Rule 144 Solution
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In general, the rules governing professional conduct of attorneys in the states in which Mr. Morris is admitted to practice law establish a duty of confidentiality between attorney and client. This duty extends to the information which you will be asked to provide or you have provided about yourself, your stock ownership and your broker for the purpose of obtaining an opinion from Mr. Morris via, including the credit card and banking information you provide to pay the opinion fee. The information you provide will be used solely for the purpose of providing an opinion for your benefit and will not be used for any other purpose or provided to any other person for any reason. In the event Mr. Morris receives a demand for production of your documents from a court, regulatory or administrative body, Mr. Morris will notify you and provide an opportunity for you to file objections to the demand.  You should be aware that transfer agents and securities broker-dealers are routinely subject to examination by the SEC and FINRA, whose personnel will review files containing Rule 144 and other opinions and supporting documentation.

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