| Monthly update: 
 Todays totals: Non-income producing shares: $414,856 / 49.36% of portfolio. Cash +$49,544 = $464,400 / 55.26% non income producing.
 
 Investment / CurrentValue / PriorValue / PeriodChange %Change /EstimatedIncome /EstimatedYield
 
 Apr. Total $812,206.32...... $858,585.44... ($46,379.12).... (5.4)%... $22,636.66... 2.8%
 May Total $840,380.88..... $812,206.32..... $28,174.56...... 3.5%.... $23,978.20... 2.9%
 
 YOC: 13.43% = $23,978 / $178,518
 
 Since Jan. 1, 2021:
 
 S+P 500 3756 to 4204 =…...…...+11.93%
 My IRA $645,138 to $840,380 = +30.26%
 
 Since inception Jan. 1, 2010:
 
 Now using this for long term S+P return w/dividend reinvest: dqydj.com
 
 S+P 500 Since Jan. 1, 2010 =.....+358.76%
 My IRA $178,518 to $840,380.....+370.75%
 
 Actual dividends received:
 
 2010 total: $12,317
 2011 total: $14,160
 2012 total: $16,497
 2013 total: $19,421
 2014 total: $20,564
 2015 total: $19,565
 2016 total: $17,634
 2017 total: $19,328
 2018 total: $17,700
 2019 total: $20,914
 2020 total: $23,319
 2021 total: $9,087
 
 Trades:
 
 05/03/2021  09:46:54		Bought 50 ENPH @ 136
 
 -6,800.00		0.00		0.00
 
 05/03/2021  10:34:07		Bought 500 CTXR @ 2.35
 
 -1,175.00		0.00		0.00
 
 05/04/2021  09:15:37		Bought 50 ENPH @ 132
 
 -6,600.00		0.00		0.00
 
 05/04/2021  10:01:34		Bought 50 ENPH @ 128.5
 
 -6,425.00		0.00		0.00
 
 05/04/2021  10:04:49		Bought 1000 CTXR @ 2.1799
 
 -2,179.90		0.00		0.00
 
 05/04/2021  10:15:41		Bought 50 ENPH @ 124.5
 
 -6,225.00		0.00		0.00
 
 05/04/2021  13:36:51		Sold 50 ENPH @ 126.5
 
 6,324.96		0.00		0.04
 
 05/06/2021  09:57:52		Bought 50 ENPH @ 122.71
 
 -6,135.50		0.00		0.00
 
 05/06/2021  10:01:54		Bought 500 CTXR @ 2.15
 
 -1,075.00		0.00		0.00
 
 05/06/2021  10:24:12		Bought 500 CTXR @ 2.11
 
 -1,055.00		0.00		0.00
 
 05/06/2021  11:13:21		Bought 25 ENPH @ 120.11
 
 -3,002.75		0.00		0.00
 
 05/06/2021  14:21:18		Bought 25 ENPH @ 119
 
 -2,975.00		0.00		0.00
 
 05/10/2021  11:12:17		Bought 300 WRN @ 1.6999
 
 -509.97		0.00		0.00
 
 05/10/2021  11:53:55		Bought 300 SPCB @ 1.34
 
 -402.00		0.00		0.00
 
 05/10/2021  12:16:24		Bought 200 AMS @ 3.0499
 
 -609.98		0.00		0.00
 
 05/10/2021  14:12:03		Bought 5000 GYST @ 0.019
 
 -101.95		6.95		0.00
 
 05/10/2021  15:48:26		Bought 200 SSY @ 3.05
 
 -610.00		0.00		0.00
 
 05/11/2021  08:08:08		Bought 2000 CTXR @ 2.14
 
 -4,280.00		0.00		0.00
 
 05/11/2021  08:14:07		Bought 25 ENPH @ 108.5
 
 -2,712.50		0.00		0.00
 
 05/11/2021  08:31:06		Bought 1000 CTXR @ 2.11
 
 -2,110.00		0.00		0.00
 
 05/11/2021  09:14:58		Bought 42 CTXR @ 2.05
 
 -86.10		0.00		0.00
 
 05/11/2021  09:14:58		Bought 958 CTXR @ 2.04
 
 -1,954.32		0.00		0.00
 
 05/11/2021  10:30:12		Bought 200 BRMK @ 9.94
 
 -1,988.00		0.00		0.00
 
 05/11/2021  11:42:25		Bought 300 AUMN @ 0.7351
 
 -220.53		0.00		0.00
 
 05/12/2021  10:02:28		Bought 2000 CTXR @ 2.16
 
 -4,320.00		0.00		0.00
 
 05/12/2021  11:55:01		Bought 200 XXII @ 4.2
 
 -840.00		0.00		0.00
 
 05/12/2021  12:16:17		Bought 200 CDEV @ 4.45
 
 -890.00		0.00		0.00
 
 05/12/2021  13:44:37		Bought 300 AWX @ 3.7
 
 -1,110.00		0.00		0.00
 
 05/12/2021  14:36:40		Bought 1500 CTXR @ 2.11
 
 -3,165.00		0.00		0.00
 
 05/12/2021  14:56:17		Bought 300 ARC @ 1.97
 
 -591.00		0.00		0.00
 
 05/12/2021  15:06:01		Bought 200 BRMK @ 9.9
 
 -1,980.00		0.00		0.00
 
 05/12/2021  15:10:02		Bought 1000 CTXR @ 2.0881
 
 -2,088.10		0.00		0.00
 
 05/13/2021  09:51:57		Bought 1000 CTXR @ 2
 
 -2,000.00		0.00		0.00
 
 05/13/2021  10:49:43		Bought 1000 CTXR @ 1.9891
 
 -1,989.10		0.00		0.00
 
 05/13/2021  11:59:31		Bought 300 HNRG @ 2.21
 
 -663.00		0.00		0.00
 
 05/13/2021  13:44:45		Bought 1000 CTXR @ 1.85
 
 -1,850.00		0.00		0.00
 
 05/24/2021  14:50:17		Bought 200 AWX @ 3.9
 
 -780.00		0.00		0.00
 
 05/24/2021  15:43:17		Bought 200 HNRG @ 2.15
 
 -430.00		0.00		0.00
 
 05/26/2021  09:32:26		Bought 200 CDEV @ 4.63
 
 -926.00		0.00		0.00
 
 05/26/2021  17:01:25		Bought 100 AMC @ 19.77
 
 -1,977.00		0.00		0.00
 
 05/27/2021  10:51:06		Bought 100 CLWT @ 3.24
 
 -324.00		0.00		0.00
 
 05/27/2021  12:26:45		Bought 5000 GYST @ 0.012
 
 -66.95		6.95		0.00
 
 05/27/2021  15:25:21		Bought 200 CLWT @ 3.17
 
 -634.00		0.00		0.00
 
 05/28/2021  13:45:57		Bought 100 XXII @ 4.72
 
 -472.00		0.00		0.00
 
 Dividends:
 
 05/03/2021  00:00:01		ORDINARY DIVIDEND (ERH)
 
 38.52		0.00		0.00
 
 05/14/2021  00:00:01		QUALIFIED DIVIDEND (ABBV)
 
 130.00		0.00		0.00
 
 05/17/2021  00:00:01		PARTNERSHIP DISTRIBUTION (ET PRE)
 
 95.00		0.00		0.00
 
 05/17/2021  00:00:01		ORDINARY DIVIDEND (FDEU)
 
 54.00		0.00		0.00
 
 05/17/2021  00:00:01		PARTNERSHIP DISTRIBUTION (GLP PRA)
 
 121.88		0.00		0.00
 
 05/20/2021  00:00:01		QUALIFIED DIVIDEND (CDR PRC)
 
 81.25		0.00		0.00
 
 05/21/2021  00:00:01		ORDINARY DIVIDEND (AWF)
 
 26.20		0.00		0.00
 
 05/21/2021  00:00:01		ORDINARY DIVIDEND (GGN)
 
 58.50		0.00		0.00
 
 05/26/2021  00:00:01		QUALIFIED DIVIDEND (ORC)
 
 78.00		0.00		0.00
 
 05/28/2021  00:00:01		ORDINARY DIVIDEND (UTG)
 
 147.42		0.00		0.00
 
 05/28/2021  00:00:01		ORDINARY DIVIDEND (AGD)
 
 99.13		0.00		0.00
 
 05/28/2021  00:00:01		QUALIFIED DIVIDEND (AWP)
 
 24.00		0.00		0.00
 
 05/28/2021  00:00:01		QUALIFIED DIVIDEND (CORR PRA)
 
 46.09		0.00		0.00
 
 05/28/2021  00:00:01		ORDINARY DIVIDEND (FGB)
 
 136.13		0.00		0.00
 
 05/28/2021  00:00:01		ORDINARY DIVIDEND (THW)
 
 70.02		0.00		0.00
 
 Holdings:
 
 $FZC: TEKLA WORLD $ $ $ $ $ $
 HEALTHCARE FUND
 BEN INT SHS
 THW 600 15.83 9,498.00 03/30/21 9,000.00 15.00 498.00 840.00 8.8%
 22ND CENTURY GROUP
 INC
 COM
 XXII 200 4.50 900.00 05/12/21 840.00 4.20 60.00 - -
 ABBVIE INC
 COM
 ABBV 100 113.20 11,320.00 03/17/21 10,430.00 104.30 890.00 520.04 4.6%
 ABERDEEN GLOBAL
 DYNAMIC DIVIDE
 COM
 AGD 1,525 12.005 18,307.63 09/16/16 13,822.43 9.06 4,485.20 1,189.45 6.5%
 ABERDEEN GLOBAL
 PREMIER PPTTS
 COM SH BEN INT
 AWP 600 6.57 3,942.00 08/10/17 3,747.34 6.25 194.66 288.00 7.3%
 AGNC INVESTMENT
 CORP
 6.5% DEP SHS REP 1/1000
 *CLBL
 AGNCO 200 25.40 5,080.00 09/27/19 4,986.95 24.93 93.05 325.02 6.4%
 ALLIANCEBERNSTEIN
 GLOBAL HGH I
 COM
 AWF 400 12.13 4,852.00 10/05/16 4,985.54 12.46 (133.54) 314.41 6.5%
 AMC ENTERTAINMENT
 HOLDINGS INC
 COM CL A
 AMC 100 26.12 2,612.00 05/26/21 1,977.00 19.77 635.00 - -
 AMER SHARED HOSPITAL
 SERVICES
 COM
 AMS 200 2.56 512.00 05/10/21 609.98 3.05 (97.98) - -
 ARBOR REALTY TRUST
 INC
 COM USD0.01
 ABR 757.415 18.24 13,815.25 07/27/18 8,411.85 11.11 5,403.40 1,030.07 7.5%
 ARC DOCUMENT
 SOLUTIONS INC
 COM
 ARC 300 2.15 645.00 05/12/21 591.00 1.97 54.00 24.00 3.7%
 AVALON HOLDINGS
 CORP
 COM CL A
 AWX 500 4.28 2,140.00 05/12/21 1,890.00 3.78 250.00 - -
 BARNWELL INDUSTRIES
 INC
 COM
 BRN 300 3.30 990.00 10/28/20 270.00 0.90 720.00 - -
 BRAEMAR HOTELS &
 RESORTS INC
 8.25% CUM PRF STK SER
 D *CLBL
 BHR PRD 250 25.55 6,387.50 11/28/18 5,540.23 22.16 847.27 515.47 8.1%
 BROADMARK REALTY
 CAPITAL INC
 COM
 BRMK 400 10.29 4,116.00 05/11/21 3,968.00 9.92 148.00 335.99 8.2%
 CAI INTERNATIONAL INC
 8.5% SER A FXD FLOAG
 RAT *CLBL
 CAI PRA 150 26.33 3,949.50 07/31/18 3,798.16 25.32 151.34 318.76 8.1%
 CEDAR REALTY TRUST
 INC
 6.5% CUM RED PRF SER
 C
 CDR PRC 200 25.20 5,040.00 06/11/19 4,509.07 22.55 530.93 324.98 6.4%
 CENTENNIAL RESOURCE
 DEVELOPMEN
 COM CL A
 CDEV 400 5.29 2,116.00 05/12/21 1,816.00 4.54 300.00 - -
 CITIUS
 PHARMACEUTICALS INC
 COM
 CTXR 19,250 2.28 43,890.00 02/10/21 38,974.75 2.02 4,915.25 - -
 CITY OFFICE REIT INC
 COM USD0.01
 CIO 400 11.56 4,624.00 04/07/16 4,963.32 12.41 (339.32) 239.99 5.2%
 CITY OFFICE REIT INC
 PRF CUM REDM PFD SER
 A
 CIO PRA 200 25.62 5,124.00 05/08/20 4,064.16 20.32 1,059.84 331.22 6.5%
 COMPASS DIVERSIFIED
 7.875%FXD FLTG RAT
 CUM S *CLBL
 CODI PRB 200 25.85 5,170.00 11/30/18 3,910.95 19.55 1,259.05 393.80 7.6%
 CORENERGY
 INFRASTRUCTURE TRUST
 DEP SH REP 1/100 PFD
 SER *CLBL
 CORR PRA 100 22.64 2,264.00 11/01/18 2,426.47 24.26 (162.47) 184.40 8.1%
 DCP MIDSTREAM LP
 7.875%CUM RED FIX FLT
 RA *CLBL
 DCP PRB 200 24.18 4,836.00 07/27/18 5,062.95 25.31 (226.95) 393.80 8.1%
 DISCOVERY INC
 COM
 DISCK 100 30.05 3,005.00 03/29/21 3,446.00 34.46 (441.00) - -
 ENERGY TRANSFER LP
 7.6% FIX TO FLTG CUM
 RED *CLBL
 ET PRE 200 24.91 4,982.00 06/11/19 4,912.95 24.56 69.05 379.98 7.6%
 ENPHASE ENERGY INC
 COM
 ENPH 2,285 143.05 326,869.25 11/14/17 258,750.37 113.24 68,118.88 - -
 FIRST TR DYNAMIC
 EUROPE EQY IN
 COM SHS
 FDEU 900 13.72 12,348.00 05/13/19 11,965.31 13.29 382.69 648.02 5.2%
 FIRST TRUST SPECIALTY
 FINANCE
 COM BEN INTR
 FGB 1,650 4.21 6,946.50 03/01/17 11,045.68 6.69 (4,099.18) 544.47 7.8%
 GABELLI GLOBAL GOLD
 NATURAL RE
 COM SH BEN INT
 GGN 1,950 4.04 7,878.00 10/14/19 8,313.68 4.26 (435.68) 702.01 8.9%
 GASLOG PARTNERS LP
 8.5%CUM RED PREP FXD
 FLT *CLBL
 GLOP PRC 200 23.84 4,768.00 11/14/18 4,926.95 24.63 (158.95) 425.02 8.9%
 GLOBAL PARTNERS LP
 9.75%CUM RED PER FIX
 TO *CLBL
 GLP PRA 200 26.90 5,380.00 03/08/19 4,991.96 24.96 388.04 487.59 9.1%
 GOLDEN MINERALS CO
 COM
 AUMN 1,500 0.7374 1,106.10 10/12/20 731.97 0.49 374.13 - -
 GRAYSTONE CO INC
 COM CL A
 GYST 5,000 0.0121 60.50 05/10/21 101.95 0.02 (41.45) - -
 HALLADOR ENERGY CO
 COM
 HNRG 500 2.42 1,210.00 05/13/21 1,093.00 2.19 117.00 - -
 IRON MOUNTAIN INC
 COM USD0.01
 IRM 621 43.54 27,038.34 01/12/18 19,669.62 31.67 7,368.72 1,536.32 5.7%
 LADDER CAPITAL CORP
 COM USD0.001 CL A
 LADR 724.586 11.70 8,477.66 08/02/18 9,508.93 13.12 (1,031.27) 579.70 6.8%
 LITHIUM CORPORATION
 COM
 LTUM 1,000 0.3388 338.80 02/03/21 416.95 0.42 (78.15) - -
 LUMENT FINANCE TRUST
 INC
 COM USD0.01
 LFT 300 3.78 1,134.00 03/30/21 1,062.00 3.54 72.00 108.00 9.5%
 MEDICAL PROPERTIES
 TRUST INC
 COM USD0.001
 MPW 1,500 21.17 31,755.00 01/17/06 14,909.50 9.94 16,845.50 1,680.16 5.3%
 MERCK & CO INC
 COM
 MRK 200 75.89 15,178.00 04/26/21 15,045.00 75.23 133.00 520.00 3.4%
 MIRAGEN THERAPENC
 CVR
 604CVR019 1,500 NA NA 11/05/20 - - - - -
 NEW YORK MORTGAGE
 TRUST INC
 7.75% PERP PRF SERB
 NYMTP 100 24.45 2,445.00 03/17/21 2,468.50 24.69 (23.50) 193.79 7.9%
 NEWTEK BUSINESS
 SERVICES CORP
 COM NEW
 NEWT 400 35.27 14,108.00 07/31/18 8,399.46 21.00 5,708.54 1,124.83 8.0%
 NGL ENERGY PARTNERS
 LP
 9% CUM RED PFD REP
 LTD P *CLBL
 NGL PRB 200 13.66 2,732.00 06/27/19 4,999.47 25.00 (2,267.47) - -
 OAKTREE SPECIALTY
 LENDING CORP
 COM
 OCSL 300 6.74 2,022.00 03/17/21 1,877.30 6.26 144.70 156.00 7.7%
 ORCHID ISLAND CAPITAL
 INC
 COM USD0.01
 ORC 1,200 5.47 6,564.00 11/19/20 6,446.92 5.37 117.08 936.03 14.3%
 PENNSYLVANIA REAL
 ESTATE INVES
 SBI USD1
 PEI 200 2.09 418.00 04/19/18 1,874.38 9.37 (1,456.38) 16.00 3.8%
 PENNSYLVANIA REAL
 ESTATE INVES
 7.2% CUM RED PFD SER
 C
 PEI PRC 100 10.42 1,042.00 11/01/18 2,222.13 22.22 (1,180.13) 180.00 17.3%
 PENNYMAC MTG INVEST
 TRUST
 8% FXD FLTG CUM RED
 PFD *CLBL
 PMT PRB 100 26.10 2,610.00 06/30/17 2,491.95 24.92 118.05 200.00 7.7%
 PEPSICO INC
 COM
 PEP 50 147.94 7,397.00 02/26/21 6,454.50 129.09 942.50 215.03 2.9%
 PFIZER INC
 COM
 PFE 100 38.73 3,873.00 02/26/21 3,350.00 33.50 523.00 156.00 4.0%
 PITNEY BOWES INC
 6.7% PRF USD25
 (07/03/43)
 PBI PRB 125 24.78 3,097.50 03/17/21 2,991.25 23.93 106.25 209.36 6.8%
 PRUDENTIAL FINANCIAL
 INC
 COM
 PRU 265 106.97 28,347.05 08/21/20 18,726.80 70.67 9,620.25 1,218.92 4.3%
 READY CAPITAL
 CORPORATION
 COM USD0.0001
 RC 100 15.22 1,522.00 12/18/20 1,258.77 12.59 263.23 40.00 2.6%
 REAVES UTILITY INCOME
 FD
 COM SH BEN INT
 UTG 819 34.88 28,566.72 01/03/14 22,392.92 27.34 6,173.80 1,769.14 6.2%
 RESTORBIO INC
 CVR
 761CVR026 57 NA NA 09/16/20 - - - - -
 SACHEM CAPITAL CORP
 COM
 SACH 300 5.16 1,548.00 04/12/21 1,593.00 5.31 (45.00) 144.00 9.3%
 SACHEM CAPITAL CORP
 7.75% NOTES DUE
 30/09/20 *CLBL
 SCCC 100 25.90 2,590.00 10/21/20 2,480.00 24.80 110.00 193.81 7.5%
 SESEN BIO INC
 COM
 SESN 1,200 3.35 4,020.00 09/16/20 1,547.28 1.29 2,472.72 - -
 SFL CORPORATION LTD
 COM
 SFL 300 8.66 2,598.00 07/05/16 4,238.73 14.13 (1,640.73) 179.99 6.9%
 SOMBRERO RES INC
 COM
 83445U102 400 NA NA - - - - - -
 SOUTH JERSEY
 INDUSTRIES INC
 COM
 SJI 200 26.66 5,332.00 03/18/21 4,340.00 21.70 992.00 242.02 4.5%
 SUNLINK HEALTH
 SYSTEMS INC
 COM
 SSY 200 2.86 572.00 05/10/21 610.00 3.05 (38.00) - -
 SUPERCOM LTD NEW
 COM
 SPCB 800 1.28 1,024.00 01/13/21 1,046.20 1.31 (22.20) - -
 TIER ONE SILVER INC
 COM
 88651M108 400 NA NA - - - - - -
 TRINITY BIOTECH PLC
 ADR SPONSORED
 TRIB 300 3.13 939.00 11/19/20 804.00 2.68 135.00 - -
 TRITON INTL LTD
 8.5% CUM RED PRF SHS
 SR *CLBL
 TRTN PRA 150 28.34 4,251.00 03/14/19 3,753.95 25.03 497.05 318.74 7.5%
 TRITON INTL LTD
 8% CUM RED PERP PRF
 SHS *CLBL
 TRTN PRB 200 28.75 5,750.00 06/18/19 4,992.95 24.96 757.05 400.03 7.0%
 U M H PROPERTIES INC
 6.75% CUM RED PFD SER
 C
 UMH PRC 200 25.89 5,178.00 05/14/19 4,924.95 24.62 253.05 337.61 6.5%
 UR ENERGY INC
 COM
 URG 1,200 1.46 1,752.00 01/19/21 1,184.90 0.99 567.10 - -
 VIACOMCBS INC
 COM CL B
 VIAC 100 42.42 4,242.00 03/31/21 4,447.50 44.48 (205.50) 96.00 2.3%
 WELLS FARGO UTILITIES
 AND HIGH
 WF UTILITIES INC
 ERH 550 14.10 7,755.00 03/12/20 6,103.57 11.10 1,651.43 470.26 6.1%
 WESTERN COPPER &
 GOLD CORP
 COM
 WRN 800 2.62 2,096.00 10/01/20 1,104.27 1.38 991.73 - -
 ALBERTON ACQUISITION $ $ $ $ $ $
 CORP
 WARRANT EXP 04/26/2025
 ALACW 14,657 0.3167 4,641.87 09/09/20 14,886.68 1.02 (10,244.81) - -
 ANDINA ACQUISITION
 CORP III
 WARRANT EXP 10/01/2025
 ANDAW 700 0.88 616.00 09/16/20 206.90 0.30 409.10 - -
 BROADSTONE
 ACQUISITION CORP
 WARRANT EXP 09/15/2028
 BSN WS 700 0.785 549.50 12/28/20 863.00 1.23 (313.50) - -
 CHURCHILL CAPITAL
 CORP IV
 WARRANT EXP 08/04/2025
 CCIV WS 300 7.70 2,310.00 12/09/20 381.00 1.27 1,929.00 - -
 D8 HLDGS CORP
 WARRANT EXP 08/05/2027
 DEH WS 500 1.27 635.00 12/22/20 584.00 1.17 51.00 - -
 FINANCE OF AMERICA
 COMPANIES I
 WARRANT EXP 04/08/2026
 FOA WS 700 1.31 917.00 04/05/21 646.70 0.92 270.30 - -
 HORIZON ACQUISITION
 CORP
 WARRANT EXP 08/19/2025
 HZAC WS 300 1.70 510.00 12/22/20 444.00 1.48 66.00 - -
 JUNIPER INDL HLDGS INC
 WARRANT EXP 11/13/2026
 JIH WS 300 3.45 1,035.00 12/28/20 553.74 1.85 481.26 - -
 REDBALL ACQUISITION
 CORP
 WARRANT EXP 08/07/2022
 RBAC WS 1,100 1.02 1,122.00 12/28/20 2,514.00 2.29 (1,392.00) - -
 THE BEAUTY HEALTH CO
 WARRANT EXP 05/04/2026
 SKINW 500 4.59 2,295.00 12/28/20 1,319.50 2.64 975.50 - -
 VPC IMPACT
 ACQUISITION HLDGS
 WARRANT EXP 10/22/2027
 VIHAW 750 1.6099 1,207.43 01/11/21 2,967.42 3.96 (1,759.99) - -
 
 Non income producing. Actual today, not from statement:
 
 14,657 ALACW
 200 AMS
 700 ANDAW
 1500 AUMN
 300 AWX
 300 BRN
 700 BSN+
 300 CCIV+
 200 CDEV
 19,250 CTXR
 500 DEH+
 100 DISCK
 2285 ENPH
 700 FOA+
 10000 GYST
 300 HNRG
 300 HZAC+
 300 JIH+
 1000 LTUM
 200 PEI
 100 PEI-C
 1100 RBAC+
 1200 SESN
 500 SKINW
 800 SPCB
 200 SSY
 300 TRIB
 1200 URG
 750 VIHAW
 800 WRN
 200 XXII
 |