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To: scion who wrote (822)5/28/2010 4:32:46 PM
From: SteveFRead Replies (1) | Respond to of 53574
 
The $200,000 / 66,667 share deal between JB and himself was represented as a PIPE. This really makes no sense.

sec.gov

In 2009 Mr. Bordynuik exchanged cash for 66,667 shares of stock (at $3 per share) and he received 23,846 shares to cancel debt at $3 per share.
...
On June 30, 2009, the Company entered into a stock purchase agreement whereby the Company agreed to sell 66,667 shares of the Company’s common stock to John Bordynuik, Inc. (“JBI”), a Delaware corporation controlled by Mr. Bordynuik for an aggregate value of $200,000.


globenewswire.com

310 Holdings Inc. Announces Private Placement and New Massachusetts Office Location

NIAGARA FALLS, Ontario, June 30, 2009 (GLOBE NEWSWIRE) -- 310 Holdings Inc. (OTCBB:TRTN) announced today that it has raised $200,000 in a private placement of its securities.

The financing has been provided by John Bordynuik Inc. in exchange for 66,667 restricted common shares at $3 per share. No warrants were issued. This financing was provided to accelerate 310 Holdings Inc.'s business plan.

Management is confident that the asset sale from John Bordynuik Inc. will occur as scheduled July 15, 2009. The definitive agreement to acquire customized tape data migration hardware and systems from John Bordynuik Inc. was executed on June 25, 2009. Subsequent agreements to purchase approximately $1M in remaining related hardware and intellectual property will be announced shortly.

Since acquiring 310 Holdings Inc. on April 23, 2009, John Bordynuik, President and CEO of 310 Holdings Inc., has personally advanced the company $60,000 to facilitate the transition of the company's operations.

To avoid interruption in tape reading revenue, 310 Holdings Inc. has incorporated John Bordynuik Inc., a wholly owned subsidiary, in Nevada. This avoids the necessity of having to undergo a procurement process for John Bordynuik Inc.'s existing clients.

310 Holdings Inc. is also pleased to announce that we are opening an office at 500 Technology Square, Cambridge, MA. Technology Square is famous for the number of information technology firms located there, lured by the proximity of several institutions of higher learning. This office will enable us to read magnetic media from certain data sets that are restricted from export.

John Bordynuik, 310 Holdings Inc. President and CEO said, "We already have tapes awaiting delivery to this office as they cannot be exported out of the United States. In addition, I strategically selected this site because of its close proximity to researchers that we intend to hire."

"As well, I would like to address the status of the shares I own in 310 Holdings Inc. My 40,250,000 shares are all restricted, and are not registered for resale. I cannot and will not sell any of my shares on the open market. I am waiting for a medallion signature so that 10M of my shares will returned to the company treasury to facilitate acquisitions without diluting the current shareholders," stated Mr. Bordynuik.

About 310 Holdings, Inc.

John Bordynuik purchased 63% of the issued and outstanding shares of 310 Holdings on April 23, 2009. Subsequently, John Bordynuik was appointed President and CEO of the Company. 310 Holdings Inc signed a definitive agreement to acquire and continue tape data migration and transcription services of John Bordynuik Inc. on June 25, 2009.

For more information, please see 310holdings.com and johnbordynuik.com.

CONTACT: 310 Holdings Inc.
John Bordynuik, President and CEO
john@310holdings.com
Katie Matkowski - Investor Relations
+1 (289) 296-5538
Katie@310holdings.com



To: scion who wrote (822)6/2/2010 1:22:52 PM
From: scionRead Replies (2) | Respond to of 53574
 
Subpart 202-1: Emissions Testing, Sampling and Analytical Determinations

(Statutory authority: Environmental Conservation Law, §§ 3-0301, 19-0301, 19-0303, 19-0305, 72-0303)

[Filed 4/29/05. Effective 30 days after filing.]

For administrative information about this posting, contact: Division of Air Resources. The Bureau of Stationary Sources at (518) 402-8403 is the contact for technical questions pertaining to this rule.
Contents:

Sec.
202-1.1 Required emissions tests
202-1.2 Notification
202-1.3 Acceptable procedures
202-1.4 Separate emission tests by the commissioner
202-1.5 Prohibitions
§202-1.1 Required emissions tests

For the purpose of ascertaining compliance or non-compliance with any air pollution control code, rule or regulation, the commissioner may require the person who owns such air contamination source to submit an acceptable report of measured emissions within a stated time. Such person shall bear the cost of measurement and preparing the report of measured emissions.

§202-1.2 Notification

Unless otherwise specified in an applicable requirement or in a term or condition of the operating permit for the subject air contamination source, a person who is required by the commissioner to submit a stack test report shall notify the commissioner, in writing, not less than 30 days prior to the test, of the time and date of the test. Such notification shall also include the acceptable procedures to be used to stack test including sampling and analytical procedures. Such person shall allow the commissioner, or commissioner's representative, free access to observe stack testing being conducted by such person.

§202-1.3 Acceptable procedures

(a) Emission testing, sampling and analytical determinations to ascertain compliance with this Subchapter shall be conducted in accordance with test methods acceptable to the commissioner. The Reference Methods contained in 40 CFR part 51, appendix M, 40 CFR part 60, appendix A, 40 CFR part 61, appendix B and 40 CFR part 63, appendix A (see Table 1, section 200.9 of this Title) and all future technical revisions, additions or corrections made thereto shall be considered as acceptable test methods for those sources and contaminants for which they are expressly applicable, except where the commissioner has issued a specific method to be used instead of a Reference Method contained in these Federal regulations or where the commissioner determines that one or more alternate methods are also acceptable. The person who owns or operates an air contamination source shall submit the emission test report in triplicate to the commissioner within 60 days after the completion of tests. In the event such source owner/operator can demonstrate to the commissioner such time is not sufficient, the source owner/operator may request in writing and be granted an extension. Where an opacity emission standard is applicable to the source tested, the emission test report shall include the opacity observation.

(b) Alternative emission test methods or deviations from acceptable test methods may be acceptable to the commissioner if the character of the test site or the emissions makes it impractical to utilize acceptable test methods or where no applicable test method is available. In such cases, the source owner/operator shall secure prior acceptance by the commissioner of any proposed alternative emission test method. Requests for such prior acceptance shall include justification for substituting the alternative emission test method.

§202-1.4 Separate emission tests by the commissioner

(a) For the purpose of ascertaining compliance or noncompliance with any air pollution control code, rule or regulation, the commissioner may conduct separate or additional emission tests on behalf of the State. Any person who owns/operates an air contamination source, when requested by the commissioner, shall operate the source in the manner specified by the commissioner, for the purpose of obtaining valid test data and, where possible, shall provide sampling holes, scaffolding and other pertinent allied facilities required for emission testing. Such person shall bear the costs of such facilities.

(b) If a person who owns an air contamination source fails to provide sampling holes, scaffolding and other pertinent allied facilities required for emission testing, the commissioner may then provide such facilities, and such person shall bear the costs.

§202-1.5 Prohibitions

No person shall conceal an emission by the use of air or other gaseous diluents (diluting agents) to achieve compliance with an emission standard which is based on the concentration of a contaminant in the gases emitted through a stack.

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