11/13/2025 | Press release | Distributed by Public on 11/13/2025 08:16
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State of Delaware
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75-3074973
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(State or other jurisdiction of
incorporation or organization)
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(I.R.S. Employer
Identification No.)
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30 East 7thStreet, Suite 1300
St. Paul, Minnesota 55101
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(651) 227-7333
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(Address of principal executive offices)
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(Registrant's telephone number)
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Not Applicable
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(Former name, former address and former fiscal year, if changed since last report)
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Title of each class
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Trading Symbol(s)
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Name of each exchange on which registered
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NONE
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NONE
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NONE
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Limited Liability Company Units
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(Title of class)
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☐Large accelerated filer
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☐Accelerated filer
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☒Non-accelerated filer
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☒Smaller reporting company
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☐Emerging growth company
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Page
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Part I - Financial Information
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Item 1.
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Condensed Financial Statements (unaudited):
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Balance Sheets as of September 30, 2025 and December 31, 2024
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3
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Statements for the Periods ended September 30, 2025 and 2024:
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Income
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4
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Cash Flows
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5
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Changes in Members' Equity
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6
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Condensed Notes to Financial Statements
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7 - 8
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Item 2.
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Management's Discussion and Analysis of Financial
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Condition and Results of Operations
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9 - 13
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Item 3.
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Quantitative and Qualitative Disclosures About Market Risk
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13
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Item 4.
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Controls and Procedures
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14
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Part II - Other Information
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Item 1.
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Legal Proceedings
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15
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Item 1A.
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Risk Factors
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15
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Item 2.
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Unregistered Sales of Equity Securities and Use of Proceeds
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15
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Item 3.
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Defaults Upon Senior Securities
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15
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Item 4.
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Mine Safety Disclosures
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15
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Item 5.
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Other Information
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15
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Item 6.
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Exhibits
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16
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Signatures
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16
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September 30,
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December 31,
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2025
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2024
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(unaudited)
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Current Assets:
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Cash
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$
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3,509,383
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$
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1,697,116
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Real Estate Investments:
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Land
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5,157,640
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5,868,790
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Buildings
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13,163,135
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15,321,028
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Acquired Intangible Lease Assets
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2,178,056
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2,178,056
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Real Estate Held for Investment, at Cost
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20,498,831
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23,367,874
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Accumulated Depreciation and Amortization
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(7,974,853)
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(9,163,754)
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Real Estate Held for Investment, Net
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12,523,978
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14,204,120
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Total Assets
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$
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16,033,361
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$
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15,901,236
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Current Liabilities:
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Payable to AEI Fund Management, Inc.
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$
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202,279
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$
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151,147
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Distributions Payable
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2,092,203
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278,351
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Unearned Rent
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44,690
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61,749
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Total Current Liabilities
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2,339,172
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491,247
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Members' Equity:
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Managing Member
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13,081
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(803)
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Limited Members - 50,000 Units authorized;
35,791.59 and 36,986.36 Units issued and outstanding
as of 9/30/2025 and 12/31/2024, respectively
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13,681,108
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15,410,792
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Total Members' Equity
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13,694,189
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15,409,989
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Total Liabilities and Members' Equity
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$
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16,033,361
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$
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15,901,236
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Three Months Ended September 30
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Nine Months Ended September 30
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2025
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2024
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2025
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2024
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Rental Income
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$
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386,868
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$
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426,786
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$
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1,206,128
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$
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1,233,800
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Expenses:
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LLC Administration - Affiliates
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47,509
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50,264
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138,910
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180,029
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LLC Administration and Property
Management - Unrelated Parties
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60,044
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12,580
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167,376
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83,434
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Depreciation and Amortization
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152,653
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174,231
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465,562
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528,440
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Total Expenses
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260,206
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237,075
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771,848
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791,903
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Operating Income
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126,662
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189,711
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434,280
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441,897
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Other Income:
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Gain on Sale of Real Estate
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107,789
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0
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1,346,244
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711
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Miscellaneous Other Income
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0
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0
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600
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0
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Interest Income
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20,242
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11,590
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50,418
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34,087
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Total Other Income
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128,031
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11,590
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1,397,262
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34,798
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Net Income
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$
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254,693
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$
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201,301
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$
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1,831,542
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$
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476,695
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Net Income Allocated:
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Managing Member
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$
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27,260
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$
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8,327
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$
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65,884
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$
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91,927
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Limited Members
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227,433
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192,974
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1,765,658
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384,768
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Total
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$
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254,693
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$
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201,301
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$
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1,831,542
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$
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476,695
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Net Income per LLC Unit
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$
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6.35
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$
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5.22
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$
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48.79
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$
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10.39
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Weighted Average Units Outstanding -
Basic and Diluted
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35,792
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36,986
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36,190
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37,043
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Nine Months Ended September 30
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2025
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2024
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Cash Flows from Operating Activities:
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Net Income
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$
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1,831,542
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$
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476,695
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Adjustments to Reconcile Net Income
To Net Cash Provided by Operating Activities:
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Depreciation and Amortization
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512,270
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579,230
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Gain on Sale of Real Estate
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(1,346,244)
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(711)
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Increase (Decrease) in Payable to
AEI Fund Management, Inc.
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51,132
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(75,678)
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Increase (Decrease) in Unearned Rent
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(17,059)
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(33,734)
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Total Adjustments
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(799,901)
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469,107
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Net Cash Provided By
Operating Activities
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1,031,641
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945,802
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Cash Flows from Investing Activities:
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Proceeds from Sale of Real Estate
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2,514,116
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406,688
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Cash Flows from Financing Activities:
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Distributions Paid to Members
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(1,118,601)
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(841,858)
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Repurchase of Member Units
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(614,889)
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(93,909)
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Net Cash Used For
Financing Activities
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(1,733,490)
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(935,767)
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Net Increase in Cash
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1,812,267
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416,723
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Cash, beginning of period
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1,697,116
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1,161,433
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Cash, end of period
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$
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3,509,383
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$
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1,578,156
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Managing Member
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Limited Members
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Total
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Limited Member Units Outstanding
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Balance, December 31, 2023
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$
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(66,695)
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$
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16,015,144
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$
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15,948,449
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37,158.30
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Distributions Declared
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(8,369)
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(270,600)
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(278,969)
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Net Income
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4,800
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155,206
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160,006
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Balance, March 31, 2024
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$
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(70,264)
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$
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15,899,750
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$
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15,829,486
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37,158.30
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Distributions Declared
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(8,351)
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(270,000)
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(278,351)
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Repurchase of Member Units
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(939)
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(92,970)
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(93,909)
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(171.94)
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Net Income
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78,800
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36,588
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115,388
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Balance, June 30, 2024
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$
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(754)
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$
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15,573,368
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$
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15,572,614
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36,986.36
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Distributions Declared
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(8,351)
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(270,000)
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(278,351)
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Net Income
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8,327
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192,974
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201,301
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|||||
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Balance, September 30, 2024
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$
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(778)
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$
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15,496,342
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$
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15,495,564
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36,986.36
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Balance, December 31, 2024
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$
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(803)
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$
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15,410,792
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$
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15,409,989
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36,986.36
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Distributions Declared
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(8,350)
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(270,001)
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(278,351)
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Net Income
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21,499
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1,391,108
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1,412,607
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Balance, March 31, 2025
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$
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12,346
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$
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16,531,899
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$
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16,544,245
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36,986.36
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Distributions Declared
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(11,099)
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(550,800)
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(561,899)
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Repurchase of Member Units
Repurchase of Partnership Units
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(6,149)
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(608,740)
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(614,889)
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(1,194.77)
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Net Income
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17,125
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147,117
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164,242
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|||||
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Balance, June 30, 2025
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$
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12,223
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$
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15,519,476
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$
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15,531,699
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35,791.59
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Distributions Declared
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(26,402)
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(2,065,801)
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(2,092,203)
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|||||
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Net Income
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27,260
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227,433
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254,693
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|||||
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Balance, September 30, 2025
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$
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13,081
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$
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13,681,108
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$
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13,694,189
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35,791.59
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Dated: November 12, 2025
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AEI Income & Growth Fund 25 LLC
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By:
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AEI Fund Management XXI, Inc.
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Its:
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Managing Member
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By:
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/s/ Marni J Nygard | |
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Marni J. Nygard
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President
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(Principal Executive Officer)
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By:
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/s/ Keith E Petersen | |
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Keith E. Petersen
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Chief Financial Officer
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||
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(Principal Accounting Officer)
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