IntelliCell BioSciences Inc.
Revenues Quarterly Performance Summary HurDA
$14,000,000 $4,500,000
$4,000,000
$12,000,000
$3,500,000
$10,000,000 - $3,000,000
$2,500,000
$8,000,000 -
— $2,000,000
$1,500,000
$6,000,000 -
$1,000,000
$4,000,000 - $500,000
$
$2,000,000 -
$(500,000)
5- $(1,000,000)
Mar-11 Jun-11 Sep-11 Dec-11 Mar-12 Jun-12 Sep-12 Dec-12
gesEllITDA $(444,675) $(601,879) $(242,119) $233,061 $606,203 $1,501,986 $2,588,991 $3,891,264
STotal Revenues $183,520 $433,920 $1,685,600 $3,345,380 $4,788,440 $6,791,220 $9,190,300 $11,717,980
Quarterly Performance Chart
Confidential IntelliCell Financial Plan US 01-2011 revl.xlsx
EFTA00619607
IntelliCell BioSciences Inc.
Quarterly Revenue Summary
$16,000,000
$14,000,000
$12,000,000
$10,000,000
$8,000,000
V
$6,000,000
$4,000,000
$2,000,000
Mar-11 Jun-12 Sep-12 Dec-12
■ Banking $36,000 $108,000 $232,500 $407,250 $600,000 $826,500 $1,075,500 $1,315,500
■ Processing Kits-Distributors $183,700 $354,740 $532,220 $758,510 $1,023,450 $1,295,290
■ Equipment Sales - Distributors $183,520 $433,920 $1,685,600 $6,791,220 $9,190,300 $11,717,980
■ Licensing Revenues - installations $3,520 $13,920 $95,880 $264,220 $381,300
Quarterly Revenue Chart
Confidential IntelliCell Financial Plan US 01-2011 revl.xlsx
EFTA00619608
IntelliCell Biosciences Inc.
North America Division
Three Year Launch Plan Forecast
Quarterly Income Statement Forecast
Start Date: 1-1an-11
Quarter ended Year ended Quarter ended Year ended Year ended
31-Mar-11 30-1un-11 30-Seo-11 31-Dec-11 31-Dec-11 31-Mar-12 30-1un-12 30-Seo-12 31-Dec-12 31-Dec-12 31-Dec-13
Month 3 Month 6 Month 9 Month 12 Month 12 Month 15 Month 18 Month 21 Month 24 Month 24 Month 36
Revenues
Licensing Revenues - Installations $ 60,000 5 60,000 5 100,000 $ 100,000 $ 320,000 $ 60,000 $ 60,000 $ 40,000 $ 40000 $ 200,000 $ 160,000
Treatments - Owned Centers 768,000 1,792,000 2,560,000 2,560,000 3,712,000 5,184,000 6,784.000 18,240,000 46,144,000
Processing - Licensed Centers 120,000 360,000 775,000 1,357,500 2,612,500 2,000,000 2,755,000 3,585,000 4,385000 12,725,000 24,037,500
Banking 3,520 13,920 42,600 95,880 155.920 168,440 264,220 381,300 508,980 1,322,940 3,432,920
183,520 433,920 1,685,600 3,345.380 5,648.420 4 788 440 6 791 220 9 190 300 11 717,980 32,487,940 73 774,420
Variable Operating Costs
Cost of goods sold 20,960 64,560 183,700 354,740 623,960 532,220 758,510 1,023,450 1,295,290 3,609,470 7,869,660
Licensed Facility Fees 36,000 108,000 232,500 407,250 783,750 600,000 826,503 1,075,500 1,315,500 3.817,500 7,211,250
Sales Commission 27,000 51,000 102,500 160,750 341,250 215,000 290,500 368,500 448,500 1.322,500 2,443,750
Owned Center Operating Costs - 490,800 1,145,200 1,636,000 1,636,000 2,165,200 2,726,400 3,300,400 9.828,000 19,242,400
83,960 223,560 1,009,500 2,067.940 3,384.960 2,983 220 4 040 710 5 193 850 6,359,690 18,577,470 36 767,060
Gross Margin 99,560 210,360 676,100 1,277,440 2,263,460 1,805,220 2,750,510 3,996,450 5,358,290 13,910,470 37,007,360
43% 50%
Sales, General & Administrative Costs
Marketing 125,798 194,239 206,856 223,450 750,347 257,777 307,846 367,723 430,915 1,364,261 2,457,483
Sales and operations 29,738 29,738 65,875 113,313 238,663 123,853 123,853 207,337 207,337 662,380 1,034,190
Research and development 62,250 255,375 257,375 257,375 832,375 330,375 330,375 329,375 329,375 1,319,500 1,617,500
General and administrative 359,050 396,888 495,163 596,888 1,847,988 668,862 707,050 757,425 786.800 2,920,136 3 461 961
576,835. 876,239 1,025,269 1,191,029 3,669,372 1,380,867 1 469 124 1 661 859 1,754,426 6,266 277 8571,134
Net income (loss) from operations (477,275) (665,879) (349,169) 86,411 (1,405,912) 424,353 1,281,386 2,334,591 3,603,864 7,644,193 28,436,226
Other incomeflexpense) 18.5351 116.6371 (27.0571 (36,353 (88.583) 04,as (51.1611 (57.2791 162.9351 215 376 281,349
Income (loss) before income taxes (485,811) (682,516) (376,226) 50,058 11,494,494) 380,351 1,230,225 2.277,312 3,540,929 7,428,817 28,154,877
Provision for income taxes 42.950 842.605 1.310.144 2.195.700 10,417,305
(485,811) (682,516) (376,226) 50,058 11,494,494) 380,351 1,187,275 1,434,707 2,230,785 5.233,118 17,737,573
NON CONTROLLING INTEREST
Net income (loss) $ (085,811) $ (682,516) $ (376,226) $ 50,058 $ 11,494,494) $ 380,351 $ 1 187 275 $ 1,434,707 5 2,230,785 $ 5,233,118 $ 17,737,573
EBITDA $ (044,675) $ (601,879) $ (242,119) $ 233,061 $ (1,055,612 $ 606,203 $ 1,501,986 $ 2,588,991 $ 3,891,264 $ 8,588,443 $ 29,850,426
26% 40%
inteuicui Finanaal Man US 022011rchtdsz
CONFIDENTtAL Quarterly McceneStatement
EFTA00619609
IntelKell Biosciences Inc.
North America Division
Three Year Launch Plan Forecast
Quarterly Income Statement Forecast
Start Date: 1-Jan-11
Quarter ended Year ended Quarter ends Year ended Year ended
31-Mar-11 30-Jun-11 30-Seu-11 31-Dec-11 31-Dec-11 31-Mar-12 30-Jun-12 30-Seo-12 31-Dec-12 31-Dec-12 31-Dec-13
IntelliCell Financial Pbn US 01-2011reyttlez
CONFIDENTIAL Quarterly income Statement
EFTA00619610
IntelKell Biosciences Inc.
North America Division
Three Year Launch Plan Forecast
Quarterly Income Statement Forecast
Start Date: 1-Jan-11
Quarter ended Year ended Quarter ends Year ended Year ended
31-Mar-11 30-run-ii 30-Sep-II 31-Dec-11 31-Dec-11 31-Mar-12 30-Jun-12 30-Seo-12 31-Dec-12 31-Dec-12 31-Dec-13
OPERATING METRICS
Cumulative Licensed Markets
Cumulative Owned Markets
Operating Metrics
intelliCell Financial Pbn US 01-2011revl.the
CONFIDENTIAL Quarterly Incase Statement
EFTA00619611
IntelWell Biosciences Inc.
North America Division
Three Year Launch Plan Forecast
Quarterly Balance Sheet Forecast
Start Date: 1-tan-11
Quarter ended Year ended Quarter ended Year ended I Year ended
31-Mar-11 30-Jun
-11 30-Seo-11 31-Dec-11 31-Dec-11 31-Mar-12 30-Jun-12 30-Sep-12 31-Dec-12 31-Dec-12 31-Dec-13
ASSETS
CURRENT ASSETS
Cash $ 4,051,450 $ 3,221,336 $ 2,535,787 $ 2,328,725 $ 2,328,725 $ 2,406,825 $ 3,266,302 $ 5,212,967 $ 7.633.322 5 7,633,322 $ 26,658,203
Accounts receivable 19,115 41,123 169,218 282,613 282,613 400,395 574,910 754,633 952.401 952,401 1,775,027
Other recievables - - - - - - -
Inventory 19,200 48,000 135,200 228,000 228,000 374,400 510,400 648,030 786.400 786,400 1,232,000
Prepaid expenses 18,218 31,690 46,434 41,364 41,364 84,272 93,621 102,799 105,893 105,893 152,515
Total current assets 4,107,982 3,342,149 2,886,639 2,880,703 2,880,703 3,265,892 4,445,233 6,718,399 9,478,017 9,478,017 29,817,746
PROPERTY AND EQUIPMENT
Furniture and fixtures 20,000 25,000 35,000 42,500 42,500 45,000 45,000 55,000 55,000 55,000 57,500
Equipment and computers 12,000 15,000 46,000 50,500 50,500 52,000 127,000 133,000 133,000 133,000 134,500
Center furnishings and equipment 620,000 1,240,000 2,060,000 2,840,000 2,840,000 3,540,000 4,240,000 4,900,000 5,560,000 5,560,000 7,540,000
652,000 1,280,000 2,141,000 2,933,000 2,933,000 3,637,000 4,412,000 5,088,000 5,748,000 5,748,000 7,732,000
Accumulated depreciation (32,600) (96,600) (203,650) (350,300) (350,300 (532,150) (752,750) (1,007,150) (1,294.550) (1,294,550) (2,708,750
Property and equipment -net 619,400 1,183,400 1,937,350 2,582,700 2 582 7C0 3,104 850 3,659,250 4,080,850 4,453,450 4,453,450 5,023,250
OTHER ASSETS
Other assets
$ 4,727,382 $ 4,525,549 5 4,823,989 $ 5,463,403 5 5.463.403 6.370,742 $ 8 104 483 5 10,799,249 5 13,931,467 5 13,931,467 15 34,840,996
LIABIUTIES AND SHAREHOLDER'S EQUITY
CURRENT LIABILITIES
Current portion - long term debt 83,907 163,473 265,767 356,907 356,907 431,760 501,713 561.353 616.373 616,373 705,553
Accounts payable 14,500 32,500 185,700 309,500 309,500 435,800 580,200 724,700 872,900 872,900 1,432,900
Accrued expenses 24,760 89,608 99,608 109,464 109,464 135,885 145,234 162,938 173,533 173,533 242,547
Income taxes payable - - 42,950 842,605 1,310,144 1,310,144 3,407,186
123,166 285,582 551,075 775 870 775 870 1,003 445 1 270 098 2,291,597 2,972,950 2,972,9501 5,788,186
LONG TERM DEBT 335,627 653,893 1,063,067 1,427,627 1,427,627 1,727,040 2,006,853 2,245,413 2,465,493 2,465,493 I 2,822,213
SHAREHOLDERS EQUITY
Common stock 19,500 19,500 19,500 19,500 19,500 19,500 19,500 19,500 19,500 19,500 19,500
Additional paid in capital 4,734,900 4,734,900 4,734,900 4,734,900 4,734,900 4,734,900 4,734,900 4,734,900 4,734,900 4,734,900 4,734,900
Retained earnings (485,811) (1,168,326) (1,544,552) (1,494,494) µ,494,494 (1,114,143) 73,132 1,507.838 3,738.623 3 738 623 21,476,196
4,268,589 3,586,074 3,209,848 3,259,906 3,259,906 3,640,257 4,827,532 6.262,238 8,493,023 8,493,023 26,230,596
54.727.382 5 4.525.549 5 4,823,989 S 5,463,403 5 5,463,403 5 6.370.742 5 8.104.483 5 10,799.249 5 13.931.467 5 13,931,467 $ 34,840,996
intananfinarcial Plan US 01.2011 (*gbh.%
CONFIDENTIAL Quante.* lance Vet
EFTA00619612
IntelMelt Bloscleixes Inc.
North America Division
Three Year Launch Dian Forecast
Quarterly Cash Flow Forecast
Start Date: 1-Jan-11
Quarter ended Year ended Quarter ended Year ended Year ended
31-Mar-11 30-hin-11 30-Seo-11 31-Dec-11 31-Dec-11 31-Mar-12 30-lun-12 30-Seo-12 31-Dec-12 II 31-Dec-12 31-Dec-13
Cash flows from operating activities:
Net income (loss) (485,811) $ (682,516) $ (376,226) $ 50,058 $ (1,490,494) $ 380,351 $ 1,187,275 $ 1,434,707 $ 2,230,785 5 233 118 $ 17,737,573
Adjustments to reconcile net (loss) to cash provided
(used) by operations:
Depreciation and amortization 32,600 64,000 107,050 146,650 350,300 181,850 220,600 254,400 287,400 944,250 1,414,200
Amortization of financing costs
Change in assets and liabilities: - -
Decrease (Increase) in accounts receivable (19,115) (22,008) (128,095) (113,395) (282,613) (117,782) (174,515) (179,723) (197,769 (669,788 (822,626)
Decrease (Increase) in inventory (19,200) (28,800) (87,200) (92,800) (228,000) (146,400) (136,000) (137,600) (138,400 (558,400 (445,600)
Decrease (increase) in other prepaid expenses (18,218) (13,472) (14,745) 5,070 (41,364) (42,907) (9,349) (9,178) (3,095 (64,529 (46,622)
(Decrease) increase in accounts payable 14,500 18,000 153,200 123,800 309,500 126,300 144,400 144,500 148,200 563,400 560,000
(Decrease) increase in accrued expenses 24,760 64,849 10,000 9,856 109,464 26,422 9,349 17,704 10,595 64,069 69,014
(Decrease) increase in income taxes payable - - - - 42,950 799,655 467,538 1,310,144 2,097,042
Net cash provded (used) by operating activities (470,484) (599,947) (336,016) 129,238 (1,277,208) 407,833 1,284,711 2 324 465 2,805,255 6,822,264 20,562,981
Cash flows from investing activities:
Initial acquisition of assets
Increase in property, plant and equipment (652,000) (628,000) (861,000) (792,000) (2,933,000) (704,000) (775,000) (676,000) (660,000 (2,815,000 (1,984,000)
Net cash provded (used) by investing activities (652,000) (628,000) (861,000) (792,000) (2,933,000) (704,000) (775,000) (676,000) 660 000 (2,815,000 (1,984,000)
Cash flows from financing activities:
Issuance of common stock 4,754,400 - 4,754,400
Increase (decrease) in equipment loans-net 419,533 397 233 511 467 455,700 1 784 533 374,267 349,767 29&200 275,100 1 297 333 445,900
Net cash provded (used) by financing activities 5,173,933 397,833 511,467 455,700 6,538,933 374,267 349,767 298,200 275,100 1,297,333 445,900
Net increase (decrease) in cash 4,051,450 (830,113) (685,550) (207,062) 2,328,725 78,100 859,477 1,946,665 2,420,355 5,304,597 19,024,881
Cash, beginning of period 0 4,051 50 3 221 336 2 535 787 0 2 328 725 2 406 825 3 266 302 5 212 967 2328,725 7 633 322
Cash, end of period li -
rth 450 $ 3,221,336 $ 2,535,787 $ 2,328,725 5 2,328,725 $ 2,006,825 $ 3„266 302 $ 5,212,967! $ 7,633,3221 $ 7 633 322 $ 26 658 203
intelliCen financial Pion US D1-2011rrel.tx
CONFIDENTIAL Quarterly Cash flow
EFTA00619613
IntelilCell Blosciences Inc.
North America Division
Monthly Income Statement Forecast
Start Date: 1-]an-11
TotalYE
31-)an-11 28-Feb-11 31-Mar-11 30-Ant-11 31-May-11 30-Jun-11 31-Jul-11 31-Aue11 30.5ep-11 31-Oct-11 30.Nov.11 31-Dec-11 31-Dec-11
Month 1 Month 2 Month 3 Month 4 Month S Month 6 Month 7 Month 8 Month 9 Month 10 Month 11 Month 12 Month 12
Revenues
Licensing Revenues -Installations $ 20,000 $ 20,000 $ 20,000 $ 20000 $ 20,000 $ 20000 $ 40,000 $ 40,000 $ 20,000 5 40,000 $ 40,000 $ 20.000 $ 320,000
Equipment Sales -Distributors $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $
Treatments -Owned Centers $ - $ - $ - $ - $ - $ - $ 128,000 $ 256,000 $ 384,060 $ 512,000 $ 640,000 $ 640,000 2,560.000
Processing - Licensed Centers $ 20,000 $ 00,000 $ 60,000 $ 90,000 $ 120,000 $ 150000 $ 207,500 $ 265,000 $ 302,500 $ 382,500 $ 462,500 $ 512,500 2,612,500
Processing Kits-Distributors $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ -
Banking $ 480 $ 1,120 $ 1,920 $ 3,120 $ 4,560 $ 6,240 $ 9,780 $ 14,100 $ 18,720 $ 24,980 $ 32,200 $ 38,700 155,920
40,480 61,120 81,920 113,120 144,560 176,240 385,280 575,100 725,220 959,480 1 174 700 1 211 200 5,648.420
Cost of Sales
Cost of goods sold $ 3,440 $ 6,960 $ 10,560 $ 15,960 $ 21,080 $ 27,120 $ 44,490 $ 62,250 $ 76,960 $ 99,290 $ 122,100 $ 133,350 623,960
Licensed Facility Fees $ 6,000 $ 12,000 18.000 $ 27.000 $ 36,000 $ 05,000 $ 62.250 $ 79,500 $ 90,750 114,750 $ 138,750 $ 153,750 783,750
Sales Commission $ 7,00D $ 9,000 $ 11,000 $ 14,000 $ 17,000 $ 20,000 $ 30,750 $ 36,500 $ 35,250 48,250 $ 56,250 $ 56,250 341,250
Owned Center Operating Costs - $ - $ - $ - $ - $ 81,800 $ 163,600 S 245,400 327,200 S 009,000 S 409,000 1,636,000
16 040 27,960 39,560 56,960 74,480 92,120 219,290 341,850 448.360 589.490 726.100 752,350 3 384 960
Gross Margin 24,040 33,160 42,360 56,160 70,080 84,120 165,990 233,250 276,860 369,990 448,600 058,850 2,263.460
Sales, General & Administrative Costs
Marketing 36,726 36,932 52,140 59,431 59,746 75,062 62„203 64,101 80,552 67,945 85,097 70,412 750,347
Sales and operations 9,913 9,913 9.913 9,913 9,913 9,913 21,992 21,992 21,892 37,804 37,804 37,704 238,663
Research and development 20,750 20,750 20,750 85,125 85,125 85,125 86,125 86,125 85,125 86,125 86,125 85,125 832,375
General and administrative 119,683 119,683 119,683 130,588 131,150 131,150 163,029 160,092 172,042 201,188 197.875 197,825 1 847 988
187,071 187,278 202,486 289,036 285,933 301,250 333,349 332,309 359,611 393,061 406,901 391,066 3 669 372
Net Income (loss) from operations (163,031) (154,118) (160,126) (232,896) (215,853) (217.130) (167,359) (99,059) (82,751) (23,071) 41,699 67,784 (1,405.912
Other kxometlexpense) (2,893) (2,805) (2,797) (5,642) (5,546) (5,449) (9,179) (9,019) (8,859) (12,339) (12,118) (11,897 (88,583
Income (loss) before Income taxes (165,925) (156,963) (162,923) (238,538) (221,399) (222.579) (176,538) (108,078) (91,609) (35,010) 29,581 55,887 (1,494.494
Provision for Income taxes
Income (loss) before non controlling Mines (165,925) (156,963) (162,923) (238,538) (221,399) (222,579) (176,538) (108,078) (91,609) (35,410) 29,581 55.887 (1,494,494
Non controlling interest
Net income (loss) $ (165,925) $ (156.963) S (162.923) S (238.538) $ (221,399) $ (222.579) $ (176.538) 5 (108.078) S (91.609) S (35.410) 5 29.581 5 55.887 11,494,494
CONFIDENTIAL Inteilicelinnancialinan05017011reV1.Xla
MonthlyineomeStotement
EFTA00619614
Intel'Kell Etiosciences Inc.
North America Division
Monthly Income Statement Forecast
Start Date: 1-Jan-11
Total YF
31-Jan-11 28-Feb-11 31-Mat-11 30-Apr-11 31-May-11 30-Jun-11 31-Jul-11 31-Aut-11 30-Sep-11 31-Oct-11 30-Nov-11 31-Dec-11 31-Dec-11
OPERATING METRICS
Cumulative Licensed Markets 1 2 3 4 5 6 9 12 14 17 20 21 21
Cumulative Owned Markets 1 1 1 1 1 1 3 3 2 3 3 1
Operating Metrics
CONFIDENTIAL intaliCeliFinancial Ran US 012011revl.xla
Monthly income Systeme..
EFTA00619615
IntelliCell Bloscientes Int.
North America Division
Monthly Income Statement Forecast
Start Date:
Total N't
31-Jan-12 29-Feb-12 31-Mar-12 30-Apr-12 31-May-12 30-Jun-12 31-Jul-12 31-Aua-12 30-Sep-12 31-00-12 30-Nov-12 31-Dec-12 31-Dec-12
Month 13 Month 14 Month 15 Month 16 Month 17 Month 18 Month 19 Month 20 Month 21 Month 22 Month 23 Month 24 Month 24
Revenues
Licensing Revenues -Installations $ 20,000 $ 20,000 $ 20,000 $ 20,000 $ 20,000 S 20,000 S 20,000 $ 20,000 $ - $ 20,000 $ 20,000 $ - $ 200,000
Equipment Saes -Distributors $ - $ $ - $ - $ - S - S - $ - $ - $ - $ - $ - $
Treatments - Owned Centers $ 768,000 $ 896000 $ 896000 $ 1,088000 $ 1,280.000 S 1,344,000 $ 1,568,000 $ 1,792,000 $ 1,820,003 $ 2,080,000 $ 2,336,000 $ 2,368,000 18.240400
Processing - Licensed Centers $ 592,500 $ 672,500 $ 735,000 $ 830,000 $ 925,000 S 1,000,000 $ 1,105,000 $ 1,210,000 $ 1,270,000 $ 1,375,000 $ 1,480,000 $ 1,530,003 12.725400
Processing kits-Distributors $ - $ - $ - $ - $ - S - $ - 5 - $ - 5 - $ - 5 - $
Banking $ 47,120 $ 56340 $ 64,980 $ 76,100 $ 88,220 S 99,900 S 113,480 $ 127,680 $ 140,140 $ 154,960 $ 170,300 $ 183,720 1.322,940
1,427,620 1,644,840 1.715,980 2 014 100 2 313 220 2,463,900 2,806,480 3.149,680 3,234,140 3,629,960 0 036 300 4,081,720 32.487.940
Cost of Sales
Cost of goods sold $ 156,760 $ 180,570 $ 194,890 $ 225.250 $ 256,110 $ 277,150 $ 311,940 $ 347,040 $ 364,470 $ 401,480 $ 438,750 $ 455,060 3.609,070
Licensed Facility Fees $ 177,750 $ 201,750 $ 220.500 $ 249,000 $ 277.500 S 300,000 $ 331,500 $ 363,000 $ 381,000 $ 412,500 $ 444,000 $ 459,000 5 3,817,500
Sales Commission $ 64,250 $ 72„250 $ 78,500 $ 88,000 $ 97,500 $ 105,000 $ 115,500 $ 126,000 $ 127,000 $ 142,500 $ 153,000 $ 153,000 1,322,503
Owned Center Operating Costs $ 490,800 $ 572,600 $ 572,600 $ 660,800 $ 749,000 $ 755,400 $ 846,800 $ 938„200 $ 941,400 $ 1,036,000 $ 1,130,600 $ 1,133,800 9.828000
889,560 1,027,170 1,066,490 1,223050 1 380 110 1,437,550 1 605 740 1,774„240 1,813,870 1,992,480 2 166 350 2,200,860 18.577,470
Gross Margin 538,060 617,670 649,490 791,050 933,110 1,026,350 1,200,740 1,375,440 1,420,270 1,637,480 1,839,950 1,880,860 13.910470
Sales, General & Administrative Costs
Marketing 76,712 82,143 98,921 98,852 117,619
42284 111,184 119,764 136,775 131,771 156,179 142,965 1,364,261
Sales and operation 41,284 41,28A 41584 4
91,2
.384
74 41,28al 69,146 69,146 69,046 69,146 69,146 69,046 662.380
Research and development 110,125 110,125 110,125 110,125 110,125 110,125 110,125 110,125 109,125 110,125 110,125 109,125 1,319,500
General and administrative 223,329 222,767 222,767 235,683 235,683 235,683 254,975 251,350 251,100 262,350 262,350 262,100 2 920 136
451,451 456,319 473,097 478,467 485,945 504,712 545,429 550,380 566046 573,391 597,800 583,235 6.266,277
Net income (loss) from operations 86,609 161551 176,393 312,583 447,165 521,638 655,311 825,056 854,224 1,064,089 1,242,150 1,297,625 7.644,193
Other income/(expense) (14,943) (14,667) (14,392) (17583) (17,054) (16,724) (19,474) (19,093) (18,712) (21,411) (20,978) (20,546 (215,376)
Income (loss) before Income taxes 71,667 146684 162,001 295,200 430,111 504510 635,837 805,963 835,512 1,042,678 1,221,172 1,277,079 7,428417
Provisi0n for Income taxes 42,950 235,260 298506 309,140 385,791 451,834 472,519 2.195,700
Income (loss) before non controlling intern 71,667 146684 162,001 295,200 430,111 461,964 400,577 507,757 526,373 656,887 769,338 804560 5.233,118
Non controlling interest
Net income (loss) 5 71.667 5 146.684 5 162.001 5 295.200 5 430.111 5 461.964 5 400,577 5 507.757 5 526,373 5 656.887 5 769,338 5 804.560 5 5.233.118
CONFIDENTIAL inuNcenFinancial Ran US 012011revl.xla
Monthly income %stow.
EFTA00619616
InternCell Bloscientes Int.
North America Division
Monthly Income Statement Forecast
Start Date:
Total YE
31-Jan-12 29-Feb-12 31-Mar-12 30-Aor-12 31-May-12 30-Jun-12 31-Jul-12 31-Aug-12 3O-Sep-12 31-Oct-12 30-Nov-12 31-Dec-12 31-Dec-12
OPERATING METRICS
Cumulative Licensed Markets 23 25 26 28 30 31 33 35 35 37 39 39 39
Cumulative Owned Markets 2 2 1 2 2 1 2 2 2 2
Operating Metrics
CONFIDENT LAI. intaliCeliFinancial RanUs 01.2011revl.xla
Monthly income Systeme..
EFTA00619617
IntNIICNI Blosciences Inc.
North America Dh4sion
Monthly Income Statement Forecast
Start Date:
Total U
31-Jan-13 28-Feb-13 31-Mar-13 30-Aor-13 31-May-13 30-tun-13 31-lui-13 31-Aut-13 30-54n-13 31-Oct-13 30-Nov-13 31-Dec-13 31-Dec-13
Month 25 Month 26 Month 27 Month 28 Month 29 Month 30 Month 31 Month 32 Month 33 Month 34 Month IS Month 36 Month 36
Revenues
Licensing Revenues -Installations $ 20,000 $ 20,000 $ - $ 20,000 $ 20,000 $ - $ 20,000 $ 20,000 $ - $ 20,000 $ 20,000 $ $ 160,000
Equipment Sales -Distributors $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ $
Treatments - Owned Centers $ 2,656,000 $ 2,944,000 $ 2,976,000 $ 3,296,000 $ 3,616,000 $ 3,648,000 $ 3,968,000 $ 4,288,000 $ 4,288,000 $ 4,608,000 $ 4,928,000 $ 4,928,003 $ 46,100,000
Processing - Lkensed Centers $ 1,627,500 $ 1,725,000 $ 1,767,500 $ 1,852,500 $ 1,937,500 $ 1,967,500 $ 2,047,500 $ 2,127,500 $ 2,145,000 $ 2,225,000 $ 2,305,000 $ 2.310,003 $ 24,037,500
Processing Kits-Distributors $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ -
Banking $ 199,720 $ 216,260 $ 230,560 $ 247,220 $ 264,120 $ 278,260 $ 294,680 $ 311,140 $ 324,580 $ 340,580 $ 356,540 $ 369,260 $ 3,432,920
4,503,220 4,905,260 4 974 060 5 415 720 5,837,620 5,893,760 6,330,180 6 746 640 6 757 580 7,193.580 7.609,540 7 607 260 73 774 420
Cost of Sales
Cost of goods sold $ 493,060 $ 531,330 $ 546,880 584,810 $ 622,860 $ 636,330 $ 673,340 $ 710,370 719,890 $ 756,690 $ 793,470 $ 800,630 $ 7,869,660
Licensed Facility Fees 488,250 $ 517,500 $ 530,250 555,750 $ 581,250 $ 590,250 $ 614,250 $ 638,250 643,5® $ 667,500 $ 691,500 $ 693,000 $ 7,211,250
Sales Commission $ 167,750 $ 177,500 $ 176,750 $ 190,250 $ 198,750 $ 196,750 $ 209,750 $ 217,750 214,5® $ 227,500 235,500 $ 231,000 $ 2,443,750
Owned Center Operating Costs $ 1,231,600 $ 1,329,400 $ 1,332,600 1,433,600 $ 1,534,600 1,537,800 $ 1,638,800 $ 1,739,800 1,739,8® $ 1,840,800 1,941,800 $ 1,941,800 $ 19,242,400
2,380,660 2,355,730 2 586 480 2,764,410 2 937 460 2,961,130 3,136,140 3,306,170 3 317 6S0 3,492.490 3,662,270 3 666 430 36 767 060
Gross Margin 2,122,560 2.349,530 2,387,580 2,651,310 2,900,160 2,932,630 3,194,040 3,440,470 3,439,850 3,701,090 3,947,270 3,940,830 37,007,360
Sales, General & Administrative Costs
Marketing 158,707 168,758 185,378 181,520 192,067 208,371 204,381 214,793 229,966 225,966 251,365 236,208 2,457,483
Sales and operations 72,646 72,646 72,546 79,851 79,851 79,751 96,183 96,183 96,083 96,183 96,183 96,0834 1,034,190
Research and development 135,125 135,125 134,125 135,125 135,125 134,125 135,125 135,125 134,125 135,125 135,125 134,125 1,617,500
General and administrative 275,350 275,350 275,100 288,454 287,517 287,267 291,842 289,717 289,467 300,717 300,717 300,467 3,461,961
641,828 651,879 667,149 684,950 694,560 709,513 727,531 735,818 749,641 757,991 783,390 766,883 8,571,134
Net Income (loss) from operations 1,480,732 1,697,651 1,720,431 1,966,360 2,205,600 2,223,117 2,466,509 2,704,652 2,690,249 2,943,099 3,163,880 3,173,947 28,436,226
Other income/(expense) (23,193) (22,710) (22,226) (24,822) (24,287) (23,752) (23,217) (22,682) (22,146) (24,691) (24,105) (23,518) (281,349]
Income (loss) before income taxes 1,457,539 1,674,942 1,698,205 1,941,518 2,181,313 2,199,365 2,443,292 2,681,971 2,668,102 2,918,407 3,139,775 3,150,428 28,154,877
Provision for Income taxes 539,289 --- 619,728 628,336 718,369 807,086 813,765 904,018 992,329 987,198 1,079,811 1,161,717 1,165,658 10,417,305
Income (loss) before non controlling Interes 918,249 1,055,213 1,069,869 1,223,169 1,374,227 1,385,6® 1,339,274 1,689,641 1,680,904 1,838,597 1,978,058 1,984,770 17,737,573
Non controlling Interest
Net Income (loss) $ 918.249 5 1,055213 $ 1069.869 $ 1.223,169 5 1,374.227 5 1.385.600 5 153%274 $ 1,689.641 5 1.680,904 5 1,838.597 5 1.978.058 5 1%84,770 $ 17.737,573
CONFIDE NT LAI. intalicenFinancial RanUS01.2011revl.xla
Monthly income %stmt..
EFTA00619618
IntelliCeil Blostiences Inc.
North America Division
Monthly Income Statement Forecast
Start Date:
Total
31-Jan-13 28-Feb-13 31-Mar-13 30-Aor-13 31-May-13 30-Jun-13 31-Jul-13 31-Aug-13 30-Sep-13 31-OO-13 30-Nov-13 31-Dec-13 31-Dee-13
OPERATING METRICS
Cumulative Licensed Midgets 41 43 43 45 47 47 49 51 51 53 55 55 55
Cumulative Owned Markets 2 2 2 2 2 2 2 2
Operating Metrics
CONFIDENT LAI. raciliceliFinancial Ran US 01.2011revl.xla
Monthly income Statement
EFTA00619619
(nee(Well Blaufences Inc.
North America DMsion
Monthly Balance Sheet Forecast
Start Date: 1-Jan-11
1-tan-11 31-lan-11 28-Feb-11 31.nAanll 30.Apn11 31.May-11 30./un.11 31-hd-11 31-out-11 30-See-11 31-064-1.1 30-Nov-11 31-Dec-11
ASSETS
CURRENT ASSETS
Cash $ 0 $ 4,386,038 5 4,225,493 $ 4,051,450 $ 3,690,727 $ 3,463,541 $ 3,221,336 $ 2,770,736 $ 2,649,749 5 2,535,787 $ 2,262,723 $ 2,267,180 $ 2,328,725
Accounts receivable - 9,445 14,261 19,115 26,395 33,731 41,123 89,899 134,190 169,218 223,879 274,097 282,613
Other redevables - - - - - - - - - -
Inventory 4 6,400 12,800 19,200 28,800 38,400 48,000 79,200 110,400 135,200 173,600 212,00) 228003
Prepaid expenses (0) 10,511 10,614 18,218 15,874 16,031 31,690 25,260 26,209 46,434 40,131 48,707 41,364
Total current assets 4.412,394 4,263.168 4,107.982 3,761,796 3,551,702 3,342,149 2,965.096 2,920,548 2,886,639 2,700,332 2,801,983 2,880,703
PROPERTY AND EQUIPMENT
Furniture and fixtures 20000 20,00) 20,000 25,00) 25,000 25,000 35,00) 35,000 35,030 42,500 42,500 42,501
Equipment and computers 12,000 12,00) 12,000 15,00) 15,000 15,000 46,00) 46,000 46,030 50,500 50,500 50.301
Center furnishings and equipment 620000 620,00D 620,00D 1,240,000 1,240,000 1,240,000 2,060.000 2.060,000 2,060,000 2,840,000 2,840.000 2,840,000
652000 652,00) 652,000 1,280,000 1,280,000 1,280,000 2,141,00) 2,141,000 2,141,000 2,933,000 2,933,000 2,933,000
Accumulated depreciation (10,867) (21.733) (32,600) (53.933) (75,267) (96,600) (132.283) (167,967) (203,650) (252,533) (301.417) (350.300)
Property and equipment -net 641,133 630,267 619,400 1,226,067 1,204,733 1,183400 2,008,717 1,973 33 1,937,350 2,680,467 2,631,583 2,582,700
OTHER ASSETS
Other assets
- $ 5,053,528 5 4,893,434 5 4,727,382 5 0,987,863 $ 4,756,436 $ 4,525,549 $ 0,973,813 5 4,893 581 5 4,823,989 $ 5,180,799 $ 5,433,566 5 5,463,403
LIABILITIES AND SHAREHOLDERS EQUITY
CURRENT UABILITIES
Current portion- long term debt 86,81:0 85,353 83,907 169,260 166,367 163,473 275,380 270,573 265,767 370,160 363,533 356,907
Note payable - - - -
Accounts payable 6,51:0 10,500 14,500 20,500 26,500 32,500 87.400 139,800 185,703 245,100 302,00) 309.500
Accrued expenses 24,552 24,656 24,760 91,011 89,450 89,608 99,977 99,457 99,608 110,461 109,881 109,464
Defrerred revenue
Income taxes payable
117,852 120,509 123,166 260,771 282,317 285,582 462,757 509,831 551,075 725,721 775,414 775,870
LONG TERM DEBT 347,200 341,013 335,627 677,040 665,467 653,893 1,101,520 1,082,293 1,063,067 1,480,640 1,454,133 1,427,627
NON CONTROLLING INTEREST
SHAREHOLDER'S EQUITY
Common stock 19,500 19,500 19,50D 19,500 19,500 19,500 19,500 19,500 19,500 19,500 19,500 19.500
Additional paid in capital 4,734,900 4,734,900 4,734,900 4,734,90) 4,734,900 4,734,900 4,734,90) 4,734,960 4,734,900 4,734,900 4,734,900 4,734,900
Retained earnings (165,925) 22,888 (485.811) (724,349) (945,747) ,168,32 (1,344.864) (1,452,943) (1,544,552) (1,579.962) .S50,381 (1,494,494)
4,586,475 4,431,512 4,268,589 4,030,051 3,808,653 3,586,074 3,409,536 3,301,457 3,209,848 3,174,438 3,204,019 3,259.906
5 $ 5,053,528 5 4,893,434 $ 4,727,382 $ 4,987,863 $ 4,756,436 $ 4,525,549 $ 4,973,813 $ 4,893,581 5 4,823,989 $ 5,320,799 $ 5.433,566 $ 5,463,403
trpeliCellianuncial Plan US 011011(Mahn
CONFIDENTIAL MOMMY Oalin<t Sheet
EFTA00619620
IntelliCell Biosciences Inc.
North America Division
Monthly Balance Sheet Forecast
Start Date:
31-1an-12 29-Feb-12 31-Mar-12 30-Apr-12 31-May-12 30-Jun
-12 31-Jul-12 31-Aut-12 30-Sen-12 31-Oct-12 30-Nov-12 31-Dec-12
ASSETS
CURRENT ASSETS
Cash $ 2,134,772 $ 2,286,707 $ 2,406,825 $ 2,400,697 $ 2,817,780 $ 3,266,302 $ 3,672,251 S 4,468,254 $ 5,212,967 $ 5,787,936 $ 6,695,623 $ 7,633,322
Accounts receivable 333,111 383,796 403,395 469,957 539,751 574,910 654,845 734,925 754,633 846,991 934,803 952,401
Other reclevables - - - - - - - - - -
Inventory a 304,800 324,800 374,400 424,000 454,400 510,400 566,400 588,800 648,000 707,200 726,400 786,400
Prepald expenses 73,167 75,882 84,272 80,498 84,237 93,621 90,403 94,693 102,799 100,696 112,901 105,893
Total current assets 2,845,851 3,071,185 3,265,892 3,375,152 3,896,169 4,445.233 4.983,899 5,886,672 6718,399 7,442,823 8,469 726 9,478,017
PROPERTY AND EQUIPMENT
Furniture and fixtures 45,000 45,000 45)X0 45,030 45,000 45,000 55,01:0 55,000 55,000 55,000 55,003 55,000
Equipment and computers 52,000 52,000 52,000 127,000 127,000 127,000 133,01:0 133,030 133,000 133,000 133,000 133,000
Center furnishings and equipment 1540.000 3.540,000 3,540= 4,240,030 4,240,000 4,240.000 4.930,030 4,50),C00 4,900,000 5,560.00) 5,500,030 5,560.000
3,637,000 3,637,000 3,637,030 4,412,000 4,412,000 4,412,000 5,088,030 5,088,030 5,088,000 5,748,000 5,748,030 5,748,000
Accumulated depredation 1410,917) 1471,533) (532,150) (605,683) (679,217) 1752,7501 (837,550) (922.350) 1,007 150 (1,102.950) (1.198,750) (1.294.550)
Property and equipment -net 3,226,083 3,165,467 3,104,850 3,806.317 3,732,783 3,659,250 4,250 450 4,165,650 4,080,850 4,645.050 4.549,250 4,453.450
OTHER ASSETS
Other assets
$ 6,071,934 S 6,236,652 $ 6,370,742 $ 7,181,468 $ 7628,952 S 8,104,483 S 9,234,349 $ 10,052,322! $ 10,799,249 $ 12,087,873 S 13,018,976 $ 13,931,467
LIABIUTIES AND SHAREHOLDER'S EQUITY
CURRENT LIABIUTIES
Current portion- long term debt 448280 440,020 431,760 521.300 511,607 501,713 584,220 572,787 561,353 642,320 629,347 616,373
Note payable - - - -
Accounts payable 366,400 423,300 435,8C0 498,900 562,000 580,200 646,903 713,600 724,700 795,500 863,803 872,900
Accrued expenses 132,562 134,996 135,885 139,612 143,351 145,234 160,030 162,508 162,938 168,511 173,215 173,533
Defrerred revenue
Income taxes payable 42,950 278 210 576416 842,605 993,137 1,146,764 1,310,144
947,242 998,316 1,003,445 1,160,012 1,216,958 1,270,098 1,669,360 2,025,310 2.291,597 2,599,468 2,813,126 2,972,950
LONG TERM DEBT 1,793,120 1,760,080 1,727,040 2,086,030 2,046,427 2,006,853 2,336,880 2,291,147 2.245,413 2,569,280 2,517,387 2,465,493
NON CONTROWNG INTEREST
SHAREHOLDER'S EQUITY
Common stock 19,500 19,500 19,500 19.300 19,500 19,500 19,503 19,500 19,500 19,500 19,51:0 19,500
Additional paid in capital 4,734,900 4,734,900 4,734,930 4,734.900 4,734,900 4,734,900 4,734,903 4,734,900 4,734,900 4,734,900 4,734,900 4,734,900
Retained earnings ,422,82 (1,276.144) (1,114,143) (818.944) (388,832) 73,132 473,709 981,465 1.307,838 2,164,725 2,934,064 3,738,623
3,331,572 3,478,256 3,640,257 3,935,456 4,365,568 4,827,532 5,228,109 5,735,865 6.262,238 6,919,125 ..-f7 686 464 8,493,023
$ 6,071,934 $ 6,236,652 $ 6,370,742 $ 7,181,468 $ 7,628,952 $ 8,104,483 $ 9,234,349 $ 10,052,322 $ 10,799,249 $ 12,087,873 $ 13,018,976 $ 13,931,467
IntelliColl Financial Plan US01.2011 revIalsa
CONFIDENTIAL Monti* Canoe Sheet
EFTA00619621
IntelliCell Biosciences Inc.
North America Division
Monthly Balance Sheet Forecast
Start Date:
31-1an-13 28-Feb-13 31-Mar-13 30-Apr-13 31-May-13 30-1un-13 31-1o1.13 31-Aue-13 30-Sep-13 31-Oct-13 3O-Nov-13 31-Dec-13
ASSETS
CURRENT ASSETS
Cash $ 8,025,145 $ 9,219.391 $ 10,876,702 S 12,04%371 $ 13,595,304 $ 1%130,699 $ 16,816,439 $ 18,691,587 S 2%31%696 $ 22,299,027 $ 24,447,716 $ 26,658,203
Accounts receivable 1,050,751 1,104.361 1,160,614 1,263,668 1,362,111 1,375,211 1,077,042 1,574,216 1.37%769 1,678,502 1,775,559 1,775,027
Other reclevables - - - - -
inventory 4 846,40D 863,200 922,4W 981,600 990,400 1,052,00D 1,109,600 1,115,2W 1,172,800 1,230,400 1,232,000 1,232,000
Prepaid expenses 114,165 119,190 127,100 12%571 130,845 138,596 137,002 142,207 14%394 147,794 160,494 152.315
Total current assets 10,036.461 11,346.342 13,086,816 14,411,210 16,082,700 17,696.506 19,540,082 21,523 210 23,41%659 25,355,724 27,615,769 29,817,746
PROPERTY AND EQUIPMENT
Furniture and fixtures 55,00D 55,000 55,000 57,500 57,5W 57,500 57.300 57,5W 57,500 57,5W 57,500 57300
Equipment and computers 133,00D 133,000 133,000 134500 134,530 134,500 134.300 130,5W 134,500 134,5W 134,500 134,500
Center furnishings and equipment 6,220.00D 6,220,000 6,220,030 6,88%000 6,680,030 6,880,000 6,880,000 6,880,030 6,88%000 7,540030 7,540,000 7,540,000
6,408,000 6,408,000 6,408,030 7,072,000 7,072,030 7,072,000 7,072,000 7,072,030 7,072,000 7,732,030 7,732,000 7,732,000
Accumulated depreciation (1,401,350) (1,508,150) (1,614,950) 1 732 817 (1,850,683) (1,968,550) (2,086,017) (2,204,283) 2 322 150 (2,451,017) (2,579.883) (2,708,750)
Property and equipment -net 5,006,650 0,899,850 4,793,050 5,339,183 5,221,317 5,103,450 4,985583 4,86 17 4,749,850 5280,983 5,152,117 5,023_250
OTHER ASSETS
Other assets
S 15,043 11 $ 16,246.392 $ 17,879,866 $ 19 750,394 $ 21,304,017 $ 22,799,956 5 24,525,666 $ 26,390 27 S 28,165,509 30,636,707 $ 32,767,885 S 30,840396
LIABILITIES AND SHAREHOLDER'S EQUITY
CURRENT UABILITIES
Current portion - long term debt 695,800 681,287 666,773 744,660 728,607 712,553 696.300 680,447 664,393 740,740 723,147 705.553
Note payable - - - -
Accounts payable 943,800 1,012,200 1,O19,8W 1,089,800 1,157,3W 1,162,400 1,231,000 1,297,900 1,298,900 1,367,900 1,434,400 1,432,900
Accrued expenses 197,229 202,255 202,490 211,336 216,141 216,217 228,271 232,414 231,926 238,001 243,200 202.347
Defrerred revenue
income taxes payable 1,011,809 1,159,018 1,787,354 1,966,434 2,153 791 2 339 220 2,524,869 2,710112 2,883,545 3,059,338 3,228,725 3,407,186
2,848,636 3,054,759 3,676,417 4,012,229 4,255,838 4,430,391 4,681,040 4,920,873 5,078,764 5,005,979 5,629,472 5,788,186
LONG TERM DEBT 2,783,200 2,725,147 2,667,093 2378,640 2,914,427 2,850,213 2,786,000 2,721,787 2,657,573 2,962,960 2,892,587 2,822,213
NON CONTROLUNG INTEREST
SHAREHOLDER'S EQUITY
Common stock 19,500 19300 19,5W 19,500 19,5W 19,500 19.300 19,5W 19,500 19,5W 19,500 19,500
Additional paid in capital 4,734,900 4,734,900 4,734,900 4,734,900 4,73%900 4,734,900 4,734,900 4,734,900 4,734,900 4,73%900 4,734,900 4,734,900
Retained earnings 4,656,873 5,712,086 6,781,956 8,005,125 9,379,352 10,764,952 12,304,226 13,993 867 15 674,772 17,513,368 19,491,426 21,476,196
9,411,273 10,466,486 11,536,356 12,759,525 14,133,752 15,519,352 17058 626 18,748,267 20,429,172 22,267,768 24,245,826 26,230.596
$ 15,043,111 $ 16,246.392 $ 17,879,866 S 19,750,394 $ 21,304,017 $ 22,799,956 $ 24,525,666 $ 26,390,927 S 28,165,509 $ 30,636,707 $ 32,767,885 $ 30,800,996
IntelliColl Financial Plan US01•2011 revIalsa
CONFIDENTIAL Montdy Bounce Sheet
EFTA00619622
Intel'.Cell Blosciences Inc.
North America Division
Overhead Expense 9091C9411
Stan Date: 1-lan-11
Yawl Yoe/ To°
Rats /SW 199 31-Jan-11 28-Feb-11 31-Mar-11 30-Apr-11 31-May-11 30-3un-11 31-Jul-11 31-Auk-11 30-Sep-11 31-Ott-11 30-Nov-11 31-Crec-11 Total
Month 1 Month 2 Month) Month 0 Month 5 Month 6 Month 7 Month 8 Month 9 Month 10 Month 11 Month 12 Month 12
Research and darefoonirmr
Salaries $ 15,000 5 15,4300 $ 15,000 $ 27,500 $ 27,500 $ 27,500 $ 27,500 $ 27,500 $ 27,500 $ 27,500 $ 27,5[0 $ 27,500 $ 292,500
Taxes and tenerds 2,250 2,250 2,250 4,125 4,125 4,125 4,125 4,125 4,125 4,125 4,125 4,125 43,875
CuleiJe seMcee 50,000 50,M0 50,000 50,000 50,000 50,000 50,000 50,000 50,000 450,000
Travd IL antortainmani ZOO 2,500 2,500 2,5[0 2.500 2,500 2,500 2,500 2,500 2.500 2,500 2,5[0 2,500 30,000
Msedlaneeue 50%. 5.06 50% 1,000 1,000 1,000 1,000 1,030 1,000 2,000 2,000 1,000 2,000 2,000 1,000 16,000
$ 20,750 5 20,750 S$ 750 $ 85,125 5 85,125 $ 85,125 5 86,125 $ 86,125 $ 85,125 $ 86,125 S5 5 85,125 $ 832,375
Matting
Satia, Markebng $ 14,583 5 10,583 $ 14,583 5 25,000 5 25,030 $ 25,000 $ 25,000 $ 25,000 5 25,000 $ 25,000 $ 25,0[0 $ 25,000 $ 268,750
Taxes and beagle 150% ISM& 150% 2,188 2,188 2,188 3,750 3,750 3,750 3,750 3,750 3,750 3,750 3,750 3,750 40,313
Admilmnamdreci 3.011 LS% 405 611 819 1,131 1,046 1,762 3,853 5,751 7.252 9,595 11,747 12,112 56,484
PrOCbCI OaCkartvelaPtics 2100 2100 5000 2,500 2,500 2,5[0 2,500 2,500 2,500 2,500 2,500 2.500 2,500 2,5[0 2,500 30,000
Pub,: ratan:ins Id% 1.5% 1.5% 10,000 10,000 10,0[0 20,000 20~ 20,000 20,000 20,000 20,000 20,000 20,0[0 20,000 210,000
Tier» shows 15,00) 15,000 15,000 15,0[0 60,000
Webste hostng & margerance 210> 1% 2,000 2,000 2,0[0 2,000 2,000 2,000 2,000 2,000 2,000 2,000 2,000 2,000 24,000
Travel 4 eronainnnent 910> 7500 19:00 5,000 5,000 5,00) 5,000 5,030 5,000 5,000 5,000 5,000 5,000 5,0[0 5,000 60,000
Miscellaneous 0.3% 0.5% 03% 50 50 50 50 50 50 100 100 50 100 !CO 50 800
5 36,726 5 36,932 $ 52,140 5 59,031 5 59,746 $ 75,062 5 62,203 $ 64,101 5 80,552 $ 67,945 351:97 5 70,412 $ 750,347
Sales and operations
Satanez.Sales and Demeans $ 3,750 5 3,750 $ 3,750 5 3,750 $ 3,750 $ 3,750 $ 14,167 $ 14,167 5 10,167 $ 27,917 $ 27,917 5 27,917 $ 148,750
Taxes and beneOls 563 563 563 563 563 563 2,125 2,125 2,125 0.188 4,188 0.188 22,313
Solos 6 craning rrotenah IOC° 1000 5000 1,000 1,000 1,0[0 1,000 1,000 1,000 1,000 1,000 1,000 1,000 1,000 1,000 12,000
Trani and eronanment 2500 5000 7500 2,500 2.500 2,5[0 2,500 2,500 2,500 2,500 2,500 2,500 2.500 2,5[0 2,500 30,000
IT oasis 1000 20:0 1000 2,000 2,000 2,000 2,000 2,000 2,000 2,000 200I) 2,000 2,000 2,000 2,000 24,000
Miscellaneous 03% 0.5% 0.5% 100 100 100 100 100 100 200 2013 100 200 200 100 1.603
9913 9.913 9913 9.913 5 9913 9.913 5 21992 5 21.992 211392 37.804 37204 37.704 238663
090~1 IIIC «imit499•999
Sdatias. G 3 A $ 70,000 5 70.000 $ 70,0[0 $ 70.000 $ 70,030 $ 70,000 $ 79,167 $ 79,167 5 79,167 $ 87,500 $ 87,5[0 5 87,500 $ 920,000
Tams and WINO 10,500 10,500 10,5[0 10.500 10,500 10,500 11,875 11,875 11,875 13,125 13,125 13,125 138,000
Decmcialian & amcnitatian 10,867 10,867 10,867 21,333 21,333 21,333 35,683 35,683 35,683 48.883 48,883 48.883 350,300
Ref/aging 150% - - 3.038 - 2,938 - 3,313 - 9,688
Insurance 10% 267 267 267 267 267 267 267 267 267 267 267 267 3.200
Legal 6 «taunting 7000 e000 10000 7,000 7,000 7,0[0 7.000 7,030 7,000 7,000 7,000 7,000 7,000 7,0[0 7,000 84,000
Once expanses 500 600 0,000 4,000 &MO 4.500 4,500 4,500 6,500 6,500 6.500 8,000 8,000 8,000 69,000
Ren1Utlites 8000 W000 20000 8,000 8.000 8,000 8.000 8,030 8,000 8,000 8,000 20,000 20,000 20,0[0 20,000 144,000
Game/medians 500 4,000 4,000 &MO 0.500 4,500 4,500 6,500 6,500 6.500 8,000 8,000 8,000 69,000
Trav« 6. entertainment 5000 10000 t0000 5,003 5,000 5,0[0 5.000 5,000 5,000 5,000 5,000 5,000 5,000 5,0[0 5,000 60,000
bescatineous 0.1% Oft 03% 50 50 50 50 50 50 100 100 50 100 100 50 800
$ 119683 5 119,683 $ 119,683 $ 130.588 $ 131,150 $ 131,150 $ 163029 $ 160,092
, $ 201,188 $ 197,875 5 197,825 Uall13
$ 166321 $ 166,528 $ 181,736 5 203.931 200,908 $ 216,125 $ 247,221 $ 206,180 $ 270,486 $ 306,936 $ 320,776 $ 305,941 $ 2,836,997
InteliCenFinanSi Plsn IA 01-2011 revl
Monthly 0~0M Bude01
CONFIDENTIAL
EFTA00619623
IMelliCell Biosclences Inc.
North America Division
Overhead Expense Forecast
Start Date:
Bert tears Year 3
416 an. an. 31-Jan-12 29-Feb-12 31-Mar-12 30-ADr-1: 31-May-12 30
-Jun-12 31-101-12 31-Aue-12 30-Sep-12 31-Oct-12 30-Nov-12 31-04C-12 Total
Month 13 Month 14 Month 15 Month 16 Month 17 Month 18 Month 19 Month 20 Month 21 Month 22 Month 23 Month 24 Month 24
Research and development
Selena, $ 27.500 $ 27,500 $ 27,500 $ 27,500 $ 27,500 5 27,500 $ 27,500 5 27,500 $ 27,500 5 27,500 $ 27,500 $ 27,50D $ 330,000
Taxes and tenets 0,125 4,125 4,125 4,125 4,125 0,125 4,125 4,125 4,125 4,125 4,125 4,125 49,500
Outside SeniCeS 75,000 75,030 75,000 75,000 75,000 75,000 75,0[0 75000 75,000 75,000 75,000 75,00D 900,00D
Travel& enterlanmenl 2500 2500 1500 2,500 2,500 2,500 2,500 2,500 2.500 2,5[0 2,500 2,500 2,500 2,500 2,50D 30,00D
MISCOMMuS 5.01 se" sso, 1,000 1,030 1,000 1,000 1,000 1,000 1,000 1.000 - 1,000 1,030 - 10,00D
$ 110,125 S 110,125 $ 110,125 S 110125 $ 110,125 5 110,125 $ 110,125 $ 110,125 $ 109,125 $ 110,125 5 110,125 $ 109,125 5 1 319 50D
Markeling
Satanes- Markeing Av 3x $ 25,063 $ 25,063 $ 25,063 $ 25,063 $ 25,063 5 25,063 $ 25,063 5 25,063 $ 25,063 5 25,063 5 25,063 $ 25,063 5 300,750
Ta, eS 814 bere'CS Isms 150% no% 3,759 3,759 3,759 3,759 3,759 3,759 3,759 3,759 3,759 3,759 3,759 3,759 45,113
Adverb:no-Mita 1.0% 10% 1.sx 14,276 16,448 17,160 20,141 23,132 24,639 28,065 31,497 32,341 36,300 40,063 40,817 324,879
producipackefintVraPbees 2500 no scoo 2,500 2,500 2,500 2,500 2,50D 2.500 2,500 2,500 2,503 2,500 2,500 2,50D 30,00D
Pible .Nations 50x tsic 1.sx 21414 24,673 25,740 30,212 34,698 36,959 42,097 47,245 48,512 54,449 60,095 61,226 487,319
Trade Shows 15,000 15,000 15,0120 15,000 60,000
Welaske hosting & maieenance 2000 sx 5x 2,100 2,100 2,100 2,100 2,100 2,100 2,100 2,100 2,100 2,100 2,100 2,10D 25,20D
Travels emerlainmen1 5000 75(0 wox, 7,500 7,500 7,500 7,500 7,500 7.500 7,5[0 7,500 7,500 7,500 7,500 7,50D 90,00D
Micelaneous 03% 05% 05% 100 100 100 100 100 100 100 100 - 100 100 - 1,00D
$ 76,712 5 82,143 $ 98,921 $ 91,374 $ 98,852 117,619 $ 111,184 5 119,764 $ 136,775 5 131,771 5 156,179 5 142,965 5 1,364,261
Sales and operadons
Salanes.Saes and Oporatons 3x 3x 5 27,986 $ 27,986 $ 27,986 $ 27,986 $ 27,986 5 27,986 $ 52,214 5 52,214 $ 52,214 5 52,214 $ 52,214 $ 52,214 $ 481,200
Taxes and bane,* 4,198 4,198 4,198 4,198 4,198 4,198 7,832 7,832 7,832 7,832 7,832 7,832 72,180
Sales & trainee malerials 1(00 11:00 Imo 2,000 2,030 2,00D 2,000 2,00D 2,000 2,000 2,000 2,000 2,000 2,030 2,00D 24,00D
Travel and tolerlainment 2500 SOM 7500 5,000 S,COCI 5,000 S. 5,00D 5,000 5,0[0 5,000 5,000 5,000 5,030 5,000 60,00D
IT costs 1(00 MO 1010 2,000 2,030 2,00D 2,000 2,00D 2,000 2,000 2,000 2,000 2,000 2,030 2,000 24,00D
AllsostaneCoS ova Ova 05% 100 100 100 100 100 100 100 100 100 100 - 1,000
$ 41.284 $ 41,284 $ 41.284 5 41.284 $ 41,284 $ 41.284 5 69,146 69.146 5 69,046 5 69.146 5 69.146 $ 69.046 5 662.380
am** OM Semlnistnitive
Salaries. G & A 3x5 3% 5 91,078 $ 91,478 $ 91,478 $ 91,478 $ 91,478 5 91,478 $ 91,478 $ 91,478 $ 91,478 5 91,078 $ 91,478 $ 91,478 5 1,097,738
TaxeS and beneNS 13,722 13,722 13,722 13,722 13,722 13,722 13,722 13,722 13,722 13,722 13,722 13,722 164,661
Deprecation 8 arrerazaten 60,617 60,617 60,617 73,533 73,533 73.333 84,800 84,800 84,8120 95,800 95,803 95,80D 944,250
ReCrlarq IS ex 563 - - - - 3,625 - - - 4,188
Insurance 1.0% 10% 10% 200 200 20D 200 200 200 200 200 - 200 200 - 2,00D
Legal & aCCCLantro 7000 1000 moo 8,000 8,030 8,00D 8,030 8,000 8,000 8,0[0 8,030 8,000 8,000 8,000 8,00D 96,00D
&Ice *armee: soh 600 WO 10,200 10,200 10,20D 10,200 10,200 10,200 12,600 12,600 12,6[0 12,600 12,600 12,60D 136,80D
Renlulilles MOO 2C0a7 moo 20,000 20,000 20,00D 20,000 20,000 20,000 20,000 20,030 20,000 20,000 20,000 20,00D 240,000
CommuScabons soh 500 soh 8,500 8,500 8,50D 8,500 8,500 8.500 10,5[0 10,500 10,500 10,500 10,500 10,50D 114,00D
Travel& toterlainment 5000 Mc* Imo 10,000 10,000 10,000 10,000 10,000 10,000 10,000 10,030 10,000 10,000 10,000 10,000 120,000
Miceleneeuti 03% 01% 034 50 50 50 50 50 50 50 50 - 50 50 - 500
223,329 222,767 $ 222,767 5 235,683 $ 235,683 $ 235,683 $ 254,975 5 251,350 $ 251,100 $ 262,350 S 262,350 $ 262,100 $ 2,920 136
341,326 346,194 $ 362,972 368,342 $ 375,820 394.587 $ 435,304. 440,259 $ 056,921. 463,266 487,675 $ 474,110 4,946,777
lattarCel Fs-uncial Km U501-2011 reel Sin
1A00011( Oolfhead Budget
CONFIDENTIAL
EFTA00619624
lateMedi Elousences Inc.
North America Division
Overhead Expense F0/fl eet
Start Date:
real YWZ rear)
low as. outs 31-14n-13 28-Feb-13 31-Mar-13 30-44/-13 31-May-1: 30-1un-13 31-1W-13 31-Aug-B 30-Sep-13 31-Oct-13 30-Nov-13 31-Dec-13 Total
Month 25 Month 26 Month 27 Month 29 Month 29 Month 30 Month 31 Month 32 Month 33 Month 34 Month 35 Month36 Month36
Research end development
salines $ 27,500 $ 27,500 $ 27,500 $ 27,50D $ 27,500 $ 27,500 $ 27,500 $ 27,500 $ 27,500 $ 27,500 $ 27,500 S 27,500 $ 330,000
Taxes ard benefits 4,125 4125 4,125 4,125 4,125 4,125 4,125 4,125 4,125 4,125 4,125 4,125 49,500
anode tendon 100,003 100,000 100,000 100,000 100,000 100,00D 100,000 100,0[0 100,0130 100,003 100,000 100,000 1,200,030
Travel a ertonarunon 1500 1500 ne0 2,5[0 2.500 2,500 2,500 2,500 2,50D 2,500 2,500 2,500 2,500 2,500 2,500 30,000
IA se ellaneete 50% 50% 50% 1,000 1,000 1,000 1,030 - 1,000 1,000 - 1,000 1,000 - 8,000
$ 135,125 S 135,125 $ 134,125 $ 135,125 S 135,125 $ 134,125 S 135,125 $ 135,125. 5 134,125 $ 135,125. 5 135,125 S 134,125 $ 1,617,500
Afsketing
Seams- Marketing 1% $ 25,063 S 25,063 $ 25,063 $ 25,063 $ 25,063 $ 25,063 5 25,063 $ 25,063 5 25,063 $ 25,063 5 25,063 $ 25,063 $ 300,750
Taxes and bablits Deve 150% 150% 3,759 3,759 3,759 3,759 3,759 3,759 3,759 3,759 3,759 3,759 3,759 3,759 45,113
Athertaangindree to% to% 1.5% 45,032 49,053 49,741 54,157 58,376 58,938 63.302 67,466 67,576 71,936 76,095 76,073 737,744
Proguel OattagInfigralfloe NM 2300 5000 5,000 5.000 5,(OD 5,000 5,030 5,00D 5,000 5,0[0 5,000 5,000 5,000 5,030 60,000
Public rotations to% 53% 1.5% 67,548 73,579 74,611 81,236 87,564 88,406 94,953 101,200 101,364 107,904 114,143 114,109 1,106,616
Trade Shave 15,000 15,00D 15,000 15,000 60,000
Websrlo hasten & nee toto 5% 2,205 2.205 2,205 2,205 2,205 2,205 2.205 2,205 2,205 2,205 2,205 2,205 26,460
Travel & entertahrren 5000 7300 boos 10,000 10,000 10,030 10,000 10,000 10,000 10,000 10,003 10,000 10,000 10,000 10,000 120,000
heseellaneeue 0)% OS% 05% 103 100 - 100 100 - 100 100 - 100 100 800
$ 158,707 5 168,758 S 185,378 $ 181,520 S 192067 $ 208,371 $ 20&. $ 214,793 $ 229.966 $ 225966 5 251,365 $ 236208 $ 2,457,483
Sales and operations
Salvos. Sales and Operate-is 1% $ 52,214 $ 52.214 $ 52,214 $ 58,479 $ 58,479 $ 58,479 5 72,681 $ 72,681 $ 72,681 $ 72,681 $ 72,681 $ 72,681 $ 768,166
Taxes and Dental* 7,832 7.832 7,832 8,772 8,772 8,772 10,902 10,902 10,902 10,902 10,902 10,932 115,225
Sobs & training meerals sorb Nos tom 3,000 3.000 3000 3,000 3,000 3,00D 3,000 LOCO 3,030 3000 3,000 3,000 36.030
Travel and entenowen 7500 WOO 7500 7,503 7.500 7,500 7,500 7,500 7,50D 7,500 7,5[0 7,500 7,500 7,500 7,500 90,000
fronts 1003 1000 IOW 2,000 2,000 2,030 2,000 2,030 2,000 2,000 2,000 2,030 2,000 2,000 2,030 24,000
heseellanetwe 05% 05% 05% 100 100 100 100 - 100 100 100 100 800
5 72,646 $ 72.646 $ 72,546 $ 79.851 $ 79.851 $ 79.751 $ 96,183 5 96,183 $ 96.083 5 96,183 $ 96.183 96.083 $ 1.034190
Oestrflei and eallattetIve
Saloon- G & A 1% $ 91,478 5 91478 $ 91,478 $ 91,478 $ 91,478 $ 91,478 5 91,478 $ 91,478 5 91,478 $ 91,478 5 91,478 $ 91,478 $ 1,097,738
TaxeS and beneels 13,722 13,722 13,722 13,722 13,722 13,722 13,722 13,722 13,722 13,722 13,722 13,722 164,661
Depreciation & amortization 106,800 106,800 106,800 117,867 117,867 117,867 117,867 117,867 117,867 128,867 128,867 128,867 1,414,200
Recrtilth 150% - - - 936 - 2,125 3,063
Insurance 10% 1.011. 10% 2C0 200 - 200 200 200 200 200 1,600
Legal & .3000tinth 7000 Moo tc000 10,0[0 10,000 10,030 10,000 10,030 10,000 10,000 10,0[0 10,000 10,000 10,000 10,000 120,000
Office expenses 500 ice 600 12,600 12,600 12,600 13,200 13,200 13,20D 14,400 14,400 14,400 14,400 14,400 14,400 163,800
semteines am 7o0% How 20,0[0 20,000 20,030 20,00D 20,030 20,00D 20,000 20,003 20,000 20,000 20,000 20,030 240,000
Communications 500 50) 500 10,500 10,500 10,500 11,00D 11,030 11,00D 12,000 12,000 12,000 12,000 12,000 12,030 136,500
Travel & entenovren 5000 1070o mom 10,0[0 10,000 10,(OD 10,00D 10,030 10,000 10,000 10,0[0 10,000 10,000 10,000 10,030 120,000
Minellanetwe 0)% 03% 03% 50 50 - 50 50 50 50 50 50 400
$ 275,350 S 275,350 S 275,100 $ 288,454 28&.7 $ 287,267 5 291.842 $ 289,717 5 289,467 $ 300,717 5 300,717 $ 300,467 $ 3,461 961
$ 506,703 516,754 $ 533,024 $ 549,825 $ 559,435 $ 575,388 592,406 $ 600,693 615,516 $ 622,866 648,265 $ 632,758 $ 6,953,634
IntearCel Fs-uncial Km US 01-2011 reel SIP
MOIlthho overhead Budget
CONFIDENTIAL
EFTA00619625
IntelliCell Biosciences Inc.
North America Division
Personnel Plan Forecast
Start Date: 1-/an-11
Personnel Plan Start OE OE OE OE OE OE OE OE OE OE OE OE
Excludes Owned Center Staff Salary Mar-11 Jun-11 Sap-11 Dec-11 Mar-12 Jun-12 Sep-12 Dec-12 Mar-13 Jun-13 Sep-13 Dec-13
Tax and Benefit Rate Ise%
Research and development
Research Director $ 150.000 I I 1 1 1 1 1 I 1 1 1
Lab Operations Director $ 180.000 I I I 1 1 1 1 1 I 1 1 1
I 2 2 2 2 2 2 2 2 2 2 2
Marketing
VP Business development $ 175.000 I 1 1 1 1 1 1 1 I 1 1 1
Product Manager $ 125.000 1 I 1 I 1 I 1 I 1 I 1
I 2 2 2 2 2 2 2 2 2 2 2
Sales and operations
VP Sales $ 100.000 I I I I I 2 2 2 3 3 3
Operations Director $ 75.000 I I I I 2 2 2 3 3 3
Customer Service Director $ 50.000 I 1 I I 2 2 2 2 3 3
Training Coordinator $ 120000 1 I I 2 2 2 2 3 3
Customer Service Rep $ 45.000 I I I 2 2 2 3 3 3 3 3 3
Assumes Outsourced Customer Service
I 1 3 5 5 5 9 9 9 10 12 12
General and Administrative
CEO $ 275.030 I I I I I I I I 1 I I 1
President $ 250.000 I I I I I I i I I I I 1
CFO $ 225.030 i I I I I I I I I I I 1
Controller $ 100.000 I 1 I 1 1 1 I 1 1
Accounting manager $ 60.000 1 1 1 I 1 1 I I 1 1
Accounts payable manager $ 50.000 I I 1 I 1 1 I I 1 1
Administrative assistants $ 45.000 2 2 2 2 3 3 3 3 3 3 3 3
5 5 7 8 9 9 9 9 9 9 9 9
COMPANY TOTAL 8 10 10 17 18 18 22 22 22 23 25 25
Departmental Summary S's
Research and development 45.000 82.500 5 82.500 $ 82.500 5 82.500 $ 82.500 5 82.500 $ 82.500 $ 82.500 $ 82.500 $ 82.500 $ 82.500
CONFIDENTIAL IntelfiCell Finanoal Plan US 01-2011reyl.xlsx
(For Internal Use Only) Personnel Plan
EFTA00619626
Marketing 41750 75.000 5 75.000 $ 75.000 $ 75.000 $ 75.000 $ 75.000 $ 75.000 $ 75.000 $ 75.000 $ 75.000 $ 75.000
Sales and operations 11.250 11.250 5 42.500 $ 83.750 $ 83.750 $ 83.750 5 156250 $ 156.250 $ 156250 $ 175.000 5 217.500 $ 217.500
General and Administrative 210,000 210.000 $ 237.500 $ 262.500 $ 271750 $ 273.750 $ 271750 $ 273.750 $ 273.750 $ 273.750 $ 271750 $ 273.750
TOTAL $ 310.000 $ 378.750 5 437.500 $ 503.750 $ 515.000 $ 515.000 5 587.500 $ 587.500 $ 587.500 $ 608.250 5 848.750 $ 848.750
CONFIDENTIAL InlelliCell Financial Plan LIS 01-2011revl.xlsx
(For Internal Use Only) Personnel Plan
EFTA00619627
IntelliCell Biosciences Inc.
North America Division
Three Year Launch Plan Forecast cca'
Start Date: 1.1an-11
Year 1 Year 2 Ye r 3
Assumptions: Month 3 Month 6 Month 9 Month 12 Month IS Month IS Month 21 Month 24 Month 21 Month 30 Month 33 Month 36
QV 31.Mar-it 34.3un-11 10Si-411 31-Dec-11 11-Mar-17 30-tun-l7 10.Seo.17 i1-Dec-17 31-Mar-13 TO-Jun.11 i0-sea-ti 11.Dec-IT
Revenue and cost of cods assurn• Ions , LL
license Fee per Installation $ 20.000 $ 20,000 5 20,000 5 20,000 $ 20,000 $ 20,000 $ 20,000 5 20,000 $ 20,000 $ 20.000 5 20,000 5 20.000 5 20.000
Avg. Treatment Revenue-Owned $ 8,000 $ 8,000 $ 8,000 $ 8,000 $ 8,000 $ 8.000 $ 8.000 $ 8.000 S 8.000 5 8.000 5 8.000 5 8,000 5 8,000
Avg. Processing Revenue- Licensed $ 2,500 $ 2.500 $ 2.500 $ 2.500 $ 2,500 $ 2,500 $ 2,500 $ 2,500 5 2,500 $ 2,500 $ 2,500 5 2,500 5 2,500
Facility Payments - Licensed mkts 30.0% 30% 30% 30% 30% 3036 3036 3036 30% 3D% 30% 30% 30%
Physicians Payment-Owned Centers 10.0% 10% 10% 10% 10% 1036 1036 1036 10% 10% 10% 10% 10%
Lab E I• meet Suite Sale Prim 5 95,000 $ 95000 $ 95 000 $ 95,000 $ 95,000 5 95.000 $ 95.000 5 95.000 5 95.000 5 95.000 5 95.000 5 95,000 5 95,000
Wholesale Price/Case $ 1,000 $ 1.00D 5 1,000 5 LOCO 5 1,000 $ Lam $ 1,000 5 1,000 5 1,000 5 1,000 5 1,000 5 1,000 5 1,000
Dis sable Cost Per Case ea. $ 400 5 400 5 000 5 400 $ 400 5 400 $ 400 5 400 5 400 5 400 5 400 5 400 5 400
Lab Equipment Suite -Cost 5 40.000 $ 40,000 S 40,000 5 40,000 5 40,000 $ 40.000 5 40.000 $ 40.000 5 40.000 5 40.000 5 40.000 5 40,000 5 40,000
QE Total Cases/Month 24 60 169 285 406 568 736 908 1.079 1.243 1,394 1.540
Quarterly Net Revenues $ 183,520 S 433,920 S 1.685.600 S 3.345.380 S 4.788.440 S 6.791.220 S 9.190.30) 511.717.980 514.382.540 S 17.147.100 S 19.834.400 S 22.410.380
Market rollout assumptions Initial Ofix ask tglmk ‘ARk wi,k oc ococ A.,k‘k ARk 1%1%1%1kt:1%1\1%1V\ ‘1%,1%,1i1. kA.A.A.WA)*VA.Vi.WA.>%A.>ttVakACA.CA.CA.C4.CA.CA.Sk.CA.C‘ CA.CA.C&CA.CA. CA.CA.C‘ CA.CA.C4.(4%. CA.CA.C4.CAM
Owned Markets Opened 1.0 2 a: 2 CC 2 30 2.00 2.00 2.00 2.00 2.00 2.00 2.00
Licensed Markets Opened 30 3.01 5.01 5.03 3.00 3.09 2.00 2.00 2.00 2.00 2.00 2.00
Physician Markets Opened
Cumulative -Owned 1.0 1.00 3.03 5.00 7.00 9.00 11.00 13.00 15.00 17.00 19.00 21.00
Cumulative -Licensed 3.0 6.00 11.00 16.00 19.00 22.00 24.00 26.00 28.00 30.00 32.00 34.00
Cumulative -Distributor
Lab Installations/Owned Markel • : • ‘Z4;:ntn:n 10 100 1.00 1.00 1.0 1.00 1.0D 1.00 1.0 1.00 'DO 1.00
Lab Installations/Licensed Market SkteiZ;;;;;;;;;;;; 1.0 100 1.00 1.00 1.0 1.00 1.00 1.00 1.0 1.00 1.00 1.00
Lab Installations/Physician 5 95.000 1.0 1.00 1.00 1.00 1.0 1.00 1.00 1.00 1.0 1.00 1.00 1.00
Cumulative -Owned 1.0 1.00 3.00 5.03 /00 9.00 11.00 13.00 15.00 17.00 19.00 21.00
Cumulative Installations-Licensed 3.0 6.00 11.00 16.00 19.00 22.00 24.00 26.00 28.00 30.00 32.00 34.00
Cumulative Installations-Physicians - - - - - - - - - -
Monthly Patients/ Wholly Owned No Blanks 16.0 16 A3 16.00 20.03 28.00 32.00 36.00 40.00 40.0) 40.0) 40.00 40.00
Monthly Patients/Installation-licensed No Blanks 8.0 12.03 15.00 20.03 25.00 30.00 32.0D 32.00 32.00 32.00 32D0 32.00
Monthly Patients/Physician Installations No Blanks 5.0 10.03 15.03 20.03 25.00 30.00 30.00 30.0D 30.00 30.00 30.00 30.00
Sales R assum lions
Commission per Installation 25% 25% 25% 25% 25% 25% 25% 25% 25% 25% 25% 25% 25/6
Commission - Processings 10% 10% 10% 10% 10% 10% 10% 1036 10% 10% 10% 10% 10%
Commission - Banking 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0%
IntelliCell Financial Plan US 01-2011rev1.0sx
CONFIDENTIAL Operating Assumptions
EFTA00619628
IntelliCell Biosciences Inc.
North America Division
Three Year launch Plan Forecast CELL
Start Date. 1-Jan-11
Year 1 YcJr 2 Year 3
Assumptions Month 3 Month 6 Month 9 Month 12 Month 16 Month It: Month 21 Month 24 Month 27 Month 30 Month 33 Month 36
Off 31 -Mar-11 30-lun-11 30-5i-o-11 11-Prc-Il 31-Mar-12 10-Jun-13 30•Sea•17 31-Der - IT 31•M u-11 TO -Jun 43 30.5mi-is 31-Der -13
Owned center cost assom • Dons tr`tt.t 4ktVt:ttt.•;.•`.tetittlett; ,,.. ,,, , *,.`.-,:`, :`,..t.tt;Stttattn;tttnattttttttttttrtttattttttnttatttnttnt=
Rent $ 240,000 $ 240,003 S 240,000 S 240,000 S 240,000 $ 240,000 $ 240,000 S 240,000 5 240.000 5 240.000 5 240.000 5 240,000 5 240,000
Utilities 5 36,000 5 36,000 $ 36,000 $ 36,000 S 36,000 S 36.000 S 36.00D $ 36.000 5 36.000 5 36.000 5 36.000 5 36,000 5 36,000
Insurances 5 50,000 $ 50,000 $ 50,003 5 50,000 5 50,080 5 50,000 5 50,000 $ 50,000 5 50,000 5 50,000 5 50,000 5 50,000 5 50,000
Leased Equipment 5 130,000 5 80,000 5 80,080 5 80,000 5 80,000 5 80.000 5 80.000 $ 80.000 5 80.000 5 80.000 5 80.000 5 80,000 5 80,000
Misc 5 12,000 $ 12,000 $ 12,000 5 12,000 $ 12,000 $ 12.000 5 12.000 5 12.000 5 12.000 5 12.000 5 12.000 5 12,000 5 12,000
Physician Salary 5 100,000 $ 100000 5 loam 5 100,000 $ 10000D $ 100.000 $ 100.000 S 100.000 5 100.000 $ 100.000 5 100.000 5 100.000 5 100.000
Receptionist 5 40,000 $ 40.033 S 40,000 $ 40,000 $ 40030 S 40.030 S 40.00) S 40.00) $ 40.000 5 40.00) $ 40.00) $ 40.000 5 40.000
2 Lab Technician/Physician 5 120.000 $ 120,000 $ 120,000 r 120,000 5 120,000 5 120,000 $ 120,000 $ 120,000 5 120,000 $ 120,000 5 120,000 5 120,000 5 120,000
2 Nurses/Physician 5 150.000 $ 150033 $ 150000 5 150,003 $ 150033 $ 150.0)) S 150.00) S 150.00) 5 150.00) $ 150.00) 5 150.00) $ 150.000 $ 150.000
Total $ 828,000 $ 828.000 5 828.000 5 828,000 $ 828, $ 828,000 $ 828,000 $ 828,000 $ 828,000 5 828,000 $ 828,000 5 828.000 5 828.000
,,
Bankin. & other sales assum • lion: ''`' .1'3 SS*3. ..3 3..±. 3..i .S.S:: •• 3:'
Owned
Stem Cell Banking 5 250.00 $ 250.00 S 250.00 S 250.00 250 $ 250.00 25000 25000 $ 250.00 5 250.00 5 250.00 5 250.00 $ 250.00
Enrollment Rate 80.0% 80.0% 80.0% 80.0% 80D% 80.0% 80.0% 80.0% 80.0% SOD% 80.0% 80.0% 80.0%
Enrollment Fee 5 50.00 $ 50.00 $ 5000 $ 5000 $ 5000 5 5000 $ 5000 $ 5000 $ 50.00 $ 50.00 $ 50.00 5 50.00 $ 50.00
Annual Attrition Rate 15.E
Licensed
Stem Cell Banking 5 250.00 $ 25000 S 25000 S 25000 S 25000 S 250.00 5 250.00 5 250.00 $ 25000 $ 250.00 $ 250.00 $ 250.00 $ 250.00
Enrollment Rate 80.0% 80.0% 80.0% 80.0% 80.0% 80.0% 80.0% 80.0% 80.0% 80.0% 800% BOA% 80.01
Enrollment Fee $ 50.00 $ 5000 S 5000 S 50.00 S 5000 S MODS MOO S MOO $ MOO $ 50.00 $ 50.00 $ 50.00 $ 50.00
Annual Attrition Rate 15. . ..4.:
-s -
Product costs
Banking cost - % of reven = 50.0% 50.0% 500% 50.0% 50.0% 50.0% 50.0% 50.0% 500% 500% 50D% 50.0',, 50.0',
Mar 4,-S Assum • lions: Year 4 YNr$ ‘ ,,, ,,,,,,,,r ,,,,,,,,,,,,,,,,,, o^,,,,,,,,v,,,,,,,,‘ , ,,,,,,,,,,,,,,,,,,,,,, ',,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,, ,,,,,,,,,,,,, ,.- e..e..e.,‘
Revenue growl& network \'‘: : : : : : :V : : : : : : : \ 3'4'..ii.%Nit : • V : : : :VU::: Nkix:::: \\•ii \ i•i klkil
Revenue growl& oducts
Media efficiency ''''''''"''' , ,, , , ,,
,,,,"', ,,,,, ,,. ,,,,,, ,,,,,,. 1 -'''''' 5,-,
SG&A rowlh ,,,,,,,,,,,,. ,,,,,,,,,,,,. , ,, , , ,, , ' .. \ ‘‘•'-:: 6.
IntelliCell Financial Plan US 01-2011(milsisx
CONFIDENTIAL Operating Assumptions
EFTA00619629
IntelKell Biosdences Inc.
North America Division
Three Year Launch Plan Forecast
Start Date: 1-Jan-11
CURRENT ASSETS
Receivables- network 7.0 days
Receivables-product sales days
Inventory 60.0 days
Prepaid expenses
Marketing 15 days
Insurance 60 days
Rent 30 days
CAPITAL BUDGET 31-Mar-11 30-1un-11 30-Sep-11 31-Dec-11 31-Mar-12 30-Jun-12 30-Sep-12 31-Dec-12 31-Mar-13
Furniture & fixtures-employees $ 2,500 $ 20,000 $ 5,000 $ 10,000 $ 7,500 $ 2,500 $ $ 10,000 $ $
Computers-employees $ 1,500 $ 12,000 $ 3,000 $ 6,000 $ 4,500 $ 1,500 $ $ 6,000 $ $
Telephony $ 50,000
Computer Network $ 25,000 $ 25,000
Center Furnishings (5100K Each) $ tstt000 $ 500,000 $ 500,000 $ 500,000 $ 500,000 $ 500,000 $ 500,000 $ 500,000 $ 500,000 $ 500,000
Lab equipment (5300K Each) $ 40,000 $ 120,000 $ 120,000 $ 320,000 $ 280,000 $ 200,000 S 200,000 $ 160,000 $ 160,000 $ 160,000
$ 652,000 S 628,000 $ 861,000 $ 792,000 $ 704,000 $ 775,000 676,000 $ 660,000 $ 660,000
CURRENT LIABILITIES
Accounts payable 15.0 Days variable costs (excl media)
Accrued expenses
Payroll 7.0 Days
Expenses 15.0 Days SG&A
Interest 15.0 Days SG&A
LONG TERM DEBT Financed % Principal Start Months Interest Conversion Warrants Payment Sales Expense
Equipment 70.0% $ 290,000 60.0 8%
SHAREHOLDER'S EQUITY Non Controlling
Common stock Shares Start Par Price Proceeds Sales Exp Interest
Initial Equity- Par .001 16,000,000 12/31/10 $ 0.001 0.01 $ 16,000 0.0% 0.0%
Intial Investor Round 3,500,000 12/31/10 $ 0.001 1.50 $ 5,250,000 10.0% 0.0%
IntelliCell Financial Nan US 01-2011 rev1.xisx
CONFIDENTIAL Balance Sheet Assumptions
EFTA00619630