Definite lived intangible assets, net

 
368,011

 
458,261

 
44,857

 

 
871,129

Broadcast licenses

 

 
1,025,800

 
71,300

 

 
1,097,100

Goodwill

 
527,077

 
924,708

 
92,839

 

 
1,544,624

Advances to consolidated subsidiaries

 
(206,396
)
 
223,051

 
(16,655
)
 


 

Investment in consolidated subsidiaries
1,447,970

 
1,319,392

 

 

 
(2,767,362
)
 

Total assets
$
1,447,970

 
$
2,254,143

 
$
3,207,175

 
$
234,182

 
$
(2,767,362
)
 
$
4,376,108

 
 
 
 
 
 
 
 
 
 
 
 
LIABILITIES AND STOCKHOLDER'S EQUITY (DEFICIT)
 
 
 
 
 
 
 
 
Current liabilities:
 
 
 
 
 
 
 
 
 
 
 
Trade accounts payable
$

 
$
2,010

 
$
30,689

 
$
3,101

 
$

 
$
35,800

Accrued salaries and wages

 
2,022

 
19,016

 
427

 

 
21,465

Accrued expenses and other current liabilities

 
23,237

 
68,101

 
4,162

 

 
95,500

Current installments of long-term debt

 

 

 
3,804

 

 
3,804

Current installments of obligation under capital leases

 
575

 
256

 
28

 

 
859

Total current liabilities

 
27,844

 
118,062

 
11,522

 

 
157,428

Long-term debt, net

 
667,867

 
1,507,181

 
24,062

 

 
2,199,110

Deferred tax liability and other long-term tax liabilities

 
62,785

 
253,232

 
(783
)
 

 
315,234

Long-term capital lease obligations

 
12,953

 
1,059

 

 

 
14,012

Retirement and postretirement plans

 
25,917

 
157,070

 

 

 
182,987

Other liabilities

 
8,807

 
20,999

 
5,114

 

 
34,920

Total liabilities

 
806,173

 
2,057,603

 
39,915

 

 
2,903,691

 
 
 
 
 
 
 
 
 
 
 
 
Noncontrolling interests

 

 

 
24,447

 

 
24,447

 
 
 
 
 
 
 
 
 
 
 
 
Total stockholders (deficit) equity
1,447,970

 
1,447,970

 
1,149,572

 
169,820

 
(2,767,362
)
 
1,447,970

Total liabilities, noncontrolling interest and stockholders' equity (deficit)
$
1,447,970

 
$
2,254,143

 
$
3,207,175

 
$
234,182

 
$
(2,767,362
)
 
$
4,376,108

Condensed Consolidating Statement of Comprehensive Income
Media General, Inc.
Condensed Consolidated Statement of Comprehensive Income
For the Three Months Ended March 31, 2016
(in thousands)
 
Media General
 
LIN Television Corporation
 
Guarantor Subsidiaries
 
Non-Guarantor Subsidiaries
 
Eliminations
 
Consolidated
Net operating revenue
$

 
$
99,091

 
$
235,157

 
$
17,855

 
$
(8,640
)
 
$
343,463

 
 
 
 
 
 
 
 
 
 
 
 
Operating costs:
 
 
 
 
 
 
 
 
 
 
 
Operating expenses, excluding depreciation expense

 
42,160

 
100,634

 
13,447

 
(5,098
)
 
151,143

Selling, general and administrative expenses

 
22,693

 
53,541

 
2,252

 
(165
)
 
78,321

Amortization of program licenses rights

 
4,480

 
7,574

 
513

 
(501
)
 
12,066

Corporate and other expenses

 

 
10,350

 
2

 

 
10,352

Depreciation and amortization

 
14,399

 
23,948

 
1,774

 

 
40,121

(Gain) loss related to property and equipment, net

 
(7
)
 
(833
)
 
72

 

 
(768
)
Merger-related expenses

 

 
65,882

 

 

 
65,882

Restructuring expenses

 

 
3,982

 

 

 
3,982

Operating income (loss)

 
15,366

 
(29,921
)
 
(205
)
 
(2,876
)
 
(17,636
)
 
 
 
 
 
 
 
 
 
 
 
 
Other income (expense):
 
 
 
 
 
 
 
 
 
 
 
Interest expense, net

 
(10,694
)
 
(17,586
)
 
(276
)
 

 
(28,556
)
Intercompany income and (expenses)

 
(10,107
)
 
10,451

 
(344
)
 

 

Equity in income (loss) from operations of consolidated subsidiaries
(26,190
)
 
(15,958
)
 

 

 
42,148

 

Other, net

 

 
74

 

 

 
74

Total other income (expense)
(26,190
)
 
(36,759
)
 
(7,061
)
 
(620
)
 
42,148

 
(28,482
)
 
 
 
 
 
 
 
 
 
 
 
 
Income (loss) before income taxes
(26,190
)
 
(21,393
)
 
(36,982
)
 
(825
)
 
39,272

 
(46,118
)
Income tax benefit (expense)

 
(4,797
)
 
24,584

 
618

 

 
20,405

Net income (loss)
$
(26,190
)
 
$
(26,190
)
 
$
(12,398
)
 
$
(207
)
 
$
39,272

 
$
(25,713
)
 
 
 
 
 
 
 
 
 
 
 
 
Net income (loss) attributable to noncontrolling interest

 

 

 
477

 

 
477

Net income (loss) attributable to Media General
$
(26,190
)
 
$
(26,190
)
 
$
(12,398
)
 
$
(684
)
 
$
39,272

 
$
(26,190
)
 
 
 
 
 
 
 
 
 
 
 
 
Other comprehensive income

 

 

 

 

 

Total comprehensive income (loss) attributable to Media General
$
(26,190
)
 
$
(26,190
)
 
$
(12,398
)
 
$
(684
)
 
$
39,272

 
$
(26,190
)



Media General, Inc.
Condensed Consolidating Statement of Comprehensive Income
For the Three Months Ended March 31, 2015
(in thousands)
 
Media General
 
LIN Television Corporation
 
Guarantor Subsidiaries
 
Non-Guarantor Subsidiaries
 
Eliminations
 
Media General Consolidated
Net operating revenue
$

 
$
88,218

 
$
199,730

 
$
13,742

 
$
(4,956
)
 
$
296,734

Operating costs:
 
 
 
 
 
 
 
 
 
 
 
Operating expenses, excluding depreciation expense

 
37,599

 
83,759

 
7,542

 
(3,024
)
 
125,876

Selling, general and administrative expenses

 
23,524

 
53,218

 
4,137

 
(409
)
 
80,470

Amortization of program license rights

 
4,178

 
7,101

 
479

 

 
11,758

Corporate and other expenses

 
3,201

 
9,458

 
(8
)
 

 
12,651

Depreciation and amortization

 
14,136

 
24,672

 
1,475

 

 
40,283

Gain related to property and equipment, net

 
(36
)
 
(192
)
 

 

 
(228
)
Merger-related expenses

 
1,374

 
3,903

 

 

 
5,277

Restructuring expenses

 

 

 

 

 

Operating income (loss)

 
4,242

 
17,811

 
117

 
(1,523
)
 
20,647

 
 
 
 
 
 
 
 
 
 
 
 
Other income (expense)
 

 
 

 
 
 
 
 
 
 
 
Interest expense
(1
)
 
(10,650
)
 
(20,087
)
 
(285
)
 

 
(31,023
)
Debt modification and extinguishment costs

 

 
(613
)
 

 

 
(613
)
Intercompany income and (expenses)

 
(5,535
)

5,767

 
(232
)
 

 

Equity in income (loss) from operations of consolidated subsidiaries
(7,432
)
 
(434
)
 

 

 
7,866

 

Other, net

 
82

 
708

 
2,500

 

 
3,290

Total other income (expense)
(7,433
)
 
(16,537
)
 
(14,225
)
 
1,983

 
7,866

 
(28,346
)
 
 
 
 
 
 
 
 
 
 
 
 
Income (loss) before income taxes
(7,433
)
 
(12,295
)
 
3,586

 
2,100

 
6,343

 
(7,699
)
Income tax benefit (expense)

 
4,863

 
(2,274
)
 
568

 

 
3,157

Net income (loss)
$
(7,433
)
 
$
(7,432
)
 
$
1,312

 
$
2,668

 
$
6,343

 
$
(4,542
)
 
 
 
 
 
 
 
 
 
 
 
 
Net income (loss) attributable to noncontrolling interests

 

 
(178
)
 
3,069

 

 
2,891

Net income (loss) attributable to Media General
$
(7,433
)
 
$
(7,432
)
 
$
1,490

 
$
(401
)
 
$
6,343

 
$
(7,433
)
 
 
 
 
 
 
 
 
 
 
 
 
Other comprehensive income

 

 

 

 

 

Total comprehensive income (loss) attributable to Media General
$
(7,433
)
 
$
(7,432
)
 
$
1,490

 
$
(401
)
 
$
6,343

 
$
(7,433
)
Condensed Consolidating Statement of Cash Flows
Media General, Inc.
Condensed Consolidating Statement of Cash Flows
Year to date through March 31, 2016
(in thousands)
 
 
Media General
 
LIN Television Corporation
 
Guarantor Subsidiaries
 
Non-Guarantor Subsidiaries
 
Eliminations
 
Media General Consolidated
Cash flows from operating activities:
 
 
 
 
 
 
 
 
 
 
 
Net cash used by operating activities
$

 
$
(4,065
)
 
$
(596
)
 
$
(138
)
 
$

 
$
(4,799
)
 
 
 
 
 
 
 
 
 
 
 
 
Cash flows from investing activities:
 
 
 
 
 
 
 
 
 
 
 
Capital expenditures

 
(1,716
)
 
(3,649
)
 
(1,398
)
 

 
(6,763
)
Proceeds from the sale of PP&E

 
29

 
3,947

 

 

 
3,976

Receipt of dividend

 
19,502

 

 

 
(19,502
)
 

Advances on intercompany borrowings

 
(2,644
)
 

 

 
2,644

 

Payments from intercompany borrowings

 

 
12,060

 

 
(12,060
)
 

Other, net

 

 
(10
)
 

 

 
(10
)
Net cash provided (used) by investing activities

 
15,171

 
12,348

 
(1,398
)
 
(28,918
)
 
(2,797
)
 
 
 
 
 
 
 
 
 
 
 
 
Cash flows from financing activities:
 
 
 
 
 
 
 
 
 
 
 
Borrowings under Media General Revolving Credit Facility

 

 
30,000

 

 

 
30,000

Repayments under Media General Revolving Credit Facility

 

 
(30,000
)
 

 

 
(30,000
)
Repayment of borrowings under Shield Media Credit Agreement

 

 

 
(800
)
 

 
(800
)
Repayment of other borrowings

 

 

 
(290
)
 

 
(290
)
Payment of dividend

 

 
(19,502
)
 

 
19,502

 

Proceeds from intercompany borrowings

 

 

 
2,644

 
(2,644
)
 

Payments on intercompany borrowing

 
(12,060
)
 

 

 
12,060

 

Exercise of stock options

 

 
1,408

 

 

 
1,408

Other, net

 
(149
)
 
(71
)
 

 

 
(220
)
Net cash provided (used) by financing activities

 
(12,209
)
 
(18,165
)
 
1,554

 
28,918

 
98

 
 
 
 
 
 
 
 
 
 
 
 
Net (decrease) increase in cash and cash equivalents

 
(1,103
)
 
(6,413
)
 
18

 

 
(7,498
)
Cash and cash equivalents at beginning of period

 
1,103

 
35,925

 
4,063

 

 
41,091

Cash and cash equivalents at end of period
$

 
$

 
$
29,512

 
$
4,081

 
$

 
$
33,593


Media General, Inc.
Condensed Consolidating Statement of Cash Flows
Year to date through March 31, 2015
(in thousands)
 
 
Media General
 
LIN Television Corporation
 
Guarantor Subsidiaries
 
Non-Guarantor Subsidiaries
 
Eliminations
 
Media General Consolidated
Cash flows from operating activities:
 
 
 
 
 
 
 
 
 
 
 
Net cash provided (used) by operating activities
$
(1,402
)
 
$
12,021

 
$
42,361

 
$
3,439

 
$

 
$
56,419

 
 
 
 
 
 
 
 
 
 
 
 
Cash flows from investing activities:
 
 
 
 
 
 
 
 
 
 
 
Capital expenditures

 
(2,314
)
 
(4,288
)
 
(607
)
 

 
(7,209
)
Proceeds from sale the of PP&E

 
36

 
226

 

 

 
262

Proceeds from spectrum sale

 

 
620

 

 

 
620

Receipt of dividend

 
19,502

 

 

 
(19,502
)
 

Payments from intercompany borrowings
2,025

 

 
12,073

 

 
(14,098
)
 

Payment of capital contributions
(3,011
)
 

 

 

 
3,011

 

Other, net

 

 

 
(5
)
 

 
(5
)
Net cash provided (used) by investing activities
(986
)
 
17,224

 
8,631

 
(612
)
 
(30,589
)
 
(6,332
)
 
 
 
 
 
 
 
 
 
 
 
 
Cash flows from financing activities:
 
 
 
 
 
 
 
 
 
 
 
Repayment of borrowings under Media General Credit Agreement

 

 
(35,000
)
 

 

 
(35,000
)
Repayment of borrowings under Shield Media Credit Agreement

 

 

 
(600
)
 

 
(600
)
Repayment of other borrowings

 

 

 
(290
)
 

 
(290
)
Payment of dividend

 

 
(19,502
)
 

 
19,502

 

Payments on intercompany borrowing

 
(14,098
)
 

 

 
14,098

 

Receipt of capital contributions

 
3,011

 

 

 
(3,011
)
 

Exercise of stock options

 

 
958

 

 

 
958

Other, net

 

 
(777
)
 
13

 

 
(764
)
Net cash (used) provided by financing activities

 
(11,087
)
 
(54,321
)
 
(877
)
 
30,589

 
(35,696
)
 
 
 
 
 
 
 
 
 
 
 
 
Net (decrease) increase in cash and cash equivalents
(2,388
)
 
18,158

 
(3,329
)
 
1,950

 

 
14,391

Cash and cash equivalents at beginning of period
2,388

 
9,658

 
27,371

 
4,503

 

 
43,920

Cash and cash equivalents at end of period
$

 
$
27,816

 
$
24,042

 
$
6,453

 
$

 
$
58,311


v3.4.0.3
Basis of Presentation Basis of Presentation (Details)
$ / shares in Units, $ in Thousands
1 Months Ended 3 Months Ended
Jan. 31, 2016
USD ($)
$ / shares
Mar. 31, 2016
USD ($)
station
market
segment
Mar. 31, 2015
USD ($)
Dec. 31, 2015
USD ($)
Nov. 05, 2014
Business Acquisition [Line Items]          
Acquisition related costs, canceled acquisition, breakup fee   $ 60,000 $ 0    
Merger-related expenses   $ 65,882 $ 5,277    
Number of reportable segments | segment   2      
Number of stations | station   71      
Number of markets | market   48      
Debt issuance costs   $ 30,671   $ 32,244  
JSA and SSA entities [Member]          
Business Acquisition [Line Items]          
Number of stations | station   2      
Meredith Corporation [Member]          
Business Acquisition [Line Items]          
Acquisition related costs, canceled acquisition, breakup fee $ 60,000        
Senior Notes 2022 [Member]          
Business Acquisition [Line Items]          
Interest rate (percentage)   5.875%     5.875%
Senior Notes 2022 [Member] | LIN Merger [Member]          
Business Acquisition [Line Items]          
Interest rate (percentage)         8.375%
Senior Notes 2021 [Member] | LIN Merger [Member]          
Business Acquisition [Line Items]          
Interest rate (percentage)   6.375%      
Accounting Standards Update 2015-03 [Member] | Other Assets [Member]          
Business Acquisition [Line Items]          
Debt issuance costs       (32,200)  
Accounting Standards Update 2015-03 [Member] | Other Assets [Member] | JSA and SSA entities [Member]          
Business Acquisition [Line Items]          
Debt issuance costs       (285)  
Accounting Standards Update 2015-03 [Member] | Long-term Debt [Member]          
Business Acquisition [Line Items]          
Debt issuance costs   $ 30,700   32,200  
Accounting Standards Update 2015-03 [Member] | Long-term Debt [Member] | JSA and SSA entities [Member]          
Business Acquisition [Line Items]          
Debt issuance costs       $ 285  
Nexstar Broadcasting Group, Inc. [Member] | Media General [Member]          
Business Acquisition [Line Items]          
Unsolicited tender offer, share price (in dollars per share) | $ / shares $ 10.55        
Unsolicited tender offer, acquirer shares per share (in shares) 0.1249        
Ownership percentage maintained by acquiree (percentage) 34.00%        
Ownership percentage acquired (percentage) 66.00%        

v3.4.0.3
Segment Information - Narrative (Details)
3 Months Ended
Mar. 31, 2016
station
market
segment
Segment Reporting Information [Line Items]  
Number of reportable segments | segment 2
Number of stations | station 71
Number of markets | market 48
Broadcast [Member]  
Segment Reporting Information [Line Items]  
Number of stations | station 71
Number of markets | market 48

v3.4.0.3
Segment Information - Operating Segments, Revenue (Details) - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2016
Mar. 31, 2015
Revenues    
Revenues $ 343,463 $ 296,734
Broadcast [Member]    
Revenues    
Revenues 305,593 266,484
Digital [Member]    
Revenues    
Revenues $ 37,870 $ 30,250

v3.4.0.3
Segment Information - Operating Segments, Profit (Loss) (Details) - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2016
Mar. 31, 2015
Operating income    
Operating income (loss) $ (17,636) $ 20,647
Corporate and other expenses (10,352) (12,651)
Depreciation and amortization (40,121) (40,283)
Merger-related expenses (65,882) (5,277)
Restructuring expenses (3,982) 0
Operating Segments [Member]    
Operating income    
Operating income (loss) 101,933 78,630
Operating Segments [Member] | Broadcast [Member]    
Operating income    
Operating income (loss) 103,618 80,821
Operating Segments [Member] | Digital [Member]    
Operating income    
Operating income (loss) (1,685) (2,191)
Corporate [Member]    
Operating income    
Corporate and other expenses (10,352) (12,651)
Segment Reconciling Items [Member]    
Operating income    
Depreciation and amortization (40,121) (40,283)
Gain related to property and equipment, net 768 228
Merger-related expenses (65,882) (5,277)
Restructuring expenses $ (3,982) $ 0

v3.4.0.3
Variable Interest Entities (Details)
1 Months Ended 3 Months Ended
Mar. 31, 2014
Mar. 31, 2016
USD ($)
station
Dec. 31, 2015
USD ($)
Mar. 31, 2015
USD ($)
Dec. 31, 2014
USD ($)
Current assets:          
Cash and cash equivalents   $ 33,593,000 $ 41,091,000 $ 58,311,000 $ 43,920,000
Trade accounts receivable (less allowance for doubtful accounts 2016 - $89; 2015 - $94)   291,889,000 298,474,000    
Prepaid expenses and other current assets   17,387,000 15,083,000    
Total current assets   342,869,000 354,648,000    
Property and equipment, net   457,418,000 470,537,000    
Other assets, net   32,910,000 38,070,000    
Definite lived intangible assets, net   849,839,000 871,129,000    
Broadcast licenses   1,097,100,000 1,097,100,000    
Goodwill   1,544,624,000 1,544,624,000    
Total assets [1]   4,324,760,000 4,376,108,000    
Current liabilities:          
Trade accounts payable   19,854,000 35,800,000    
Accrued expenses and other current liabilities   108,110,000 95,500,000    
Current installments of long-term debt   3,514,000 3,804,000    
Total current liabilities   153,448,000 157,428,000    
Long-term debt excluding current maturities   2,200,343,000 2,199,110,000    
Other liabilities   33,287,000 34,920,000    
Total liabilities [2]   2,874,238,000 2,903,691,000    
Trade accounts receivable, allowance for doubtful accounts (in Dollars)   $ 4,448,000 4,634,000    
JSA and SSA entities [Member]          
Condensed Balance Sheet Statements, Captions [Line Items]          
Number of stations | station   8      
Current assets:          
Cash and cash equivalents   $ 3,554,000 3,693,000    
Trade accounts receivable (less allowance for doubtful accounts 2016 - $89; 2015 - $94)   7,985,000 9,798,000    
Prepaid expenses and other current assets   715,000 796,000    
Total current assets   12,254,000 14,287,000    
Property and equipment, net   1,937,000 1,904,000    
Other assets, net   2,874,000 3,094,000    
Definite lived intangible assets, net   31,479,000 32,244,000    
Broadcast licenses   71,300,000 71,300,000    
Goodwill   21,859,000 21,859,000    
Total assets   141,703,000 144,688,000    
Current liabilities:          
Trade accounts payable   13,000 16,000    
Accrued expenses and other current liabilities   1,974,000 2,221,000    
Current installments of long-term debt   3,514,000 3,804,000    
Total current liabilities   5,501,000 6,041,000    
Long-term debt excluding current maturities   23,285,000 24,062,000    
Other liabilities   6,981,000 8,310,000    
Total liabilities   35,767,000 38,413,000    
Trade accounts receivable, allowance for doubtful accounts (in Dollars)   89,000 $ 94,000    
Threshold on media ownership rules (more than) (percentage) 15.00%        
Company Owned Option To Acquire Assets Or Equity [Member]          
Current liabilities:          
Carrying amount of ineligible options   $ 0      
[1] Consolidated assets as of March 31, 2016 and December 31, 2015, include total assets of variable interest entities (VIEs) of $142 million and $145 million, respectively, which can only be used to settle the obligations of the VIEs. See Note 1 and Note 3.
[2] Consolidated liabilities as of March 31, 2016 and December 31, 2015, include total liabilities of VIEs of $36 million and $38 million, respectively, for which the creditors of the VIEs have no recourse to the Company, except for certain of the debt, which the Company guarantees. See Note 1 and Note 3.

v3.4.0.3
Debt and Other Financial Instruments - Schedule of Long Term Debt (Details) - USD ($)
$ in Thousands
Mar. 31, 2016
Dec. 31, 2015
Debt Instrument [Line Items]    
Long-term debt $ 2,243,059 $ 2,244,150
Less: net unamortized discount (8,531) (8,992)
Less: scheduled current maturities (3,514) (3,804)
Less: unamortized debt issuance fees (30,671) (32,244)
Long-term debt excluding current maturities 2,200,343 2,199,110
Media General Credit Agreement [Member]    
Debt Instrument [Line Items]    
Long-term debt 1,541,000 1,541,000
The 2022 Notes [Member]    
Debt Instrument [Line Items]    
Long-term debt 400,000 400,000
The 2021 Notes [Member]    
Debt Instrument [Line Items]    
Long-term debt 275,000 275,000
Shield Media Credit Agreement [Member]    
Debt Instrument [Line Items]    
Long-term debt 26,400 27,200
Other Borrowings [Member]    
Debt Instrument [Line Items]    
Long-term debt $ 659 $ 950

v3.4.0.3
Debt and Other Financial Instruments - Narrative (Details)
1 Months Ended 3 Months Ended 12 Months Ended
Jul. 31, 2013
Jul. 31, 2013
Mar. 31, 2016
USD ($)
station
Mar. 31, 2015
USD ($)
Dec. 31, 2015
USD ($)
Nov. 05, 2014
USD ($)
Debt Instrument [Line Items]            
Debt modification and extinguishment costs     $ 0 $ 613,000    
Number of stations | station     71      
JSA and SSA entities [Member]            
Debt Instrument [Line Items]            
Number of stations | station     2      
Media General Credit Agreement [Member]            
Debt Instrument [Line Items]            
Line of credit, current     $ 1,500,000,000      
Line of credit facility, maximum borrowing capacity     $ 150,000,000      
Line of credit facility, unused capacity, percentage     0.50%      
Line of credit facility, remaining borrowing capacity     $ 146,000,000      
Media General Credit Agreement [Member] | London Interbank Offered Rate (LIBOR) [Member]            
Debt Instrument [Line Items]            
Basis spread on variable rate (percentage)     2.50%      
Letter of Credit [Member] | Media General Credit Agreement [Member]            
Debt Instrument [Line Items]            
Line of credit facility, remaining borrowing capacity     $ 4,000,000      
Term Loan [Member]            
Debt Instrument [Line Items]            
Repayments of long-term debt     0 35,000,000    
Debt modification and extinguishment costs       600,000    
Term Loan [Member] | London Interbank Offered Rate (LIBOR) [Member]            
Debt Instrument [Line Items]            
Debt instrument, interest rate, stated percentage, minimum (percentage)   1.00%        
Basis spread on variable rate (percentage)   3.00%        
Shield Media Term Loan [Member] | London Interbank Offered Rate (LIBOR) [Member]            
Debt Instrument [Line Items]            
Basis spread on variable rate (percentage) 3.00%          
Shield Media Term Loan [Member] | Revolving Credit Facility [Member]            
Debt Instrument [Line Items]            
Repayments of long-term debt     $ 800,000 $ 600,000    
Senior Notes 2022 [Member]            
Debt Instrument [Line Items]            
Principal amount           $ 400,000,000
Interest rate (percentage)     5.875%     5.875%
Senior Notes 2022 [Member] | LIN Merger [Member]            
Debt Instrument [Line Items]            
Principal amount           $ 200,000,000
Interest rate (percentage)           8.375%
Senior Notes 2021 [Member] | LIN Merger [Member]            
Debt Instrument [Line Items]            
Repayments of long-term debt     $ 0   $ 15,000,000  
Principal amount     $ 275,000,000      
Interest rate (percentage)     6.375%      
Payment of debt extinguishment costs         $ 800,000  

v3.4.0.3
Debt and Other Financial Instruments - Fair value of financial instruments (Details) - USD ($)
$ in Thousands
Mar. 31, 2016
Dec. 31, 2015
Investments    
Trading securities $ 274 $ 257
Long-term debt:    
Other borrowings 659 950
Media General Credit Agreement [Member]    
Long-term debt:    
Long-term debt, carrying amount 1,508,934 1,507,182
Long-term debt, fair value 1,545,471 1,529,229
Senior Notes 2022 [Member]    
Long-term debt:    
Long-term debt, carrying amount 392,799 392,527
Long-term debt, fair value 406,898 404,344
Senior Notes 2021 [Member]    
Long-term debt:    
Long-term debt, carrying amount 275,324 275,340
Long-term debt, fair value 302,502 288,228
Shield Media Credit Agreement [Member]    
Long-term debt:    
Long-term debt, carrying amount 26,140 26,915
Long-term debt, fair value $ 26,140 $ 27,200

v3.4.0.3
Taxes on Income (Details) - USD ($)
$ in Millions
3 Months Ended
Mar. 31, 2016
Mar. 31, 2015
Income Tax Disclosure [Abstract]    
Effective tax rate (percentage) 44.20% 41.00%
Current income tax expense $ 0.9 $ 0.2

v3.4.0.3
Earnings Per Share - Basic and Diluted Earnings Per Share (Details) - USD ($)
$ / shares in Units, shares in Thousands, $ in Thousands
3 Months Ended
Mar. 31, 2016
Mar. 31, 2015
Earnings Per Share [Abstract]    
Net income attributable to Media General $ (26,190) $ (7,433)
Undistributed earnings attributable to participating securities 0 0
Basic EPS    
Income (loss) attributable to common stockholders $ (26,190) $ (7,433)
Income (loss) attributable to common stockholders (in shares) 128,595 129,384
Income (loss) attributable to common stockholders (in dollars per share) $ (0.20) $ (0.06)
Effect of dilutive securities:    
Stock options and warrants (in shares) 0 0
Diluted EPS    
Income (loss) attributable to common stockholders $ (26,190) $ (7,433)
Income (loss) attributable to common stockholders (in shares) 128,595 129,384
Income (loss) attributable to common stockholders (in dollars per share) $ (0.20) $ (0.06)

v3.4.0.3
Earnings Per Share - Narrative (Details) - shares
shares in Millions
3 Months Ended
Mar. 31, 2016
Mar. 31, 2015
Earnings Per Share [Abstract]    
Antidilutive securities excluded from computation of earnings per share (in shares) 1.2 1.1

v3.4.0.3
Retirement and Postretirement Plans (Details) - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2016
Mar. 31, 2015
Pension Benefits [Member]    
Defined Benefit Plans and Other Postretirement Benefit Plans Table Text Block [Line Items]    
Service cost $ 0 $ 0
Interest cost 4,650 7,400
Expected return on plan assets (6,950) (9,981)
Amortization of net loss 0 258
Net periodic benefit (income) cost (2,300) (2,323)
Other Benefits [Member]    
Defined Benefit Plans and Other Postretirement Benefit Plans Table Text Block [Line Items]    
Service cost 0 10
Interest cost 200 110
Expected return on plan assets 0 0
Amortization of net loss (25) 0
Net periodic benefit (income) cost $ 175 $ 120

v3.4.0.3
Stockholders' Equity (Details) - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2016
Mar. 31, 2015
Increase (Decrease) in Stockholders' Equity [Roll Forward]    
Beginning balance $ 1,447,970 $ 1,500,421
Net income attributable to Media General (26,190) (7,433)
Exercise of stock options 1,408 1,034
Stock-based compensation 2,078 3,010
Revaluation of redeemable noncontrolling interest (12,541) (586)
Other 332 (633)
Ending balance 1,413,057 1,495,813
Common Stock [Member] | Voting Common Stock [Member]    
Increase (Decrease) in Stockholders' Equity [Roll Forward]    
Beginning balance 1,305,155 1,322,284
Exercise of stock options 1,408 1,034
Stock-based compensation 2,078 3,010
Revaluation of redeemable noncontrolling interest (12,094)  
Other 332 (633)
Ending balance 1,296,879 1,325,695
Common Stock [Member] | Nonvoting Common Stock [Member]    
Increase (Decrease) in Stockholders' Equity [Roll Forward]    
Beginning balance 0 0
Ending balance 0 0
AOCI Attributable to Parent [Member]    
Increase (Decrease) in Stockholders' Equity [Roll Forward]    
Beginning balance (31,224) (36,445)
Ending balance (31,224) (36,445)
Retained Earnings [Member]    
Increase (Decrease) in Stockholders' Equity [Roll Forward]    
Beginning balance 174,039 214,582
Net income attributable to Media General (26,190) (7,433)
Revaluation of redeemable noncontrolling interest (447) (586)
Ending balance $ 147,402 $ 206,563

v3.4.0.3
Other - Narrative (Details) - USD ($)
$ in Thousands
1 Months Ended 3 Months Ended
Apr. 30, 2016
Mar. 31, 2016
Mar. 31, 2015
Restructuring Cost and Reserve [Line Items]      
Restructuring expenses   $ 3,982 $ 0
Revaluation of redeemable noncontrolling interest   $ (12,541) $ (586)
HYFN Inc [Member]      
Restructuring Cost and Reserve [Line Items]      
Noncontrolling interest, ownership percentage by parent (percentage)   50.10%  
Revaluation of redeemable noncontrolling interest   $ 12,100  
Subsequent Event [Member] | HYFN Inc [Member]      
Restructuring Cost and Reserve [Line Items]      
Purchase price $ 35,000    
One-time compensation expense related to the transaction 7,000    
Total cash outflow $ 42,000    
Digital Restructuring Plan [Member]      
Restructuring Cost and Reserve [Line Items]      
Expected savings related to restructuring   14,700  
Restructuring expenses   2,456  
WAGT Restructuring [Member]      
Restructuring Cost and Reserve [Line Items]      
Restructuring expenses   1,526  
Severance Charges [Member]      
Restructuring Cost and Reserve [Line Items]      
Restructuring expenses   2,364  
Severance Charges [Member] | Digital Restructuring Plan [Member]      
Restructuring Cost and Reserve [Line Items]      
Restructuring expenses   1,826  
Severance Charges [Member] | WAGT Restructuring [Member]      
Restructuring Cost and Reserve [Line Items]      
Restructuring expenses   538  
Contract Termination [Member]      
Restructuring Cost and Reserve [Line Items]      
Restructuring expenses   802  
Contract Termination [Member] | Digital Restructuring Plan [Member]      
Restructuring Cost and Reserve [Line Items]      
Restructuring expenses   630  
Contract Termination [Member] | WAGT Restructuring [Member]      
Restructuring Cost and Reserve [Line Items]      
Restructuring expenses   $ 172  

v3.4.0.3
Other - Restructuring Reserve Rollforward and Schedule of Reserve Expenses (Details) - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2016
Mar. 31, 2015
Restructuring Reserve [Roll Forward]    
Accrued restructuring as of December 31, 2015 $ 1,312  
Restructuring expenses 3,982 $ 0
Accrued restructuring as of March 31, 2016 2,884  
Digital Restructuring Plan [Member]    
Restructuring Reserve [Roll Forward]    
Accrued restructuring as of December 31, 2015 1,312  
Restructuring expenses 2,456  
Accrued restructuring as of March 31, 2016 2,174  
WAGT Restructuring [Member]    
Restructuring Reserve [Roll Forward]    
Accrued restructuring as of December 31, 2015 0  
Restructuring expenses 1,526  
Accrued restructuring as of March 31, 2016 710  
Severance Charges [Member]    
Restructuring Reserve [Roll Forward]    
Restructuring expenses 2,364  
Cash severance payments (1,594)  
Severance Charges [Member] | Digital Restructuring Plan [Member]    
Restructuring Reserve [Roll Forward]    
Restructuring expenses 1,826  
Cash severance payments (1,594)  
Severance Charges [Member] | WAGT Restructuring [Member]    
Restructuring Reserve [Roll Forward]    
Restructuring expenses 538  
Cash severance payments 0  
Contract Termination [Member]    
Restructuring Reserve [Roll Forward]    
Restructuring expenses 802  
Contract Termination [Member] | Digital Restructuring Plan [Member]    
Restructuring Reserve [Roll Forward]    
Restructuring expenses 630  
Contract Termination [Member] | WAGT Restructuring [Member]    
Restructuring Reserve [Roll Forward]    
Restructuring expenses 172  
Asset Impairment [Member]    
Restructuring Reserve [Roll Forward]    
Restructuring expenses 282  
Asset Impairment [Member] | Digital Restructuring Plan [Member]    
Restructuring Reserve [Roll Forward]    
Restructuring expenses 0  
Asset Impairment [Member] | WAGT Restructuring [Member]    
Restructuring Reserve [Roll Forward]    
Restructuring expenses 282  
Legal Fees [Member]    
Restructuring Reserve [Roll Forward]    
Restructuring expenses 477  
Legal Fees [Member] | Digital Restructuring Plan [Member]    
Restructuring Reserve [Roll Forward]    
Restructuring expenses 0  
Legal Fees [Member] | WAGT Restructuring [Member]    
Restructuring Reserve [Roll Forward]    
Restructuring expenses 477  
Other Restructuring [Member]    
Restructuring Reserve [Roll Forward]    
Restructuring expenses 57  
Other Restructuring [Member] | Digital Restructuring Plan [Member]    
Restructuring Reserve [Roll Forward]    
Restructuring expenses 0  
Other Restructuring [Member] | WAGT Restructuring [Member]    
Restructuring Reserve [Roll Forward]    
Restructuring expenses $ 57  

v3.4.0.3
Guarantor Financial Information - Narrative (Details)
12 Months Ended
Dec. 31, 2015
LIN Television Corporation [Member]  
Interim Period, Costs Not Allocable [Line Items]  
Ownership interest (percentage) 100.00%

v3.4.0.3
Guarantor Financial Information - Condensed Consolidating Balance Sheet (Details) - USD ($)
$ in Thousands
Mar. 31, 2016
Dec. 31, 2015
Mar. 31, 2015
Dec. 31, 2014
Current assets:        
Cash and cash equivalents $ 33,593 $ 41,091 $ 58,311 $ 43,920
Trade accounts receivable, net 291,889 298,474    
Prepaid expenses and other current assets 17,387 15,083    
Total current assets 342,869 354,648    
Property and equipment, net 457,418 470,537    
Other assets, net 32,910 38,070    
Definite lived intangible assets, net 849,839 871,129    
Broadcast licenses 1,097,100 1,097,100    
Goodwill 1,544,624 1,544,624    
Advances to consolidated subsidiaries 0 0    
Investment in consolidated subsidiaries 0 0    
Total assets [1] 4,324,760 4,376,108    
Current liabilities:        
Trade accounts payable 19,854 35,800    
Accrued salaries and wages 21,129 21,465    
Accrued expenses and other current liabilities 108,110 95,500    
Current installments of long-term debt 3,514 3,804    
Current installments of obligation under capital leases 841 859    
Total current liabilities 153,448 157,428    
Long-term debt excluding current maturities 2,200,343 2,199,110    
Deferred tax liability and other long-term tax liabilities 293,973 315,234    
Long-term capital lease obligations 13,810 14,012    
Retirement and postretirement plans 179,377 182,987    
Other liabilities 33,287 34,920    
Total liabilities [2] 2,874,238 2,903,691    
Noncontrolling interests 37,465 24,447    
Stockholders' equity:        
Total stockholders (deficit) equity 1,413,057 1,447,970 1,495,813 1,500,421
Total liabilities, noncontrolling interest and stockholders' equity (deficit) 4,324,760 4,376,108    
Reportable Legal Entities [Member] | Media General [Member]        
Current assets:        
Cash and cash equivalents 0 0 0 2,388
Trade accounts receivable, net 0 0    
Prepaid expenses and other current assets 0 0    
Total current assets 0 0    
Property and equipment, net 0 0    
Other assets, net 0 0    
Definite lived intangible assets, net 0 0    
Broadcast licenses 0 0    
Goodwill 0 0    
Advances to consolidated subsidiaries 0 0    
Investment in consolidated subsidiaries 1,413,057 1,447,970    
Total assets 1,413,057 1,447,970    
Current liabilities:        
Trade accounts payable 0 0    
Accrued salaries and wages 0 0    
Accrued expenses and other current liabilities 0 0    
Current installments of long-term debt 0 0    
Current installments of obligation under capital leases 0 0    
Total current liabilities 0 0    
Long-term debt excluding current maturities 0 0    
Deferred tax liability and other long-term tax liabilities 0 0    
Long-term capital lease obligations 0 0    
Retirement and postretirement plans 0 0    
Other liabilities 0 0    
Total liabilities 0 0    
Noncontrolling interests 0 0    
Stockholders' equity:        
Total stockholders (deficit) equity 1,413,057 1,447,970    
Total liabilities, noncontrolling interest and stockholders' equity (deficit) 1,413,057 1,447,970    
Reportable Legal Entities [Member] | LIN Television Corporation [Member]        
Current assets:        
Cash and cash equivalents 0 1,103 27,816 9,658
Trade accounts receivable, net 77,599 75,866    
Prepaid expenses and other current assets 2,743 3,264    
Total current assets 80,342 80,233    
Property and equipment, net 153,261 158,627    
Other assets, net 727 7,199    
Definite lived intangible assets, net 359,722 368,011    
Broadcast licenses 0 0    
Goodwill 527,077 527,077    
Advances to consolidated subsidiaries (237,643) (206,396)    
Investment in consolidated subsidiaries 1,296,899 1,319,392    
Total assets 2,180,385 2,254,143    
Current liabilities:        
Trade accounts payable 399 2,010    
Accrued salaries and wages 3,850 2,022    
Accrued expenses and other current liabilities 22,291 23,237    
Current installments of long-term debt 0 0    
Current installments of obligation under capital leases 575 575    
Total current liabilities 27,115 27,844    
Long-term debt excluding current maturities 668,122 667,867    
Deferred tax liability and other long-term tax liabilities 58,015 62,785    
Long-term capital lease obligations 12,811 12,953    
Retirement and postretirement plans 0 25,917    
Other liabilities 1,265 8,807    
Total liabilities 767,328 806,173    
Noncontrolling interests 0 0    
Stockholders' equity:        
Total stockholders (deficit) equity 1,413,057 1,447,970    
Total liabilities, noncontrolling interest and stockholders' equity (deficit) 2,180,385 2,254,143    
Reportable Legal Entities [Member] | Guarantor Subsidiaries [Member]        
Current assets:        
Cash and cash equivalents 29,512 35,925 24,042 27,371
Trade accounts receivable, net 183,913 192,306    
Prepaid expenses and other current assets 13,144 10,441    
Total current assets 226,569 238,672    
Property and equipment, net 301,380 309,160    
Other assets, net 29,038 27,523    
Definite lived intangible assets, net 445,675 458,261    
Broadcast licenses 1,025,800 1,025,800    
Goodwill 924,708 924,708    
Advances to consolidated subsidiaries 254,351 223,051    
Investment in consolidated subsidiaries 0 0    
Total assets 3,207,521 3,207,175    
Current liabilities:        
Trade accounts payable 16,459 30,689    
Accrued salaries and wages 16,709 19,016    
Accrued expenses and other current liabilities 80,050 68,101    
Current installments of long-term debt 0 0    
Current installments of obligation under capital leases 246 256    
Total current liabilities 113,464 118,062    
Long-term debt excluding current maturities 1,508,935 1,507,181    
Deferred tax liability and other long-term tax liabilities 237,358 253,232    
Long-term capital lease obligations 999 1,059    
Retirement and postretirement plans 179,377 157,070    
Other liabilities 27,056 20,999    
Total liabilities 2,067,189 2,057,603    
Noncontrolling interests 0 0    
Stockholders' equity:        
Total stockholders (deficit) equity 1,140,332 1,149,572    
Total liabilities, noncontrolling interest and stockholders' equity (deficit) 3,207,521 3,207,175    
Reportable Legal Entities [Member] | Non-Guarantor Subsidiaries [Member]        
Current assets:        
Cash and cash equivalents 4,081 4,063 6,453 4,503
Trade accounts receivable, net 30,377 30,302    
Prepaid expenses and other current assets 1,500 1,378    
Total current assets 35,958 35,743    
Property and equipment, net 2,777 2,750    
Other assets, net 3,145 3,348    
Definite lived intangible assets, net 44,442 44,857    
Broadcast licenses 71,300 71,300    
Goodwill 92,839 92,839    
Advances to consolidated subsidiaries (16,708) (16,655)    
Investment in consolidated subsidiaries 0 0    
Total assets 233,753 234,182    
Current liabilities:        
Trade accounts payable 2,996 3,101    
Accrued salaries and wages 570 427    
Accrued expenses and other current liabilities 5,769 4,162    
Current installments of long-term debt 3,514 3,804    
Current installments of obligation under capital leases 20 28    
Total current liabilities 12,869 11,522    
Long-term debt excluding current maturities 23,286 24,062    
Deferred tax liability and other long-term tax liabilities (1,400) (783)    
Long-term capital lease obligations 0 0    
Retirement and postretirement plans 0 0    
Other liabilities 4,966 5,114    
Total liabilities 39,721 39,915    
Noncontrolling interests 37,465 24,447    
Stockholders' equity:        
Total stockholders (deficit) equity 156,567 169,820    
Total liabilities, noncontrolling interest and stockholders' equity (deficit) 233,753 234,182    
Eliminations [Member]        
Current assets:        
Cash and cash equivalents 0 0 $ 0 $ 0
Trade accounts receivable, net 0 0    
Prepaid expenses and other current assets 0 0    
Total current assets 0 0    
Property and equipment, net 0 0    
Other assets, net 0 0    
Definite lived intangible assets, net 0 0    
Broadcast licenses 0 0    
Goodwill 0 $ 0    
Advances to consolidated subsidiaries 0    
Investment in consolidated subsidiaries (2,709,956) $ (2,767,362)    
Total assets (2,709,956) (2,767,362)    
Current liabilities:        
Trade accounts payable 0 0    
Accrued salaries and wages 0 0    
Accrued expenses and other current liabilities 0 0    
Current installments of long-term debt 0 0    
Current installments of obligation under capital leases 0 0    
Total current liabilities 0 0    
Long-term debt excluding current maturities 0 0    
Deferred tax liability and other long-term tax liabilities 0 0    
Long-term capital lease obligations 0 0    
Retirement and postretirement plans 0 0    
Other liabilities 0 0    
Total liabilities 0 0    
Noncontrolling interests 0 0    
Stockholders' equity:        
Total stockholders (deficit) equity (2,709,956) (2,767,362)    
Total liabilities, noncontrolling interest and stockholders' equity (deficit) $ (2,709,956) $ (2,767,362)    
[1] Consolidated assets as of March 31, 2016 and December 31, 2015, include total assets of variable interest entities (VIEs) of $142 million and $145 million, respectively, which can only be used to settle the obligations of the VIEs. See Note 1 and Note 3.
[2] Consolidated liabilities as of March 31, 2016 and December 31, 2015, include total liabilities of VIEs of $36 million and $38 million, respectively, for which the creditors of the VIEs have no recourse to the Company, except for certain of the debt, which the Company guarantees. See Note 1 and Note 3.

v3.4.0.3
Guarantor Financial Information - Condensed Consolidating Statement of Comprehensive Income (Details) - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2016
Mar. 31, 2015
Condensed Income Statements, Captions [Line Items]    
Net operating revenue $ 343,463 $ 296,734
Operating costs:    
Operating expenses, excluding depreciation expense 151,143 125,876
Selling, general and administrative expenses 78,321 80,470
Amortization of program license rights 12,066 11,758
Corporate and other expenses 10,352 12,651
Depreciation and amortization 40,121 40,283
Gain related to property and equipment, net (768) (228)
Merger-related expenses 65,882 5,277
Restructuring expenses 3,982 0
Operating income (loss) (17,636) 20,647
Other income (expense):    
Interest expense, net (28,556) (31,023)
Debt modification and extinguishment costs 0 (613)
Intercompany income and (expenses) 0 0
Equity in income (loss) from operations of consolidated subsidiaries 0 0
Other, net 74 3,290
Total other income (expense) (28,482) (28,346)
Loss before income taxes (46,118) (7,699)
Income tax benefit (expense) 20,405 3,157
Net income (loss) (25,713) (4,542)
Net income (loss) attributable to noncontrolling interest 477 2,891
Net loss attributable to Media General (26,190) (7,433)
Other comprehensive income 0 0
Total comprehensive loss attributable to Media General (26,190) (7,433)
Reportable Legal Entities [Member] | Media General [Member]    
Condensed Income Statements, Captions [Line Items]    
Net operating revenue 0 0
Operating costs:    
Operating expenses, excluding depreciation expense 0 0
Selling, general and administrative expenses 0 0
Amortization of program license rights 0 0
Corporate and other expenses 0 0
Depreciation and amortization 0 0
Gain related to property and equipment, net 0 0
Merger-related expenses 0 0
Restructuring expenses 0 0
Operating income (loss) 0 0
Other income (expense):    
Interest expense, net 0 (1)
Debt modification and extinguishment costs   0
Intercompany income and (expenses) 0 0
Equity in income (loss) from operations of consolidated subsidiaries (26,190) (7,432)
Other, net 0 0
Total other income (expense) (26,190) (7,433)
Loss before income taxes (26,190) (7,433)
Income tax benefit (expense) 0 0
Net income (loss) (26,190) (7,433)
Net income (loss) attributable to noncontrolling interest 0 0
Net loss attributable to Media General (26,190) (7,433)
Other comprehensive income   0
Total comprehensive loss attributable to Media General (26,190) (7,433)
Reportable Legal Entities [Member] | LIN Television Corporation [Member]    
Condensed Income Statements, Captions [Line Items]    
Net operating revenue 99,091 88,218
Operating costs:    
Operating expenses, excluding depreciation expense 42,160 37,599
Selling, general and administrative expenses 22,693 23,524
Amortization of program license rights 4,480 4,178
Corporate and other expenses 0 3,201
Depreciation and amortization 14,399 14,136
Gain related to property and equipment, net (7) (36)
Merger-related expenses 0 1,374
Restructuring expenses 0 0
Operating income (loss) 15,366 4,242
Other income (expense):    
Interest expense, net (10,694) (10,650)
Debt modification and extinguishment costs   0
Intercompany income and (expenses) (10,107) (5,535)
Equity in income (loss) from operations of consolidated subsidiaries (15,958) (434)
Other, net 0 82
Total other income (expense) (36,759) (16,537)
Loss before income taxes (21,393) (12,295)
Income tax benefit (expense) (4,797) 4,863
Net income (loss) (26,190) (7,432)
Net income (loss) attributable to noncontrolling interest 0 0
Net loss attributable to Media General (26,190) (7,432)
Other comprehensive income 0 0
Total comprehensive loss attributable to Media General (26,190) (7,432)
Reportable Legal Entities [Member] | Guarantor Subsidiaries [Member]    
Condensed Income Statements, Captions [Line Items]    
Net operating revenue 235,157 199,730
Operating costs:    
Operating expenses, excluding depreciation expense 100,634 83,759
Selling, general and administrative expenses 53,541 53,218
Amortization of program license rights 7,574 7,101
Corporate and other expenses 10,350 9,458
Depreciation and amortization 23,948 24,672
Gain related to property and equipment, net (833) (192)
Merger-related expenses 65,882 3,903
Restructuring expenses 3,982 0
Operating income (loss) (29,921) 17,811
Other income (expense):    
Interest expense, net (17,586) (20,087)
Debt modification and extinguishment costs   (613)
Intercompany income and (expenses) 10,451 5,767
Equity in income (loss) from operations of consolidated subsidiaries 0 0
Other, net 74 708
Total other income (expense) (7,061) (14,225)
Loss before income taxes (36,982) 3,586
Income tax benefit (expense) 24,584 (2,274)
Net income (loss) (12,398) 1,312
Net income (loss) attributable to noncontrolling interest 0 (178)
Net loss attributable to Media General (12,398) 1,490
Other comprehensive income 0 0
Total comprehensive loss attributable to Media General (12,398) 1,490
Reportable Legal Entities [Member] | Non-Guarantor Subsidiaries [Member]    
Condensed Income Statements, Captions [Line Items]    
Net operating revenue 17,855 13,742
Operating costs:    
Operating expenses, excluding depreciation expense 13,447 7,542
Selling, general and administrative expenses 2,252 4,137
Amortization of program license rights 513 479
Corporate and other expenses 2 (8)
Depreciation and amortization 1,774 1,475
Gain related to property and equipment, net 72 0
Merger-related expenses 0 0
Restructuring expenses 0 0
Operating income (loss) (205) 117
Other income (expense):    
Interest expense, net (276) (285)
Debt modification and extinguishment costs   0
Intercompany income and (expenses) (344) (232)
Equity in income (loss) from operations of consolidated subsidiaries 0 0
Other, net 0 2,500
Total other income (expense) (620) 1,983
Loss before income taxes (825) 2,100
Income tax benefit (expense) 618 568
Net income (loss) (207) 2,668
Net income (loss) attributable to noncontrolling interest 477 3,069
Net loss attributable to Media General (684) (401)
Other comprehensive income 0 0
Total comprehensive loss attributable to Media General (684) (401)
Eliminations [Member]    
Condensed Income Statements, Captions [Line Items]    
Net operating revenue (8,640) (4,956)
Operating costs:    
Operating expenses, excluding depreciation expense (5,098) (3,024)
Selling, general and administrative expenses (165) (409)
Amortization of program license rights (501) 0
Corporate and other expenses 0 0
Depreciation and amortization 0 0
Gain related to property and equipment, net 0 0
Merger-related expenses 0 0
Restructuring expenses 0 0
Operating income (loss) (2,876) (1,523)
Other income (expense):    
Interest expense, net 0 0
Debt modification and extinguishment costs   0
Intercompany income and (expenses) 0 0
Equity in income (loss) from operations of consolidated subsidiaries 42,148 7,866
Other, net 0 0
Total other income (expense) 42,148 7,866
Loss before income taxes 39,272 6,343
Income tax benefit (expense) 0 0
Net income (loss) 39,272 6,343
Net income (loss) attributable to noncontrolling interest 0 0
Net loss attributable to Media General 39,272 6,343
Other comprehensive income   0
Total comprehensive loss attributable to Media General $ 39,272 $ 6,343

v3.4.0.3
Guarantor Financial Information - Condensed Consolidating Statement of Cash Flows (Details) - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2016
Mar. 31, 2015
Cash flows from operating activities:    
Net cash used by operating activities $ (4,799) $ 56,419
Cash flows from investing activities:    
Capital expenditures (6,763) (7,209)
Proceeds from the sale of property and equipment 3,976 262
Proceeds from spectrum relocation 0 620
Receipt of dividend 0 0
Advances on intercompany borrowings 0  
Payments from intercompany borrowings 0 0
Payment of capital contributions   0
Other, net (10) (5)
Net cash provided (used) by investing activities (2,797) (6,332)
Cash flows from financing activities:    
Borrowings under Media General Revolving Credit Facility 30,000 0
Repayments under Media General Revolving Credit Facility (30,000) 0
Repayments of borrowings (800)  
Repayment of other borrowings (290) (290)
Payment of dividend 0 0
Proceeds from intercompany borrowings 0  
Payments on intercompany borrowing 0 0
Receipt of capital contributions   0
Exercise of stock options 1,408 958
Other, net (220) (764)
Net cash provided (used) by financing activities 98 (35,696)
Net (decrease) increase in cash and cash equivalents (7,498) 14,391
Cash and cash equivalents at beginning of period 41,091 43,920
Cash and cash equivalents at end of period 33,593 58,311
Shield Media Credit Agreement [Member]    
Cash flows from financing activities:    
Repayments of borrowings (800) (600)
Media General Credit Agreement [Member]    
Cash flows from financing activities:    
Repayments of borrowings 0 (35,000)
Eliminations [Member]    
Cash flows from operating activities:    
Net cash used by operating activities 0 0
Cash flows from investing activities:    
Capital expenditures 0 0
Proceeds from the sale of property and equipment 0 0
Proceeds from spectrum relocation   0
Receipt of dividend (19,502) (19,502)
Advances on intercompany borrowings 2,644  
Payments from intercompany borrowings (12,060) (14,098)
Payment of capital contributions   3,011
Other, net 0 0
Net cash provided (used) by investing activities (28,918) (30,589)
Cash flows from financing activities:    
Borrowings under Media General Revolving Credit Facility 0  
Repayments under Media General Revolving Credit Facility 0  
Repayments of borrowings 0  
Repayment of other borrowings 0 0
Payment of dividend 19,502 19,502
Proceeds from intercompany borrowings (2,644)  
Payments on intercompany borrowing 12,060 14,098
Receipt of capital contributions   (3,011)
Exercise of stock options 0 0
Other, net 0 0
Net cash provided (used) by financing activities 28,918 30,589
Net (decrease) increase in cash and cash equivalents 0 0
Cash and cash equivalents at beginning of period 0 0
Cash and cash equivalents at end of period 0 0
Eliminations [Member] | Shield Media Credit Agreement [Member]    
Cash flows from financing activities:    
Repayments of borrowings   0
Eliminations [Member] | Media General Credit Agreement [Member]    
Cash flows from financing activities:    
Repayments of borrowings   0
Reportable Legal Entities [Member] | Media General [Member]    
Cash flows from operating activities:    
Net cash used by operating activities 0 (1,402)
Cash flows from investing activities:    
Capital expenditures 0 0
Proceeds from the sale of property and equipment 0 0
Proceeds from spectrum relocation   0
Receipt of dividend 0 0
Advances on intercompany borrowings 0  
Payments from intercompany borrowings 0 2,025
Payment of capital contributions   (3,011)
Other, net 0 0
Net cash provided (used) by investing activities 0 (986)
Cash flows from financing activities:    
Borrowings under Media General Revolving Credit Facility 0  
Repayments under Media General Revolving Credit Facility 0  
Repayments of borrowings 0  
Repayment of other borrowings 0 0
Payment of dividend 0 0
Proceeds from intercompany borrowings 0  
Payments on intercompany borrowing 0 0
Receipt of capital contributions   0
Exercise of stock options 0 0
Other, net 0 0
Net cash provided (used) by financing activities 0 0
Net (decrease) increase in cash and cash equivalents 0 (2,388)
Cash and cash equivalents at beginning of period 0 2,388
Cash and cash equivalents at end of period 0 0
Reportable Legal Entities [Member] | LIN Television Corporation [Member]    
Cash flows from operating activities:    
Net cash used by operating activities (4,065) 12,021
Cash flows from investing activities:    
Capital expenditures (1,716) (2,314)
Proceeds from the sale of property and equipment 29 36
Proceeds from spectrum relocation   0
Receipt of dividend 19,502 19,502
Advances on intercompany borrowings (2,644)  
Payments from intercompany borrowings 0 0
Payment of capital contributions   0
Other, net 0 0
Net cash provided (used) by investing activities 15,171 17,224
Cash flows from financing activities:    
Borrowings under Media General Revolving Credit Facility 0  
Repayments under Media General Revolving Credit Facility 0  
Repayments of borrowings 0  
Repayment of other borrowings 0 0
Payment of dividend 0 0
Proceeds from intercompany borrowings 0  
Payments on intercompany borrowing (12,060) (14,098)
Receipt of capital contributions   3,011
Exercise of stock options 0 0
Other, net (149) 0
Net cash provided (used) by financing activities (12,209) (11,087)
Net (decrease) increase in cash and cash equivalents (1,103) 18,158
Cash and cash equivalents at beginning of period 1,103 9,658
Cash and cash equivalents at end of period 0 27,816
Reportable Legal Entities [Member] | Guarantor Subsidiaries [Member]    
Cash flows from operating activities:    
Net cash used by operating activities (596) 42,361
Cash flows from investing activities:    
Capital expenditures (3,649) (4,288)
Proceeds from the sale of property and equipment 3,947 226
Proceeds from spectrum relocation   620
Receipt of dividend 0 0
Advances on intercompany borrowings 0  
Payments from intercompany borrowings 12,060 12,073
Payment of capital contributions   0
Other, net (10) 0
Net cash provided (used) by investing activities 12,348 8,631
Cash flows from financing activities:    
Borrowings under Media General Revolving Credit Facility 30,000  
Repayments under Media General Revolving Credit Facility (30,000)  
Repayments of borrowings 0  
Repayment of other borrowings 0 0
Payment of dividend (19,502) (19,502)
Proceeds from intercompany borrowings 0  
Payments on intercompany borrowing 0 0
Receipt of capital contributions   0
Exercise of stock options 1,408 958
Other, net (71) (777)
Net cash provided (used) by financing activities (18,165) (54,321)
Net (decrease) increase in cash and cash equivalents (6,413) (3,329)
Cash and cash equivalents at beginning of period 35,925 27,371
Cash and cash equivalents at end of period 29,512 24,042
Reportable Legal Entities [Member] | Non-Guarantor Subsidiaries [Member]    
Cash flows from operating activities:    
Net cash used by operating activities (138) 3,439
Cash flows from investing activities:    
Capital expenditures (1,398) (607)
Proceeds from the sale of property and equipment 0 0
Proceeds from spectrum relocation   0
Receipt of dividend 0 0
Advances on intercompany borrowings 0  
Payments from intercompany borrowings 0 0
Payment of capital contributions   0
Other, net 0 (5)
Net cash provided (used) by investing activities (1,398) (612)
Cash flows from financing activities:    
Borrowings under Media General Revolving Credit Facility 0  
Repayments under Media General Revolving Credit Facility 0  
Repayments of borrowings (800)  
Repayment of other borrowings (290) (290)
Payment of dividend 0 0
Proceeds from intercompany borrowings 2,644  
Payments on intercompany borrowing 0 0
Receipt of capital contributions   0
Exercise of stock options 0 0
Other, net 0 13
Net cash provided (used) by financing activities 1,554 (877)
Net (decrease) increase in cash and cash equivalents 18 1,950
Cash and cash equivalents at beginning of period 4,063 4,503
Cash and cash equivalents at end of period $ 4,081 6,453
Reportable Legal Entities [Member] | Shield Media Credit Agreement [Member] | Media General [Member]    
Cash flows from financing activities:    
Repayments of borrowings   0
Reportable Legal Entities [Member] | Shield Media Credit Agreement [Member] | LIN Television Corporation [Member]    
Cash flows from financing activities:    
Repayments of borrowings   0
Reportable Legal Entities [Member] | Shield Media Credit Agreement [Member] | Guarantor Subsidiaries [Member]    
Cash flows from financing activities:    
Repayments of borrowings   0
Reportable Legal Entities [Member] | Shield Media Credit Agreement [Member] | Non-Guarantor Subsidiaries [Member]    
Cash flows from financing activities:    
Repayments of borrowings   (600)
Reportable Legal Entities [Member] | Media General Credit Agreement [Member] | Media General [Member]    
Cash flows from financing activities:    
Repayments of borrowings   0
Reportable Legal Entities [Member] | Media General Credit Agreement [Member] | LIN Television Corporation [Member]    
Cash flows from financing activities:    
Repayments of borrowings   0
Reportable Legal Entities [Member] | Media General Credit Agreement [Member] | Guarantor Subsidiaries [Member]    
Cash flows from financing activities:    
Repayments of borrowings   (35,000)
Reportable Legal Entities [Member] | Media General Credit Agreement [Member] | Non-Guarantor Subsidiaries [Member]    
Cash flows from financing activities:    
Repayments of borrowings   $ 0

IDEA: XBRL DOCUMENT
begin 644 Financial_Report.xlsx
M4$L#!!0    ( /*#J4B9D_GWS $  -,:   3    6T-O;G1E;G1?5'EP97-=
M+GAM;,V9RT[#,!!%?Z7*%C6N[?(494/9 A+\@$FFC=4XMFRWE+_'3@%!51"O
M2G>31^]X[DW&.9N>WS\Y"H.U:;LP*9H8W1ECH6K(J%!:1UU29M8;%=.MGS.G
MJH6:$Q.CT1&K;!>IB\.8>Q07YS;"/7X4C?)4WT6?YKO[VWA?
ML+\<>:[]]6=#[\7 ^M,>(?&C' (DAP3),0;)<0B2XP@DQS%(CA.0'*<@.?@(
M)0@*43D*4CD*4SD*5#D*53D*5CD*5SD*6#D*604*604*604*604*604*604*
M604*604*604*604*624*624*624*624*624*624*624*624*624*624*6<[%    *P(   L   !?
M.0Q(OW[
MCMB PD.MQ-*O>X^NO ZIK XTHO8<4M?'5$Q^#*G*_=ITJK$"2+8CCVG!D4*>
M-BP>-9?20D0[8$NP+,L5R*V.V:SGVL7.U49V[M,41Y26M#;3"&>6X9MY6&3I
M//B)]!=C;IK>TI;MR5/0!_ZS#0//>997'L=V+YRO+0O]C^AY%.!)T:'B1?4C
M9@,2[2F]@OIZ (4QOCLEFI2"(S>C@KN_V/P"4$L#!!0    ( /*#J4AYY7JT
ML0$  !L:   :    >&PO7W)E;',O=V]R:V)O;VLN>&UL+G)E;'/%V< 94 *S=LU1MH8* $^I/.&/7NK2P,_LP7%R3?IDT[R9EWT3QI
MVD4;R_EC.%7IT+6Q/O1Q\M:0D(:PY6@O@6CA>"P!;
M.&(+(%LX9@M 6SAJ"V!;.&X+@%LX<@N@6SAV"\!;.'HKT%LY>BO06TGOVNAE
MFZ.W KV5H[<"O96CMP*]E:.W KV5H[<"O96CMP*]E:.W KV5H[X[>'NCM.7K["[UC70UA^Y2&0[N/UZ[Y-AP67> =T_LI7#_E/!4V
M7&B=QIV".Q^O_M2+B',IIM7I/\KZW$AIKUQ_-K2G H@3'
M=FNEW8B29[TM%>,BYW^5@42@J.TNCDNQ36.),AF^T$J''T$. 9M/("Q,9*O$WZ
M%::9\IB%X HFM%>2<>6@0MTG/69BU@77MU$U^B;UC?M9+,V4(S19AQ/5ZCFW
MD-*F!ZO728_Y0=K$/I[<:W$%UI65GL:O^_2K)=CGJ[6!IU*O
MYEQ:EXRW.-J"0&/O;-KB];;<2JZQQYS\0\.X
M5VU;97VL"H6W,EV4'>964I4
MX"ZR.;?XGZ3P->V%&-XI416Z7X)QG;*91FI']E576Y%Y34GJ:&*T,TJFU%PI
MHT$*VE%TSA77 M@S.(,NG 52@K[Y&9PW0K'\I
M=%7VP[4" B+0HEA)2U=($#Z%Z\J "\S!LD]2DRB2*Z+3]";(6?(=W7)&$T:8
M-00Q,VXU-9]C9^:AY5 (VYRHU(ZY"_8[/>&&B<(
M]"4%9SYON*5#8PX+;ATX?7^DU.W?U:IYW#]:\_9=
MJ@):(:TNQ.&#&3PPK,X>[=P)^\&MI7@;;LPPYX+^B"C6J^Z<^%WG)ID"=F^2
M^$-WSB!L>COG])B[P1?!I7JB P*M>^+-%'[?XSFUF6%.:\L/PE=SN.5;RZET
M:G[-&;.OD+4$L#!!0    ( /*#J4@$H!KK/P$  &D#   1    9&]C4')O<',O
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MR+3<])E $H+PRJ&RYBI&PO
M=&AE;64O=&AE;64Q+GAM;.U:6W/:.!1^[Z_0>&?V;0O&-H&VM!-S:7;;M)F$
M[4X?A1%8C6QY9)&$?[]'-A#+E@WMDDVZFSP$+.G[SD5'Y^@X>?/N+F+HAHB4
M\GA@V2_;UKNW+][@5S(D$4$P&:>O\, *I4Q>M5II ,,X?+&A T%116F]?(+3E'S/X%/F7/Z3H=,H%N,!M8('_.;Z?D3EJ(X53"Q,!J9S]6
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ME']IJP&G[;N;SY/\<^CDGZ>3UTU"SG"\+ GQ^R-;88C'(CN]WV6'WV3T=N(]>IP+,BUY1&)$6?
MR"VZY!$XM4D-,A,_")V&F&I0' *D"3&6H8;XM,:L$> 3?;>^",C?C8CWJV^:
M/5>A6$G:A/@01AKBG'/F<]%L^P>E1M'V5;SCFED)O816:I^JAS0^J!XR"@7QN1X^Y7IX"C>6QKQ0KH)[ ?_1VC?"J_B"
MP#E_+GW/I>^Y]#VATK\>WZV22$KYI9+2,6D$N!LT$DN/R+RO JQ GH9%LE"0AMNZ5/U2I77Y:^Y*+@\6^3IKZ%T/BS/^3Q?Y[3-"S-#MW)+ZK:4OK4F
M.$KTL@'37[]EUVY".E,%.70[@:0KX#;;J=W#HXGIB1
MN0K34I!OP_GIQ7@:XCG9!+E]F%=MY]C1T?OGP5&PH^\\EAW'B/*B(>ZAAIC/
MPT.'>7M?F&>5QE T%&ULK"0L1K=@N-?Q+!3@9& MH >#KU$"\E)58#%;Q@,K
MD*)\3(Q%Z'#GEUQ?X]&2X]NF9;5NKREW&6TB4CG":9@39ZO*WF6QP54=SU5;
M\K"^:CVT%4[/_EFMR)\,$4X6"Q)(8Y07IDJB\QE3ON>;G*YZ(G;Z
MEW?!8/+]<,E'#^4[YU_T74.N?O;=X_INDS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M0ADCA1';&4G;U3:,0F"PE4+SL+54J,
MLLH$,>K-?7_I,40XC$->LQ53%4A%S54$%QT$7/RMR' $'Z?O?]1"W;P#;IQ\
MF$S\QXN;,3ZU"Q<0.(XO602#Y0)ZIY/._..\>FU$O3Q"W;I;LFD_&X5?OD[9
M,\)&Q%?/ZQJ(&@5>FT"O*4H(DD02 ^:($;IW\-P ]KXT?HQP(6UNEV&<9^;WF6211-!O?J>G2WIV
M.YCM$4H/MZ>!."R14ECRE9Z QE[O2[TY+CAV(JW?"]Z%1/M@OA@$V$'G383,
ML.PR!["%XI#B7.D 28J-&94HC72AE&#:R @J!$?44+81C:%I4TSI@_DZO^<'
MW+L<.!]38Q\"HZ(U]4$T9G\-[*%Z0S;'/:2=OXD7[/(N@8Y&94GWGRDI.,-.
MK(-6HIF]1!\CK^"_/I[_FGQ8&_L9PI&>$TIQ5[,$RY7]YWV]L(^7YZK,
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M*V,;[4-.&5MBZ^V_.ZS_.1FF6I7?&M%'ICS8(GA">>F",
M49>]&Z-<7Z>5F&?3,0!_Z:#7VNCX>YZUUT:EF8Q>3*5-__,5LVUR]DO,I*W8
MA8U 89>V6SQ(31H#W'Q9M0_V,PT7_K+*NU1AT&<0PQE=02XJ!HU*V0!79])(
M6RJ&0!R!^%M! H$$ HE7@Y81.F#*"%0@4/%6T 2!)@@T.02=R: #(K"IX?A2W7;+A6]/L;=UIH(B\HY=
M_-? JX/CL9TYH6>;0QR +,1^2.]E
M^M9B%'::O]+I(W:U4PEE;S$*:\U?5VB?4?P8H[#6_$UEE[T_5Q&CL-;\K=67
MGV(45IL3:@^B!%9;8+4%H?8P*L2ZPYX+PG'CYCUHW
MRW:4&-7;/Q">DZ@G-WLH[+D@/!^L)0)O(03V7%">D[6$2A767!":=RN&IT1B
ML.*"4'R/N59I$U#&QD/24DMY0%YC%%9<$(H/%BF!%1=8<4$H/H@JL.(%5KP@
M%!]&8<4+K'A!*#Z,XAB%12_XXX[^>1,/YQAM596..*%]#)P1RG3N@9]N_U),
MTB=3_\#4$L#!!0    ( /*#
MJ4AR2=A(0P(  (X'   8    >&PO=V]R:W-H965T&ULC97;
M;J,P$(9?!?$ -3:'A(@@)5E5W8N5JE[L7CN)$U Q9FTG=-]^?0!B$"JY 6S^
M?[X9L,=9R_BG* B1WA>M:K'U"RF;#0#B5!"*Q0MK2*W>7!BG6*HAOP+1<(+/
MQD0K@((@ 127M9]G9NZ=YQF[R:JLR3OWQ(U2S/_M2<7:K0_]?N*CO!923X \
M X/O7%)2BY+5'B>7K;^#FP,,M<0H?I>D%^=R07?*OG!
MVC?2U1#K@"=6"7/U3CTMOD?QE[V7M;FW]DT4=K9Y ^H,:#"@Z%M#V!G"
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MIF->&)-$)1&\J&0*=3@.@XI&PO=V]R:W-H965T&UL
MC9A-;]LX$(;_BN'[5B*'%,G ,=!86.P>"A0][)Z56(F-6I974N+VWR_U86>&
M&3F\V/IXAWQ%D8^&LSK7S<]V5Y;=XE=U.+;WRUW7G>Z2I'W:E571?JE/Y='?
M>:Z;JNC\:?.2M*>F++9#4'5(9)IF257LC\OU:KCVO5FOZM?NL#^6WYM%^UI5
M1?/[H3S4Y_NE6%XN_-B_[+K^0K)>)=>X[;XJC^V^/BZ:\OE^^57!ZR:#X
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M.58ID3KQN1<5>%'82T9[R48O"O4BG;#6<;*[&LEPR_)25MQH\,D6F5*?NY&Q.X,=@-V\W&X-F@C1*L
MZ9S(3*K!?.[&!FXL<@,IZ\;BA_;3AE7E1&53DW[NQ05>'/8B6"\.]6*5L\"_
M)R(S0J!QGG4CTL!.#^]W/Y+U,VFFZ9DZ(U)^>&X*YSV)T!,F'@#O29 EHU2&
MT$8\W1+.>Y*A)TQ1"+H:-0]4HWG?$L]GD,ID,V-)A283:<0Z%%=X3_ 7F-Z0
M1;00(E=@Y@)/.8%I*IS5,^]"$;38J-D10E=@Z@)/.H&!*LG2('ZH3&4ZPD\(
M7H')RR_5C)78OPJ'G424U7Z
MG07PPIP*A7-XFLU["O$K,7X5.S,V$E-5.G!FQA+6@= 2(N:0#.$K,5@5#U:)
M>2G SJPP*E.ID!%^PHQ88J@J/@V5.-L5QH'A4S^JLSX5C4AP9 AIB2&M>$A+
M0E^0,[DHE2DG8^90"&F)(1VNH.ES234!.*>-A22$MGZ5A<2?]A94Z%+(8K87
M,H2YQ##7*>=[0S6"T^1SFGDG(<4EIKB6_.@0/AO\_2)C@V52*14SPZXPW-:0/,%!OI?R!,#+EAY"]@+G*
M=[4!4G%0/JF8L41U.HW)2"&D*F :9H)E&9"R0_;!T*6&1&0VSL_(UL').PIO
MAX1I+) :@N:@_T T641B 2$B@22HCN\%:[(0Q DJ4%9E\S)4>MO%4_UZ[,9R
MVO7JM9K\,-1^P^M@[C9^N#[>\<_I[UCVCO-WAM)T\M[Y>G4J7LIO1?.R/[:+
MQ[KKZFJHD#[7=5?Z1TJ_^%FV*XOM]>10/G?]H?''S5A/'D^Z^G0ICU]K].O_
M 5!+ P04    " #R@ZE(2I/9(%("   9"   &    'AL+W=O64>/W<=9O^V
MI*7CQ@_]Z\!;M[0WF/DN/%?PN_LP%[:X6W^OPAWDVO7Z.YDT&
M)IO; "<#O!E"=-<0389H80@,F:[K&Q:X+!@=/3Y@M=KALY0S%41&]KB.QLQT
MR$J4;8@RFRBT$F4K<_*A.)6K#+D"X;<9H#.E!/KR/E HB X(GN3=K>4_?.BTY
M"M5,99N9F\MT!!VN%_'M:Z#\#U!+ P04    " #R@ZE(L%K:4_H#  #<$0  
M&    'AL+W=O28E[WGZT62FRRS OD43_Q?J+RQ=1ZVO=_&A/
MUG;1S[*HVM?5J>LN+W'<[DZVS-OG^F*K_I=#W91YUS\VQ[B]-#;?CT%E$0-C
M,B[S<[7:K,>V;\UF77]TQ;FRWYJH_2C+O/EO:XOZ^KKBJUO#]_/QU T-\68=
M+W'[VW1?328?Z_K'\/#G_O7%1L\V,+N
MNJ&+O+]\VLP6Q=!3G_G?N=.OG$,@OK_U_OM8;F__/6]M5A?_G/?=J7?+5M'>
M'O*/HOM>7_^POG1J7K^'/H9Y; *-EB"5\4<=\YF0%6;CB@<* 29%BAY.,,XI9A>GP3
M.%X]CD]N\.E5
M(U&\9JY-.54CD4V>G%47*7ZL1?C>3'8"SG\6X.S,)&2CC-'!3(-V*&<>68&
MW'VY24@WLV9*E#!^9YH\&:#:[OOAOA^,')W2?CA*]*2DINTX*H" F>+@N\%\
MTN2*V,Z:*8],-;V\,D>60@BLN/#M8-QI1=L1F%?FGANL"MA/W \(TU.3F;:S9EX37$E![W)'U[,@"3&TT'BF.<^V(!^"YX[DOA$?R: <(QZ3YR,#J =#,Y\9
M7%W@T"Q(GO_-@'8W]L>=^=YQLOE\>"GOHAEO5WS?3QX?I
MH:LOMV\IRP>=S?]02P,$%     @ \H.I2)(S<#WR!   *AD  !@   !X;"]W
M;W)K+7=<=[Y;+]FE75'G[M3X6A_Z7Y[JI\JZ_;5Z6[;$I\NU8J"J7$,=F6>7[
MPV*]&I]]:]:K^K4K]X?B6Q.UKU65-_]MBK(^W2_4XO+@^_YEUPT/ENO5\EIN
MNZ^*0[NO#U%3/-\O'M1=II-!,BK^WA>GUKN.!O./=?UCN/ES>[^(!P]%63QU
M0Q5Y__569$59#C7U+?][KO2]S:&@?WVI_?>QN[W]Q[PMLKK\9[_M=KW;>!%M
MB^?\M>R^UZ<_BG,?1H=/==F.G]'3:]O5U:7((JKRG]/W_C!^GZ9?TOA<3"X 
MYP)P+7!M1RZ YP+X7D"//9V_R]:JI3U%[S(?95G>]O!DJZ6N.VK&V
M9AJNOF=M__1MK>)DM7P;*CIK8-1LB.:J6/:UBTW @A8'KSA(#62^PIK;+>"E
MA>GV 4DG BK0EPKT5($F%5AJTD[=F#2'4?,%$JM0DF5$IA,-M]TDS$U"W*2T
M&3.Y28@;!49)LHS($!-[VXUA;HSG)M6B&>.UHF,%LA>J@A1O>[',B_6]@.C%
M>JTHB(T1O1"5LDEZVTO*O*1DEIQH)O6:@1A1].*+, YPXI@3YX]*(AIQ_CJP
M1EQ3&1$!!#A1,;,R@/-]5%0LFCF+IH9$248D7["?R  SBILAX%+BJMR<19L^:#X?&EQ@5L(L438SIHM3
M$P 9Q0FL"((Y6R^6?+@:Q!E#O@I[0R&3Q1FL"(25S#V5L%4J^R&J1+D .QS"
MRA [\B97AMBQ,+.6J$?"!'!B!82^.0>>14 Y)A@LQ\H-EC',],92JNO'DS
M'&E D 8R[X$@[0,W[G-ND*>92'@&,F"1Y)#@9"_SJGD[G(U(V"B'W0WZT%-:
M?J_+B,J%O)<@!R/"[?V/0'HMTS.C*FMT@!L.1J1@E.,&^M1S,R-#\DQ,C LY
M*>!P1))GRAGD!@GXK)YSI,F,H@LX'$&.2"2(1#EPH,\^W;]MRF_85(8N)'P@
M3S61(!)E9J.?0R(F\C++B"Q)486,$ GU^/\!
MAB-L]GRC[K+I$/^]FO7JF+\4?^7-R_[01H]UU]75>)K]7-==T=N+O_;V=D6^
MO=Z4Q7,W7-K^NIF.\J>;KCY>_IFX_CVR_A]02P,$%     @ \H.I2 9W#X:A
M 0  L0,  !@   !X;"]W;W)K_#+&C4MR\'D#BM*<;NA0>1=>[4&!5R59>(Q1H*U 3 ^V>
MWFYVAR(@(N!)P&3/8A*\'Q&?0_*GV=,L6  )M0L*W"\GN ,I@Y!O_&_6?&\9
MB.?QHOXK3NO='[F%.Y1_1>-Z;S:CI(&6C](]XO0;YA&N@V"-TL8OJ4?K4"T4
M2A1_2:O0<9W2GYMLIGU.R&="_H' 4J-H\R=WO"H-3L0./)S=9N?A)HAX96*C
MFDG3>Z/65T_59GM3LE,0FC&)GY&S[^F;Q?Z-CG<7CC\
M\;5 L0@42:#XWX@)<[C %-F')NQL3Q68+EX=2VH1'9U34GOW\^:2&A="+_[V*0KE1*'P_) UE=:
MO0%02P,$%     @ \H.I2)&4O">A 0  L0,  !@   !X;"]W;W)K*VK[@F>&<,V=\J68TSW8 <.1526T/='!NW#-FFP$4MSY [_+]L0R("/@A8+87,0G>3XC/(?G6'F@6
M+("$Q@4%[ISRO8>;(.*5B8UJ)DWOC5I?/==YF5?L'(063*(7-"+?]-W*WV7'.ZN'/Z'0+D*E$F@_-N("7.\QNS^:,(N]E2!
MZ>/5L:3!2;NTI5MUNYUW13R3-WA=C;R'[]ST0EMR0N=/-AY#A^C F\AN;BD9
M_/O9$@F="^%''YMTI5+B<%P?R/9*Z]]02P,$%     @ \H.I2*^>&82@ 0  
ML0,  !@   !X;"]W;W)K Z\"24F6)LDU4UQTM,A#
M[4D7.0Y6B@Z>-#ES_.X+$\4 W="X\BZ:UOL"*G"V\2BCHC,".:*@/]&:S
M/V8>$0!_!(QF%1/O_83XXI/'ZD 3;P$DE-8K<+>ND^=[2$]?Q
MK'X?IG7N3]S +)O
M<15=6,?XYV<WV3NX]B).F9B@IN/T
MSJAQU7.QR;*G;Z'"[[K[]];U 
M-@MD42#[:L2(.5YB=A^:L-6>*M!-N#J&E#AT-F[I4EUNYTT:SN0=7N0];^ W
MUXWH##FA=2<;CJ%&M.!,)%<[2EKW?I9$0FU]^,/%.EZIF%CLYP>RO-+B/U!+
M P04    " #R@ZE(14%Y Z(!  "Q P  &    'AL+W=O&+"!.4+2' D$.[9F65A(1DJN0E)7^
M??F0%+L(FHNXNYJ9G>6CG-"\VA[ D7U#97=,<:%I5<;:LZE*')T4&IX-L:-2W/PY@L3I0#=T*;R(
MKG>AP*J2K;Q&*-!6H"8&V@-]V.R/14!$P"\!D[V(2?!^0GP-R8_F0+-@ 234
M+BAPOYSA$:0,0K[QVZSYT3(0+^-%_5N;$9) RT?I7O!
MZ3O,(]P&P1JEC5]2C]:A6BB4*/Z>5J'C.J4_V]U,^YR0SX1\)=QGT7AJ%&T^
M<<>KTN!$[,##V6WV'FZ"B%YK@6(1*)) \;\1$^9XC;G_IPF[V%,%IHM7
MQY(:1^W2EJ[5]78^Y/%,/N!5.? .?G+3"6W)"9T_V7@,+:(#;R*[N:6D]^]G
M322T+H0['YMTI5+B<%@>R/I*J[]02P,$%     @ \H.I2/I?R2:B 0  L0, 
M !D   !X;"]W;W)K&ULA5/;;IPP$/T5RQ\0L\#V
MLF*1LJFJY*%2E(?VV0O#1;$]U#9+\O?Q!0A;1
MI%#F2#MKAP-CINI S\C/OODH3[2Q%L  97U"MPM%[@#(;R0:_QWUGQOZ8G;>%'_
M&:9U[L_R]8H3#A2ZK16)0+A1+)7^+:
MJ[!.\4^6S;2/">E,2%?"MR08CXV"S1_<\K+0.!$S<']VNX.#:R_BE(D):CI.
M[XP:5[V4N_Q[P2Y>:,9$RND*LR*84_^P14JOZ>F&GGY.SQ9Z%AUFV^[[Y'.!
M?!'(HT#^OQ$CYG2%V?\[)-OLJ03=AJMC2(6CLG%+U^IZ.V_3<";O\+(8> N_
MN&Y[9<@9K3O9< P-H@5G(KG94]*Y][,F AKKPZ\NUO%*Q<3BL#R0]966;U!+
M P04    " #R@ZE((5;:0:$!  "Q P  &0   'AL+W=O&<,V=\J68TSW8 <.1%26V/='!N/#!FFP$4MWZ19L  2
M&A<4N%\N\ !2!B'?^,^B^=HR$*_C5?U;G-:[/W,+#RA_B]8-WFQ&20L=GZ1[
MPOD[+"/L@V"#TL8O:2;K4*T42A1_2:O0<9W3GR);:.\3\H60;X0OD\K@S.Q(X\G-WNX.$FB'AE8J.:2=-[H]97+_5NGU?L$H063**<;C ;@GGU
M=UOD]):>7]'SC^G%2B^2P^+&8?&Q0+D*E$F@_-^("7.ZQ91OFK"K/55@^GAU
M+&EPTBYMZ5;=;N=]'L_D%5Y7(^_A)S>]T):&ULA5/+;MLP$/P5@A\0RK*5
M%(8L($X1M(<"00[MF996$A&2JY"4E?Y]^9 4.PB:B[B[FIF=Y:.N6'/F*U[4-S>X #:_VG1*.Y\:CIF!P.\B20E69YEMTQQH6E5QMJ3
MJ4HQ&3X/V$^!*2G\V!9L$"2*A=4.!^.<,#2!F$?./76?.]92!>QHOZ
M8YS6NS]Q"P\H_XC&]=YL1DD#+1^E>\;I!\PC%$&P1FGCE]2C=:@6"B6*OZ55
MZ+A.Z4^1S;3/"?E,R%?"MTA@J5&T^9T[7I4&)V(''LYNL_=P$T2\,K%1S:3I
MO5'KJ^=J4Q0E.P>A&9,HQRO,BF!>_=,6.;VFYQ?T_&OZ=J%OD\/MES^-V+"'*\Q=Q^:L(L]56"Z>'4LJ7'4+FWI6EUOYWT>S^0=7I4#[^ 7
M-YW0EIS0^9.-Q] B.O FLIN"DMZ_GS61T+H0WOG8I"N5$H?#\D#65UK] U!+
M P04    " #R@ZE(P)$W);4]T-ZY8<^8K7M0W-[@ -K_:=$H
M[GQJ.F8' [R))"59D66W3'&A:57&VI.I2AR=%!J>#+&C4MS\.8+$Z4!SNA2>
M1=>[4&!5R59>(Q1H*U 3 ^V!WN?[XS8@(N"7@,E>Q"1X/R&^A.1'-Z;S:CI(&6C](]
MX_0=YA%V0;!&:>.7U*-UJ!8*)8J_I57HN$[I3Y'/M(\)Q4PH5L)=%HVG1M'F
M(W>\*@U.Q X\G%V^]W 31+PRL5'-I.F]4>NKYRK?W97L'(1F3*(7-"+S^F;A;Y)#C=7#K]^+K!=!+9)8/N_$1/F>(6YS?YIPB[V5('I
MXM6QI,91N[2E:W6]G?=%/)-W>%4.O(.?W'1"6W)"YT\V'D.+Z,";R&YVE/3^
M_:R)A-:%\(N/3;I2*7$X+ ]D?:757U!+ P04    " #R@ZE(CT50W*(!  "Q
M P  &0   'AL+W=O;$#
M@".O2FI[H(-SXYXQVPR@N+W!$;3_TZ%1W/G4],R.!G@;24JR(LONF.)"T[J*
MM2=35S@Y*30\&6(GI;CY?02)\X'F="T\BWYPH<#JBFV\5BC05J F!KH#?F=BH
M9M+TWJCUU7.=W^45.P>A!9,HQRO,AF!>_<,6!;VF%Q?TXM_T'4L:G+1+6[I5M]OY4,0S>8/7U^]BD*Y42A^/Z0+976O\!
M4$L#!!0    ( /*#J4C(#/(.H@$  +$#   9    >&PO=V]R:W-H965T6CG-"\V![ D3U#97NFN-"T*F/MR50ECDX*#4^&V%$I;OZ<0.)TI!NZ
M%)Y%U[M08%7)5EXC%&@K4!,#[9'>;PZG(B BX)> R5[%)'@_([Z$Y$=SI%FP
M !)J%Q2X7R[P %(&(=_X==9\;QF(U_&B_BU.Z]V?N84'E+]%XWIO-J.D@9:/
MTCWC]!WF$79!L$9IXY?4HW6H%@HEBK^E5>BX3NG/?CO3/B;D,R%?"5^S:#PU
MBC8?N>-5:7 B=N#A[#8'#S=!Q"L3&]5,FMX;M;YZJ3;[HF27(#1C$N5T@UD1
MS*M_V"*GM_3\BIY_3M\N]&URN+UQN/MZK 
M=/'J6%+CJ%W:TK6ZWL[[/)[).[PJ!][!3VXZH2TYH_,G&X^A173@361W.TIZ
M_W[61$+K0OC%QR9=J90X')8'LK[2ZB]02P,$%     @ \H.I2)+*F^JT 0  
M%@0  !D   !X;"]W;W)K&ULC53;;IPP$/T5RQ\0
ML^QN-EVQ2-E45?M0*5O4=K&F4TH*:'BO;0O.'R'L87@L$!IPI,4O;&H)@HE
MBK_%5;1A'>*;0SK2;A/2D9#.A(]YIO[0\:N7FC$1,IYA9D1S*G?+)'2-3U=T-//Z=N)OHT.M\OJ
MN_\0V$T"NRBP6[7XL&XQ8LYKS)?/B^P_%-DO!0[)S2)KS,P=GF<=K^$GU[5H#;F@=>,3SKI"M.!,)'?.1>,NZ1Q(
MJ*S?'MQ>Q[F-@<5NNH7SKR#_!U!+ P04    " #R@ZE(5_EPCZ(!  "Q P  
M&0   'AL+W=OW.BG;7#D3%3=:"XN<$!>O>G0:VX=:ENF1DT\#J0E&1IDGQABHN>ED6H/>FR
MP-%*T<.3)F94BNM_9Y XG>B!+H5GT7;6%UA9L)57"P6]$=@3#  IO9!K_'?6?&OIB=MX4?\>
MIG7N+]S  \H_HK:=,YM04D/#1VF?C@VHLX96*"FH[3.Z/&
M5:_EX2XMV-4+S9A(.>\P*X(Y]0];I'1/3S?T]'-ZMM"SZ##;=L^^?2Z0+P)Y
M%,AW(V;[$2/FO,?D[YJPS9XJT&VX.H94./8V;NE:76_G?1K.Y U>%@-OX1?7
MK>@-N:!U)QN.H4&TX$PD-[>4=.[]K(F$QOKPSL4Z7JF86!R6![*^TO(_4$L#
M!!0    ( /*#J4CSHZW/L0$  !8$   9    >&PO=V]R:W-H965T2#TF^F!;#H77!ICKBUMCL08LH6!#4WJ@/IOM1*"VK=
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M\H.I2'M]C 0  L0,  !D   !X;"]W;W)K&UL
MA5/+;J0P$/P5RQ\0 S.S&XT8I$RBU>YAI2B'Y.R!!JS8-+'-D/W[]0,(1)%R
MP=U-576U'_F(^M6T ):\*]F9$VVM[8^,F;(%Q[\@OOKD3W6BB;< $DKK%;A;KG /
M4GHAU_AMTOQHZ8GK>%;_%:9U[B_5@+*J90HGB[W$575C'^.>03+2O"=E$R!;";2"PV"C8?."6%[G&D9B>
M^[-+CPZNO8A3)B:HZ3B],VI<]5JDMTG.KEYHPD3*>8-9$,RI?]DBHUMZMJ)G
MW]-W,WT7'>[6W0^[[P7VL\ ^"NPW(Z;;$2/FO,5\=LE6>ZI -^'J&%+BT-FX
MI4MUN9UW63B3#WB1][R!OUPWHC/D@M:=;#B&&M&",Y'<'"AIW?M9$@FU]>%/
M%^MXI6)BL9\?R/)*B_]02P,$%     @ \H.I2#_UR%&D 0  L0,  !D   !X
M;"]W;W)K&ULA5/;;IPP$/T5RQ\0LRRDT8I%RJ:J
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M(V;[$2/FLL?D_S5AFSU5H-MP=0RI<.QMW-*UNM[.QS2PD^N6]$;
M&PO=V]R:W-H965T5>R-2?:6-L=&3-% XJ;&^R@=7\JU(I;E^J:
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M   9    >&PO=V]R:W-H965TV)=L[U1\9LU8'B]@Y[T/Y/@T9QYU/3,ML;X'4D*K@)(EZ9V*AF
MTO3>J/75:[DY/!3L&H0F3**<;S +@GGU#UOD]):>K^CYO^G;F;Y-#K?K[O?_
M(;";!79)8+<6>,AN1TR8\RWF[R'9:D\5F#9>'4LJ'+1+6[I4E]OYF,8>7
M1<];^,Y-*[0E%W3^9.,Q-(@.O(GL;D])Y]_/DDAH7 @_^=BD*Y42A_W\0)97
M6OX!4$L#!!0    ( /*#J4@/63/#OP$  'L$   9    >&PO=V]R:W-H965T
MW;@<%%M
MS&P3NG\_7X#B*%)>L'WX;D<WB12(^=4_CL!$],1
M[_!2>.^:5ML"*7*R\JJ.0Z\ZT2,)]1$_[PZGS"(^N6Y/^3!6\"/:GJW1KPD88
M55#3D>EW,?V N874"I:"*?=$Y:BTX L%(TX__=KU;IW\FRR9:;<)\4R(5\)3
MY()[(Q?SE6I:Y%),2 W4?KO=P<"E%3'*2#DUZ;LW096I7HK=MS@G%RLT8SSE
M%&!6!#'J-RUB'-+C#3V^3T\6>N(3)EOW++TOL%\$]EY@'[28A"UZS"G$[.^;
MI%7P
M!RV&Y:JO_YOB/U!+ P04    " #R@ZE(]X\I'L@#  "&$@  &0   'AL+W=O
MO6YDNF^,RIR#WP_](HT*]WUJGOW
MK5JOU*7)LU)^JYSZ4A1I]>=9YNKZY#+W]N)[=CPU[0MOO?)&NWU6R++.5.E4
M\O#D?F*/6P$MI$/\G\EK;=P[;?!O2OUL'[[LGUR_C4'FT+E)]>9<;F>>M
M)\W\:W#ZC[,U-.]OWK==NCK\M[26&Y7_R/;-24?KN\Y>'M)+WGQ7U\]RR"%H
M'>Y47G>_SNY2-ZJXF;A.D?[NKUG97:_]/[$_F$T;P&  HP%G=PWX8,!' W'?
M0 P&8C2 ^P;!8!#8&H2#03@:,-$5OR]65^J7M$G7JTI=G?JNW[VN6)"OOO74T8*##/)L8/3&G,!OD9T1X.H+),,#%%( H
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MQ,(%[9:PN%T"[9<@+"8 !H'%= T@W+=(>  -"4-LLV^CJN%($&"Q?',@
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M P04    " #R@ZE(-5E9Q?$!  #'!0  &0   'AL+W=OR99RF[2M*T\,R1N%**^;\S$-:?'-\9
M R]-54L=<+/4G?**AD(K&M8B#N7)>?2/9]_3$(/XW4 O9GNDS5\8>]6'G\7)
M\;0'()!+38'56_ ^F[IDZ<[T?V[^:ZROX%"WABY$]3R%JY]1Q4
M0(FO1+ZP_@<,=X@U8&14J>LN",$C=FR8:,#;E
M/,?X$\)5['9'BPDPFV"<"0(K<=P01!M$T0C060)HCF!MU]>,K$N+::U
MF&V)>"41+R0.=R7BF<3N$X5,5AK)7,/W[FHD,XUHOZVQ6VGL%K6.MPGVJ\?:
M?_6Q#BL'AT]4\O#%2OK>2D3WZV8M!] 'Q71GC4:!5V:>")2S:RMMGTW1:68]
M!J91W^%9VN$*?F%>-:U %R95NYO>+!F3H$QX#^I?4ZNI.AT(E%)O=VK/[9RQ
M!\FZ<6Q.LSO[#U!+ P04    " #R@ZE(?7BQ22,"  !L!@  &0   'AL+W=O
M*,"R?>$L:_>3"!<-*'\75EZT@^&Q)C/H(PL1GN&Z\(K>Q9U'D_*9HW9!G
M >2-,2S^' CEW'[>>=!XX%08/C-K75C
MU\X]R6!/6R:@GH!&PIAGF1#VA/"=$-E*G3-;UQ>L<)$+W@'98O-O!UL-%T9$
M*P-IU81KEZY,ZNB]0&&2^W8D;$U0XW"4[\
MUBCW@HW1<8#ND1D"L_C!#%8['-YEBKS%5_(#BVO=2'#D2H\8.P\NG"NB_<$G
M?0$K/?K' R479;:IW@LW#-U!\7:8[>,'IO@+4$L#!!0    ( /*#J4A*8^Z6
M+ ,  )(-   9    >&PO=V]R:W-H965T[NNX,[
MCL6%=2_\2*D(WIJZY%UXJ@Y'H1:B
MU2*:Y'950UM>L3;HZ'X9/N#[#1 %Z1&_*GKAVCA0Y)\9>U&3'[MEB!0'6M.M
M4"I*^7FE&UK72I.T_&=4^FY3">KCJ_9OO;N2_G/)Z8;5OZN=.$JV* QV=%^>
M:_'$+M_IZ$.J%&Y9S?O?8'OF@C57D3!HRK?A6[7]]S+\DZ-1S"T HP!, I,=
MMT \"L3O DGOZ<"L]^MK*)D0W0S"<* G6PL&&B^?<@FL]AD.AOB9)/I9DB:
MY^[8&+ 4,H^-RBTRN4XF5Q>@N+1V$V/@LIS$/H3 )F34G00\5-AU!=]<6+!=6?!G
MI>4:EL0(2TQP[@Z+CLM1#CY;;5<7G!H^>>0@)G98R,UAL?,89QYA,5(4DSQU
M1\6  2Y\HF*G,LX-EQ(/%84=E>+6J "R6 ":+_TC9K;V6SB_X@]V5H/1'R2I
MAPJPX@)PT\F&O0TS4C[IPV0 "Y!Q<[
MH\%H&-R7(ABMP,>WHHGSNQ;!;AG Z!FLBW%LI\#H!OZ_&<=VRH#91R?26MV&
M=H?^"<"#+3NW8FA#I]7IF?$ JE6VUM?R^3$\%M[5K!:G\D!_EMVA:GGPS(1L
MQ/NN><^8H)(;NI.Q.LH'TC2IZ5ZH82;'W?!D&":"G:XOH.D9MOH'4$L#!!0 
M   ( /*#J4@>103/U 4  .@>   9    >&PO=V]R:W-H965T70,R>F-+U+_ C].'!;A^K9L?[5-5=8M?^]VAO5P^==WSQ6K5WCU5^[+]
M5#]7A_Z7A[K9EUW_M7EUANUN.SK\UF7;]TN^VA
M^MHLVI?]OFS^O:IV]>OE4B^/#[YM'Y^ZX<%JLUZ=XNZW^^K0;NO#HJD>+I>_
MZ8LOU@R24?'7MGIMR>?%8/Y[7?\8OOQQ?[E4@X=J5]UU0Q%E_^]G=5WM=D-)
M?=T^]6[5VJ[>'T.6BWWY:_J_/8S_7Z=?@IK#X@%F#C"Y 3 'P"G@
M9"P>@', G@),.!M@YP#[%J#/!K@YP.4&^#G BX#5U+OCV-R47;E9-_7KHGTN
MAQFK+WIY,Q32E[QHQ]*::\@:L,L>16&V?#1*K@FQ#2?F49A3'/+-1#3?.%U%1\W"(X-@JE?@17P<3P>
MXW&*1QION<@G!1$F
MVVA%&RUKHZC)38VTI"93Z!"*=YXFY6>N#.@QRY03IAPUY:.>'*E)>P@^98D)
MK0J0Y<@+1YXZ"E%'GDX%-,$E>XDI+3H,69Z"\!38T.FHJ4 GB?6H0\H44WIE
MP6>9*H2I@IB"^'0J://-N!+BEI@P*)\WP[42EH;-D'24B9J:15-E 8L R>'C
M4J^U*?*,:6F, AL2OC2=OZKP8WEPL0U'(G2\2V)H2&XJX*T9B%71ZX3-I86VN+4EM3;&-<1II
M3F.=[BO/<90Y@26U-<4V)A9]8,L%$)/8%E+?;SQYOB2X=<$HF5CS%,FF3SD 
MWV<\1V=,JXM"#'@Z+Y4 -Q3@,C&=G1D*90"33@BX$G,3)R/I;2B]92H\DXAK
MXNO"4&KWOM% "*9=B\);RCAG3ASS,FMH=3&,Y.0"QWD+0TCV6Y8
MPJY-1A$2L(;G[!E)OY&$-2PE5HE!H^ ,&;4X:93EN#D^)=P,RTGCQQ/#X9;>
M"+C0%7E9LI%P,SPGC1/74&3Y?GM*FJ+"HE?FF9)D,XQL"7Q06'F=ML1TAFQXTH4Z$N[DD #=L>0.%  RS$+2&)6"#.W2Y"< I:)
MQB<4&$'0I"I*< L:IQ($":-((&GWR/,&5QF"F+7E= 2RY3+A"-L\A
M?9@XKTR[DC@%EK#&TPI@]P8ZV'1?G56F77(G*F3Q;DK](^9LX#R"%JBM"NJNH,$#F&07?W153
M^,K3P-$3NRVVWB4W3ZX,J//R,93P10I?F>4?7;%4]CUYCQ?85):YE\)!GWV,M[!0*HI85>8VVKYK'\15I
MN[BK7P[=]+;F]/3T&O9J? LKGUMU<6M5Y)>^G?TO.OJ+Z7\92UN]5;Y9/Y>/
MU9]E\[@]M(OO==?5^_$]WD-==U7?)/6I7R=/57E_^K*K'KKAH^\_-].+V.E+
M5S\?WRN?7FYO_@-02P,$%     @ \H.I2/=Q Y*] @  90L  !D   !X;"]W
M;W)K&ULE59=DYL@%/TKCN]= <&/3)*973N=]J$S
M._O0/K,)29Q528%LMO^^()H5JHEY4O5>69R[>Y($Q%7S452-7X4&I
MXR**Y.; :BH?^)$U^LF.BYHJ/17[2!X%H]LVJ*XB!$ 2U;1LPO6R77L6ZR4_
MJ:ILV+,(Y*FNJ?C[Q"I^7H4P[!=>ROU!F85HO8PN<=NR9HTL>1,(MEN%CW!1
M(&0@+>)7R_RZTZ:+4@#+9L1T^5>N'G[ZS+@1C"#:]D>PTV)ZEX
MW8>$04T_[+ULVOO9/LE %S8>@+H = F ^&I W 7$7D!DE;5Y?:6*KI>"GP-Y
MI.9MPX6&"T.BF0/9L@EKE\Y,ZM7W-2+Y,GHW1!T&M9@G!S.&*!Q$?(%$6L"H
M"M2KL--'-(Q/P&V"N"? EB!V"* K,K5I6$QC,0C'P$_7X@H/AR&9(0A[@K C
MR',ML8+P8*,O&8GA&*IP47F.;HLAGACBB(E'Q9#A-C&!>%2,B\H OBTF\<0D
MCIC1;9X29QN0I./6N##SKF[+23TYJ5, X]ZDSA,>7W%A,$G@33_J;+J3.E ]EL(<$0 ##JRE7@M"CHBW*:3$)F
M4/AM!M[=9Z#?:.#53M-;,VPA&(!)9Z[@IB7YK0:ZO6;&%P.);PRYVQB_K&$R
MQYAAQ:*43!IS!3Z9S^I
MV)>-#%ZYTF>K]B"TXUPQ304>=!T<])GW,JG83IEAJL?"G@+M1/%C?ZB]G*S7
M_P!02P,$%     @ \H.I2#:HIY?+ P  =A0  !D   !X;"]W;W)K&ULG9A;_"N,/L* +2&00"B;??OER$EW-6L0_-0PSX?Z[23Y)9GVW]O3D:TP8_RJ)J[E?'MCW=A6'S
M>C1EUGRQ)U-UWQQL769M=UN_A[U=L-3WXEK\=V_Y!N%F'%[M]7IJJR6T5U.9PO_J-
MW>VDZB6#XJ_1_
MG-.?,7O#^?7D_7DHMTO_)6O,UA9_Y_OVV&4;K8*].63O1?O-GG\WKH:X=_AJ
MBV;X'[R^-ZTM)Y-54&8_QL^\&C[/XS*+7X4?OR&GXH'F FM2GV1(TCT CO;&>@"82/LTS
MU$B?9@U.EK9;H0P4H4HU
MJY*0HT8A]"P$$\EM!RDJ,EU:)(M0"OWB.IO7S#NMG&BLD\61^R.$8S@3R01P$?NKFJ/'9$*N"N/' '^*,&U8C.8-
MBQ=/G 1G 0!3RM];*-*$.!A#!CA4*<&%QM7JQ=6F.(N4,L+I;(0E=7PY1I(#
M)#7%!4,5<[:T8H[9X0 +S;SKGQ-Y-YQ1\@0D(B9W!3/&KVU_4RRPNU$C8;XX
MX$L3UG6.^>*+^>*8+P[0T=ZU:XM$A+6+8[ZXNLWQ%HIT3(B#]SH.(-2$58OC
MW8XOWNX$9DM$MZM]@")*M0+O(3
M[3X5?9X,YE  #AEE9F(.Q6(.)>901H0!D/-C)Z28)U,OY#S0O\,] PL@[M\0_Y61\>ZP?G:B:#ECD
M:!AMF1!@@R).B8.AEG!+3/TM5)^OK6.H&ULE9;?;ML@%,9?Q?(#U(#!F"J)U'J:MHM)52^V:YJ0Q*IM,B!-]_;#?Y(:
MQAIR$QORG<^_J]$"9Y;YM.+].],8?[+-/KO6BYOI,'T=E_ME*U
MW-BAVF7ZH 3?#$%MDR$ BJSE=9>N%L/>5**/;EYXKG>[4T_D:T6V25N4[>BT[7L$B6VR_0!WE=HD R*G[4XZ=E]TL._2/G:
M#[YOEBGH&40CUJ:WX/;R)BK1-+V3??+OR?3CF7W@_/[L_G5(U^*_<"TJV?RJ
M-V9O:4&:;,26'QOS+$_?Q)0#Z0W7LM'#;[(^:B/;'4U(43F*_"+)+$"0 ITIQN$#@2E8T""I2AG:4("2I8'2U9Y.@I+=!V(
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M  #,!   &0   'AL+W=O<.6/&3GLA
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M&0   'AL+W=OP,V$" B
M2 E5U1XJK?;0GIW$"6@!I[:SV?[[^H,0[)+&O> /WKQY,QYY7%P)?6,UQMS[
MZ-J>K?V:\_,J"-B^QAUB"W+&O?AS)+1#7"SI*6!GBM%!&75M ,-P&72HZ?VR
M4'LOM"S(A;=-CU^HQRY=A^CO+6[)=>T#_[;QVIQJ+C>"L@A&NT/3X9XUI/?4K#Z?S&_D6%*^3O$,,5:7\V!UX+M:'O'? 175K^2JY?\1"#4K@G+5-?
M;W]AG'0W$]_KT(<>FUZ-5_TG"P>S>0,X&,#18/0S;Q -!M'=(%:1:F4JKL^(
MH[*@Y.JQ,Y*G#58"3B6)8/:88J,Z72(R)G;?RRB,BN!=$@T8J##;*0:,B$"P
MS[J OFD.)^9PSD$U1:3+YQZBFP>]W$13@4GTG""^$<2:(#:R$)LB4QV&QO0*
M\PDN01[.P2H#EL:1@YK$4I,8:A+3S5*K229NPCE$-8]X*&)IY71IB' XE-2*
M(C4(TMFWY.2&G-ST
MDVDY^33J< 'G0)4%&BX:KN>"2$8Z$O7 A]M7@(C8L6'[F&ULA53);MLP$/T5@A]@:G-2&+( 6T'1'@H$.;1G6AXM"!>5
MI*ST[\M%DN5 0"XB9_C>FX4 ;UZ$FTA'7^UG]NZ_69G^A&DK)_G17T]ID(XRN
M4-.!F30"%%VR2:H? 1][A9970X'U?A'JU$E!V%"XQ;O,A>G
MQ%WN)__9SDMXWG>9(N]I [^H:CJAT44:^W3\/==2&K#)1;L]1JV=Z,5@4!NW
M?;9[%1YY,(SLYY%=_AO%?U!+ P04    " #R@ZE(8;C_I$Z!O;8\R#S[X;
MV"+<L0=RP(/X9TMHC[CHTEW$#A2CC0KJNPC&<1[UJ!W"IE9C
MS[2IR9%W[8"?:<".?8_HOR7NR&D1@O \\-+N]EP.1$T=37&;ML<#:\D04+Q=
MA$_@<05R*5&*/RT^,:,=2/A70MYDY]=F$<:2 7=XS:4%$H\/O,)=)YU$YG=M
M>LDI \WVV?V'*E?@OR*&5Z3[VV[X7M#&8;#!6W3L^ LY_<2ZADP:KDG'U&^P
M/C).^G-(&/3HQG_*6(?Y Z .@%/ E,1;[1"M35*3Q#)3"02E,%.C-
MLBR,+-_RZ@J+I:JJC04P%S,K[&)6#45D8T(M1F=7"
M)/:C."J8W(;ICZ@'?Z-Z*X=6/!*N#C?U6&\)81C01<_B(G:BWO7U.GP
MELMF(=ITO(F,'4X.YXO5=+MK_@-02P,$%     @ \H.I2#T7HLBP P  &ULG5C+;MLZ$/T5P?M4G.%#
M4N 82%04O8L"11?WKA6;MH5*HBO)<>_?EWHY),'$3#>V1)\9GIGA')-<7U3[
MLSM*V4>_ZZKI'E;'OC_=QW&W/Q&H[J*
MD1 1UT79K#;K<>Q[NUFK1MVYKHOV_R=9JJ)FKE_F'U"/7?W8/*S)PD)7<
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MLR!)_%1,$"5 ;E-)'2JIM6@2+Y743#X@9U[&N07C:4 +9 Z9S,R+\.P$+ZVT8%-3BXT@<\
MH,6!A_2XA0IKS_:WX#
M\C81=(E@0(UFT+M$_)"WB;C"AI:PT9!=(G/KPCY<%U!D1%W8T+M93AC5TW-?_*S7Q.HJ:6 --%0Q\NMW!(!!=NAF+C*%O+]C >\;MHJ\Y-/QTS
MKZ/7:X3'\1;!&7^"^WRZ#'AULUF?BH/\5K2'LNFB9]7K@_9X*MXKU4M-D'S2
M G"4Q>[Z4LE]/SPF^KF=K@2FEUZ=EAN.ZS7+Y@]02P,$%     @ \H.I2"+V
M(YIG P  +1   !D   !X;"]W;W)K&ULE5A-;Z,P
M$/TKB/L6/#9?51*I2;3:/:Q4];![IHF3H +.8M)T__T:,*D]0HVY%.S,QWMC
M'L-T<17-FSQQWGH?55G+I7]JV_-C$,C=B5>Y?!!G7JM?#J*I\E8MFV,@SPW/
M][U35080AG%0Y47MKQ;]WG.S6HA+6Q8U?VX\>:FJO/FWYJ6X+GWBCQLOQ?'4
M=AO!:A'<_/9%Q6M9B-IK^&'I/Y''+7=[[A9=E%4IG_ZJ"?.3M'\WZ,_KVGJ^"_YI)O1/FGV+R?1'7'UQSB+J .U'*_J^WN\A65*.+[U7YQW MZOYZ'7Z),^TV[0#:
M 6X.MSS3#E0[4%<'IAW8IP/K2S-0Z0NQS=M\M6C$U9/GO'L\R*,R;[H@*K(G
M^VC-4%]5"JEVWU>4TD7PW@72-M#;K$T;]=A,V6Q,&W*S"!2"21C@VRG @L$F
M4Y@V,&6Q-2V2^#X*.J*@0S&HA2*Z'X"- 8;E$S,"I(F-,1E8#";UD"-+8C)2'*T[W+#*290PB""DK(W(H2P"@L
MP;)PBNY:&^EG/0J=^%*^SU38#V\BE<5(L&&JU(^;0T2@@LA1FD\5]AE('LF:;24-P2(/U
M0JTN$SF\3FF$R4:SR>)O,AH[D(T-LC%U08KE0JT6$SG,!33%9-/99'%;H-D7
M9/67&;4^S1)\LH$Q5%6\.?;3J?1VXE*WPS!SV[U-P$_0#65H?Z,FXV&._0RS
M6ISS(_^5-\>BEMZK:-7(U\]G!R%:KM"%#^K$3VIVORU*?FB[VT3=-\,T.RQ:
M<1Z'\]M_"%;_ 5!+ P04    " #R@ZE(TG"K$QP$  "8%P  &0   'AL+W=O
M.RZTT,4M=NCKO+VDSGINO]E;YHJ[_K;YA"UIT;GNU&I*B,>QRJJ\J(.UZOQ
MV;=FO3+GKBQJ_:T)VG-5Y]4:7
MY6"I]_S?;/3-YZ!H7U^M?QGA]N&_Y*W>F/+?8M<=^VCC,-CI?7XNN^_F\K>>
M,-N03M*1^JS1YZ\68PTEL.VM%:,Z6K1];V3U_70O)5
M]#H8FF7X*/-LR[";1-1;O^N"AZXZM]3O.MC8$HE:]B"N'J;;)^& $,L&X&H 
M)@/@&  WR&2",)/(B+2]IXCI1DQ-I.1%9RN]%LK&%XN4P% I#
M.6#EW3B4Y8*G*2Q[29"7Q/8"A)JDJ*BI;U$S%$'V45%GG)EW45F,W QGQ5)9
M9YDYGR )[SACV \CU&T6FAVQA% XQK$C[I1.$DQ@0C)O1C),2?8A)Z]PP8\*
M#%.2$3C);+XQR2G%PYQC%-(QFW4)H^#!K&,N[2BA8MXQ;^(QS#R6$;)J4X\+
M17A3.:8>CYU0U5U'W.;>7TQF%$^8?-PA'R0$$QSEE7/?O'*!HQ#+>9UEYK=O@<989R*44I%[)M2@0DCV')*A=VLTIC0? 7N5<(E%2%?XMWPZ-VK
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M8&O.=3^&RZ2_;J;%\733F=-U#WY;QJ__ %!+ P04    
M" #R@ZE(4N9_MZ\!  #U P  &0   'AL+W=O5 ]2+?3*"VH=:ENB>DU
MT#J0!"=9DAR(H$SBL@BU9UT6:K"<27C6R Q"4/WO ER-9YSBN?#"VL[Z BD+
MLO!J)D :IB32T)SQ8WJZ[#TB 'XS&,TJ1M[[5:E7G_RLSSCQ%H!#9;T"=U;^'TSKW5VK@2?$_K+:=,YM@5$-#!VY?U/@#IB,$
MAY7B)GQ1-1BKQ$S!2-"WN#(9UC'N['<3[7-"-A&RA9 >@O'8*-C\1BTM"ZU&
M9'KJ9Y>>'%Q[$:>,3%#3\?3.J''56YD?#@6Y>:$)$RF7+>:X8(C3_[1)AK<"
MV4H@R^_S\YF_BR;SC8$O]P5VLT >!78;@:_W!?8?'.S7 L=D^YLBYK+%I!^:
MD-5R5)<;_IB%N;[#RZ*G+?RBNF72H*NR[G:$439*67 F
MD@?GHG-O<$DX--:'1Q?K>"UC8E4_/[+EI9?_ 5!+ P04    " #R@ZE(%< 4
M"V4/  "Y:   &0   'AL+W=O1C 
M/E6=)55]2J5TJE]]WS[]OONRV>RO_GRX?]R]OOZRWW]]>7.S^_!E\[#>_;+]
MNGFG-Z^V
MW_;W=X^;7Y^N=M\>'M9/_WN[N=]^?WU-U^/>P
M>=S=;1^OGC:?7E__C5[>4FT'S;/DWW>;[[ON[U>'Z'_;;G\__.,?'U]?NT,0
MF_O-A_WA'.OICS\V[S;W]X=331_]W]-9?WSHX<#^[^>SWSY?[Q3_;^O=YMWV
M_C]W'_=?IG#=]=7'S:?UM_O]O[;?_[XY740ZG/##]G[W_/^K#]]V^^W#^9#K
MJX?UG\<_[QZ?__Q^_$UUI\/D _SI &\]()P.")<#*,X>$$\'1.L!Z71 LAZ0
M3P=D=L#-L;&>FWJUWJ_?O'K:?K_:?5T?[D!Z.9SGRU>S[;T[$'I\;>
M33_]XTTH_M7-'X<3G33^6?.NUXB*%2B")'G?2TJ6)+<8RX_3W$S7(5Z,/U],
M.%Z,[\.(R\>'\_'Q>'SHCT\88SFVQ5'R>(PQI!8DU:I717*-)-7[7I5J(%%U
M"^<*S;OEZXKLNB(T;,2/.1[R+G8?XQO5VB39"F4U%D,S)Q9.ZINYB-&D[F.H
MA"JJ5J!*KAINF?@:RX%,IR.)6%4_O[QHG1U/ZJI_M&5*U 55TQW,.-Q=*@:;P83.L^IL96
M@]Q3("M$OBV'0X[%HQ$8\)"!KDF @>FABS
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MF:?O@>I;:$4)"7)O2CY8;B).7]^3-TI'F=(>\!N\DJ"C+)HF+YY3VO>4YH_0:;Q$
MC4Q.#XBNTV,F(W^%PN9"[B9P>MRLB,2S]L0$2]S,<8+?UZ@?EY
M=MS#/!GF2H$#.$#.*]^$[P+DLI&"2_+-P82QM"(^9^^9L*5*(B%N43@->=$;
M.BYPMH>>[4F^F4+/[+GDBPF-R5?@= ^81EM.$5C_!RAO6,HCG)VA9RBTB2+DO?+DEN03(^RI4DX? .DM$IE)*3E*Y(E>B"",^ 0P]-I082VG(YE)>YA)(B)P(
M_/>@\J62R)];D+6<#//\/*SR0\JGS/-S3[%24E/6^4&6:C9DD)D#+\,\6WDJ
MH Q9E$(]J(+/EF[GV,LPVU9V0?1,JR[(Z<2*R7RP0(/C+^-BOYQ Y1YNE*9+
MEQ=[F*YF;RB>%IY:%BA]RJEEZ?/&(O?J"D74# ]ZX5 ML-]*&1]*S\J06O%R
MCZ$N5T>&FFGA2"TP'5!\=H 8S*F6:!C5>^.&4Y94ZG1\1SSH+S
M,D&A3Y&B 47E NK3F%I@JF]I:@[7 I-T&?4%EH&T5H9%
M(&=9CRV=ZN2/0X.$PKS-OEX:_VI$PR5E:J2(^% [7""KX,]@HK^(5(
MB09E-1IRET2F:9!5FJB7
M39E*M709YVB%6;T\X-0,;*]\\_$Y'I0URQRP\F2WPNQ>'FOJ\NP>)#XULO35
ML*459O@RC2MLL?+*FCRH:G66:#B.*^RODG%<>]"67(*^@IJKLRG4$#XM3]KHQ74G>@!!RPRY_A[M/
M-3]$3]$84U;R5B9,M2_NS(0U[/EW4 [0H@IP_WK838YAS2EGXAHL  Z8JS@U
M7)^=-A^+T_IP1C@3%<]C#S]9+E6<5><\+ ;YP5@QX<2I9.K$P37@L'JK.#=<
M#VJM_V3-3#"#9< !RF62GT7GHJR;'BNMC;B2++,T&&W;[
M.Z@.*/X,!_74'.4L9H6Z:8RJ%I?5:+-"GY7BT4#_5"Y.B0EUS9&EG02;%0!8
M\6F ?VKBA%)'0=TT5766AV2T68'/2K-J6'Q6?]EH-3JMP&JEU"\(?%1>GA:N
MF"J9^FN@+;BIE!H&@4MJ^MR8-5\<"J>IEB6[H(&VA(MMFEV/FUR;; =;#!G6HV:1J4MJ1I\%X1F*^"
M"9>>;RRDNNSSF=#,Q#?DNF*_4L@=XJUX<)IG:<\>$.5D&I\&*10&+
MQMH+*Y87SC3-3# #P,&0I94]P&WEP]24<@6;"R-5"\$#=[02NK,LD\/!6$7@
MK-**'F";\JTI^3+(@FTJ/SBL""U6RB@ !JHD.V=7J(J6G6\T.*T(K59*]A9Q
MJX%2F4=9)-/4>?!<$9BNM&('.*KT%U.@S/1F"AK,5P3N*ZWD :8JKW49B"S#
MT>"Z(K!=:04/M%.I[[5B.DJ6K3X4!\J"[4HM=T0L*TQ1*4&!+MIJ,(.1B\#)
MI94ZP*?U8GK(M9X#7;&\CHP&3Q>!J4NK
MR^#M(C1W*9P&ZU9L6;E[0):(+,_\X/(BM'DIG 835VA%F],R72-+TC XO@@L
M7UH>"H8N_:T3J#.^=H)^N+\N[XV"30^6IV(P;A$XM]32!ABS*.64E7D("G.K
MEC>3T.#C(C!R:84-L&G-I45,:$R+!E<7@:TKV$["-[X2>+),98W!3D7@I]+*
M&@9#U:SF]#9-@^96T\Q2K6;#FP<5S4PL
M T?1(Z8-$'G9 ZMI9H(9Z EV,ZU 8?";:9J96,97$P(SE>P4O%\B8E::9B:6
M(2O-./-7N)EG9O[Q'$Q_)M/VB\$<1AEKMTH6",:O%[ZXUOBJTJ6%F#278$K?
M!Y\8@5%,JTJ  4R.['(?M9^+K'#C+*%?S%*9&%Q>5- [*U]=,0!5T*9B:6 :?@Y=(J$&4&IY=8_BI.R_B65UQ<4]A>#(5413,3S$!3L(-I
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M&0   'AL+W=ON$P3>N
M9%793*62AU1=W4/RS+-I6W62Z)"T??GW(<4/H0+(GNW6V V,;T KUW
M/Y>K/]=?%XO-U5]/C\_K=]=?-YMOO][>KC]^73S-U[\LORV>M__S>;EZFF^V
M?ZZ^W*Z_K1;S3R\'/3W>>N?R[=/\X?GZ_N[EL]]6]W?+[YO'A^?%;ZNK]?>G
MI_GJ?Q\6C\N?[Z[I^OC![P]?OFYV']S>W]V>COOT\+1X7C\LGZ]6B\_OKM_3
MKS/*88=Y@?S[8?%SW?U^M6/_QW+YY^Z/?WYZ=^UV)!:/BX^;W3GFVQ\_%K/%
MX^/N5-M+__=PUM>+[@[L?S^>_>\O[=WR_V.^7LR6C_]Y^+3YNJ7KKJ\^+3[/
MOS]N?E_^_,?BT(BT.^''Y>/ZY=^KC]_7F^73\9#KJZ?Y7_N?#\\O/W_N_Z>Z
MPV'R ?YP@#\=<+J.?$ X'!!>#X@O+=TS>VG7W^:;^?W=:OGS:OUMOONZZ==Y?(X:8
M@P2;]3#?<@D&-HDU)_5LVO3QF;4F=\=7AS3SOC6YHTF)* 8)-@.83]7RY13&
MIO1L2&13NLN4&KR(FO6HZF)QTUPJXU)[+E[D4J')+F>1"Z"HI#K-I3$NK>V43138'S/Y"T9'R-3&8[]JF\R'.I]><
MFF0^U%WHIN0JTP&4]X9OBCQGTPM4%4?$AP-F?YV^\:.D;KIW4BV>S-(FK
M)_7R&;2QEV%4U924-@$ND/.6NX%+*/4:VF3=HB)^E4"FA]QDLE#A"DH5>D>Y
M%^HT%QFB$^'R20V(*'=!FR8B0_3JADNG[Z6SR4+N>TTLHKS. !.\9>QZ+IN^
ME\TFR[A'0:Q1T0:.VY8\!D9<.GTOG4V^F7ROB30I< T.O@=S,
M';HET.3WHT!T'IXW!5RM0:H"EZH =9X\TH)H $6>/-!"G.8A
M0W0>7)E"KTR*?0MIFH<,T7EP30I@L.49/^1I'C)$Y\&E*("UEF?[,*U$"D3G
MP94H@*V6Y_@P71(J$)T'UY\ EEHN3<-T1:A ](=)O"*,8*;E*3VZ21X*1.?!
ME3""B9;GSCBMA I$Y\&5,$(-:#D#5\*(19L\Q.*T% +DQE"/Q.%)(91K\U3G%8T%E_Q#<57Y.(7>_%3C%9L1D+M4X*KR 5M2L9VIS>TF^ML IVUF(5T$L;CHE&!0659
M=N*:EGI-4YQ3ZK6J-=?D10" U>K)8 93XTWJ)/F4N11DJ,GG@Y5YBO,_R)#=#6$C>\(UGKD09%C9D1Y5[E8E1[L49
MHLAB_C.7HPQ^5Y[;\W21!Y#@G:',RUR(,EA>>7K/O0Y1#+* SAB,@N$Q:N:2
ME<'ZRK-[1B62R0#&1&5870;W*]>F>=K] H1"L0Q?7@QF,,#RS)ZGBT$%HO/@
MPIG! ,OS:(8EXQ24A66 16]Y@INY;F8H!0T-*EPW"]9N\G@KO2+>D,MR&3P;
M<,E"B4MG@2I.-E[E0J=:N!X6K,SDP5T\MH>6Z,+D;CMMRVP 1SD%
MPU).X
MJ5QO*^SZ4]:YZO330P6B$^&:7#T0D8OFZHU=X]_0-5R3*VJRI5$G%3U,T37"
M*0Q"7+G^5=@F*-_:%59@0^J7J*%;>ARU5H*E49DWJM<_BU^K7*\J%'3*F.MU
M:#LPB':SO)1ML0,9K+$E>M5A24.90=CKT4E
M*=M-$$46E]2X:#6PU\H>1@=?5TCRC0FP%DT;*KED-7#75JX*[E>J"!(-4@5P.(HF9APU6K@;N62]O6%XCZ)D: A>8,I4#C=60#
MARV7 @TV76N;&)M<;>I4N)(V,-?RW-OP<6!KRNY7P%&I9+FON) V*"0M3>)"
MVK#P4\8>%'Z[7>.H).5W0JY0@JT,Y!A
MEB,W;-]VN&:M[$EWTT\H$7-C>J9-;MB[[6#%6J-3K'T$U6\T[7!WPR9NAWL'
MY4+[B#K?1Y?NXW;#1F[7@(Q<9!]1AAYJE_?0F(4>
M&[,G$#Y1?!Y!K&0[4I.\89GA0K$\7Z;7 ,JI8;U 6IP>CM]<^%#Q1IR*40!%/4U)JAZE0P9[@,52<$4[0*V$\_3=0P9[B,83ZPY3Y,0T:$/-IO;;P;(GN7QD1HR(D0
M!$4TQ^<-M1Y@?'(F.H-&0DI$JKWL-490ZS53U#@,0@FA$\WN!5A4J5X1
M!(!Y,O71$&&A@(6C4O1!1"4KH3E$I6R9:L.@F1!FT8Q>8)JIU&H \]G&:/#H
M$(Y1;1YD7[2<&J*"RY;::$C)$,1D-*,'(9B;K/ESA$7+TWD:\C(4<*.C4F,;
M(C,:Y@R90:8A-:/:/ C%G.F?_(;^&60ZH$Q;M/XU_'* 0Q%I-?&!(HA!$490!"P.0F.X1%IVIEP8M@WB+YO(PNY+D&VA&2@KF#)WQG0[@S)6"
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MJ;7]4NT=LC@$89S!KI5CX\/YQIUU=_+#>;Y=.[
MW0LP/R^7F\66G_ME*W]?%_-/IS\>%Y\WNU]W&\-7^[=_[O_8++^].[S-]/1*
MU?O_ U!+ P04    " #R@ZE([,NJ# D-  "F7@  &0   'AL+W=OQK3R2#8CXH1M\Q-V/[>Z/_=?-YG#UU_/3
MR_[]]=?#X=N[V]O]QZ^;Y_7^E^VWSV_/S^O=_][V#QM?[R_INOI
M@]\?OWP]'#^XO;^[?3ONT^/SYF7_N'VYVFT^O[_^E=ZMW!"/FI/DWX^;'_O9
M[U?'Z#]LMW\<__CGI_?7PS&(S=/FX^%XCO7XX\_-:O/T=#S5>.G_OI[UYT6/
M!\Y_G\[^]U-[Q_@_K/>;U?;I/X^?#E_'<(?KJT^;S^OO3X??MS_^L7EMQ"G"
MC]NG_>G_5Q^_[P_;Y^F0ZZOG]5_GGX\OIY\_SO]2AM?#V@>XUP/6GB,[M>MOZ\/Z_FZW_7&U_[8^?MWT;I3OCB<9SWRU/YUM=^ZN
ML67[\=,_[WT=[F[_/)[H5>-.FH>YAMX4M^/9FY=PUWBXFQWN6A=8S14Y+5_!
M3U!79KT+\*HB7T+X*+;96D>B!.!Z(@T!B^RJN\RJ>7V4.(JU/
M_7Q,D=)>$$5#*)QH%.!N;]]F!$QSN>9V-"!+WAL&'W&J$6#-><,I.-<(P.::
M7^(#S9GEA_&_=IM2YW?-N48(MB:S'F@.K9L+T>3.:#C;".&F#+0YNV[*8+D0
MIQ=5N%#SAGF@"O<53RNF1JLJ/;7@&'.(L?:WX-H8F\>B2/1 ..D31QF>ZOFNF>;N<[*U3E% S1
MN?R<5S!SS7L%5" %5J-
M0U.WNJ330Q)+3[CVU$XKPCQ[<2D8$H; F1(B7*C-E # &&^(I'S?J M#M0P#
M#I8 8%&J\H %G66J"SP["7/\:'W.U$5.:HBHJI=ZL5.#D7.H6A)1V(GAR+G
M4(0L0ZFB8[M\FM\"BD0/A-,G(GV43H4*2^7A!9D>$*=41$HI/8-5EHF'D<,G
M(GS:Q66\O)X \DQ03=,QID_5\\PYBR5;N:C)<-BB%+IYK#GE)19'H@?"1FW'DMBO=W#ERLWCLCLE$&Y=YN>11)'H@/-?(N&S3
MGN-S9R*1.2(R/E5OI^UY.9, B1N99@S.,*SQ+*G#=*
MUY;E)$&1Z'%P:!4LFMHW6UF&%DAN:C$ M'!F%2RM#/--X7UY$5B1X()U'%Q]_MVK5VZUV$M+=:$J\K*/0@F:XHC
M$=H!H2X[9[DM2*".NBT[)-W4A(F8XL3M]E-+0S4AOA27+77F423MTLPOK3G5
M>\%$ DS,!ZT8:&DY5=(T%X(10"($DM:]RZF2IKD0C  6(;"TGNF%D?1*$\*H
M7480NJ7U9W]<:'OZ1])935@R*K,PN*9MZT8D;-/D$$U*%QB,TYKF0C#B)1%G
M6,8B\$Z/O:QT3Z_%FH3'FAS"3%%"\2."\P64YB:8)2FMZ;Y8G[.+D+5Y+ C?X."N&
MMJD'=25Y"^R$<@L5N20%M2";G/PE_. 6+ZY+ _GUCOIH 5+"X
M+ZG7!D["!TY@!%>KL&# DZ*Y$(Q\5==BPB3P@%^PI5\47@A+P"Q8K)@4>JM0
MX0(G9@-7BI'0!A0VO1=BPBE.P>+"I%XG. DK. 6+"9/ Y*V^W8@RT^N-%$0!
M&BQK9P'>VM46JY@J6TH>X2NG:+%E$CC+;\9:1GM8@,(8O.EI@3"B4[28,PFL
MZ#<"8B2B],Y?YX$VW
MD:@SP81N*\>$O9S07ZZ58Q'7S13PKY@N#2:6"+A%3+VT06MX,M#K-B=A-R?F
M-U<@FGJ7UH2-G!+Z,I0!:#"2:YH+P0A$)?2V*A-,KU.F=F.M=J0IZ;>\D?.^4$4;*:,F0/-DVC\F"
M1^B0U^JN#"F1NG^,+KL0DJ 2<]QK&_DLN\HTS85@!+DRDDOK'TB$; 8!XQ+N>V+V>ZW5AF*SUZ-/PJ1/V;)B9G#I
MHX8L9!-&? > "E:C;*;-4T@$(14EY019"M$4DD J
MO ]@>O6(A(^?^HW\))S\Q*S\RLW:Z^4G8>8G91)-3?Y,%4Y@77VMR
M]XYSPN8?!DAK_-+%/368N
M=E.31:)0O:G)X 8P[8A$PF1.X#(/IK6.*A9,:O<[KR2,W83.;K75O1.S<&U3
MQ1=?+;-7Y6^^4NU^]96JW&_1\O+KI#(WV0ECM@-C]GRA^<))N+O0#=WN0B>,
MU&XP/ 5:.31(&_>V&PO>B/F)>I.E,UWS*?TE\R
MZ[)ON)*4G>[T#!\24^2^KKWVNJ^U?U^6:_%QNK9U]]5<[NDV5<
M#O-5DL$OMWFQC-?P9W'W5;DJDGA>WB?)>KGXRG?=Z*MEG&9'8I.E?]DDY_DF
M6__A*/#4C=\E=RFV@"%>Q\ND,?G%B\LS\OSS@5<
M/ZX:O3WW]$_U[\XW18'M7Z;E+%Z(GY*X0*"(%_&ZT?_TU/-/1U['TL_SY1*V
M>+7.9[\XXHK@+MYLUN4:@)%F=_5N9[#..:WUY2)N_'H;+\K& M1,T*F Q5["
MX7T4WR6/'>U>IHND$.>PD[N\:#1Z%1=WB3B;S1)H!6WFW+X3HF^3(LWGGC'#!O1+^+*!F_669*5\.EYO(BS
M60+' I>KA'OQ_NJ%&!R?B&.19N+Z/M^4<$K-M20S?1/"+M2)RQ+&?-;X.2[O
MZ1[,\$/RETWZ$"^@?6.2ZR*>)R*>S?!^EZ)(9@DTO5DD8K!(RE+$BT7^@58/
M%TG,\\W-^G:S,!T0W+"CX\ )@LGO:*G\9S0*3NJ3O2V259S.1?)QA9 I:87Y
M^AX095;93V.5^1H.H[_-VP*H6@&8AX/BCE=XD([(DK7(;W'%F^5F04$#K^.*A/](86S(N@X9L'=YMFZ3H1B_0!9DLSN(1W
M*<+4ZE1?4[S,BW7ZU_J:7&Y/$1
M2ESX$-\UEZY:]F"-M9RN%:<9T,+% G&B1-@O\NSN=)T42\"&F\81=O7*;Q;I
M'9_1!JXWK"!>I0C!11*W0+V*MSVK?%5931=6)3#.7*SCCWJH1PL89D=VB][)
M*JNW-M?H\BY9IT6BN>LJ!SYIOEH!?6MTX6O2LPP&3D^#G_TF_@&?2]=\'$3>
M0)( ]I9DLV9_E'V>E:MXEOSA".Y[F10/R='7HC[DZSS#48I\L8"1\+8FT+AY
M&XBWWN<+./7R2R(PZ\<&[@.%DZ=48G,QR'*X (4 ZKM)3IZ)>+.^SXOTK] @
M=!W7I?^DG/0[D>49G$(WU_XAQ\W"IHG9E\SLK2$#MSEF6I9X>21%\?RIXP>>
MXWH^P4_2%<^?.!%T'$T:U.[,HE'RTN5+ .<]W$4@;X!U91NV@.B(5S8N,EAQ
MQ]&7+1#=BB0.0JGMP&@_;4.*P1P(\BQ=-_B13?SP=C\ )2+>I\=,4)B!60<_
M7%YT=+?6UC^&:!VD(C/(I<0T$@@UL_O_\[^5+$S[ YD@6=[ (2BYP(%Y9HL-
M$-SUSINAA90GV AXG"^6P!>0HN$$R/34%PZ( ^4JF:WAG!>/COAPG\[N@69D
M(L\6C^(F$1L4;]:Y@#G7,!.@ATU$< +\"F<;BJLD$:]SX(H>340?1\-><-B@
M_028U$X(ET-['T75K8\F73M'V8=WC_N9P?U.UWE1V:"XC^$VP'4'R2+?%"5.
M3C\"R5K%&0R2?)PEJS6--0-!!6Z(ZL\TWTP@NXB[38S:2)(\#7R=$NC@?19O
M8 O)_$0,WL;(G.Z!FH/ >[*S='JUACF(^L,F7J89C)^BP)R7Z19MJU/D=+9*
MFP-8T0NX]W%1-B[268> U]?.%KJVD7)-QNU5"! YF=2V";MV?T=29(M>[]JC
MAR.<5UC!ODNL]MZZOM;FS%]VQ$.--'1USBN,Y!*H^C+9&?]L.T%#.ZH@9^LT
MW>CY&F7S%6JER%V*Y"')-@WI]8UN, -1J"D#F]^5U$KW'X@2?E?1/V2#QA82
M8F^. .$F084;;WT\7X)F@0M'RJ3';FKWEBX!$%@5^5T1+Y5R((KT[KXIX)SG
MQ2I'9=R2*;MF>&'O@%;63N_SJM'UWUR*6/* "6-/#@4O/>]E-^ 91?+/-Y
M"@** 6;R$1>P2("6F$FM]FZP*8J #K^30+4-E%M07EH@NY2_P:M
M,Q"G&K/BM>F%F-4@7J^+]&:S)O$$$*)#HB-Z3XP<\.LF?V@N'\?$R1HC?@\<
M.A;?\-5I/[NJ&,LKZ]#?&@+O?O-=2"E8 H8(LI+AD8B*P4UUP4[].=V*RW7ZB?(94*UDF6Z60,CG:2GE$3PQ8H#M=Y0(
M7TZT+Y_IT4BP+#;+5@7S% XSF1/* 1 [!),V:JZ-2GT:=Y?DU<+I20#-/V0D
MAM_B!2DW!8EF [(IEF340!,(2QQD+5P!%LP> ?PQ2/]\=YF)KN)'0H2F#M5J
M+'+PFRZC3Y^Q!ZD(WDM2/]8HC/<;*1!9:#L#5&5.D#4]I$AO;AY;L6T;AJ;9
M Q"N+1AZ+JTNM#<0PS5'D']KL!<_U+]+L5J&WXEWRD"\><*YS
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MU;6V+<&JU!"IY67&,6[S? U-$V2Q< ,*YBVG?-%F( .J+!'2Q5I#")(Z$
M(/1%"U4),A3@W@V( TE,0()3^?,FF]&B"#1DNK+/K6MHK:N9?6@Y7$+_+,LV
M1# 1L"CBO 0 ",\]_8ZL=/;]<5#E'HK!4>7;(P&;Q)&.I*QQ=$+[QJ\>T3V+
MLD6+;4\,83@V-*Y %69L7\99?)>P$HG'$L__O"FEEV" 6TZ9>T'3# ]J@:(/
MR"]$3DW;$P(/$%X\L QF+LNX>*1EQ>(V3@NQJETSHE+ITH*DC0H&\17X:/%7
M>/:T*=J0;?"+LPSP88:8(9:D^HI8$Q#F6$TKX09HLGDETLY#3LAY5/ =\
M4)(@*MT?ESWX^]_^2_WP][_]KQ.ZK8:#<&<,DRACPJZA> 78@L38VAH,WM@=
MRYNX.O2>(1[.Z ZC1).#>,."P^OD(ZRW$-JGB0O_IL@W*X5)L#[9B)8'8I[<
M]^[;MC!Q"+B+9D=6?,K9ANX\G-OZ QX=CH6F=%!1T+[&+@C8ZKX)4@42-[%.%O0#T)_;-9HF[*-/B)V3+SS'M=5@HL[\ W:'\?7?*=YF^W"M4U76
MT=IYTO:./7<8AD9E53*0(]RAYP=3J[.:ZWP!NQ1G563!L9)X5C\G'I/L7L8%
MN9::$.EC8G#^P[L3XAQ\=11I,5R"A'J:I?9;@53_(YNGM9IIN \+=6@?EZ*>
M8)UQL\H975=*]A^DM]#W\<0H$8#@*V6AA[TG*7XNXHV\^>_5G))?R7'Q&XM".-4#E0P6[T86+\E^HGZ7D^-M'XH+!#R D7N1
M]PK8>LM)2(]!.N[9& $ ;A^*-T7^D7K!
M;1L%7TA[H61P"HS-S@6Y9&O]H^@+NM-%>9^N%*1@U3?DO)TIIH376;FSP NY0!#*T9Y*W_&J!>1;12/0-$Q97%,FPL< 0H\(?LB
M7:9L,V9J0JM_B!?*O8DT&;:RQEV2S()KDK/::P**4@4N>=!:8-6I>)161%AO@=P0)]!7
M9V89"BO@-+)A@E@NI87, A03B@RH/)\HXC;P1R+8M=5U+(8O&^R-]F6 :M0A
MD " '21EE5FKS99Z/E!D05#@>?(/N( <6$F!EUQ!V)@E+*\X$[9E#O NT[N,
MO!S9&HXKA9F00D"S!*8#0CE#9DVR,]X<:PA2[9KKL"*QD.S?E'EQ0W;?I%2J
M!3-BL@(2G4_*;)R GY-T"RFX6O)@?__W?SQSQXZNS;^'_SU]1\^5Q +J3;#YVH#>C\1"L#OP/4&OYR(MXLXHY-B\V4E:*P*
M730-V^IT=56$<1]R>6V(BI3)'0WG"" >6E$!$D+CPW4N)"Y5KBFYY2RG=$
M'!UIT,8X+N!Z2?&0SAK2/")D, &F6OQ"@:I2H>(CI!&S.U"UY\I<0>8,*1,I
MV @X=+<"6OTQNNNT=U:W)>E5DAN-C!F0I<=3N=#@FH"#Z)^
M4:,A/"S?,XD	!)68=,)0FPD'4=,PW&VCHF^87@\ZO+U^+:#%I1IH^J/QX!
M3#MXUF-MNR=:2U#S(+^KTR)8:&WZ_K6FY/@IUT4ZPQ'ZV><.DY^9*2J_=@_<
M!-CMAJQB,.$FTQ(AH9;>2ZT+H$(XG(S#+\15 L=6$!4%] #URW=]7PQP/7 /
MZ0_ZC?B[VE,T''7U];CO$7VD7XY.T, 5BS_G(#R64')&:PE+>]]Z7J+8-!26E]0($2S3G@_0P_V>NE,QN,Y7P.2$HR:@UJ
M(:2OE!NXOD K47.+T8:+J*SUG+:%&BX&8#[;W*%HK4U0"#^U>U@4_7"*I_!.
MCO02MWFNM_DC&<74-I\)=AX;E>#B]I:C RD=1=+'.39B*I3HWPD2T$O.2H! 
M@($ SBDF:.TLF5DKIFVD&+<(TPP;K!4&7X.,$S0
M0"&U)#1;*R$,&BGH,?1).D5E#D!AY$9]-1V;0%MT5OM]R _(!P&,8B&C,CL/
MP@7QYPI6LTAO']7BZAX-BI2Y+%&.F>'V*#SDR!KB"!#)^E.9WB4W)"J6JN[D
MK;?90JQ0Z:\4/7BSMB+L;Q)E]S7V[QL94$GY:JK1_. QB&R0+/%7:&&Y8K+D)^W(T-8189XGJ_8W&"?.$?6*GNF
M'5E[/'*'8ZWM?6"+"9K)0%QFN!6X6Z"6)J4 S^G(CM:U-,%+7.JY.29N%RB5"/M,G @%T"Z\\+QD2U/AE"I2(]_U@GHO=9Q;+6!
M6S%3*@SO21;O*"XT$@2NI>%D$JJO).WT7N@,'6H;;ICL;+>__=2WZ
M_?!J^%M3I94";;!OP.9MW!$;R1'X?_SIY>N37T^U?H_:'0:BD9M!'9FV:;/M
M)R5XL%68!3:81$*?1:[*36(%TFIB!E8Q;W5:,$W@(6%U4]2MI:Y6E9FMFHV)R.K
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M[I("')'%#2:%9#6?3I&DRQOR."BW@L8;>4+Z-'!\8RHTST
MHN1'FQM2#AZ%)*#J%!'ETT//K:%.FH*E$IB3N2*8I8TA]T6^N;NO4&2FO/*L
M:A"Z39A54ID!N24XV1K\\;PIV$>[PF2X#+N-^&JJ[:)  WW6Z3*IF"TQID.Z
MFAUIG2(KUL=56F@+C'2-J_!*6$H3\Y2S4L4T5$Z)D(_E'^G(P^U8F"K-8%4O
M$H;=U4[)(?F)LFY)#F 91T.\XH.
MUA3 ZP'&O8[/ZZ:93IHSI65F5KT&'0:'%C\(3JD7#\">%>F-RF=31I1FH*A2
M!*I[M T99:N-33CM*?%HKTD*$IMO*=JQ?"8&EQ7QQ@Q4Z2V]X-5Z0Z([S!^D
M+"<, _HW O'L5>P'(1&/15T\(I;,Q_M\-1,-4)WP0/P/8OCL-Q&ZU@ #0P7@J1K" (!#-
M:CZP;F?DNNH?513/RN9
MC(4#T"B1VNM>!7D03  .V!J(G+M5XT$4\A""$X!O9PT= ?*_ZXG(<0-/M!30
M$?[(05NK'SANY(M&/1KH.9UX8N*,/%LYP&.
M#[2&LUV0?Z)\R'&[%-Q>X;9$H&"U6=6-P\VU=&)N=%:YX%FB*(N]$@ZHP;'0
MV@^ ^&M2Y,;_T(%/%=+OD-23/:IUUW*1U]9<:'RLQ)=5F8K%TIA/7V9TS.2D
M45Z8U#(E*[\URXN25]%YDBAGLE#^_K?_LM>%)CRV?7+ F9J5(L>M&%0^;L:%
M1W78L6U64C(57R:@@3$D-D:,!C5 'BDR#65/4"&
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M _(1BBXH\3@>_/P*\/89$<;
MC$Q6(@+H9"JA;\""Q E^0%E"=:K,4(D,H*CH =RG:$R329'LI'ZFQM#9,NTQ
M;@O+J05D:W2\Z=3Q0,C8,R2Z1)N7#! S=0W_)HLX4NVA+<$\LM0$O9S%W;^.]T'UN-96I 7
MI%G#AJJNN4.30+#/_!2@)]EN;!4.MF/ :#6RS >N0MNF00-;EA1[W5"9Z:;A
MP0#9/?:&H;A1H+-RS;IQAL'2>5GZL(UBG;7;KC'$S*IU2:7Z0I,*N&U6"Y'?
MS-:Y3#:=.A*1X\S@A^(0N=V!:P6+A#D+?,(BDE$1/NT)>]
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M$0/ PUG') /+L->JT;%J>G X-ADTEA3^![C*0H,G.A2"APXK24])*DHMJI=HG9T!U"Z(S5$[]?$;%8#SM]GZO!,^'B:]4:?
M-RD(Y$,?"FM\Z#))6E.V*N+[VSJ09BT.=#V2L50J@*F
M9#0S,NS<$LG3S08D*2H9TD2&AK92V7*.<)$?,*P//5L,R'TS,XIDR:6F;9(?
M5UPQF^6R8NDR>&B7?MC>VNDX$F1AOYUC,7?8ZSF6*@]H+\M!9$'6@V$NX77H
M%>16%L<3N)0ZL%F6R[/90U]=ER$LUAI1:T1TR9;HEMBN"K5)]T*F=/?0B%8Q
MW\);4@S\<6@)WR^Q&,P/9'TE7=A@D4PREC)]I3#0##76K&6)QV-S$]JS=L-CE7ZZ-M5O^JV:/.&(8,BNH?_# )4#63?(G^)8ZQ
MFUFFDG%@_A^.Y?\M5]6SFNWEV38[BN>$[L29C@*R>X5.,/;HN['C37S\A$7P
M_:E-RT=3WQE/IR)P(VC
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M-8! @$R9_'XT6D5)E?X_I^;86856@TM$T[G>/'V2D&A8U%V 3=5 \M>&CYV
M%$Y#_ YN36VQ^$#2:!+PCRZ&G'.J-[D6J"SZ0V(M[IG,E=.Q'932B6;1M5GX
M"XEV__"E_YBP(9N=E; ";UA][<<;>K9&9Y>#YY<]:&$ZLZZR3:N(A.Q@)3PO
M9K+,JH:;??1/N7CM5,L$Z*ZE>4L2U$W)P:X8@,VKX\11-*R>JH-LD*_:,V=O
MJ\^UY:O3ZQ]HUVCNX*I,I.]S:0IR$31%5;-EV@: O:["!NVZ;]WH?#:W*HW4
M?1]Q$Z";C*&.Q2F,HI7H-*RB>I(7[RZOSHB@8V5\VK8,Z=;=);O":B)WB?)N
M25*@DQCD\)5:*V72A"G=IR+_:Y+5LO[1S7@O ^6Q#X==8>V),GY@6LPAGS9>
MZ.P+BB#CB#;N/K>PP"[ZI :M"'MD4Y)@H]'IE'7DN>I[G\0+67VN]MJ 1"&K
MFK\]_X?[G%&&T9%%6FCI3:?^L$U6*"O!$"@IY)GRL))UG%)I@<\HU$7'-;U#
M F3;E"BVA3O5TF#V#L)7N_3P%M\8 81^KC8M52SU9T58$';,=O\GE3Q$FSDF
MIE3]O^>:?"AJ%#A1Z(HQ!_; ?QB^5\YBQ]0@DT_NB'$^!PH6S^NNT,-/CE^@<^A4&?R(_^B#YZ8V2,GN_V
MO]QXT?K.('_;E^EL#0+'+H=I%T?O\16$)GXUM(+:D/*Y0K9>4T+$SMSQF;"?
M-6.LX7BK<^MEZ-I36/J9QBJ :B8^^>CD:Z"&\B,]&J1%J1H"C-GHF$R6M-*N9RHQ2Q,S \SU&,"69?IF&."]
MX?,;C?S*A/BW!>4:!B#H,*MU,IZV@SC R^PSB#T,OAO_-I W_,2<5"]PP@G#-G1=)T!C(.(UEYIQE]UX:\D$7[H1-.P
M'<9NY(24NPWX.PV=B3=J?=>K_;$O>>HDEBGQI)O6TJS^3)ZL4(+)+*I8 'GN:4,FPJ),\71Y_@PM
M&6F>-;R-;(4LVE+"*2K#'QI?6ZV^!(W25;DI9U-;O?%'^ME:6F4!@:Z<>S;ZXK/FB*D:EG,%AQ]?7U:R.M
M0DH3^(7!8)AE9%4EH:QBHOHX<5M=J>[U#GDT6C&LZYLB?K2]W];K#XX8'.'/
MG!^/HF=ZE\G0'CM%0(XR%'_,/^ 9.Z8\?JUXNNE5OI0\MBJ836D_Y0O+.!Q05LJ0D4/)1U3_^+[C
M)C?R]<#=1/)G[>$(=0U.%0=AV)+0+L?J/OL4W)%;?
M\) Y(KJD
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M#.'(\2,/=@ BX,3%AU =HN#M6+Z$.
MX=09 QD)@M")QB'\ZP0!VR\GP=29C*9M94TLRY4?.A-3X41^.1T[GEWOA(0I
M?^RXL+.I'SAC=P+_TNC<(\1*)WX Y/!
M,PH]$&8C&ME8L$P0:_6-GOJ QK0JC;'3J66@AD&G<*R1'+A>KD7W)<$8$6(2
MDB#HNX"C/B*W#W@]#D?L]S"C(?:/$!R1"]?V[/GEJ\OKRXLK[+*W'QI_>7US^)P8N+EY?GE]N(:R:=3U4;V@_@/>AVGH?U*@,L3#11.X);'@23UGHW^'L4P8Y]7\= AUP%
M)Y*T266EOU!9LAAG5M6'Y2/K>GR[A5I?.'%0]\2K,T+WG4=^PA-)-H&2CD?6
M"BL0J8@DM"/8G.>)J7558-L3,DQ7_.FK:F0$NUMUE_%4$V[[[V;5'R84?D1A
MUR[%)WD$0DTKB]OYL0)QL&> @U*%4""7" [F$8QDFY0+P2!:]0KT,#Q
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MB"H4L-+!>*+\UR.@GFKP6Y!^7E=R6]0K;8J2PEU%&0:!B*%@8PK\
M IY*\>S ZP,.Z5-5^M]4(Q">65\H2FH_.#"W:]XK;P-)"SZ)#\!UG0AS0D>$
MG0.07Z:HXWNA1^=\E1#...+.>B2Z5I);4W"I=&*!6Z 9&+6%".,CGT4F.YZ 
M@.LUXAY717Y7Q$LC+,BGDFB53C#!@,L0!+30&\'Z7(^"^H':1?TO &@"@0\!
M@)QD_O"WO 0@B1,J],!QIB I>("E%$S3,5DG>#NR/3)3S5J#9DXPB$.>G'.KF1G0$$66TR,D02@&]#5%-
MF9$9!W866B7V$R35Z4A.P&]+#"8470RLS0=,' 30UIN8<>T,1+-2@CM(XU,$
MNX_A?8' 5SWHXL,I +8TTZ-J"5#V9[C'(R(W^#V=Y;%:$7X#VI&'J]Z>QP[Q^;CV
M/\UF44O^WIV'8Y$#>MP&)>_QB(J+CD"U)V@&VL"CWM?Y7#Q\Q%Z:R8B(!OP!
M$PY M:7@9@\5;2"O^W-P8-TP DK]L"<0[$#E&@0N4J4)W'$0!+=P\"H#]\83
M-#Z@PC:6VCNP4Z"D6[DW2IB>F )Q!\*G**]\S6:!O"HNV@-NAN_/[/%N9=_Z^/<0>.#T>/
M8J/G 7C'%'E$"2#\,% 'NVYP:^A'FW0ISX7XO^-.2&CQ)\I.@O'S+@U.97^I
M1K-Z"8)+0[74N-00BSP["%K^N2O+!SU_A,O@$O0#U$H_-\/'$'/BC\'(EB;&
M9#YLX?7 3-$XY6N?)F#MU-W"\'5 NQ>1R0X_P1D21_: 08_D?,CN1T&T&[LW
M@Z+?AY@[B5D^F=8B\G! HV@ZW87-![" $4I^6(,&(!Y)>R&I**U,7LU_;(!H
MPO#@UD9(("-9_A>H(E*K3^#M%DXAB<'=NM(=!.+JU'L*C^_80C!U:UA[
M4,W_.;S]B8M].D]'(_U+"@'Y"6M6X1,]2+W5BSJ_#?6S$L%DVHI#$\
M([0A?X2JK=S6S"1CH-V-
MIK?[XSE;.?-NQ #G32\LT[N\;U37T#_=61;/HWF.@)Y,?*R'F]Z%>EKS_5
M??GC6ZONMHVT34RUT+AZ3[9AG,'6"A*_M8J4MP_1@J0U#.[.9M.-*XF9_%<-
MTT& 8+N!G6(,\NDV;&]#3;UDWV4R,W'8@N?1(U82WP'Y<>#!/.'@WA,=YDO^
MLT[?KJ1EZ-A%\P8](@1#\_Z03=&MZO8-DZ&V8%\';Z70&2G0H \181Y@A2C&(JU+$?(VSHM;I1X9J1'Z]
M)R8@%ALYA&H7^6[E\Y,X\6YL%&$::C(T'BD*(HW_UD <^[N2KV-G^@DJ>D4$
MXP"J":W\703,EN#)HN9G#C.\ >ZI"DL &/"B=3IBDC$H=W
M8\/]+&U+54W#(<,&SPP_-\^,#,^,_DD\H'9DZ@_C@(;'246:JSLYY.>LI%@I"S[328TNL1(Q(2(
M=(,G\4ND3422D VC*6P$LTS94B!#?\A;M87!M?%,'GGJ1#"L/W9&8XRJ"*6E
M*AB1D_P)7!,#&SB5#4Z=C* 8%6O"MD)\7=!KU!*12=UV"LW@FC(>3YKEH?"A
M-1!;M0U2/FC.%_U*/5Z)X2(Z^_JT]Q[Y]
M[\8T"'R&3#FOC.7KGP&+PU/P_SI/P7?>L2OYAAABV.XOR5_?']X,/KP9?'@S
M^/!F;P4]Z/G(7,H4#U7\_/#MY>':RY=G)/C32CSO\8)ZBN-!/49AG+DJ%
M ICAT+ANU#19C='EIDFC.&ZQ;N@^:$"^:$"^:$"
M>6/I3ZEUO.JA\N^A
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MH;ZO"%I=C:^2+ 412U;SP+BMKI;:NDM&]@%W?./QF.=AC5VW/4J'74,XZ/DU)Q-H\+$(_>KT@"1H0_!3)DS<,6.UGS
MK&NFSS$F?+\7*NPYIPGL(IS\=4?==R^ODX]PU0H39XKS?P/:R$KJ-=; 5<&H
M:\3WI"[,4O+9)"3PY+>WR(VYC,FJP+H)J-K,\\4B+DI3XN0$)NDFO-T#$X$J
MU"C6@#0-?]FX3V\^P#[*^W0ES*4#6H+ANI0%#1* '+?_7HZ"H>LV<+UU=#G>
MO'>\*&H;KZVTZ:EXC05)R#NHV6,ON]J%3ZF9WA$-YP1O,V%4)M, 29*_KI:ZN62-U_A74O8??ONO)JUZ)[
MFL)=VGX@_?VW@<171"Y.GLT5=F=!<<;XA$/?):G_@5=(A?OU(-
MS?HT/:D+S57OD&^PI:9A7_V[;F]4-5U&6[I@QO-8*FA]] )C3$H,ET7=K4<+"KN* IZ*N-9,?7_24BLEV O^*@HT?NVM
MW]C>NJ]X8WN/_LJ-;74BK(IZ7:KG6 ).?0QWO9>? 18+2%ZYI^^JVV.BJ=6VH@.U[@
M5WGA*#UTI@\/1UN)J/,=J@&>]JLZ]I2
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M>)UG#WL,<_;F_%*V[CH$Z]U44Q-8/K5R2ZBL]NQGZW05N6RK:JYE'HA
M155?D6HM]MV^/_[T\C6*'MUN@/:C=BR#C&7'OGE$KHA@ZW58N4.O11K?W)3)
M7S;8^>*AIJMM7>;;33&[QVM!3H3&"63)Z3I=)M4BG2IMPLHCH2J.P&U*=.PW
MS8 R[AN=W_EFC=$D7;;DZI$@6>Q&2MIU(8L-Z1:AM6)^JVMJK:
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M%3L-]01DW&GZQV^^64_EKG;5(S]C_EG3((F[>D$>W?2=ZZL^PZ
M/ /]Z0 ][H36 .T^]T/'TG?*M>IX"XT\I;20A0H_Z8_+T(TM-]>3O1
MS=U6^GGYRLYS_EH,:.<%_!J<:N?)G\#2GB A_(/.? \7^Z]TZ+NOX)\+]+V.
M_:NR7'_]?P%02P$"% ,4    " #R@ZE(F9/Y]\P!  #3&@  $P          
M    @ $     6T-O;G1E;G1?5'EP97-=+GAM;%!+ 0(4 Q0    ( /*#J4A(
M=07NQ0   "L"   +              "  ?T!  !?L"  !X;"]?
M&UL4$L! A0#
M%     @ \H.I2 2@&NL_ 0  :0,  !$              ( !P@<  &1O8U!R
M;W!S+V-O&UL4$L! A0#%     @ \H.I2)E&PO&PO=V]R:W-H965T&UL4$L!
M A0#%     @ \H.I2#1O1A;M!   KQ<  !@              ( !9A@  'AL
M+W=O&PO=V]R:W-H965T&UL4$L! A0#%     @ \H.I2)(S
M<#WR!   *AD  !@              ( !020  'AL+W=O&PO=V]R:W-H965T
M&UL4$L! A0#%     @ \H.I2*^>&82@ 0  L0,  !@     
M         ( !%RT  'AL+W=OTN  !X;"]W;W)K
M&PO=V]R:W-H965T&UL4$L! A0#%     @ \H.I2.@,VHJB
M 0  L0,  !D              ( !=C0  'AL+W=O&PO=V]R:W-H965T&UL4$L! A0#%     @ \H.I2,@,\@ZB 0  L0,  !D     
M         ( ! CH  'AL+W=O&PO=V]R
M:W-H965T&UL
M4$L! A0#%     @ \H.I2/.CK<^Q 0  %@0  !D              ( !GS\ 
M 'AL+W=OWUS
M9Z,!  "Q P  &0              @ &'00  >&PO=V]R:W-H965T&UL4$L! A0#%     @ 
M\H.I2#(O-;*F 0  L0,  !D              ( !/$4  'AL+W=O&UL4$L! A0#%     @ \H.I2/>/*1[( P  
MAA(  !D              ( ![$H  'AL+W=O&PO=V]R:W-H965T+%)(P(  &P&   9              "  1-1  !X;"]W;W)K&UL4$L! A0#%     @ \H.I2$IC[I8L P  D@T  !D         
M     ( !;5,  'AL+W=O&PO=V]R:W-H
M965T&UL4$L!
M A0#%     @ \H.I2#:HIY?+ P  =A0  !D              ( !SU\  'AL
M+W=O"P  &0              @ '18P  >&PO=V]R:W-H965T&UL4$L! A0#%     @ \H.I
M2/:6VPV( @  >@D  !D              ( !UV@  'AL+W=O&PO=V]R:W-H965T&UL4$L! A0#%     @ \H.I2#T7HLBP P  &PO=V]R:W-H965TQW  !X;"]W;W)K&UL4$L! A0#%     @ \H.I2%+F?[>O 0  ]0,  !D             
M ( !/WP  'AL+W=O&PO=V]R:W-H965T
M&UL4$L! A0#
M%     @ \H.I2.S+J@P)#0  IEX  !D              ( !AYH  'AL+W=O
M&PO



IDEA: XBRL DOCUMENT
/**
 * Rivet Software Inc.
 *
 * @copyright Copyright (c) 2006-2011 Rivet Software, Inc. All rights reserved.
 * Version 2.4.0.3
 *
 */

var Show = {};
Show.LastAR = null,

Show.hideAR = function(){	
	Show.LastAR.style.display = 'none';
};

Show.showAR = function ( link, id, win ){
	if( Show.LastAR ){
		Show.hideAR();
	}
		
	var ref = link;
	do {
		ref = ref.nextSibling;
	} while (ref && ref.nodeName != 'TABLE');

	if (!ref || ref.nodeName != 'TABLE') {
		var tmp = win ?
			win.document.getElementById(id) :
			document.getElementById(id);

		if( tmp ){
			ref = tmp.cloneNode(true);
			ref.id = '';
			link.parentNode.appendChild(ref);
		}
	}

	if( ref ){
		ref.style.display = 'block';
		Show.LastAR = ref;
	}
};
	
Show.toggleNext = function( link ){
	var ref = link;
	
	do{
		ref = ref.nextSibling;	
	}while( ref.nodeName != 'DIV' );

	if( ref.style &&
		ref.style.display &&
		ref.style.display == 'none' ){
		ref.style.display = 'block';

		if( link.textContent ){
			link.textContent = link.textContent.replace( '+', '-' );
		}else{
			link.innerText = link.innerText.replace( '+', '-' );
		}
	}else{
		ref.style.display = 'none';
			
		if( link.textContent ){
			link.textContent = link.textContent.replace( '-', '+' );
		}else{
			link.innerText = link.innerText.replace( '-', '+' );
		}
	}
};


IDEA: XBRL DOCUMENT
/* Updated 2009-11-04 */
/* v2.2.0.24 */

/* DefRef Styles */
.report table.authRefData{
	background-color: #def;
	border: 2px solid #2F4497;
	font-size: 1em; 
	position: absolute;
}

.report table.authRefData a {
	display: block;
	font-weight: bold;
}

.report table.authRefData p {
	margin-top: 0px;
}

.report table.authRefData .hide {
	background-color: #2F4497;
	padding: 1px 3px 0px 0px;
	text-align: right;
}

.report table.authRefData .hide a:hover {
	background-color: #2F4497;
}

.report table.authRefData .body {
	height: 150px;
	overflow: auto;
	width: 400px;
}

.report table.authRefData table{
	font-size: 1em;
}

/* Report Styles */
.pl a, .pl a:visited {
	color: black;
	text-decoration: none;
}

/* table */
.report {
	background-color: white;
	border: 2px solid #acf;
	clear: both;
	color: black;
	font: normal 8pt Helvetica, Arial, san-serif;
	margin-bottom: 2em;
}

.report hr {
	border: 1px solid #acf;
}

/* Top labels */
.report th {
	background-color: #acf;
	color: black;
	font-weight: bold;
	text-align: center;
}

.report th.void	{
	background-color: transparent;
	color: #000000;
	font: bold 10pt Helvetica, Arial, san-serif;
	text-align: left;
}

.report .pl {
	text-align: left;
	vertical-align: top;
	white-space: normal;
	width: 200px;
	white-space: normal; /* word-wrap: break-word; */
}

.report td.pl a.a {
	cursor: pointer;
	display: block;
	width: 200px;
	overflow: hidden;
}

.report td.pl div.a {
	width: 200px;
}

.report td.pl a:hover {
	background-color: #ffc;
}

/* Header rows... */
.report tr.rh {
	background-color: #acf;
	color: black;
	font-weight: bold;
}

/* Calendars... */
.report .rc {
	background-color: #f0f0f0;
}

/* Even rows... */
.report .re, .report .reu {
	background-color: #def;
}

.report .reu td {
	border-bottom: 1px solid black;
}

/* Odd rows... */
.report .ro, .report .rou {
	background-color: white;
}

.report .rou td {
	border-bottom: 1px solid black;
}

.report .rou table td, .report .reu table td {
	border-bottom: 0px solid black;
}

/* styles for footnote marker */
.report .fn {
	white-space: nowrap;
}

/* styles for numeric types */
.report .num, .report .nump {
	text-align: right;
	white-space: nowrap;
}

.report .nump {
	padding-left: 2em;
}

.report .nump {
	padding: 0px 0.4em 0px 2em;
}

/* styles for text types */
.report .text {
	text-align: left;
	white-space: normal;
}

.report .text .big {
	margin-bottom: 1em;
	width: 17em;
}

.report .text .more {
	display: none;
}

.report .text .note {
	font-style: italic;
	font-weight: bold;
}

.report .text .small {
	width: 10em;
}

.report sup {
	font-style: italic;
}

.report .outerFootnotes {
	font-size: 1em;
}


IDEA: XBRL DOCUMENT


  3.4.0.3
  
  html
  162
  190
  1
  true
  54
  0
  false
  7
  
    
      false
      false
      R1.htm
      0001000 - Document - Document and Entity Information
      Sheet
      http://www.mediageneral.com/role/DocumentAndEntityInformation
      Document and Entity Information
      Cover
      1
    
    
      false
      false
      R2.htm
      1001000 - Statement - Consolidated Condensed Balance Sheets
      Sheet
      http://www.mediageneral.com/role/ConsolidatedCondensedBalanceSheets
      Consolidated Condensed Balance Sheets
      Statements
      2
    
    
      false
      false
      R3.htm
      1001501 - Statement - Consolidated Condensed Balance Sheets (Unaudited) (Parenthetical)
      Sheet
      http://www.mediageneral.com/role/ConsolidatedCondensedBalanceSheetsUnauditedParenthetical
      Consolidated Condensed Balance Sheets (Unaudited) (Parenthetical)
      Statements
      3
    
    
      false
      false
      R4.htm
      1002000 - Statement - Consolidated Condensed Statements of Comprehensive Income
      Sheet
      http://www.mediageneral.com/role/ConsolidatedCondensedStatementsOfComprehensiveIncome
      Consolidated Condensed Statements of Comprehensive Income
      Statements
      4
    
    
      false
      false
      R5.htm
      1003000 - Statement - Consolidated Condensed Statements of Cash Flows
      Sheet
      http://www.mediageneral.com/role/ConsolidatedCondensedStatementsOfCashFlows
      Consolidated Condensed Statements of Cash Flows
      Statements
      5
    
    
      false
      false
      R6.htm
      2101100 - Disclosure - Basis of Presentation
      Sheet
      http://www.mediageneral.com/role/BasisOfPresentation
      Basis of Presentation
      Notes
      6
    
    
      false
      false
      R7.htm
      2102100 - Disclosure - Segment Information
      Sheet
      http://www.mediageneral.com/role/SegmentInformation
      Segment Information
      Notes
      7
    
    
      false
      false
      R8.htm
      2103100 - Disclosure - Variable Interest Entities
      Sheet
      http://www.mediageneral.com/role/VariableInterestEntities
      Variable Interest Entities
      Notes
      8
    
    
      false
      false
      R9.htm
      2104100 - Disclosure - Debt and Other Financial Instruments
      Sheet
      http://www.mediageneral.com/role/DebtAndOtherFinancialInstruments
      Debt and Other Financial Instruments
      Notes
      9
    
    
      false
      false
      R10.htm
      2105100 - Disclosure - Taxes on Income
      Sheet
      http://www.mediageneral.com/role/TaxesOnIncome
      Taxes on Income
      Notes
      10
    
    
      false
      false
      R11.htm
      2106100 - Disclosure - Earnings Per Share
      Sheet
      http://www.mediageneral.com/role/EarningsPerShare
      Earnings Per Share
      Notes
      11
    
    
      false
      false
      R12.htm
      2107100 - Disclosure - Retirement and Postretirement Plans
      Sheet
      http://www.mediageneral.com/role/RetirementAndPostretirementPlans
      Retirement and Postretirement Plans
      Notes
      12
    
    
      false
      false
      R13.htm
      2108100 - Disclosure - Stockholders' Equity
      Sheet
      http://www.mediageneral.com/role/StockholdersEquity
      Stockholders' Equity
      Notes
      13
    
    
      false
      false
      R14.htm
      2109100 - Disclosure - Other
      Sheet
      http://www.mediageneral.com/role/Other
      Other
      Notes
      14
    
    
      false
      false
      R15.htm
      2110100 - Disclosure - Guarantor Financial Information
      Sheet
      http://www.mediageneral.com/role/GuarantorFinancialInformation
      Guarantor Financial Information
      Notes
      15
    
    
      false
      false
      R16.htm
      2302301 - Disclosure - Segment Information (Tables)
      Sheet
      http://www.mediageneral.com/role/SegmentInformationTables
      Segment Information (Tables)
      Tables
      http://www.mediageneral.com/role/SegmentInformation
      16
    
    
      false
      false
      R17.htm
      2303301 - Disclosure - Variable Interest Entities (Tables)
      Sheet
      http://www.mediageneral.com/role/VariableInterestEntitiesTables
      Variable Interest Entities (Tables)
      Tables
      http://www.mediageneral.com/role/VariableInterestEntities
      17
    
    
      false
      false
      R18.htm
      2304301 - Disclosure - Debt and Other Financial Instruments (Tables)
      Sheet
      http://www.mediageneral.com/role/DebtAndOtherFinancialInstrumentsTables
      Debt and Other Financial Instruments (Tables)
      Tables
      http://www.mediageneral.com/role/DebtAndOtherFinancialInstruments
      18
    
    
      false
      false
      R19.htm
      2306301 - Disclosure - Earnings Per Share (Tables)
      Sheet
      http://www.mediageneral.com/role/EarningsPerShareTables
      Earnings Per Share (Tables)
      Tables
      http://www.mediageneral.com/role/EarningsPerShare
      19
    
    
      false
      false
      R20.htm
      2307301 - Disclosure - Retirement and Postretirement Plans (Tables)
      Sheet
      http://www.mediageneral.com/role/RetirementAndPostretirementPlansTables
      Retirement and Postretirement Plans (Tables)
      Tables
      http://www.mediageneral.com/role/RetirementAndPostretirementPlans
      20
    
    
      false
      false
      R21.htm
      2308301 - Disclosure - Stockholders' Equity (Tables)
      Sheet
      http://www.mediageneral.com/role/StockholdersEquityTables
      Stockholders' Equity (Tables)
      Tables
      http://www.mediageneral.com/role/StockholdersEquity
      21
    
    
      false
      false
      R22.htm
      2309301 - Disclosure - Other (Tables)
      Sheet
      http://www.mediageneral.com/role/OtherTables
      Other (Tables)
      Tables
      http://www.mediageneral.com/role/Other
      22
    
    
      false
      false
      R23.htm
      2310301 - Disclosure - Guarantor Financial Information (Tables)
      Sheet
      http://www.mediageneral.com/role/GuarantorFinancialInformationTables
      Guarantor Financial Information (Tables)
      Tables
      http://www.mediageneral.com/role/GuarantorFinancialInformation
      23
    
    
      false
      false
      R24.htm
      2401401 - Disclosure - Basis of Presentation Basis of Presentation (Details)
      Sheet
      http://www.mediageneral.com/role/BasisOfPresentationBasisOfPresentationDetails
      Basis of Presentation Basis of Presentation (Details)
      Details
      24
    
    
      false
      false
      R25.htm
      2402402 - Disclosure - Segment Information - Narrative (Details)
      Sheet
      http://www.mediageneral.com/role/SegmentInformationNarrativeDetails
      Segment Information - Narrative (Details)
      Details
      25
    
    
      false
      false
      R26.htm
      2402403 - Disclosure - Segment Information - Operating Segments, Revenue (Details)
      Sheet
      http://www.mediageneral.com/role/SegmentInformationOperatingSegmentsRevenueDetails
      Segment Information - Operating Segments, Revenue (Details)
      Details
      26
    
    
      false
      false
      R27.htm
      2402404 - Disclosure - Segment Information - Operating Segments, Profit (Loss) (Details)
      Sheet
      http://www.mediageneral.com/role/SegmentInformationOperatingSegmentsProfitLossDetails
      Segment Information - Operating Segments, Profit (Loss) (Details)
      Details
      27
    
    
      false
      false
      R28.htm
      2403402 - Disclosure - Variable Interest Entities (Details)
      Sheet
      http://www.mediageneral.com/role/VariableInterestEntitiesDetails
      Variable Interest Entities (Details)
      Details
      http://www.mediageneral.com/role/VariableInterestEntitiesTables
      28
    
    
      false
      false
      R29.htm
      2404402 - Disclosure - Debt and Other Financial Instruments - Schedule of Long Term Debt (Details)
      Sheet
      http://www.mediageneral.com/role/DebtAndOtherFinancialInstrumentsScheduleOfLongTermDebtDetails
      Debt and Other Financial Instruments - Schedule of Long Term Debt (Details)
      Details
      29
    
    
      false
      false
      R30.htm
      2404403 - Disclosure - Debt and Other Financial Instruments - Narrative (Details)
      Sheet
      http://www.mediageneral.com/role/DebtAndOtherFinancialInstrumentsNarrativeDetails
      Debt and Other Financial Instruments - Narrative (Details)
      Details
      30
    
    
      false
      false
      R31.htm
      2404404 - Disclosure - Debt and Other Financial Instruments - Fair value of financial instruments (Details)
      Sheet
      http://www.mediageneral.com/role/DebtAndOtherFinancialInstrumentsFairValueOfFinancialInstrumentsDetails
      Debt and Other Financial Instruments - Fair value of financial instruments (Details)
      Details
      31
    
    
      false
      false
      R32.htm
      2405401 - Disclosure - Taxes on Income (Details)
      Sheet
      http://www.mediageneral.com/role/TaxesOnIncomeDetails
      Taxes on Income (Details)
      Details
      http://www.mediageneral.com/role/TaxesOnIncome
      32
    
    
      false
      false
      R33.htm
      2406402 - Disclosure - Earnings Per Share - Basic and Diluted Earnings Per Share (Details)
      Sheet
      http://www.mediageneral.com/role/EarningsPerShareBasicAndDilutedEarningsPerShareDetails
      Earnings Per Share - Basic and Diluted Earnings Per Share (Details)
      Details
      33
    
    
      false
      false
      R34.htm
      2406403 - Disclosure - Earnings Per Share - Narrative (Details)
      Sheet
      http://www.mediageneral.com/role/EarningsPerShareNarrativeDetails
      Earnings Per Share - Narrative (Details)
      Details
      34
    
    
      false
      false
      R35.htm
      2407402 - Disclosure - Retirement and Postretirement Plans (Details)
      Sheet
      http://www.mediageneral.com/role/RetirementAndPostretirementPlansDetails
      Retirement and Postretirement Plans (Details)
      Details
      http://www.mediageneral.com/role/RetirementAndPostretirementPlansTables
      35
    
    
      false
      false
      R36.htm
      2408402 - Disclosure - Stockholders' Equity (Details)
      Sheet
      http://www.mediageneral.com/role/StockholdersEquityDetails
      Stockholders' Equity (Details)
      Details
      http://www.mediageneral.com/role/StockholdersEquityTables
      36
    
    
      false
      false
      R37.htm
      2409402 - Disclosure - Other - Narrative (Details)
      Sheet
      http://www.mediageneral.com/role/OtherNarrativeDetails
      Other - Narrative (Details)
      Details
      37
    
    
      false
      false
      R38.htm
      2409403 - Disclosure - Other - Restructuring Reserve Rollforward and Schedule of Reserve Expenses (Details)
      Sheet
      http://www.mediageneral.com/role/OtherRestructuringReserveRollforwardAndScheduleOfReserveExpensesDetails
      Other - Restructuring Reserve Rollforward and Schedule of Reserve Expenses (Details)
      Details
      38
    
    
      false
      false
      R39.htm
      2410402 - Disclosure - Guarantor Financial Information - Narrative (Details)
      Sheet
      http://www.mediageneral.com/role/GuarantorFinancialInformationNarrativeDetails
      Guarantor Financial Information - Narrative (Details)
      Details
      39
    
    
      false
      false
      R40.htm
      2410403 - Disclosure - Guarantor Financial Information - Condensed Consolidating Balance Sheet (Details)
      Sheet
      http://www.mediageneral.com/role/GuarantorFinancialInformationCondensedConsolidatingBalanceSheetDetails
      Guarantor Financial Information - Condensed Consolidating Balance Sheet (Details)
      Details
      40
    
    
      false
      false
      R41.htm
      2410404 - Disclosure - Guarantor Financial Information - Condensed Consolidating Statement of Comprehensive Income (Details)
      Sheet
      http://www.mediageneral.com/role/GuarantorFinancialInformationCondensedConsolidatingStatementOfComprehensiveIncomeDetails
      Guarantor Financial Information - Condensed Consolidating Statement of Comprehensive Income (Details)
      Details
      41
    
    
      false
      false
      R42.htm
      2410405 - Disclosure - Guarantor Financial Information - Condensed Consolidating Statement of Cash Flows (Details)
      Sheet
      http://www.mediageneral.com/role/GuarantorFinancialInformationCondensedConsolidatingStatementOfCashFlowsDetails
      Guarantor Financial Information - Condensed Consolidating Statement of Cash Flows (Details)
      Details
      42
    
    
      false
      false
      All Reports
      Book
      All Reports
    
  
  
    meg-20160331.xml
    meg-20160331.xsd
    meg-20160331_cal.xml
    meg-20160331_def.xml
    meg-20160331_lab.xml
    meg-20160331_pre.xml
  
  
  
  true
  true




IDEA: XBRL DOCUMENT
begin 644 0000216539-16-000224-xbrl.zip
M4$L#!!0    ( /*#J4@7@RLVL;2<_"9\9WW+9C.[ESG[+8XK'-M$0J).6V
MY]=/@91DB: H2B)Y#B5V>JD5\9 $-@I5NPJ%JC__KV^G)R^^-N/)8#3\RTO^
M)_;R13,\'O4'P\]_>?GW#T?N0WCUZN7_^N6___E_'!W]7__^]8LX.CX_;8;3
M%V'<]*9-_\4?@^F7%__9;R:_O_@T'IV^^,_1^/?!U][1T?Q-9S\SER"+Y*+/
M#!Q*&S3S*3AO6(# V/_\]K/M?VILG]/_]"<%W/0^H?S4,\>-/D9U_)N8?=BW
MW\8G@Y_+SQ,7XD^>F')X\VWXR_+GR^OE#? 
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MZ?_^^OK#\9?FM/?CX<'=#Q]=C>:7__[?_ER^Z^?)[(7WS:<7L^_^^O%J6X2\O)X/3LQ.:T4_E4^:J[G@TG#;?IB\&-.0+!]'OYP^5?!OWRMT^#9OQB-HSFQ@PNQ3*\^C\O?V'TC^ :)/[Y
MI\4WS[[CI\4ON?B.,]I3H_[U;R4$QM-(]N"7,LPB3HQ?OOW':]?>T S[UQZ7
M)'T_OJU_^?#EGZZ^[_(/%\@LA^K5#"GQ:^^[ZB)4X=#TYH9.[;8/)/,DS__/!ET)ST?RWD;OZ$^SQNFD+T
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MQ_\^'TP&4P)TJ7K8#TD@0'Y> &0N 'PM"SOQJ,A_7H\(Y"3*UG\\< '4JS]WK@_
M^?M9GT95/IG)1:GNG91#E@]?FF;Z>G33K\T8S>9--/)PEO_T1L/
M>K^=-*]H^.-F,IU)TJ"9^._AI#>9D(3./^[MIX5--W<(:73EULQE>:T%V=2FNF4Y7_YR^42UGAOZYH=(P_7XP$UQV D3V?C)P:)CL\IDO'[U
MAJSTYV:\L*O6=(;X?FV;E2Z_A??8_]K#\S%ODCH\U+L^Z-#6Y?H
MHD<^7NB1@TCO5*1KZ ]:^B#3!YGNBI[NN$P?/-5GM%,.KNICCV7+M&82<>FL
M?9B/^L>.O0H*[M=.6#FQ^<(NS*RSP<:MYZC<+01Q\'DPW9$"X7ZB
M2F0Y*M="<,MAV1!M[:@*VS_I_96^D#R D_<-?5!)TAM^GCWTM(1Q]2R?D7 L
M9I\^2+4]%:EX@(IZ8G3G?N)PF4'5O!D-+R![6@)QZP2?D4C'RRZJA+"F&;V7Y++-2S3$#:ES2;3AF'16WP:E:@LLSJQF60,#H]
MZPV_O_UCV/3?GA68/HYF=RO&S3P%_.TXT?^;?M\OD:EG.Q>(>TYW+_5&G-72
MXK_VQOR(?ER[QWS0'ONB/521B?6UA]JV]CA(3HEO'Y[,8]JWNUWC+N<]6KM7?C$RGL>.N*ME;8
ML0M[]+"X>[ISUUC<)U.*\K;5;;$490<4\V%Y]UI0?C<>C/P;#
MST]F'9=.:W^7\AY64SS!_2B>A-5<:Q$/^W$?EO(>]O&P'[NJ5-=:Q"<3,KA]
M3;L1-&C/;AZ6>)]5\5I+?/!%]W.!EZ3,WVYNZ8^O1[T]:^>QPM3>F,_VUJ]3
M2?'K=<^[?.E]\W5T\I4(Y'I@!7)4"?<5. QTGI#?.ZG3N5!VU[T+;WE>.6+\\4,99_D_>EB%62]'L:
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M%."K8K/SNI"E@.1HV%Q6T?V1RC+M%<12;SSJ;W
M%02SBFYO/WV8CHY_OW)O_S$J5:4)E]/1(IZ7C]P.TD%*'RBE2TO-KQ0P=WQ\?GI^
M0H_V9XRW/#9NOA0HOS:OAL>CTV9/!6_UHJ\][R>3=5! ^U: W6.IJRGL@Y1@D.4H$W#"@?^U 7M
M=8,F;\%.P<'_/U"H)W*X?)LL'[16JYRK;=&XU9H=.->!*SD$,/VJ+U
M.-+!K3NX=6U)Z9*SP/=-N5YZ/#T?$\HE:_^*,,7!Y\&T=U(]L%]"MG1^<\ZS
M>H+/Y SP7B+QG^ZO'V^\^F1DX9:9/1,A6#P(7E7HYG__5WY#M&R_5GYEO9H;
M,]K+,]+Y)A;N;,R/Z(=D]U_)'Z3C_+=)\^_S8A*_TH^KBB.WO/X ^_&(Y
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M5JH?%\B,X]B,@C#?HS\4;;M^L'UW0KYSA/3D(?
MY2'1;/Z>6%65PW=5TQK1\M_[\)M
M-XX=-I^@$D;#R>ADT)\A\6K:G"[>RK_V5$[9#*+:9!'[CD@4MV)8-NE4P>N.2!2^Y6"@\!E:X%5%I1. =J=J!F
MW9/*@S-[<&;;D,UK'80.XGD0S[UO>W2'/!\\X8,GO&]R?/!;.N&W=%4\#K[.
MP==Y^I)\"!,>PH0=E%Q]H)H'JOE(.>Y"OND*.3Z$  XA@*.RB^7!/A_L\X//0K?2M;(;9Z$_/F3<] ?3W#L>
MG%R/*_Q*?^W]M1DVX][)_!'W>=S,^HL^ >'>;T_J/F.H5G<>&KES>9])A.VR
MP?F!_![(;WN=U5L^H;C+%GSX,FA.^C.5\?1,P1X*\@;T_UU+>E#_A].5P^E*
MEXU!!WR$)VT7GKV+<# 1:P>2#@>73WDO=3><="F;AP!X)P+@'8@9NV P_Z8&:>F9G9^TUQL#.'C;C>*?$AS-JU,&M;AZ]MAUF?
M)+<_1%D/Y+X]SN8=\M$[TN%*=-;W(^;F:*X.+ER\^Y?.G')Y3D1+<_/SW#_'>'SGYTALWD]O'.7_]WA][
MVAO_WDQO W7^ZOW'.A><6Y=J_O)#4'W7C#^4B5[_Z/[@*VWGZR)8WO'F_+0A
M4S"ZOJW67(G_=F,@-S_HVC?$9CB:NZK^\?0H!A0>DF4R.?"@,'(.4@7#DV>_
M?.J=3$C8JP^__,9P/BZG\'DP.>Z=_%?3&ZS;1(IK]-UAA*HG^<5EIDY\%98S.$
M&)U4S&D Y"]_^=O%*&[]EN7#*.-<=Q \>(_:*>U! +/"@K1>6PBH@0DO7L[N
MZ"\;QM6W+ YB/K[UER0$" &#<< 8*!_HZW/P04B4@I;*O[Q1)N#6;UHTI,TR)P!P+!*.=9E%9E*X(SD7Z^_(6SH[_=_-[RT9=?-[>Y@?XZ[IV\
M&O:;;_^G^;[&]RK+DV99)$ &B0N'5H-.F1;!!N;\3;9PZSCH:?IB.
MCG^?J:?)V_-IL77]P?#FSISWF1*_]KZKER_ZS?'@E+8<_?E-OC9$+S7W(@9:
MF R8F _==6@4N4!B!S-X8\HI1W1Q_'IPTXT"+^7DT
M7@=$"%(C.JEEL*#!VVQ0$8C,0M3M(D13*:,Q\Y<&VL3^A(N!&]H76F[?1KBJ__WBU9MP?2@WOZ^,9=;N_93XT^#_S7C%VT_OQJ//X][IZ\$Q$;'F_>#S
ME^F2C0X7(_NQMD?R^CA]2M$;2#I["#HACY)&JR.W.EBNKBWMC$-P;L"2//[Y
MI_4&]/BAM^J%W@:;%9$6DE2UC :,R9;TA6=>>R:2S^D]J5B1+0[ MHMPW*T"!X9 HH%*],0)P.G 
M8Z0?GG/2M:D2.-(RG0%N:ZG0MZ%53$\F6^X53T!L#@5&&UU4-CG'I5]$:Y= 
M;>@(^;:I:YFM)D(IR4J#<]:! \,-?;TS(1*9;&/J>K41*L3?,)6TQ@!@E7?H
M74(C.-%1'61EA 11M1V)=P>*[]Z^U$AF.WL;2:>*
MU(GTQ@=I0V2H+7FO>A$YX+([P.W<"!F.)&)*$$P<5,@>N?/)2L24P$;;HB;>
MMA%R##QCEBB=4Z!81FDU:71FR!X+^MOBU$LTY@&2XL\G@V$SF;CC?Y^3 BYO
M>->,Z<%I[W,S^O2/T90$ +F:T\FOO0&]0&_H__9]]HYQTRSQA?E_](;R
M]GH@;YIOY:S8CT>]_G%O4K[AK^/1^=FKX?&?%J1JR?"6YDS68(IK6&8IR/-W
M3&B%*FN6$HF4DS+(K%52U]759>B8_4FJ.9:/1V@1:]I OUU(P;4/?=^<%)\Z
MC.A30F]8G.S^M9?]N.G]?GZ6%P"/5X#SHSGJZT$W2QOX4EG;&^*HKQM*YE J
MT&"]BN2C09 (4,)M(0B3*D-9N,4/2[FAF6\3R'4\?93"!S%T[QG"K/OA,/LR/,N\+
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MAQZLCDSG($6PR8=($JC%##SZ-\EL,146F,$9E2&1WQ96^"GL&1 R=_
MT%3AB(WJM^5/9AK[\)A^<\?3P=?9HM[;]*7@O%"T2WA$D8W/R2N:5^)DK6F_
MK&/ZUA[<5F;626-H@N*$K A9"2<<\P'Y!:J6>U%)RWZ@VKIA)/9(KD@DT\AC
M2753!O,4T:WEX(;$@6*N_Z5NW687QW
M;D(A@U5*"D$>GTG,&DN^WEQ
MY/6-ZD-PJLX$WC33MY]>DX-6.4)HRCMF0'4N6''P0-CK#@F,B>1:D
MJ]0^9U:;Z_.YWM(_/YX)S;>S\J[[0T[X&L6,2R9F<$%X8C"DLZSD/ 8.2\8,UOPX^+]U
M( \>:2?YB/56,4?Z2$8 !=F9E"W0&H,)QKHJUTP:0-PU2*W3BQRE$3++('T 
M:[5E(043 Y*>8H)5QQNVP-062FVRA5P296F7:99+U@BB"%24DX' 1*,S\AS28/#G(U,+E7YJMN#9_D[5FYCT-^WBQ_XOX^A""WP9+'B2Z"(\><
MD0FWY?J8Y$I@I?D$.1#VAZ@N&<*]1G=7VHD,49L,2BH+J-$+VCX*/!B.Z'4E
M*5)S=HV\KQC=WVCR8-OV/S;!?CET_->.+K*WYG=3)V<4O=R1=M9KJIJ['
MZ063F5P\3,"R L4=D7V?_0S/^.CAN?KPR3Q08W9+XL$2_[2CW 4-&1EAJ 9D,(',R
M:IEL2B$GH>72W(>+%)IMP+(:\H]?Z/5F+PAT?C\X)\G>][^4#+ZYWUPDX\#=UJW+7AO87ETEP 1!<<%(83RX) #(3
M6$62Y.SF9-'MJT?QP'%VTC'QY1XI2A;(WH$B#UISHM[16DR1R'=MGAG?-42M
MNR7&(4= 2?K;@C?1\:1S# G!
M"0_"AY+$+(A&8W1(S-\G#\(FI@ JG;OU>6[-;-Y,*?18 QD:WP)X-IR
M+"F=4-%5:I3K+0G^0L+O0I8WIF0,T"!++C)I_*RY-TP+[0%=?8T3R4_;WC@[
M:0_)1D;^# ,N))(QC)I%?K>MR6IK\-H=;-86;"*BR>O"MG7@IE
M8L(ID1-W#NNK&F0)H"V06HW1)2&YM@P))4@&R6^.Z"P3A!QZ6V5("L0M:H5N
MF<.@C4NVY"0  B?B2<)$LA0Q616-J M,6;/0K#HF<>P))?LXA[R_:?^OCEN
M!E_+0V^:Z8.<1/(*HS%:AFPD1$AH/ ( ,R8HX%B%4 5:999;Q66#>=2@.VDA
M6286JZT%9PDPZ5W*63"T6MBBV2J1-F#U>:"%)#((Q$4J]#[("
MSG-'RH" 3-6- XZ"/,@.(-:F\8S>>72H!89<[F=X\B*MXL546*==== O6P
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MAU9*IR4CXYIH/TMBS3:'1(YW9BXI5U>,)6^W/O5/)B:4^ 5!RY$YAC
M=72@[9*SO9U"U:9)]86(1Y169G+$=+!>1%$RX*Q).8DEU8=UY;ON%*S=QW^-
M*R%PG1A1VB!,*6:MO$1A))$W=8^X
M8.&.:/?69KL;^^EC-%XR!:9<_'':94?$*0;ZC:&J^:408KN:8^41:4[D#UAI
M&9!^ XY1K<;JS(8<<%XGQ&QZN)VTG@JC+?6BO(T1(K&.[)V)M'J2
M3 /45W'H%=SZPG;3>B8T*".3FBPG096M#$I%$C#C #6K**1E#-H1JBY83Y>Y
M\601D@L(2?IRL8%IKZW(3M'VK&KFE:/H-L':N?4LD6X01A B"&1!/%-D1X5W
M4.AI+4];QF;+UA,R,JZ,(R*5(:"RP1A3"J='VC[BKC/4K1U39C+0
M,H//Z 7/7A*;",BDTO7U.JP/)]>"X/ST?%8E,S9G8QK*;'#T^TDSRWD?]J]7
M_7TW'ITUX^GW=R>D(.BU]._SP=GIO3W5I#U-3R(206 9LK.EZB=MG3:O1Y-Y+8*/O6_W3-!V.ACB6K(DI!DEB29:) JF
M#;K(:S_I2'(A;A6 =<:WT:FM6L[H@)L2OT_(85;G2W$7R8GVNG0RJQSF#4^M
M_Z_SR71V9^'CR/7[LXLKO9-WO4'_U3#TS@;3WLGLCL-OO4DIC'M:[GWU+F0D
M?6O&QX-)4^I$CHY_?WMVRQ60.RY^R5SR/R0QGF#!(: CKZ[?M:$ZX%+G'U[K)39]VZSD;#YK):Z@\S
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MN Y>&S4+E6]=IWEAA\$(A_$79G60E@#VB.K69JZK'CUH+%M=E([CH5SC$()
MD0D=#23%EA JQVH2O+(F5@&=K$
MB<$[\I/ &:*GFMF;S:LGLYI6+W^9YXA04D]XHONE^/
M1J%U)\MX35O;():JBN23.PD@9:35%D%H5\$@!3,$V)9@:+7)D\HI$\DB+9=!
M96&%D$Y;9KQT&6P5!Q)2<2NV!,3./:9HRG);)U0@"8B!& AW!KQA@:DHZV1 
MI8B5L$=,?]L.DDD*+2@88:.>4'TY93OZNP%I]<,ODXNV91Z/0
MNCU)S):JGR2=&!B802. <;
M%9F8DM>'G%S>^JQ62K.8Y+0Q('9_JF)*9RTCA4@>,BMY!#ESQ
MT@_\$=/?LCWAUO@@$!$$32C1;@<7#7-@!:J;'8TO[0FCA_4&9K0;>P+1ERXE
M@DOE@$@Q9FN)!9@40@R^3E"C%3-L/7E]4+ P2T@1Z=\@0HHL:ZG3S$U1SB7#
MJQBNG)4&6#*>97&..X?521MCE->:ZQ2D#"1W"94G4V-%(-<4H.ZQ:)E8C#QL
M&)'6[4UI@4V^:=*&2Y"I9).J8&AG:MJKK(Z#"VFU64;R-H])JQ?=2X4, B,$
MA8#ET-=80_:7R"+Y,[)BO[*DI.X$E=U?("!=G0.7OMA7CH2#U20%I8FXM*9N
M'[$A#+9LCK(N!>H-+ZVE0)KBZC#F?3(Z!M UN]CPK'946@V-.-#T
MDA8"$I)/FIH-03/$@
M/0@0CA1.-%%RE 1,W<)1" U;EI(N&"926SQ:)XA$)]!\=AX8;8*LE0B!5+V:ODVYH_GU>TM>_TH^/W\^:&R*R\/H2S/3U,&$2SGN-/&2NDB[-&!B 
M"DY*DI;:>9D%EZ]#]D!D[@#W1TN.MY_FZ?R7HC.Y_-P]Z+H3T'NP$H-)"81T
M"@E6^C>A= 'Q^N'DCTXF6J\$=PUDEF%+&O2W"UUQ[-[/+70_KJ^5RUY7+A(FJGT&R=Z#E/\)7[!,$#, @^6&91BV!C=%"7B)>X$#7K))RM
MUL,5R@M9O/9,7"($R\MA N,.7"G;MRHCOY-8[IQ96@:1$>$@NJ6 1XI. KAE6BJ+/V9,Z?@%D&UT49.QE*6@MW'&KZ*E78?D5_HD(KTG[QOZ
MH./!23'4Y:&[JBW8X 0W6CO28/2/S=EGPVC/1:)GLG(_.F!4[\C+$XA.>W)0A.O4UH;
M-WV^I$5VB>7QHXX%]$*2RB3#$P9G.!?9$S?)RDBN3(0E
M"1IK<)-;0;D.YD6ABM=-;]*\_>UD\'F^&1Z49J(BNHA:P)#ET(6^L/E+?,;
M(W4I\T^TCZ@R(]6LLD_$E974Y;;I*G]N>_->E3MB1&F*J2!J!-!.(B/VP<#(
M0 8TV2HKP"J^(YGN:FH)0]#(R _#L5E45>?2\:6<>6J-18SAJX(A\ 2+:L=.0'()!JECK(!VCDC6*U[3-M
MD:7BR8E$LSV.%=8'XKX_D!ZUJC;#MV:^L \0%.6?9N:!ER>IPC"LBIB*K
MDJA0TU,N+5^+:VUR])TT25HEXO5*DO<#P"09(F^B]DIRYI2IFZ1R,>_8TSYR
MK9ND'#+GEHA/%:(8@:%@/V[0+8NI&*K)3&S-ZZTB?>>?1R
MUC9(6B!/.\1@P0K/"@36[)>'I$OU?# V$8.3Q:_&(.FOLCY%,98OGJ.TBV#K]BR#)KL%W(+7
M0 ;-.I+*S%QT4D=F*TU<[DLO!I^[ 6&K]LR9!-HG:=$1D(K<+VM?5IW^Y1V$TI$A(+Z64NI:@=A""]UIE+91D085QR65IJ
M;&=3K3H2]#J1.2\WEKD"DG-K-7<)DH^J5*FO^^>2@FUM%IVT\9%[QFD3Q$0<
MUVE2K<$! @\D"4KAJMMC;4/7NG57-D P64M4L111<;K4H[(A:&$%=Y6;( C7
M=MS4+I\2:B0BI'E*GO AOD0,2&:BG5D+=*ZN'ZN8;8>F=^[,$#4!I842Y.=#
M*0['+2EQHI""E^JN5=BU)"& @E% ;%6O?7<)"G;$-0?.N&0]&_5?#XW$YGXW-
M_+_W+N2DB7T@S2;+$HE!C4!NO $72%]P*:O3<:[D6K[\\N%M>EJ=-/RN$ *-A,H8DRSWATCPD6VZ)9)>&
M)\Y"W2I92K&8+M113-MD"-)#<%%+$[@ IKQ#G8Q$G0V1+U/[;QQAG0R+#J"Z
M^X" R@%UM%Z(" %2*6@=7N
MUTG(1VL&Q5N$M'6SF8G:2<1$_K,%XB(V
M)RE*_141@J4_5ICJ3O,F5[09'M,:WG(X_$-Q*_*(N2F=Q!U1
MS&64B+MO#%M\G@Y^'@Y"\OI^/SYN6+GQX\C%G\^MH5MZS1&"U5
MJ:4+X!(9#AI2J8%#)'=1U]TYC-'PPW1T_#OMB;?C$AMH^C//_++SZYU'YJ_>
MY.MA@V#H7X9@?2S%>7)47F).V2E((!=&=_DE-Y?V[D$]>@X+1P(WYQ 2@D&4
MRI%1IM&72RZS.2 G'R+QK!P][)>2(7,5RN&BB D-TB%BF,HD&SQF/
M5FQWV*\FD_-[(XU 0Z4?6DH&F7%;FDI(K[USI<7/\J[,5C,FK5HQY/E8'C3<
MU0B;F!2WT4?:G#QYM-(*&JB0@2,/>NEP42C"7SQTN _(N-T!#X'N$T,ZB#CG:-;=5K(,A#++(W(&0/R]=549%?N,)*8;*08[P)FNS^;Q%CJB#%3&M?2WL0LA3">
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M+7T[H[
M9##Y0"O5Z[\=7F83O>]-F[K^M_R;O)*KUZ/AYVDS/BT?=E7 N]C0C_3'UZ/>
MHLV\_LDW!)0^J$^"6]*7?NL-?W_[Z5,S;OKEL=>O_-OWM9@N1#*R=V!I<")G
MT-%9)Q@ZQ857.0FYO.,-32'XK_.3[Y*7W^_&<.L,%CZ0!(G?= 7691KSY05=@7N]B& B+P=1]'C=->69'
MLIJB#@"E8;/EI68YQIC AN28C!I57 ZK@$WB>IEPYTY'Y_(
MD$J+HRB1C*0,45@R"W4O8:7X0N[,JM$\:M1W[Z8[!>!V)H 63#+."AM!E&18
MTY?W6V"(I1BIRYF\"6 E/AK)2QY+7#M,
MU&&2"A+R5(K6<+ ZBI "335EY5+%II:<'VUGHBLK$D)IDX.1@\\02G<&+K3U
M*5JKA?+U!1"AY&+)TJV->IOZ50!P;1D)I#% -,.E)$D0[\&E=$+CD2,2*1GK7Q"V<586)_R54GRG>G7>TQT
M+?U*&U G&S.7I%S)6?4Y.RVL)/>+*&)]V+,Q_4K?WJPSR55=J5Z_>O-K,_[<
MC!=X_^URWPP'H_$,ER()=_%\YCDG H%E3X-&,K&IE#H@TFBD#+J*2]XI!3\F
M?6]@%LM4;1$7<17OXKO-T\N>M>,C^F%WN<[KH^U
MN4V40%?*@C&@#9 -D!N,ADOOO2S5&>QR=UA+5(ZF1(O*409?VHY9ASMQD8IM&W!(*W:T4E;^][PT_-[\.AH/3
M\].]B#$+3VX8DY9+YB +8J^&I7(4!();$'(YL/PAJ"[B=D+AX%<$4E;(;.2J*B,+FE/E@E9Y_-;1+'"3BT9SR,'O\I5)N\)
M2XJ1*\7$>"FF+D+I@(/HD'M;.5$6)'_,X.?=/_-@V!L>-[.NJF^:^W;X-#PK
M7\87HPR")_+KI-/D LJ 6/<%EB5\NC#FI<-XZ$BOMH?K_^M\,L\_SZ1OFC_<
M\0P"HN/OQJ,A_7K!XK,PL0N*NQ=L*1[Z*%JGTCR*R
M!4:7M91PCIS&6TJS)"):X]\R+"TOCK*AO4DFFS:)UW.A(
MNR-#][ TDK #A&1\8J7V/?V'6XXALH!IR=UVRA5'4AZ)E:01
M9Z3/RJ!%;=#H+.K:AD=2@EDZZ+422>XY^#N21LD3<>6&B5 A@N: 0;'DB6O;
MTA@]U?E\@@N]7'#O,7IZZ#5IC\')3&4\M,$A>,ZREZ2HDP*;B9\H(&IM-'I/
M/+4:N^3D."RG=[<-Z-&#[V3>*]-$X0/#4(*EHA0V<2S&0(X)SEA$=1PBS"UJ
M=;>X7)=K6!J2_$!FWG P($<5YM1$_6S.;*D
M&-2-WBWCN[1'G2U?ZJ+CQK!9?2-@1GLE4N+6^Z"3YTL:E4@C%TK M8M-(9ET@8 9I4_&:J66='DYXG6"1)O8[=P@,1TTL7^IO,\D<> 2)[+H
M09*GX)AK52EOVR I6QJG)\$5=R"-*8G$I?1X,L:6SA2;F_M@V/0O7*=WY%F[
M>9#\(I;RU]Y@.'D]FDP6RY0LN1I9?]:D!-I/1I/S<3-9\FH=^7E7;I*,AK-7
MWY$K/6ZF@_$L6O"6MNO9VO+6I.?*.:T=
M_3FMZK%U#XRZ">UU5.\%6I(0E9(1@&?@3GE(N<1YDPY**%\S:%$K^YU#5]T4
MZ+!4AJ0Q:/*&N2=*PAS]+)Q396')W5-U3G+%0O8;W@=+)I.L6(! 7DHI1"!)
M6V8ER$^!%".F5?T9-@9:"3L=3YO^^V9Z/AZ^G;U59X@R<6Z-*P:FH
M#+D9&  %4T%P!JOZ"M\'I(Z"^V"1M,1/E#-::IE DVVQ7(BDK"7^@LE7; 71
M5G'-%L#;)W6)03F%4E@M3&E/9R.3)BF>..?*UFG53PORI-/9'9A>QZ8S*#Y8Z'@Y-U6$#20&I5 (8YJ5%&!5DN=9Q1W-$F=W2P#M
MD\ISI;$BXD,K/*!/)):'LU=/O+>(/M@>73E6C?A
M4-KX '+A6<20R/+*P%B62^(V\DZS\1#4/C3CKX-Y4LQ^*T6#FA%O2=9BFF6$
M&<.E45:31>;.5K[=G5SO&C)=@?#A)MAQQ\%X9E6$))D+9"Q2%BFFI(U>U0]P
M6\#LDX)S02A#M$5[S4JK2;2 R6N!V3%%:[SO\#WMSGBB4=='E
MX"6H: QIC8JS*R:JS).[A[6I:73RA#X&;LAX.<^4@W)=D*F,@CFN4^2V/J[A
MBDO=+0A;/ZP76G!/D&%I/I&L(QBVVDHLLFP9
M>40N10B<^U+;*0J1R\E8JL]HN*H8:$=0W'U%7YN2488LG,Y #F2IMQ.<$DYK
MB_J.>.T.0=OR67Z(0!D,/P\>^BNEDW2*U?2TL 2@7;DE(@82X$Q(8%AZ(Q5O"N!/2A'CCUR-!:2
M33X8%,(&'4TBY;ID&EPLGO/L;AJ=-.["^4*)E+,>
M5+;)*1,"AQBSSSK9 $*@CIP44!U=,HL7.CJ"XLZ-N]2H)9#\@2$)+.E5D6GO
M)5.<"*9?G8*Q0]"V;-RCEERKF",F0QO18\C6DR^2A56:N=79$MV#X8'&W>A@
M54 -Y)F3O\:1/%Z(I3< \R%CQ?0>;Q53;SPLE=@NNVN50JG'Z[CJUXO@0R"*1+9),"&=
M*7=PHGH@MA>C>=" 5^-K1$DL%IAECJ5"CT/+%"$K"=[@>'P@OLL&_.E3Q26GBX//@VG9N@L/W'$)%@7P
MZ'T2#G*4QD<2,^F2E^"U4*9NZZX6+\&NFD\][ZM2\1][WTHME#!KAGA.;WE[
MULQ9Z*U)7M%(-6KC1&Y*"SD,)+DC1')CT[=TMU)<6K.:PSMDW-J);&
M&^>P7AO'8B*C"H IE@;Q94;>1K*[-B^?D1*/GM'IV].\;TY*V9IK&>3A
M(7=F"REP&H51@5A"!&M1: =D,[D!FF#%4_G\A/[:-.X:T.-'WTDO"107TI+P
M9H9 YA09E@Q,P\E#(H9?A^^8$)T KG7?*(7(I(T2+/E&"K7UH?11DI!*9BO6
M"@UI,W8*NC9=(DRHN'6)R*N"H!V)((;2@D$G[_FBW28J)TRGL-NY(Q1=DBQP
MP[CWQ'BD+3EN)H(*R2O2?RL\@%U@M67_!T7P2%0>DJ#9$]W/09(K3;\HR\%6
MN08[G/VJN[.*$V6P1K@%L9*77&G@3-N2H@0"2!V1&U5O
MM@?/_M_GM-*_-M,OH_ZKX=?FHO35/>MT(B9&>C+$C&1(LT5+CG@H5X!M@+1R
ML,N__Z%#[*3)(;<>,)>D=QD@<&5C9+,&]R8$DO#ZP$ARLDH+WM .<&K=P@07
M7'9)&<@>,IGH''3.625GM,IF54Q^E_BT:48$*J8#<56>$V26K9+,EW[RWB;M
MZL/'EB#:?2=,3B1.E?.M *"-=$A^C-'B61F51:K)NL,A@>'%'%8&TJC(<R7GS]FPV@6%S,O@\
M*.6.9U/Y_'E,ZS1M[M,"ZLBK<"$O;_\8-OWYEWTZWX\OQ
MKNZ8P)V*1@,K/6\\^2LRR"@=9"=\DLFMRFI\T&QOP#6@CVY>#[Z6*K#3WG#V
MYOGPW?'Q^>GYS'&[/2_B+G_,D1EQ'@*MOL[DU4,XMF-Q.\=]<%+X!LO=>L
MW)$.SMFHR_%UR3Q($NK5LJ8*YJX>SB,'WDG"%'@4@@G/K$]@05F(M/P,I33E
M.*PB3%);QGG+H+7/GIQ-M%FXC:%4-N H0R"]%Q@Z%\C658=C8!?+5[>'6IN<
M*A &X#&+H!$22L^]5\HZ0\2=T*L3Q$@@U]8W6\9M][YXJ2Q.1)TX50#&)/J4
M."?J1=1"JK3J1'&[*&V;;660$#&"98Z$A+EDR,_5 3W9)%67X]_YO'?3A")B
MMDH)(EHK6W]0E;U45H>VBL(A69-G,T221-!B4+8654H"6S
MQ E+OD]EAQ71QEW9X:X&+A(3D;Q*Z5/FP*,FY!!,UN1?N1A4O=B 1JQ--;<$
M6NMV&'C&8"VYH.28BZ@<@'"ESZ05J$.M(4F?ZH5K>>VAUJ8=]F2(M2;7U>32
M-%TZ$4WI6AN4!V/JPHF*_NF*M.W<#B?R_5U*SBMO@6OC@W$0;;2DBI/C[=CA
M'40]'#,\^5Q:DRI0Z'RICB[(*.N@(W/MV.'K\]Y1,RB'/-"_DI$I]BY8HT%R
M[X0(+.C:KY1:LU)UM!0=?3N,@\G9:-Y?]>VGU24O;U>/M*]#*4WG<83 $W-U9V;3
M-F"M6QL%W+,H;*G^#,IJQSQR1&-1:K"Z,M!6RJY@UJK#IPR00XRT*1$ 2IEB
MK:)B2<<8;*X[FIK=&.DN7FGWT9&SAS&1,PQ2M]9 S:BFLUZL._K<,TY9-
M#I&1  *URZ'TH8!2=XOQ1-Y,*/]==8G] 1/_T#MIWGZZUNKW_OX-9\F2%!//
M1/!$H5 1,W"D%LAJ"J@62BY6J5TQF >/^0XCZ2+.ZK^5#N:@M'<\LY3(MP@^
MA%0?N#U^M._&H[-F//U>[@!/RZ'^V6F5C;VS\C]6@$Q282+7&3P*9!DL>A4X
M3R[RBO7>[I*NFMPFX-A)P00D1U-S[4D4 C$D3L2?_(', ACI9:A\I]LITWW@
MN.AK\G:8OI5VR^>#R9=9"L<>F4%-QA, !"@;9":*W"RU)WCKHJ/
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MS/N-O!DVX]Y)J@X:2Y-XGP1I&OD0)D'2$X])8Y%5%Y
MDS%CW8N7"PTW$ZKN&-$&!M])!F%F*4$A2PLC)
M*7'6$H5-R9>[AU6*SU&GD-LY?PB>R)4.+JE2ITV %[K$>1UY2DSYVNG=+51;
MY@Y&"W(-R:*2607,"44JU9]G5_C)]UEY@-.AR<^5>D.[[D/SN=C$.QN?.68=
MF5]R5(@UDBM/!=](:D_XC9R$B+;X&)]$:6T*4*F0CC$NKRN"TA%CK=C@'&;PA.8-"
MNF5Q+Y(G_B*5!8>J+M-%LL:Z(&M=,,0L%Z+,B3"302&XB/ZY["S2_P\ZU/GT
MG=BDK=EAG%6$2P08*R6+D_?&:2]D32?-IW+"
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M7>KIT4:EL]>EB%D([G-2E@R)L=Q+7IJQNBQ1J5SUYHDMXH94 XL!\^499JTE,[D1UI-TK$Q1;R#
MJTK)B2!+$CT7A4*#%>3HE6"^+6U"<67^^V9-=M;(G^RWGG"2 3"2!?.B(3E]V*L"6'[=X=_<\K8M2S)%D<"80(XQ@$2FB6,8I2U;/#V*5#XV _#;
MOGGS_H=VHAN 'KY]?_-[TP!;3E?7[V]L&K].UPS1Y[_*HRKV/.8NL(=ALG_8
M-NQD^H[[C*.4 9[GA["LME/RG1)>%YS=SD#=)0,/$QVS31X9,JDM7^U34U'N
MB-F4[.*#&B,Q_>N+[OC4ECDECT32+"H5I5HJ912)O10]T2T&J>9_?=!]'R9#
M20AF#;@#V0?52JU'S_1AU@[+&@3'UEW_^J8[/.<>A#%R+;,!:>_VK5*P:$"AB:%[3)RUR 3*F?WV:!ZZK
M6Y9HGMYDLI-1$DY(J'YW+5ZW8'& _BKE&.N_4-VO8@PE.A>-A(VI)?N8.7$8
MU5L%U[ZL7/ *HEF#?WW1'2O&5%MN)4_:)#I"2)( 1A3"Q:L$9"@[#)V?
M!J>O#Q^^^=9^GR>?#MK<8QR89C*;JM/47L['_CX6?I27"_5>$$Z-YF7&ODM)
M-6>>Q22R8=1-&'>%5"@(3EM)'/KBN/]5PG1F"5T8OR 2T[E#G0OCMSEC:>$&DZOTWBV:> EZ:>;!
M:7"=<=D+:6_ ;9IQ2 PT^DC- MWT&E/!PF_7U A1XK:,M4?[R+/'$,0#'5*#
M(:"8;*LVJ+-8L'NR?5P1N)4I*PS(OG)42S:=W;2:.]$98E!_&+1(W4T0TY?'
M+?O!7Q+2]7!]^/;JZ75>#Z2F;2"RX_ .85CP1M)*:O!1-Y4-B\;!J::3YU-KP[4YA04,[=:1-M4)B[=
MEE3N[(^\2H1$BZT 4$YYSHL!M27E"$\9(4=_\T8)A,=@L^#83?'6/I<1E/*I
MJ'$QK"Y?A:53-K>=+(X/*C-J+GTPYY9RC>M^[9M50QBQ^CQN$5\>:L""G&TD*;
M1&796NN5\4A=CS1V[E-RPQ[,(TO/Q9NAF%.9/12)4\E4^F?=P,:PN
M3AI YGY'Y]!M665_ES\#0,\=@V(-YTJ:K@#-RJ0QM34NLX:&P8]":E-&GE/P12FAY0A4;'U[Z(>/?_WJ6MZ\
M\4ZF]C/_XOWSZ]8%8(/6*B2)[GI-/\AX[&&&6GYM-$<]/%YU:-F\ONXOGP>#WP0D];3C$@S
M$B&_HQ%3+B6#[=%DHJXN/T@^IH^^Z#2.Q8U_N9V^_JZ]_O'JP^MWBXY C_@H
MC4V2QE$YA.D=J^O(WCQ1I0*VL?154)=[^Y%C>ZD9/?!YQ@2P^)0UDY="F>K%
M":6S?S1HR]? >/QI+S,CO^%__5F*9%]")A0SPZVV%,%#'/4Y\V=>[_8XBKMD
M]MR1KC;AAYQ448MW4;H<#5^O2&/T:N&OJWG>2TWXK9'^;[VJ_G3UQJ6 ?'=S
M.)Q(?WFHK$4?WJ42+(Y[[P&)7-KHK79-U%.9R^[9@JQ>W#6";N\8.WCS%-DM$HZR>V1:>29%<&GU=[F*M[<%%S_87;Z@(WBO
MHYKLCT09S''E*8JAI!%%EF6W+HK4VB>3?I-LDHIKLYT6S=01YNQUBVHE>C9*3-S48$DXZV"O!+CUOCE7'\1"9>HT D@U-TYB\CA[
M^U<4R2F'$Q'STNR\UWHB S4D%,W=#,5HW;FFC,*#LTXJYPK8; /8YNPL,?02
MG%%&HB&L"7!D+H+>L'Q9=^3R[+SG0B6C<9"I?>;9B4H4+F/4.EN(/?&R)>D&
M469?[&SL)-P$<^F-8HKL)0_!'-8PWQSU7)G']9%:F9W-(F2Q,-0+3G_&(5X9
M7JN,7"=$/G])>JFY7X:=6^QH8K9T?YI4Q?YKM%;#\"L2B&EQ0OJE^^:7N3RS
M 4+/)V2;LWQ4J\0P\R%
M."/'.:>@MW^U+[;L]1-#IKN?<15@MJ=5RED;8$5CUE!"S;&:&@6-U71X7B #
M(=2[E\JK(K/IFX,Y:Q23&6 VY5@V*8FD@B'KX%26E9'KW3/25:'9P+)6LR84
M:VDEEK*LD!5?&HV5B0\M'BAAY0#A^+UIL+0"C 43+A,L7FAR
M#QSK!F\C&NRW=[-E(:P25..C/EHIDDX4[ZI$=]\O?.G@=AG5@5H+B?U-XZ3:
M*G.AP+WYB9V*G+ $F>]F>:P"S.91W0N(>H>0&CQGLE&%V5&A *",LNQ %52D9*LG3.;A5_=HZRRM:>%:PN04O=GV$M[!>QGZ*=6X#)-Y-RP'DI? =9DW@$\::[2
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M/'M/D'*9K?,BVF--\TG'.#''B &88BYD6E(>>4@3(L[_BSZ'9 M^<=4MG=(:B:Z*P6;+F)2"[B".9(NTQJ0"WRY
M8MO=_9%H'^8E!XW,-)O%Z#8F&##DQ9;&2T?K"]P*P9RU /D5=?0N<;6/;@(,
M8RM34,_53/K2&5TH$R.8FBX)731Y&H9JJRV&6HN80>83Y:@MOCUQY;]
MF__]_?MW;P\WMQ^K7SW-%,&P5:4RN<\"6M &_=$4B>TXGE+29"QZY&?>GL QG!FJ)Y5Y?L0%TVYXXFDP?R6@N$W6)M9I8JBU+RET%
MEB?XF.*=LJ7;@G=Y^IQF;5I0K\1$'*KDU.8@+B$+M[ \P$Z_/':]*&0K,^Z8
M062,U'LVJU?(*^]@*KX%IZHLJ]V""^Y\R85SSCU!,S]D(:"W3A9PVVB1?G%/
M?G6XN)Y)".EXU'[)T>^2J(J%5%,7/4TB\Q52L8QN>K)FBIG2 CGO%8?UDM%V
MMY8LJ5?Z-A?6:[,]8V&V0)D)0JL:T[+BEQ,5W6] -H!N6Z*B8C)?:T]$6+I,
MM A,HQ"+ZZ0E46&A2PJDW?F\$=#BFY2&/"S$=[+['-#U/9/GN-/J9%=UK
M&U:";&6B,D_H=Z&9*+2?;OR3/_%B
MR8LNV?AB=?GJ#T^A?;Q8&I#H1"(+E73_0=8O0WC& '?)/F0?,*44IWIS52<@
M=;S,&H<989DL!Z7>N9]<#YO-^<5?4M:9N=DRH3&F37WR0#8AW\'BY&+E?
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MPC%0GN8"0E\*1ZCYWON^E?"Y.+M-J%P:BZ28C_6QAI<Q-
M03EZMJF 5*F)7Q9,KATCF[A[9"[)"\SO,NQFEA;&E%H[-+/^E8W23*>TDLRR
M85U$2*+P-':[/GSS;;LYO+WZ8+^?_\1__/GU?U[]\-,/^O[FYOW__5@\QO[)
M0VZV'_[CPU?7MQ]N?O*75+]-]L_V*[_^M\/UX>;UNX^_S6^OK98S_^KK^>GE
M]<0YD86^*6%@".;W,_@3TZ7S!E"N'MB^?CI/03+7P\_O+ZZMG_AB+VO/]LK %T=
M6S'-P^$OAYLW]G>OOWLXB_OE@3*-G5%2, $B%$J1;);2C12GFE@_#;[7/QU_
MJ?\6_M\0Z#Q.CYKM7G\=DTWU]_]_?#S0\^^/-.ZT6F]YGVS#E7IC2Q!^IBOLI?
M'.?<,6/.RW:=\9A==.?HX)/AO^BT_G:XOGI_\_7[#X=;"! ?RH'J,_0'S_L4Q\;2P.*J0=Q1KLZC6H6J?#&CY&,X4.M_ISK;:M)ZV?<;$H5@RC1I)
MJT6Y899]]A0:9IHG#J )89.9/+1]8@0;6&$J)J5[&:+%6ZJ3X@B=ZR+CR'LN
M,E]H)L_=/K','GM(I6JFHJWJ" .!DCE=8Z-E=+.5^?3@]JQ[G61J<\PTBQ=ZP-\C="  /.
ME;%>$Y;-#[W0ZX&VX%V(Q7#I7!!+FH IHXF/Q9G.A7'9M ""A*(59>#P-^7(
M*9K49',HPKTO^VU?=#]M=MXE_D1E""0-E11LS43 4-HTEZMIJ517P&/E$R^-
MFNJLN8\8O >+
M.9#++/1S=SHF4@=T-4_1E1(,:67R2$.#Z=@^ELQ&<94![I+91;O'C]Z$"_K-^5$.EZM<#=7
M<:NY/70^8E)&@MAG*ZV8J_F&EYP;L\],0FM^:N]
MVD(V84*1/9L4VDBYP,PG2JL4N'MN_T*S7/4(
MW(;3**+&WLWM4+.80C*FY[9I(J\ML=R&N?(Z(6;-@TLM19/DV5@] RQ(S[6-
M8W4_0%NK3SNX?'"6)F_?/.<04[1F')!FXDGF:FKTI"R)H<5LAF\9+2)SC/5[&(]8D;9817'Y3@RB31^FQSLFEI^7-
MT)IK_]PA*/<
M#1S=O1,
MJ"DP@:DUTADY6@0M=,SF//NRZT5169D9L31_],@I>HY_MPDF$Y; L174O'SR
MM/H\+\.,QC+FAZ=VK4PTLRI5#5HZ=VV@R\,WO-L#X.'9__GJ^OV-C?#7F3S-
M+6+O08(D 5M]1N VRY9L%13IR+^&%\H
M4E9;M=IF:LTT791S"W8=0#9GO(HMPO *#]Y)&JOFADG[:%P;4SR7Y[(N(IO:
MOMG#C,/[L"&ET35&;,,/F>.8B4](W\MLG\T(+64O*9<\:5DI8!'I(6A@T3FR
MR+DLL2]'8FT2LSB08RV0+28(BS1 [5[CP"NLT[G+OR^;V]G7NME+P&-K4!NU
MD!2S[=.2(46=DIL$5N%<;,T6
MI=20A[$:'JO?F[$K\+$W0)]BL6L[1#9-Y(C>\R446RF56(=JSB X;#?57GAY
M+W.A[;-9 $< &8UJ\3\D63SI_M1!F@3LM9U+AOIR)%8.X%QLX[=2VXA(D2G#R_ 4'50P]@Q
MQ%:#5)QF$<"+PBQK\;^ZVX7GD0-[P;G\]HG<(!TOU3Y67_(%_/[:_N_=)?KA
M]=7UX>UX?>.O#A]TR\4^7BPRDE])-+7EB$= 0O.KN 77;0K( _U2_ IE8 ?;
M5H&ZLC^79I\?]Y)T60S]5?1RLAO/YK"R+9ONPH,R?[K!)E^58:[K9^WG#ZOZWNXV'!
M-]\>RXW]!L"_O__@+V??__##^^OC/[D3MQ^W-Q;__OUAK8DIO68#[85BU3J8
M>C&]37&B+A,G;"F%.YW,]H#E2T:*R1RJ]S*9P1PK<\W1_BY(SK;CYO(YVZN'
M;-DS /GF_UX?;FZ_O_KQ]R?!^H^/?'Z>_9ZUN3[/5&@YC%A&JLWDW< AOK?,
M)#1_0__IWOK]T3.%>/_TS\SE4PB^/GQHKV^__\O-^Y^OWA[>ZC_^Q^WA[5?7
MT_CY^HU]-GGSX>KG$Q7;'T&&%!%I*-J,!O59*HI7,>?1C_];%@E$KR7RV3=]
M_.A>=DZ[]$IYS5VR"9L(C>$C+.NA"^II3OMF[=%9Z;VRL=:48S
MESUY508+/[9>6QL-"@4\$[EV%T"NJ4[:TC4ZDRI52686H-7ET5)
MVL7B^%(DU?('6*(;U \,&KF. -FXS_ZCFORQHHEI&.?/0C8#<&4K2#A*MWT)
M'(AZ(V7-*$ 6^1)@7C[@"'2G\\[ED7G 4;"")*2>AX5V,[E<-4?)=7(RXYL7
M$?U."N96\]DE.W(S+9TQ09%"G9JFH#56"9JRR/+2^I6G0.QC?>R3'3-&0U0 
ME"*9--/,4H%;& ,PX>(^[56L\S>J+;'*-1'T=Y#,0&7^KD,R43@SN9:>T2X+T1L+H'=T&3!HFSRV(EQBZ5S.N;=F=Q8N$
M/"KX; /GYOR(P]L]M")>_#H;/YK72=CFJ*G&J8O')=4(=?]P;EI)/MAZ5.QM
M>CORG@5&".I/L+!A619/>I7CCO?[9NS84>*LTFH,;([1<_&Z(I<1WB3P9Y) ; 
M;D O!7HL6T?U/9M(@-K@V *Y(DUI*EG(!%W&FDR<+NX HEG+1\G2;?'>*&FLVGBRM4ITE@H:40AWCA"_'QYT;;0OIQ6D2S%HG*F5Z54-_ ^WM=@T35#Z<_I,4$?K@<:RU8Q76M@OG)L3I+\=JC1$*0WBH1S&&"7W)MZ-L2Q.
M!/VJXP^ YZ89_FQAJTI"9?(;V\HISS*C(YM+6R:()MSQAM^,'TV?4><8AW3P
M%F8*"7ID\-+8<0I&C'UZF21&6H;S5RD\[LYL&S@WIT$G@)1LDTU-;& VX=YZ,WW*
MR^,->EP&V;9P;LF.3(-D4@]>*:9$U=@X>\%GR0&H+K/R(CY*X6^+Z,79L< <
M(9D*1B$R:2'!WQ%&PC:#UKX0&7L <&5:Y!!+16^<%96"=Q8<0R92$.9J^W4-
M2+ZZ?O/^A\.?WM\^W1BJ8N4)&+)9WB&UQM:]3+ZFANY[%QNA),2[.^'WW__)
M ]LE?XV$41+[G2O:NNYBEL1+@(\6.)RN']]"@9L(LG 8-2'+L
MJ534\Y@B\^+V+-\MQ/1"TUOGG9HV[-T+IZ= W2;9:48N,<\\;7DO;="+?;P'
M_%G'UD*O )([$4-MA9UCBPV8)"XNI%Y!CB\4?/9LLR0"S#"P2*0VS)%&M,#C
MCZBJ(;9\5G@15'; 4Z4KCPXTF=3OWBKVU'O-+=5X8K%$.'$WM!8L6S(5494 
M:@2EYLN-J_^>HZ0XNHS9BJ3Q%)V?93+!*J
M9_RNOWO6=B*M:IJFXHG+L6FWE$IQ!B'W@7MI=1L9=X*4FC&A,#V,22
M$3'[,6T!_?GDPX>;J__XZ;B^_O[>:UG9=&_>OWMG@SQ=%> 1
MMJN7R/Z&N-A*L]$WVX?4O>G4)!)8WC'Z%>/]8W_,$%>9WRYID;2E9L&^UME(
M,LIL3,4OX*!)7+XG^6.@NCFM)L;8NVTSK09K L:)+?:92Z'ZF]28I>:'2B,##B_"J>BDW+3/S;$F6X3KDQ17$WO&].,DS#/*C&6Q>LCE6
M\4X-M11SJ5X']5SEE)W N;)(Z"'EPBI]#C!GE=GXITKRZSR9$!:K;D< /> 9
M8>:>H*8,)A#8:TU U4B:!2OP7)Q$I.43W!U,;Y<,VUHJB6--7@X5S60-91.7
M]C^C@K!\WOS'0'5SAO6&O9ZASL&BEKEZO^CSO'\H27M9VK,_%JQ;<
M_33 8@'87[%U;F[U
M]>W5FR=[5YZ!R'Y6M/_Y0],:VH#H&5$T6EGV$WK@E/CA$;[HY!Y0#V3/QZ QLYC>D4^"L;9"8/J
MD)8"UU.)#U_P\7X9XPM/\($/.&7V'E!G:4 N;5EZJY(3C30D/OEI28UTVR"E ))"F:?C9%FC#-Z2>O$Y<03L)@)RU9H;:XU0^X-ITZ!
MW*FBA8/JUP'2!(>%AQ.G.0F MH9K2PT)(\U4&DWJ0'&P&DTTE*X%D,U<+M(?
MN.+6>%W^4F5X30J_34J)J%ID[=4L-X0^2N0LVKY0$FB9$G
M?W3%?23;42:+[LZ[U+QNI'Z )3%@*]0CF,^DJ+%.R$-0,@SU;+X3W)(J7&#$
MN^26AM'?:U+WVG@,MMM;"UJ\K!*E1LNWY*84B;=":W-NR3;[GH.7;3=PT(1T
MBCB,BS%3UV4GKEV)U6"X(E')L]C1=UOOOW]Z_SM\)W?VC\J7>NKK^>G*9':
M@YD6+Q#>!%KU(D8HF$.BJF9F/AGR[.\=RJ<#_N;S*3TK_1FB
MJ5JN?4QO4#X\PQ6*V2P$,Q&\= T0\IV"RR=&\HD""2^*S.=F--D#2L>+8($ZCCHYMN#>87;@O:V64&N,6"&U)
M<+:5$IH0QF';3,&+B33,44PAD/NJ!4CQHIML,TY3S\U"9_SA1ZDFO6>:^7A'
M;?_D;*K*"T*R,G^-F5KH6KOS%Q2N<=32;)8=._"IMU8$N-;G?^1
MASYDS=Y]1M-,2/[T)];.XG*WDGW1A9\R_X=AGW-."&DQBAYI[Z8%"3!:?$""J
M:8)D:WUY*Q)+QKS2*'>IDV;3!JD5#69R)02&,H(YWI1+;[P\K(^$^:( ;2Z4
M6B!64P&MRK#)D\XYC/MC%?&>YB=JM#&O$ 7V?A3058AL;_ES;U04%TC-6&64
MGBF?>.D2: N,MDC7[P1MYE0S>;N@ZG4YI!>>".UL@YJ62V*K"25$-FD3Y;>_!QG*&.J[@><4W)9)NY'/SMX
M>3WX(I-<02ME]!RZ/N/@9 ' C,"8IC?T1X'B>6<@-G[/(X6TXEJ/+D^+3Q^^/YP([>WAP^WYSJRG^M,'DT6I41B
M.]E^;]"JV:_PIRFZ*0V6A9=J*'>LP*E!/&^4N]1*_A18[(MIG)&($_OS/"S)
M/'#U.@D+LQ3O%-M9&Z#-M5)I?L8;;)4GTXXHC!$Y:5/DPB$M]#:4A66^$$2;
MWLC//$/O-+@099U<+1P@S6*.!&EYSX1WJZI>"J3+WY48O09NMGQL_;#]+29#
MJ";HQBEU>;V[$B8KJR6C@IK+*!9-NKG27*=1H3&F,6+#TL^EH:\QRW^WA>\?
MZM>.D<^)M,@FPJ.O4P>1C*A
M,.0@B>U/WLY]>1N$=UMFOM34SS5WMPUH4IV;OV*B,;T9\! >A=OHJ= B?B$<
MSS36&>4N.3#XL:_Z^^H.1)Z @7E,\S%**D46=J9 N2@^FU-@'V;W)*&TG&UE
MJXI73\K3FYUY(;0%!7+ =:+[GMO %Y-0D. D*_'26%Z+  MD).VBC +TNI#!YHXD?8]O*L]@_WC-WF5%I+[J:*LRDO,']=
M5$:$!.:6AB9:MDS>(WB;^DQSW"/ B"EZF])2BY:1:R0%:@CGVM#N!K_+IS:@
MS.,[ZPR1$GF9DXG!S$A/J?!^HMW*!!TX]%#2[*T,*B0ZL:0V!M#P+@9.:.>1!V'OM
MT_9ND523.>KZXOC]R83_U;OCR)Y[G5",)_SU1>&ZO+QE+L6 "F@;<-:J.B'D.OL,WA[F;#K**NBL?=<"
M."K$'#J9^ M'L_4L*K7N/BRQ Q<23P*3"Y&K O.PB3P(1ZMKTL->;&+$=
M7".VT, <3FL:P#:W0#&=KB,O=G*$?.((_2)0;RI1 >6.P-KV><>M7DUBD,"!&J)I;U)8"UHQS+*)FXKM)P1>'Z^),
M&B2T(8SD-\.40'H/J@&G)W4E7#RN7AV=E9G4=E"H=3+3+%Z[7JNM!1737*% 
M&0^>QJXVW\LP:>S2IE<; &!O<"\C^.N@C)Y '^/BN\=E;XOWU=W\_W/S0
M#__Q1"O::HS=9&W+D:F84Q"N08ES2]*U+XY\F4[1_2>__1/'=H[<0Y8@;7CK
MI4&]LX:LV>O]9T0<!NX)E K2Q^9BWTK[LC+3
MB:.L%<>]2_[))M&&<0ZX+/ZB#B8V&R\3JK?':G'NF;0'!CF!FF HC
MSYP)9],N.BQ.['&1[8%ZL#(4(QGOT$%UB-L^,!]89:)G"NQUH5W>)!GM?3"$%D/L,WG^!XXT(^%H-#&;E8SGVDZ<'\F7CWF7A%.G0 T6.(<<
MRQ+#\-+9?O]/9FEU63&.;-$O0^BE8=N<=[Q361E8V^@:&[#4-(^X=1057'@>
M*OG$,?]6L&V:'E',2C+J][E2L]PF5.D69J#_+/*
MU!\P/3J,(R'W-'LP 3^-+IM]NU*[FME_^&7)?_$W+ET:8F@D 32**KB
M9R$I$BV-[2LC]U/Y-)?&;7,"DM9AVBKSUIF4:$K.BI@9U$N[U<7FB"'1B>/\
MK7#;]&[0N]!P3:;B$PTO9ZH9*ICQ:19MEIFUK[R4_6Z0NWQC\2E4F\L7BV8Q
MB234QF(60++G*FT9TE9FH-%+ZT6RFK:CY*>TI16V/Q//W/,+DN]?WM]^N#E\
MN+KY6*SC<'WX]NK#[5]>_^.>.K /V* &L1'DJO;%*/3"2;!D[;UUKVZSN.N+
M<.H:[?R@OG@.#U!I&ZG)T,XHT?P(>KMW5P-B$LC&^N [AL>/_MB-O!2SR6$[!S2+>5&[&#R-J2IQ!2F*(\(7%O"KJK+
M;N!_B-V_F1KQ@U>5$  3>YZ21*.X "0*%&X,9  N 2K6(
MIM)"1)X8VU XYYBW!.Y8+94! <^2F5L[)^ITBNCE_8T8]?%*X _#JH7)]!91TS(9FK-
M5NDH'$:9QJ:]68"=9]_4[P#*E0FT@O<>48IS9.*69 8U%ZJ:NUJ>#
M;> WAP=AJ-X\!D+A3*.:VO*J*8G$0IKW6UO6U+Y3ZNR^&>UAUJ=_G;^\>WU]
MMR;JXB<\!%L>K 8$CZK=UHW)K_D+;*F6Y5W-/QML_U/^[>^?_=.'#F*UC^P%
M&9*:86^05<'FWBG,)^4]!ZIMO/==Z_*=OP)^N;K__X1AP;T\?JZ5/(?NU
M:*Z\^3_V+UYY!/E4N_WY8./)[?_>&7_.Z__^/'P^_)^H?KJ_>U!\N_
MOY=OO[UZ=_7ZPS,.O6*?!%PZSZ;9/F\:Q9Q(3O;! \5EU?G38[]O."\T^ETJ
M<[.XTH>-<; 9G>1O\>
M'J[?/IVEO*=LT8H9I1+8F'6TW')(U=]OG^T#=N*W?^;H=LE"FE(>V5NA>$?4
MFOG8KCS6'JMPS.=J**V,S.8L [:>?8.'TB+U>+P%;SG%D7)L?:E;(U. >U?Z
MB@AM6[NO48Y3 A3I
M32'2%*[EW N,"Z%S\;AO-EX:C>8ELXD&2:_57[$F2MZ&=6TJO,S1>0C1Y;^&
M+I$B,^LQTPQCQDIQ>9_X_+AO?L#/XVX.OQ[/'6[_[>9N+ZV/$P?Y\2:^LC]A
M>-2AWG__7_/KKZ[?W%D4OH4._^:>AY"LC=)Q]R"++YMC6^R1.]P%Q%K2_W/BCK __\)-;/P(>]J,_^D]Y
M>EGU[AN:(:89:%;F1LV6.J4N4]*20PL$/C^/>\?VLC/:)>]Z+YW29BG&+I1&
MK2DD+QYNJV24LCQ) (RG+P]V@>;F7%V#:6LH[,W.S7"H1AK!ME<-8?KE\7*7
MU;I_.+_YA3U46DW%P=P9>7030G!G*FF."E'D-A;3T$!1P\-'W,&=SE(
M'O"514)43=7\)9.T;&&H@-%Z-+XO\\0F*1DWWB4[]J*CU9"K@-9HVD*'S%R'
M/\*HTV^*EX:KQ+Q?-#?GQ%ELQ?)&%,Y#+^\J-7"N/1E!SN3ION'<]-#
M3AH(&)H 9!+U8G6QV/:'JCC2LM=&1-Y:9>S1( -KK&'X26&DGE2]_WI(35+I
MN9UM&;89@"N3HIFJBJD-R+U3R5%'&M.+CD#WEUR/>=[R1$B\X8!9X>NW)UY/
MV8_Z#QR.J4'^ [\\I_)?\?8%&A!,I0HDTS9-(LU9JNDD&)R-3[NDY7NU"GRG
M;O(+C__2T.R2?XLG ,Z6/>N$1J::1!-"S:EP*7$A5KU2S#__5]F8OW!O\/*PJ1YZ>-<4G<5
M,D&J9XK0L=,.5*/6LL9*JU2I/FYV)9IH@N3'\LC.6?
MAR?WVE_"'RX/DA+8TX^Q2H=AYA=BB"V>. +^)_\6^MD;ZG_B3W+Y6CMA
MMI"*MWN:9+@K=2;;+H$F8H2S%1C^X-]A[?0$&JG-5F: 29*B5!0L4%-I4&(^
MF_"U(K(WAV\/]J-O__;A_9O_;A7*EFIOGV5RK37V;W[Z%7HI?J)<
M3@S^@5%_,I8O&O99S$,2[T2E7N63F(/.&L#KYZ>N*<-:PSYNAJ<=V8HFBZE<
M2LS(K ;"14"+S'MXQ,.96 3 ,7YQ21
M0L6[&^RA(;W$#';I\'I/FF+$EB:9HV@5JD6FU@717
M6&)L5/S1]4#SQ_;_>$J6Y=H+*<7=P;>E;4J9 @!V+9 IHC>NC$@Q:LTC0UL$
M&OLI=7< 7MSD&%EHCBFVT2;I'#76@6Q\W:?VEL^F0%T(KY7-")5B0I"( @J)
M6>W@Y>$GM2R@TL_U]+TT I?I33AB9?%.3A. ZLPBINY-\6,*2@3">.MO#N]?5E9K!+&B]B@)FA:YR)8JH2
MC85"[FD,T;H\/X>2+J^!=GNL.M$O8M03192T8JV<-0$.3D7;LBMEQ)@NKX+V
M?/II,3=PK10L %.RA>CM48= 8NB2VHFZ/4N3NSF ER\D9A)G<@M^MT)5@@%(
M/6?L@VK&NC6-7^!,D88.HC";ED'D.(X&&7=P3;RYD+M]B.&0P#O2 L=LGHF#HUS,,;F9(0R"RS<'&6UVP*J)1871N%DG0V&2;50S>6K[@SZ%8F?.X%9_$#VP!F
M]()W D'LRFT@M[C8C2=*''T9)K^]B_[KX[5SJ/Z471AB"%J)Y6KC2X
MS81^Y3!B!GW@;/S,0+YXQ+OD,06MQ'ILTY'8['WK40MC];Q?(W^[>#:DJ!JBS+5']1+F)-Y=,(C8LRU\_FB
MS-LA=GG+B;%J:)4YM%0ICZ'A"%/@5FVY;0?3VMDK(:4"TDK@I%ID3F]A9A-O
M-H2P? UTJKC&2@ \\""VSZ*:3#8$2<3>>JVW1%B]3QWU\V5@5QWQ+ODF#"5"
MH-3[)%-8HMI-^DNGGF#2\AW4A3_S/OEF3-/S)LL&V *K$'D@-:'DMRRYY+-U
MU;:#:]-^"BB28D]49J#:DF3R3,/1@0K:^/>)V.7?I8KY'*YU]BC4:C'BF;P
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MZ 1POY#>9FZ[)-(1)+1$#:$'$A,H%$>,T#)-L\(GKD_CW?IS^\1U4R>JM$:4K(LP %%D_T
MBV??#>\;U8LS:4.%J+F;,&&*T1\*CIYCK6F"Q/Q8?[41E"LSJ9%,&TTK)3>=
MVFNF9"H.:PBEU'FV;<++@//7PSM_%VW+XL,_O&?DT_UGG\5[%896!"MF&.#M
MXW)LV?;-?&RNVMUQ?.EX=TF%0:56"# Y"BCFD>/Q0C?:!IEM7UAM3F\I9P@:
M(OKSD))U4*76&8V_@)3!T?82BUS
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M,,A R^%\^5NFGRY*]!HT?3CLDSFV!=#(:PY3@[3@U>K\=\X5'X'@,B/18$7AQS"Z?
MQ9@S2JI)T<2[T/"JS4>@0NU"CW[]M@I0*Y-/4K48SE-:$]M0K7F[%I]ZZS'4
M<;8<^VI3?\#<5.B-M9CP+$"*I=H"']QZ+A-S>W3>S5/'_.2V8/>W+L%.6S(Q2P\P
ME%LT]YPUB_:B)9@&M)![0N+O'\W+'T,VZBW:'C?P**6B7)"GU\"R*"K]L7=C
M%X9P9?:.9AG-(<>1&A+GJ%' 0*F<6VI]GFTUL0$H#_#ZK!U-ZGNSRT@H53).
M^]A>.$Q+"HN;9.2R?>39\<'FC%2ECIEG;!3B5,%90[ P!"UV6F3IP/VY)#M 
M%$DP0I#AE:HU2BE(-7SG:71<4K
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MVFV':8X!,B,,9"BS?D4<_
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M/FTI)\I BQ4<,5X CBTY(/8*S-L8IYD<9#K&V7Q6N)Y.*Q]']3,44$=FD:@UL"V_NA&
M9>:FR/A^X4 S+OJ$/'5B#SB%ULP/!YT!I)#I-]N (]5>9QU^G;S$&J@LW]L_
M:TR[#-)]Y"0A>*/10$5*-0H;5<",< AQV4GC%>3(BWRVE\-C\RB-%G9;GJ#8
M&[6A,N-,TJ/&0:G')2#^#.Q+H]+.M?H,2:;D.%QS!K#IDC=]FEK\X3TN,X(A
M+&Z:7AZ1RU=6EV;"3D?#68B3+0WLPMY\6TJR;;3F7EDY4'.?0ERRB;1!4D6#
M:35_5<0FKBJ\/3^R[F;HV[. )W9E&ZM)R+0-;3JR0>>$7
M4PF$BU5X[V"^:-"[C.PAI:$MJ1^*DVJKF$O/5%LG8E-9RQY)-<.6@&T>^EMJ
MF(P*46:B5HT*R5LCE4X6_;N>J/'(#Y4YGGE.5^FP192 XS>:3*;\;?/;\Z_]!';M- ARRM,
M$PR+$G\K '&N->8Q:=DKN')5:G/6-'KUBDJV8F)=,*
MTC C:=NY&8E.L/"7J5E$)),F,RYOGPA-&6X(V.9,"RW5:&HC$B0Z%NOR5JRU
MATK:-"]3UT+TNBK;([9I82,R3<[2)7.RORW>LEI&:R,36(Q9GI:=*,&X 627
M/TZK@[DVJ"%'BG4J]U)M;44OD"#U\DQ[@<:6%8(_FS**]8+(T-3^2#.!',]7
MX8%+W)7G?!FFK6)$%&LI0(W"]!K:G"3U#"/X"]^_R+&HL0%T]>[3(?S9?O3UOQVN#S>OWWW\*?+=S>'@LWI(QQK"B&&J3*8H
MYBRK3*.S-*5*2>=*]M\%[I\-U(_+]0CMTS#U)AXST""%3,D<@6UGU*H6K!)7
M/-=^:S5,+Z41UENI!8M"ZB/,/&GR,#A-E$6@VC..):I(=\OK_].#^^P5.Z%V
M;SZ#B8E@% 'ED&9>N(?.E0L)9,7F^I6KAL&LR$
M>!.O2+F:V*RCX\S)JP2?2R_^IT7SV>LSY #-GTP:7U%&E A=;:UJ-7]WOFOO
MBX#Y,OYDO<460C$QC[9]50AT< V"T>MA@+385E]LE\'GV>GO#D-):)91[/=BC I2;"D4OZ.L$1<36TG$K?7=
M6HC5&\0;US>;Y:P]Q%9AS@L=];*T]$"N3,9"$&Q8U7 8;=9: 4&4&TOI
MO5MR64_K7.BMKU6JE[$>S*F69(
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MDI>T?/8HY26FESZ=GOYTZVOK5M[\GY^,B'U-?TK0?S[X>?2G/UQ?O;_Y
M^OV'PRT$B \@0T6TDY?RF_;!'9(D]A<:1L?2EZII0IJ\ X%;&I.7#BR^8V+'V\;,ZF7&)
M6+"W. !)1ZQ)C+[/\%OHWCV,'=I-$IDZJ$FB&*6S);G3+TD
M-H<61'C\_^R]_7/;2)+G_?/S_!4(S_2N.J+<@RH4WNR;C< ;>WW7;<^VO7>Q
M/T)DR<(-"+ !4+;WK[\JD)(H41)%J4 "X-<;.RU*)(A*Y"_(P
M2,UBZ7@:$:GDF(R2@C"T[4B="VK&81!ZYH0Q%KO/78=]S4!W9)],%G-O8D6Q
M&22V:UJ!I-),0\
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M(MWI6,W57&L9)0 -J\RZI76A*'9AB8
MW%4]-DTY]@?:[QS( .V8=:BS$R*@YAZ(0N?O3JO^WY[
MZ6,\[D_)8U>6Z![T&%=4P?$\?.Q*)^DL0NM:G+ HEC8(6>*P5)
MPR?;A1Y-7@?W,9ZIEBU\;^)P.6MQN&>[@3^QXL3TF"KR/9:0.O8Q,IP-5 T;
MBV-J.Z$;1(Q;5NQ$#(D"'B<.&'H^$_/7[:__Z7WUTM?8G(KMAPY$641ES))0MN/
MXV"23)(P3B;LZ4EHQ[(YNM-@S')#3TJ"J>:%S/:XG)?XDFVI29$3/LWW@81S
M3"2#Z'KXRR6:R:_]L)C6TV8;YE
MRLE99*DZ #DE>7HVJU$H'3N!.$PB/Z:6%\6F;:HS1CT5'3A6Q!(SW Y"CSS,
MWZ6+J;(T_T/("ZF"AN)K^Z9=TZDPL");#C&,8SNQ[=#T(SGF,/+#1#[CIW>J
MZ!CEKFF3%SE^*)TQ\R9V&-AR+N!9#I-!+D_,P-DRWY:T7O<JN,ECZ\^?7!SGIGPR82Q">6Q'9EAX+IRTIAP6YU:(B.$/JC0X><^B71R
M?N293F#;D10(^Y5FD[NLK-?#?/@*JOW6S>?B[&O6*'6X]X9=P5WBJ8X44@?:,YI"RE2)NY23
M%7O4W;$7=6 B^C_!KU_N_'77I(=2+_;""74F7/[D>JI$*6Q/(9'SQ.VV';W1
MH=:Z3\3N"0R5<9(3V6Y@J'(:>LS(C4>12WOV\]R#"V1<,+W$GO!=ZL^%7FTJ.0I58KT.#7>4;MO0ETI7$$R^PN#245,[S6QLIY\"6]T#5
M>@_LP,[A=@=-8EJ!FJ!:=AQ,0B?V3->V@F2BSB[R_>VIJF/=3QD/5%[[UL!^NKS59;TPAF.;SWH]4+T>96&>[%W'=-YJC#"V.+
M^X'::95$V]\J,75QWDC]4I5\M)Z"!YTGCG$3Q*HXU)S[U^7;W
M>$\=,SY\<>T=T_K<Y[M8*F6W=+QDYHIC: LA]
M1AM,I$)0,PK]@$D]L -U@FJXZC?"HNWCF.P>Q2F/#;8[AJ)(=692'BF6-B<*
M/,L*6FFY//)-?K $Z@$EM2\^B>D$@6LSR_:]B'J!O.F50KDJB\JV\3FT0NEP
M/0F-&/4<*D.UB+:D/-W0=UXK])#$G9FQ/
M8OFJ-0ZAV@:SE0ICW#ZTRWB5KE(OD=,SB_I1DB029B^,5[KJ6Y-(1A7;>[4/
M[A+W'M^FF@8A]R:VF5#?MZBNN[5F3U^EIFO#L]]1;"X+
MZ20V'1;;81CPB3JX0\:\W&$^4[M+=QYD^] MO.@6N\/(,ZV$AFJS[+D#]QXM )K2BDZN :&ON,K@<7ASQZ=EW(BX?UU/%#W/1D
MH*OZW\9M+&<[8:1NS@LFL6_3K?0=DU/,#B2_>8"%=NURP]!3N^<3+W(#M8$F
ME)9,C=%W+,>QMG()C+K'&^.^VF69MB\#JT =5^,E3 [4-U'%N39H68)6E5R'?4P72ZG"_;&KQ87&33^SUV=IFS4)T'X"86]YS0E@AX
M%@LE%AZ+)Z'CF%N!@7H6EG_OEG?=TFL'\!0QMD=5T28+/+7CE<;A9,+-P%M!
M;2;;]=1B6+Z@DE$:&QESRP SL /;YF[(J8Q)0F;;7L"9O76G
MS)?!RWW-7WWW/O?3R\*.6,K"XLR?! &S63+Q;9.J7D.,,VF#O:W,D>G_6
MJDD4UP,Y7O,%,U*M1!+N)K9$T P=4XY6QAGWW>WTJN:A7'4B@UI
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MER:F<#:J4
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MGFF;8>2;H3DQ_4DDS77$HNV]/C_M:,Z"UU[-=J
MTJ5\WF%:BYEZY/*O[8WN/Y<+* UMTY>F([!-V_(C*^*N;\9>%%K36SI2^+M9MBFZ^U[ITTY_>>'
MNEZ*6;Q:E1=55L[^=YHO1?NW3XM6&Y+OHIIF\D+[BUOU=)1NS8\C^:,5^([C
MJ9U3P22(/-/=$K?:='YW$/O>8B?CV\Y_1'E:UY\NVJO?3OY<2G.F'DM9W&1/;J&\]_G'RW3EM,]SF#XH1-Q
M%85N+W;W3KH[$(@B3W4]CTTS8'8LXU!_PJ2EH8S)8-M\H!*/FUX/Q]=3[0G=
M,(I\)W&HIP[[L^0KRTF8C%O-B1L$VU4I^J5[6>8S4=6K 6V7I/ G:FHB*V".
M[4143DQLU7#$"@)I%1E3YX>$V\?&J"I&?G^BLG4/+[C#GCY=BZG$L"/G29I,%D\\SK?;[%I2=MX#YN$ \MD(CJ\.+*8)]64PXSG2L#@RJ(O\
MB65;5J+.C74"*WBJ>T%'TGER8!M54VWUOGI;)2ZEOUWB2;E];Q?ZZT=I/U%1%SF!:GUM4H]:-O58:,5A;+65
M633R^/8BHPP&Y5OUWV%/S1>-7.ZX3B@CF=B6/_@\D>$YM9-)8(9)LKW%4WH!
MQ]>MI\^3SQ'-ER^-MIS4TT :>'O"?.G)$[6YQ@HFYN3I[EL=2:=C\Q4%H<\=
MTYMXIK1*MAC+].9Q*XTI[9O>9X5)#QV$C>YG[E>$637&2F)ZRI)1"R]MN\F!)0V/K#P/Z/KF-75^M5\BH
MP9.1<^A%$T\ZI)BIZD;KR:/T.I).Q]$A"V0\DKBF"ISLB<<].6.84'<2\T!J
MR79C+JE(['Z-T1$&OF=T:)DTBA+7-;D,,'C;E2*1_V.&SU
MHWQJNU@!'
M"?.E2YNM1UMR5DR]GA
MH?7G\%WE?1D4F)[/+3.0GI[Z7A(&S'*BT+)=[Y!&I^/H,(@C:B66ZTBC:H>)
MY[EVZ$\"SE@2,#G+?" Z-/W[6[WTCK1GT>'$H7;L>#PVFW0H@Z/ ]#T:<%OM!9M$SH2'$\ZE-H7V4X?0=B2=KI<^
MF)>HFDP:ROFC-!:!U)'$CDQNJ=WJ="OOT$ETN/_ ]UWZ"'TV2:0V3R9R;B2C
M,,^CL0PQ_(#Q*-XN4WI@K_Z^HVR?Q_Z'IH;1Q+<3QF-JVAXU_@U-_*!G4I
MJ!T5&TEH^0%WXTFBNGW%W/<"QTW\(*!1+"?HVX5ANR.WU]YK3Q\JLVWJ)6K3
MDQW:[L3V)K9/Y9-F ;5"+]S>K?T225T'IC\^7?PFXPMI.G_+TO,L7P] 1F:?
MJO4?U.%BA;S49;;X]&W]PP>+TIDP\?)W=JSX-8QG"!Y;>U
M;V$0N%3IOF,R)FW49DE*L6PO]6]T0R*:AKLIPB]5.I-Z\5E,EU4;A>ZW3J(.
M@0X\ZIN6*A?U;(6#:WENQ'TN9_!;H0B[%Y!N??V>]_;4+)U.K,BS(L=7"Z=R
MANZ;3L =1LR)M](([%Z'H"?O[3^+F:KFS,Z7S:WG^JVLZR#/RZERXE]*
M]0RR:;9(FSN7"=,ZF^[M3=R)I?K,150%?T&<^!'GU'.\R*+2$@5/=9QZ[;UV
M.^X=%C>V8C^*[))B7RZ)ISR)X!DS.9N(DB%5K[#"B06*;ON4GEL=#GTNB>#P)M[.^
M?-6Y;F/(+[O-+@9ZGTSG[@0_C/W #REE=L!E9#1A2>3(8-2)7+Y]G YM6[,<
M>:#7IO99-G)SM):=R!F'&;(X"658[OF34'5D<"W3DR9_LGVTBO?:P6[<:FBG?'*CVR5_%
MQ]:G?KJ(LUR9A+: O/ZT;.HF+92IW]LH1Z8MC5 2)7**93/)JJ^69YQ@XJMF
MAGUDW+I7AKCG76H=X [KZW*')Q,GF7B.*X=*Y4/T+'7FM&=.;&HF
M#P[0L^\5*ND?X-9G7N94X]!C46BST).Q"PT<+TA"&KF^R<,HY/1US^_A>]0X
MN%T;++ACN6X2>&;DV3RT5>NDB3KUB,JPG"?>JY[=XX.3\?&[-E+_6#8BSNII
M7M;+2GR1MQY*M_O/Q\=Q:S$C&IF6:7$NY\I!:*MVEIZE#EKSJ9QI>6_^[5_R
MYOTLNS+JYDMW^KL_\6[ZBY
M:-Z_^9>OS?M['\^S0KR]; ?Z3G+[TWMU?V_3//M:O/N_R[K)+GX\>AGU^X=N
M(RND"++FT<_]3?WAA1=I7WY;W>^YG"&MKMH*?>O2?Y/C?/:0LV(FIWSJ2[[K
M'7 Z7[S_BYSF; _].??G\BX?R>JE>OL[U=DCFZZN=*>)IB'5,KMJ_?.Z^,:2[22LXGY6S^S=\>U+Z^#N!#81A2IXV+K))S]#^7,E07
ME5%>&,IFD/9/ZVFOT93E/XUT-LO4+#S-Y3>)12WMVTQ^(#46>5K(MQC5S2,5
MQE14*NUHS%;]7(QZU>C%*!=B-9>OY1>DC7$NI_^%(=_X62R:=GJOOM[^Q3"^
MR.]OKYS5AOB^$%-I)=6WU.F5N'-SZ6)1E=^EB6Y$_L-X+?RM:/Y*^2^N(=^6
MRSO52T+^
MU.Z)^:65SK4 *C$MJYE\:W6'*;'>Y"F?J!ZAL%]LO3*I5@?3JZ?:7#_MV>KF
MMQ53%&J(OZ?5]-*P*&FUM!53U6Z>TC9*^HNG=Y3RSNKK T;D,Y]IND_',J64
MRF4M+ZGM1J4QDQK3W!["9$Q7#=HED(,Q;(.WS)\*X].T*94Q5)98SLY]8OPN
M9EEJK+<\2QK4S&TF38*$)S7^9RE_,#ZGN8S-@J^5:%/-QMDJ,/ 8,]__S\_!
MS2OZ_N=6$=LH4_Y'5%?9]-%/?K[WR6]9S\>72[TW$>27-RH^UJWM\,+^L
M+ML.1][@KU7Z8V-8\G6Y7*S>2(RS-^K/;U:B3>M:JHNR;7?'='T5R=._E]^4
M62#&LK(!.(ZO9E=P\9\,(:G6?]X=Y5Y5D3"$YSJ5.
M2?53 \S5,H0Q39>U:#^N E(I^O2KU#,I0_7(R.H9/J$KCVH^4:X[7[;R/U\V
M1E$V1KY:29 *0;:_5PWGO!*I'(+\I9K2J"O9QF;2C3&D?UQWN!RGF:;])ZEZ[\>IFIU2#U
M=^E\513=6I(V Z<^*+ZKQOOK U^D0BVKE0=H/]%<2OZ-N1S'9?U@K/0.FB,'
M,&T=YW.R%@LUWRF^OLW%1?-.S=@WQZQ>;WY-H:QQ_O[Z,TVY6,WR;R[O]X_WS*7VI 5JYM,ETUY_8NJO:WV-]^R67/YSG%]
M>3_GRKQ7;Z=2K=-%+=Y=_[ I(G6MC1NO;GY2'0K4[19_?T/ES5;EM_6+VZQ+
M,[O]L7KP$NLAKFZ*>4P):?-2&]_QT&7O7\%_Y>T5.$8PN!'L4,XVAIRF
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M@2'2;X@PXWU9T<#+2M_VTTE+ZN2L7*I2Z=)RJ;X4'X@$D2#R]5[2\^ ED4/LCPA/:YT=TH*T^BJM
M@1BS4M[(15Y^>W>9S6:B>+_>7[:[GA]I(/M
M@B?B%_L<6IQV6X ON]KN=*J)Z!&P*=E.EPVQ41L] C2*#ST"7F%ST2/@^%NF
MM$=(O4\H8W]F9QO+>O_L-03) .:T@=EO&QYP 2XGC8O6W9J]?_;(8PUNM^;@
MBLDU;LKLRS/7F;OLQ^K+ +=8#@X$C3LIQP("LB1/=?ZM16-D\T6:5>WA*%U 
M-)Y]RNAWAAX +XWY/?0 T"B@TV8*4Z+WO[6'&ET(3("Z\DQ]>=*8".TC+>ZZ
M &)O.9P$")@(/7$LY .X(C4!&'^CI+(\9\>3*?I'/@T U"!13
MD57-UL,'E'=C"#5MDNZ+_ ZW%WI8B\3K"GSA]D !\*(UA46=YN.R1&9H6:@-67J9R1J>:.__Y?DX_$2(V+99X;M:BNLJDP9JLM
M7D8Z:\U3K3Z2?A7%](=Q45;RW8ME-;U,:V'(KY7OE]=)%XNJ_)[-TT;D/[8+
M)5[D9RS;D&_*L[+0WW&>>Z
M>*/L%ZKW2;_.A*[M)=7>@.+)X&3]\__XVUQ\?=>N?'PL&Q%G]30OZV4EOLA;
M"_-R^L]_^___O_^QK-]^3=/%NZA4]RH?W20KTF*:I?GG1@+;=MZ_^8"A'J-\
M\8>X^/N;2:P4X#_H?WV)WQC93/Y"(O#6S)Y0'7I2$L1W;7NC'
M0<3>_-L]R6V.^8LT:[7Q47PS_BCG:?'HV(\U[FL]55?Y6(
MI44CL;L1O_&AD(9QWEKWGFKA\SIZ]"G0^.W#1^.+R,65# F4L4[U&!YJFKJ,
M\[="6L]:1J+9+$NK'VW[:B%_-'X5A:C2G!A9W5I7&;C,VS><2_%)Q5F;=68R
M:BC>:T,:=_62K5[^>&[8KM9
M"73?UZNO;Y6TEA>2<[Z'[F+]J_6=R A&"O[_EM(/M']='?61&^=IGE=MS1/YJ43];S%_D:(0A_;XQE2&R#*N-
M/)O+H'EU_:QH+YZ>9WG6_+A^ G?&)X.?1?I#AMI7F81UUO[BCHJUWR&CNUS&
MP_A0S%]
M991UN%N_"9)DQ+NIHN%:13\K%1W*8-I _M:'/ZOK3X]N_RS;:*CS="^
MO]X?]6_9K+E\ISS:=?)U*BUONJC%N^L?WM]/I-[>U.;:_FWQ$W^P2.'YY0&K
M>[*LGW:G>Q_,+:_']+J/>T?]]N-^'&,?Z,UC["_^N#_DFQ_4V =?'.:_+"KQ
M'PU*NNVBV_\.::\0Z/;<8 \1]DSC[C: ^T!]H#[<&*
MY:.3-+6!3^VU:W?RB3^7V56:J]U]QP2SX[ZTKY79F$[CT\,BCG2Y&2=2DYTZ
M.=@:V!K8&M@:V!K8FBYM#?.)37&B%LP,S S,3'=FAA/3H[ RL#*P,K RF#C!
MUL#6P-8,VM98%K%]"V;FF0(X^2K!+U4Z$T8ZG)<6[RUC]HQ*+-)M=GPBX.A:F;,\A
MF=[9\MH%7+LZDFE] N/R52\6W5B0'A"]P_5^IP(H(R[7M\P#-($FT-25"K0(
MY1QL@DVPV3LVB6V:0!-H LV^H8DI)P %H#T&E+K$\K0MZ)T\FR@]+)LT/T#.
M=F"889D0RX18)KS_,<\D%M>V(1A  (B! \&80VP'Z^8@ D2L"PYMXML>@  0
M  (S"5 !*AYV$YP1#X&3EG14C_+'718^JNQ $9MBS '[:L %^#J8/&(::%P -XP"0"5("*A[T$(S[5MFXY%B!0W?:8
MOL3B(BNR1AAY=B5F1E8T:?$U.\]%URFKL22$L>*"%9=>.JZQ &;9/G$9#H,%
M7(!+_W(FMXGC:DLK "[ !;ANX2)<7],"L 6VP!:F70 ,@!T ,(_[Q+.T[9,=
M/5PG7^@65F4ZFZ9U8^39M#V:HPN\!D81%JFP2(5%*E !*D#%[N;T)K.)IZ]!
M/9@ $P-GPJ7$ A   D @= (5H.+QT,EW"86GT)*5ZE$>N+MTU:]E.?N6Y7D7
M](PE!XQ%%BRR]-(]C04PF[G$1"\

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end

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�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