Document:

EX-10.2

 Exhibit 10.2 

CONFORMED COPY OF 
 NCR COLLATERAL
AGREEMENT 
  
  

AMENDED AND RESTATED GUARANTEE AND COLLATERAL AGREEMENT 

dated as of August 22, 2011, 

as amended and restated as of January 6, 2014, 

as further amended and restated as of March 31, 2016, 

among 
 NCR CORPORATION, 

THE FOREIGN BORROWERS PARTY HERETO, 

THE SUBSIDIARIES OF NCR CORPORATION 

IDENTIFIED HEREIN 
 and 

JPMORGAN CHASE BANK, N.A., 
 as
Administrative Agent 
  
  

 TABLE OF CONTENTS 

ARTICLE I 
 Definitions 

 

					
	 SECTION 1.01. Defined Terms
	  	 	6	  
	 SECTION 1.02. Other Defined Terms
	  	 	7	  
	
	ARTICLE II	  
	
	Guarantee	  
		
	 SECTION 2.01. Guarantee
	  	 	17	  
	 SECTION 2.02. Guarantee of Payment; Continuing Guarantee
	  	 	17	  
	 SECTION 2.03. No Limitations
	  	 	18	  
	 SECTION 2.04. Reinstatement
	  	 	19	  
	 SECTION 2.05. Agreement to Pay; Subrogation
	  	 	19	  
	 SECTION 2.06. Information
	  	 	19	  
	 SECTION 2.07. Payments Free of Taxes
	  	 	20	  
	 SECTION 2.08. Keepwell
	  	 	20	  
	
	ARTICLE III	  
	
	Pledge of Securities	  
		
	 SECTION 3.01. Pledge
	  	 	20	  
	 SECTION 3.02. Delivery of the Pledged Securities
	  	 	21	  
	 SECTION 3.03. Representations and Warranties
	  	 	23	  
	 SECTION 3.04. Certification of Limited Liability Company and Limited Partnership Interests
	  	 	24	  
	 SECTION 3.05. Registration in Nominee Name; Denominations
	  	 	25	  
	 SECTION 3.06. Voting Rights; Dividends and Interest
	  	 	25	  
	
	ARTICLE IV	  
	
	Security Interests in Personal Property	  
		
	 SECTION 4.01. Security Interest
	  	 	27	  
	 SECTION 4.02. Representations and Warranties
	  	 	29	  
	 SECTION 4.03. Covenants
	  	 	31	  
	 SECTION 4.04. Instruments and Tangible Chattel Paper
	  	 	33	  
	 SECTION 4.05. Covenants Regarding Patent, Trademark and Copyright Collateral
	  	 	34	  

					
	ARTICLE V	  			
		
	Remedies	  			
		
	 SECTION 5.01. Remedies Upon Default
	  	 	35	  
	 SECTION 5.02. Application of Proceeds
	  	 	37	  
	 SECTION 5.03. Securities Act
	  	 	38	  
	 SECTION 5.04. Registration
	  	 	39	  
	 SECTION 5.05. Grant of License To Use Intellectual Property
	  	 	39	  
		
	ARTICLE VI	  			
		
	Indemnity, Subrogation and Subordination	  			
		
	 SECTION 6.01. Indemnity and Subrogation
	  	 	40	  
	 SECTION 6.02. Contribution and Subrogation
	  	 	40	  
	 SECTION 6.03. Subordination
	  	 	41	  
		
	ARTICLE VII	  			
		
	Foreign Borrower Guarantee	  			
		
	 SECTION 7.01. Guarantee
	  	 	41	  
	 SECTION 7.02. Guarantee of Payment; Continuing Guarantee
	  	 	42	  
	 SECTION 7.03. No Limitations
	  	 	42	  
	 SECTION 7.04. Reinstatement
	  	 	43	  
	 SECTION 7.05. Agreement to Pay; Subrogation
	  	 	44	  
	 SECTION 7.06. Information
	  	 	44	  
	 SECTION 7.07. Payments Free of Taxes
	  	 	44	  
	 SECTION 7.08. Keepwell
	  	 	44	  
		
	ARTICLE VIII	  			
		
	Miscellaneous	  			
		
	 SECTION 8.01. Notices
	  	 	45	  
	 SECTION 8.02. Waivers; Amendment
	  	 	45	  
	 SECTION 8.03. Administrative Agent’s Fees and Expenses; Indemnification
	  	 	46	  
	 SECTION 8.04. Survival
	  	 	46	  
	 SECTION 8.05. Counterparts; Effectiveness, Successors and Assignment
	  	 	46	  
	 SECTION 8.06. Severability
	  	 	47	  
	 SECTION 8.07. Right of Set-Off
	  	 	47	  
	 SECTION 8.08. Governing Law; Jurisdiction; Consent to Service of Process
	  	 	47	  
	 SECTION 8.09. WAIVER OF JURY TRIAL
	  	 	48	  
	 SECTION 8.10. Headings
	  	 	48	  
	 SECTION 8.11. Security Interest Absolute
	  	 	49	  
	 SECTION 8.12. Termination or Release
	  	 	49	  

					
	 SECTION 8.13. Additional Subsidiaries
	  	 	50	  
	 SECTION 8.14. Administrative Agent Appointed Attorney-in-Fact
	  	 	50	  
	 SECTION 8.15. Exculpatory Provisions
	  	 	51	  
	 SECTION 8.16. Parallel Debt
	  	 	51	  

 Schedules 
  

			
	Schedule I	  	Subsidiary Loan Parties
	Schedule II	  	Grantors
	Schedule III	  	Guarantors
	Schedule IV	  	Pledged Equity Interests
	Schedule V	  	Pledged Debt Securities
	Schedule VI	  	Intellectual Property
	Schedule VII	  	Commercial Tort Claims
	Schedule VIII	  	Chattel Paper Locations

 Exhibits 

 

			
	Exhibit I	  	Form of Supplement
	Exhibit II-A	  	Form of Patent Security Agreement
	Exhibit II-B	  	Form of Trademark Security Agreement
	Exhibit II-C	  	Form of Copyright Security Agreement
	Exhibit II-D	  	Form of Pledge Agreement

 AMENDED AND RESTATED GUARANTEE AND COLLATERAL AGREEMENT dated as of
August 22, 2011, as amended and restated as of January 6, 2014 (as in effect immediately prior to the effectiveness of this Agreement, the “Existing Guarantee and Collateral Agreement”), and as further amended and restated
as of March 31, 2016 (this “Agreement”), among NCR CORPORATION (the “Company”), the Foreign Borrowers from time to time party hereto, the Subsidiaries from time to time party hereto and JPMORGAN CHASE BANK,
N.A. (“JPMCB”), as Administrative Agent. 
 WHEREAS, reference is made to the Credit Agreement dated as of August 22,
2011, as amended and restated as of July 25, 2013, and as further amended and restated as of the date hereof (and as further amended, supplemented or otherwise modified from time to time, the “Credit Agreement”), among the
Company, the Foreign Borrowers party thereto, the Lenders party thereto and JPMCB, as Administrative Agent. 
 WHEREAS, it is a condition to
the effectiveness of the Credit Agreement that the Existing Guarantee and Collateral Agreement be amended and restated to be in the form of this Agreement. 

WHEREAS, the Foreign Borrowers and the other Subsidiaries of the Company from time to time party hereto, have derived and will derive
substantial benefits from the extension of credit to the Company and the Foreign Borrowers pursuant to the Credit Agreement and are willing to execute and deliver this Agreement in order to induce the Lenders and the Issuing Banks to extend such
credit and satisfy a condition to the effectiveness of the Credit Agreement. 
 NOW, THEREFORE, the parties hereto agree as follows: 

ARTICLE I 

Definitions 

SECTION 1.01. Defined Terms. (a) Each capitalized term used but not defined herein shall have the meaning assigned thereto in the
Credit Agreement; provided that each term defined in the New York UCC (as defined herein) and not defined in this Agreement shall have the meaning specified in the New York UCC. The term “instrument” shall have the meaning specified
in Article 9 of the New York UCC. 
 (b) The rules of construction specified in Section 1.03 of the Credit Agreement also apply to
this Agreement, mutatis mutandis. 

  
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 SECTION 1.02. Other Defined Terms. As used in this Agreement, the following terms have the
meanings specified below: 
 “Account Debtor” means any Person that is or may become obligated to any Grantor under, with
respect to or on account of an Account. 
 “Accounts” means (a) accounts (as defined in Article 9 of the New York
UCC), (b) Payment Intangibles and (c) rights to payment evidenced by Chattel paper or an Instrument. 

“Agreement” has the meaning assigned to such term in the preamble hereto. 

“Article 9 Collateral” has the meaning assigned to such term in Section 4.01(a). 

“Cash Management Services” means the treasury management services (including credit cards, controlled disbursements, zero
balance arrangements, cash sweeps, automated clearinghouse transactions, return items, overdrafts, temporary advances, interest and fees and interstate depository network services) provided to the Company or any Subsidiary. 

“Claiming Party” has the meaning assigned to such term in Section 6.02. 

“Collateral” means, collectively, the Article 9 Collateral and the Pledged Collateral. 

“Company” has the meaning assigned to such term in the preamble. 

“Consolidated Net Tangible Assets” means the Net Tangible Assets of the Company and its Subsidiaries consolidated in
accordance with GAAP and as provided in the definition of Net Tangible Assets. In determining Consolidated Net Tangible Assets, minority interests in unconsolidated subsidiaries shall be included. 

“Contributing Party” has the meaning assigned to such term in Section 6.02. 

“Commodity Exchange Act” means the Commodity Exchange Act (7 U.S.C. § 1 et seq.) and any successor statute, and any
rule, regulation, or order promulgated thereunder, in each case as amended from time to time. 
 “Copyright License” means
any written agreement to which a Grantor is a party, now or hereafter in effect, granting to any Person any right to use any Copyright owned by any Grantor or that any Grantor otherwise has the right to license, or granting to any Grantor any right
to use any Copyright owned by any other Person or that any other Person otherwise has the right to license, and all rights of any Grantor under any such agreement. 

“Copyrights” means, with respect to any Person, all the following now owned or hereafter acquired by such Person:
(a) all copyright rights in any work subject to the copyright laws of the United States of America or any other country or any 

  
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political subdivision thereof, whether as author, assignee, transferee or otherwise, (b) all registrations and applications for registration of any such copyright in the United States of
America or any other country, including registrations, recordings, supplemental registrations, pending applications for registration, and renewals in the United States Copyright Office (or any similar office in any other country or any political
subdivision thereof), including, in the case of any Grantor, any of the foregoing set forth under its name on Schedule VI and (c) any other adjacent or other rights related or appurtenant to the foregoing, including moral rights. 

“Credit Agreement” has the meaning assigned to such term in the recitals hereto. 

“Electronic Invoice System” means the electronic system or systems from time to time maintained by any Grantor or for such
Grantor by third party vendors used in the ordinary course of the such Grantor’s business, in either case for purposes of capturing invoice data, creating and/or generating invoices, storing and tracking invoices and otherwise administering
invoices with respect to Accounts evidenced by Chattel Paper. 
 “Excluded Account” means (a) with respect to Deposit
Accounts, (i) any Deposit Account the funds in which are used, in the ordinary course of business, solely for the payment of salaries and wages, workers’ compensation, healthcare, retiree and other employee benefits, deferred compensation,
taxes and similar expenses and (ii) any Deposit Account the funds in which consist solely of (A) funds held by the Company or any Subsidiary in trust for any director, officer or employee of the Company or any Subsidiary or any healthcare,
retiree and other employee benefit plan maintained by the Company or any Subsidiary or (B) funds representing deferred compensation for the directors and employees of the Company and the Subsidiaries, (b) with respect to Securities
Accounts, (i) any Securities Account in which the assets credited thereto are held by the Company or any Subsidiary in trust for any director, officer or employee of the Company or any Subsidiary or any healthcare, retiree or other employee
benefit plan maintained by the Company or any Subsidiary or (ii) any Securities Account in which the assets credited thereto represent deferred compensation for the directors and employees of the Company and the Subsidiaries and (c) with
respect to Deposit Accounts or Securities Accounts, (i) any such account in or to which only Excluded Assets (including, without limitation, any Excluded Equity Interests) are deposited and/or credited from time to time, (ii) any such
account used for escrow, customs or other fiduciary purposes and accounts established to comply with legal requirements and (iii) any account (excluding accounts referred to in the foregoing clauses of this definition with an average daily
balance (determined on a monthly basis) of less than $500,000 individually and less than $2,000,000 in the aggregate for all such accounts. 

“Excluded Asset” means: (a) the Excluded Equity Interests; (b) the Excluded Accounts, (c) any Principal
Property; (d) leasehold interests in real property; (e) motor vehicles and other assets subject to certificates of title; (f) letter of credit rights (except to the extent such rights constitute supporting obligations with respect to
other Collateral that is perfected by filing a Uniform Commercial Code financing statement); 

  
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(g) commercial tort claims with a value of less than $10,000,000; (h) any lease, license, contract or other agreement or any property subject to a purchase money security interest, Capital
Lease Obligation or similar arrangement to which a Grantor is a party and that is not prohibited by the Credit Agreement if, to the extent and for so long as the grant of the Security Interest would under any term thereof violate or invalidate such
lease, license contract or other agreement or purchase money security interest, Capital Lease Obligation or similar arrangement or create a right of termination in favor of any other party thereto (other than the Company or any Guarantor) after
giving effect to the applicable provisions of the Uniform Commercial Code or other applicable law invalidating or restricting anti-assignment provisions, other than proceeds and receivables thereof, the assignment of which is expressly deemed
effective under the Uniform Commercial Code or other applicable law notwithstanding such term; (i) those assets over which the granting of security interests in such assets would be prohibited by any applicable Requirements of Law or by any
contract that is not prohibited by the Credit Agreement (so long as any contractual restriction is not incurred in contemplation of such entity becoming a Subsidiary of the Company or a Grantor hereunder) (in each case, after giving effect to the
provisions of the Uniform Commercial Code or any other applicable law invalidating or rendering ineffective anti-assignment provisions, and other than proceeds and receivables thereof, the assignment of which is expressly deemed effective under the
Uniform Commercial Code or other applicable law notwithstanding such prohibitions), or to the extent that such security interests would result in material adverse tax consequences to the Company and its Subsidiaries, taken as a whole, as reasonably
determined in good faith by the Company; (j) those assets as to which the Administrative Agent and the Company reasonably agree that the cost of creating or perfecting such security interests therein (taking into account any adverse tax
consequences to the Company or any Subsidiaries (including the imposition or withholding or other material taxes)) is excessive in relation to the benefit to the Lenders of the security to be afforded thereby; (k) any “intent to use”
trademark or service mark application for which a statement of use has not been filed with the United States Patent and Trademark Office, but only to the extent that the grant of the Security Interest would invalidate such trademark or service mark
application; (l) any governmental licenses or state or local franchises, charters and authorizations, to the extent a security interest therein is prohibited or restricted thereby (in each case, after giving effect to the provisions of the
Uniform Commercial Code or any other applicable law that would invalidate or render ineffective such prohibition or restriction, and other than proceeds and receivables thereof, the assignment of which is expressly deemed effective under the Uniform
Commercial Code or other applicable law notwithstanding such prohibition or restriction); and (m) any Grantor’s rights, title or interest in any Plan, Foreign Pension Plan and, in each case, any assets thereof; in each case other than any
Proceeds, substitutions or replacements of any of the assets described in clauses (a) through (m) (unless any such Proceeds, substitution or replacement would in itself constitute an asset described in clauses (a) through (m)). 

“Excluded Equity Interests” has the meaning assigned to such term in Section 3.01. 

  
 9 

 “Excluded Swap Obligation” means, with respect to any Guarantor, any Swap
Obligation if, and to the extent that, all or a portion of the Guarantee of such Guarantor of, or the grant by such Guarantor of a security interest to secure, such Swap Obligation (or any Guarantee thereof) is or becomes illegal under the Commodity
Exchange Act or any rule, regulation or order of the Commodity Futures Trading Commission (or the application or official interpretation of any thereof) by virtue of such Guarantor’s failure for any reason to constitute an “eligible
contract participant” as defined in the Commodity Exchange Act and the regulations thereunder at the time the Guarantee of such Guarantor or the grant of such security interest becomes or would become effective with respect to such Swap
Obligation. If a Swap Obligation arises under a master agreement governing more than one swap, such exclusion shall apply only to the portion of such Swap Obligation that is attributable to swaps for which such Guarantee or security interest is or
becomes illegal in accordance with the first sentence of this definition. 
 “Existing Notes Indenture” means the indenture
dated November 1, 1988 between the Company and the Existing Notes Trustee. 
 “Existing Notes Trustee” means State
Street Bank and Trust Company, in its capacity as trustee under the Existing Notes Indenture, and its successors and assigns. 

“Federal Securities Laws” has the meaning assigned to such term in Section 5.03. 

“Foreign Borrower” means each of (a) NCR Limited, a limited company incorporated in England and Wales, (b) NCR
Nederland B.V., a private company with limited liability (besloten vennootschap met beperkte aansprakelijkheid) organized under the laws of the Netherlands, (c) NCR Global Solutions Ltd., a limited liability company incorporated in
Ireland and (d) each other Foreign Borrower that becomes a party to the Credit Agreement pursuant to a Foreign Borrower Joinder Agreement, in each case, unless and until such Person ceases to be a Foreign Borrower under the Credit Agreement.

 “Foreign Borrower Obligations” means (a) (i) the due and punctual payment by each Foreign Borrower of
(A) the principal of and interest at the applicable rate or rates provided in the Credit Agreement (including interest accruing during the pendency of any bankruptcy, insolvency, receivership, examinership or other similar proceeding,
regardless of whether allowed or allowable in such proceeding) on the Loans of the Foreign Borrowers, when and as due, whether at maturity, by acceleration, upon one or more dates set for prepayment or otherwise, (B) each payment required to be
made by each Foreign Borrower under the Credit Agreement in respect of any Letter of Credit, when and as due, including payments in respect of reimbursement of disbursements, interest thereon and obligations to provide cash collateral, and
(C) all other monetary obligations of each Foreign Borrower under or pursuant to the Credit Agreement and each of the other Loan Documents, including obligations to pay fees, expense reimbursement obligations and indemnification obligations,
whether primary, secondary, direct, contingent, fixed or otherwise (including monetary obligations incurred during the 

  
 10 

 
pendency of any bankruptcy, insolvency, receivership, examinership or other similar proceeding, regardless of whether allowed or allowable in such proceeding), (ii) the due and punctual
performance of all other obligations of each Foreign Borrower under or pursuant to the Credit Agreement and each of the other Loan Documents (including monetary obligations incurred during the pendency of any bankruptcy, insolvency, receivership,
examinership or other similar proceeding, regardless of whether allowed or allowable in such proceeding); (b) all the Secured Cash Management Obligations owed by the Foreign Borrowers, (c) all the Secured Hedge Obligations owed by the
Foreign Borrowers and (d) all the Secured Performance Support Obligations owed by the Foreign Borrowers; provided that (x) the term “Foreign Borrower Obligations” when used in reference to any Foreign Borrower, shall not
include any Excluded Swap Obligation of such Foreign Borrower and (y) notwithstanding anything herein to the contrary, the “Foreign Borrower Obligations” shall not include the obligations under the Loan Documents of any Grantor or of
any Guarantor. 
 “Grantors” means the Company, each Subsidiary Loan Party identified on Schedule II and each Subsidiary
that becomes a Grantor after the Effective Date pursuant to the delivery of a Supplement in accordance with Section 8.13, in each case unless and until such Person (other than the Company) ceases to be a Grantor hereunder in accordance with
Section 8.12. Notwithstanding anything herein to the contrary, no Foreign Borrower shall be a Grantor. 
 “Guarantors”
means the Company (except with respect to obligations of the Company), each Subsidiary Loan Party identified on Schedule III and each Subsidiary that becomes a Guarantor after the Effective Date pursuant to the delivery of a Supplement in accordance
with Section 8.13, in each case unless and until such Person (other than the Company) ceases to be a Guarantor hereunder in accordance with Section 8.12. Notwithstanding anything herein to the contrary, no Foreign Borrower shall be a
Guarantor. 
 “Indemnified Amount” has the meaning assigned to such term in Section 6.02. 

“Instrument Exposure” has the meaning assigned to it in the definition of Secured Performance Support Obligations. 

“Intellectual Property” means all intellectual and similar property of every kind and nature, including inventions, designs,
utility models, Patents, Copyrights, Licenses, Trademarks, trade secrets, domain names, confidential or proprietary technical and business information, know-how,
show-how or other data or information, software and databases and all related registrations and franchises, and all additions, improvements and accessions to, and books and records describing or used in
connection with, any of the foregoing. 
 “IP Security Agreements” has the meaning assigned to such term in
Section 4.02(b). 

  
 11 

 “JPMCB” has the meaning assigned to such term in the preamble. 

“License” means any Patent License, Trademark License, Copyright License or other license or sublicense agreement granting
rights in or to Intellectual Property to which any Grantor is a party, including, in the case of any Grantor, any Copyright License set forth under its name on Schedule VI. 

“Loan Document Obligations” means (a) the due and punctual payment by each Borrower of (i) the principal of and
interest at the applicable rate or rates provided in the Credit Agreement (including interest accruing during the pendency of any bankruptcy, insolvency, receivership, examinership or other similar proceeding, regardless of whether allowed or
allowable in such proceeding) on the Loans, when and as due, whether at maturity, by acceleration, upon one or more dates set for prepayment or otherwise, (ii) each payment required to be made by each Borrower under the Credit Agreement in
respect of any Letter of Credit, when and as due, including payments in respect of reimbursement of disbursements, interest thereon and obligations to provide cash collateral, and (iii) all other monetary obligations of each Borrower under or
pursuant to the Credit Agreement and each of the other Loan Documents, including obligations to pay fees, expense reimbursement obligations and indemnification obligations, whether primary, secondary, direct, contingent, fixed or otherwise
(including monetary obligations incurred during the pendency of any bankruptcy, insolvency, receivership, examinership or other similar proceeding, regardless of whether allowed or allowable in such proceeding), (b) the due and punctual
performance of all other obligations of each Borrower under or pursuant to the Credit Agreement and each of the other Loan Documents and (c) the due and punctual payment and performance of all the obligations of each other Loan Party under or
pursuant to this Agreement and each of the other Loan Documents (including monetary obligations incurred during the pendency of any bankruptcy, insolvency, receivership, examinership or other similar proceeding, regardless of whether allowed or
allowable in such proceeding). 
 “Margin Stock” has the meaning assigned to such term in Regulation U of the Board of
Governors. 
 “Net Tangible Assets”, as used in reference to the assets of any corporation, means the total amount of
assets of such corporation, both real and personal (exclusive of Licenses, Patents, Patent applications, Copyrights, Trademarks, trade names, good will, experimental or organizational expense and other like intangibles, treasury stock and
unamortized discount and expense) less the sum of: 
 (a) all reserves for depletion, depreciation, obsolescence and/or amortization of its
properties (other than those excluded as hereinabove provided) as shown by the books of such corporation (other than general contingency reserves, reserves representing mere appropriations of surplus and reserves to the extent related to intangible
assets which have been excluded in calculating Net Tangible Assets as above provided), and 

  
 12 

 (b) all indebtedness and other current liabilities of such corporation other than (i) funded
indebtedness, (ii) deferred income taxes, (iii) reserves which have been deducted pursuant to the preceding clause (a), (iv) general contingency reserves and reserves representing mere appropriations of surplus and
(v) liabilities to the extent related to intangible assets which have been excluded in calculating Net Tangible Assets as above provided. 

“New York UCC” means the Uniform Commercial Code as from time to time in effect in the State of New York. 

“Obligations” means (a) all the Loan Document Obligations, (b) all the Secured Cash Management Obligations,
(c) all the Secured Hedge Obligations and (d) all the Secured Performance Support Obligations; provided that the term “Obligations” when used in reference to any Subsidiary that is a Guarantor or a Grantor, shall not
include any Excluded Swap Obligation of such Subsidiary. 
 “Parallel Debt” has the meaning assigned to such term in
Section 8.16. 
 “Patent License” means any written agreement to which a Grantor is a party, now or hereafter in
effect, granting to any Person any right to make, use or sell any invention on which a Patent has been granted to any Grantor or that any Grantor otherwise has the right to license, or granting to any Grantor any right to make, use or sell any
invention on which a Patent has been granted to any other Person or that any other Person otherwise has the right to license, and all rights of any Grantor under any such agreement. 

“Patents” mean, with respect to any Person, all the following now owned or hereafter acquired by such Person: (a) all
letters patent of the United States of America or the equivalent thereof in any other country, all registrations and recordings thereof and all applications for letters patent of the United States of America or the equivalent thereof in any other
country or any political subdivision thereof, including registrations, recordings and pending applications in the United States Patent and Trademark Office or any similar offices in any other country or any political subdivision thereof, including,
in the case of any Grantor, any of the foregoing set forth under its name on Schedule VI, and (b) all reissues, continuations, divisionals, continuations-in-part, reexaminations, supplemental examinations, inter partes reviews,
renewals, adjustments or extensions thereof, and the inventions disclosed or claimed therein, including the right to make, have made, use, sell, offer to sell, import or export the inventions disclosed or claimed therein. 

“Perfection Certificate” means the Perfection Certificate dated as of the date hereof and delivered by the Company to the
Administrative Agent pursuant to Section 4.01(g) of the Credit Agreement. 
 “Pledge Agreement” means a Pledge
Agreement in substantially the form of Exhibit II-D hereto among the Company, any Subsidiaries from time to time party thereto and the Administrative Agent, entered into in connection with the grant of security interests in the Equity Interests of
any Subsidiary that owns any Principal Property Collateral. 

  
 13 

 “Pledged Collateral” has the meaning assigned to such term in Section 3.01.

 “Pledged Debt Securities” has the meaning assigned to such term in Section 3.01. 

“Pledged Equity Interests” has the meaning assigned to such term in Section 3.01. 

“Pledged Securities” means any promissory notes, stock certificates, unit certificates, limited liability membership
certificates or other certificated securities now or hereafter included in the Pledged Collateral, including all certificates, instruments or other documents representing or evidencing any Pledged Collateral. 

“Principal Party” has the meaning assigned to such term in Section 8.16. 

“Principal Property” means, as of any date, any building, structure or other facility together with the land upon which it is
erected and fixtures comprising a part thereof, used primarily for manufacturing, processing or production, in each case located in the United States, and owned or leased or to be owned or leased by the Company or any Subsidiary, in each case the
net book value of which as of such date exceeds 2% of Consolidated Net Tangible Assets, as shown on the audited consolidated balance sheet contained in the latest annual report to shareholders of the Company, other than any such land, building,
structure or other facility or portion thereof which, in the opinion of the board of directors, is not of material importance to the business conducted by the Company and its Subsidiaries, considered as one enterprise. 

“Principal Property Collateral” means the Principal Property and capital stock of any Subsidiary that owns Principal
Property. 
 “Principal Obligations” has the meaning assigned to such term in Section 8.16. 

“Qualified ECP Guarantor” means, in respect of any Swap Obligation, each Loan Party that has total assets exceeding
$10,000,000 at the time the relevant Guarantee or grant of the relevant security interest becomes or would become effective with respect to such Swap Obligation and each other Loan Party that constitutes an “eligible contract
participant” under the Commodity Exchange Act or any regulations promulgated thereunder and can cause another person to qualify as an “eligible contract participant” at such time by guaranteeing or entering
into a keepwell in respect of obligations of such other person under Section la(18)(A)(v)(II) of the Commodity Exchange Act. 

  
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 “Secured Cash Management Obligations” means the due and punctual payment and
performance of any and all obligations of the Company and each Subsidiary (whether absolute or contingent and however and whenever created, arising, evidenced or acquired (including all renewals, extensions and modifications thereof and
substitutions therefor)) arising in respect of Cash Management Services that (a) were owed on the Effective Date to a Person that was a Lender or an Affiliate of a Lender as of the Effective Date or (b) are owed to a Person that is a
Lender or an Affiliate of a Lender at the time such obligations are incurred. 
 “Secured Hedge Obligations” means the due
and punctual payment and performance of any and all obligations of the Company and each Subsidiary arising under each Hedging Agreement that (a) was in effect on the Effective Date with a counterparty that was a Lender or an Affiliate of a
Lender as of the Effective Date or (b) is entered into after the Effective Date with a counterparty that is a Lender or an Affiliate of a Lender at the time such Hedging Agreement is entered into; provided that the term “Secured
Hedge Obligations” when used in reference to any Subsidiary that is a Guarantor or a Grantor, shall not include any Excluded Swap Obligation of such Subsidiary. 

“Secured Parties” means (a) each Lender, (b) the Administrative Agent, (c) each Issuing Bank (d) each
provider of Cash Management Services the obligations under which constitute Secured Cash Management Obligations, (e) each counterparty to any Hedging Agreement the obligations under which constitute Secured Hedge Obligations, (f) each
provider of a Performance Support Instrument the obligations under which constitute Secured Performance Support Obligations, (g) the beneficiaries of each indemnification obligation undertaken by any Loan Party under any Loan Document and
(h) the successors and assigns of each of the foregoing. 
 “Secured Performance Support Obligations” means the due
and punctual payment and performance of any and all obligations of the Company and each Subsidiary (whether absolute or contingent and however and whenever created, arising, evidenced or acquired (including all renewals, extensions and modifications
thereof and substitutions therefor)) arising in respect of each Performance Support Instrument (a) that (i) was outstanding on the Effective Date and issued or provided by a Person that was a Lender or an Affiliate of a Lender as of the
Effective Date or (ii) is issued or provided after the Effective Date by a Person that is a Lender or an Affiliate of a Lender at the time such Performance Support Instrument is issued or provided, (b) that has been designated by the
Company as a Performance Support Instrument pursuant to a written notice to the provider of such Performance Support Instrument specifying the maximum aggregate amount that may become due thereunder and that shall, subject to the next succeeding
sentence, be secured hereby; provided that, subject to the following clause (c), the Company may update the maximum aggregate amount with respect to any Performance Support Instrument from time to time by written notice to the provider of
such Performance Support Instrument (such maximum aggregate amount, as updated from time to time, its “Instrument Exposure”) and (c) which, at the time of such designation or update, as applicable, does not result in that
result in the aggregate amount of Instrument Exposures in respect of all Performance Support Instruments then outstanding exceeding $150,000,000. The Company shall not less than once in each fiscal quarter provide a summary written statement to the
Administrative Agent of the Secured Performance Support Obligations outstanding as of the date of such statement, specifying each 

  
 15 

 
Performance Support Instrument, the provider thereof and the maximum aggregate amount that may become due thereunder and that shall be secured hereby. Each such summary statement shall include an
aggregate amount of Instrument Exposures in respect of all Performance Support Instruments then outstanding not to exceed $150,000,000 as of the date of such statement, it being understood that if following the delivery of any such statement the
Company shall designate additional Secured Performance Support Obligations that result in the aggregate amount of Instrument Exposures in respect of all Performance Support Instruments then outstanding exceeding $150,000,000, the additional Secured
Performance Support Obligations designated after the date of the most recently delivered summary statement shall be reduced ratably by the aggregate amount of reduction required so that the aggregate amount of Instrument Exposures in respect of all
Performance Support Instruments then outstanding shall equal $150,000,000. 
 “Security Interest” has the meaning assigned
to such term in Section 4.01(a). 
 “Shared Pledge Credit Agreement Obligations” means the “Credit Agreement
Obligations”, as defined in the Pledge Agreement. 
 “Shared Pledge Obligations” means the “Obligations”, as
defined in the Pledge Agreement. 
 “Subsidiary Loan Parties” means (a) the entities identified on Schedule I and
(b) each other entity that becomes a party to this Agreement as a Grantor or Guarantor after the Effective Date, in each case other than those that have been released pursuant to Section 8.12. Notwithstanding anything herein to the
contrary, no Foreign Borrower shall be a Subsidiary Loan Party. 
 “Supplement” means an instrument in the form of Exhibit
I hereto, or any other form approved by the Administrative Agent, and in each case reasonably satisfactory to the Administrative Agent. 

“Swap Obligation” means, with respect to any Guarantor or Grantor, any obligation to pay or perform under any agreement,
contract or transaction that constitutes a “swap” within the meaning of section 1a(47) of the Commodity Exchange Act. 

“Trademark License” means any written agreement to which a Grantor is a party, now or hereafter in effect, granting to any
Person any right to use any Trademark owned by any Grantor or that any Grantor otherwise has the right to license, or granting to any Grantor any right to use any Trademark owned by any other Person or that any other Person otherwise has the right
to license, and all rights of any Grantor under any such agreement. 
 “Trademarks” means, with respect to any Person, all
of the following now owned or hereafter acquired by such Person: (a) all trademarks, service marks, trade names, corporate names, company names, business names, fictitious business names, trade styles, trade dress, logos, domain names, other
source or business identifiers, designs and general intangibles of like nature, all registrations and recordings thereof, and 

  
 16 

 
all registration and recording applications filed in connection therewith, including registrations and registration applications in the United States Patent and Trademark Office or any similar
office in any State of the United States of America or any other country or any political subdivision thereof, all extensions or renewals thereof, and all common law rights related thereto, including, in the case of any Grantor, any of the foregoing
set forth under its name on Schedule VI, (b) all goodwill associated therewith or symbolized thereby and (c) all other assets, rights and interests that uniquely reflect or embody such goodwill. 

“Uniform Commercial Code” means the New York UCC; provided that if by reason of mandatory provisions of law, the
perfection, the effect of perfection or non-perfection or priority of a security interest is governed by the personal property security laws of any jurisdiction other than New York, “Uniform Commercial Code” shall mean those personal
property security laws as in effect in such other jurisdiction for the purposes of the provisions hereof relating to such perfection or priority and for the definitions related to such provisions. 

ARTICLE II  

Guarantee 
 SECTION
2.01. Guarantee. Each Guarantor irrevocably and unconditionally guarantees to each of the Secured Parties, jointly with the other Guarantors and severally, as a primary obligor and not merely as a surety, the due and punctual payment and
performance of the Obligations. Each Guarantor further agrees that the Obligations may be extended or renewed, in whole or in part, or amended or modified, without notice to or further assent from it, and that it will remain bound upon its guarantee
hereunder notwithstanding any extension, renewal, amendment or modification of any Obligation. Each Guarantor waives presentment to, demand of payment from and protest to the Company or any other Loan Party of any of the Obligations, and also waives
notice of acceptance of its guarantee hereunder and notice of protest for nonpayment. 
 SECTION 2.02. Guarantee of Payment; Continuing
Guarantee. Each Guarantor further agrees that its guarantee hereunder constitutes a guarantee of payment when due (whether or not any bankruptcy or similar proceeding shall have stayed the accrual or collection of any of the Obligations or
operated as a discharge thereof) and not merely of collection, and waives any right to require that any resort be had by the Administrative Agent or any other Secured Party to any security held for the payment of any of the Obligations or to any
balance of any deposit account or credit on the books of the Administrative Agent or any other Secured Party in favor of the Company, any other Loan Party, or any other Person. Each Guarantor agrees that its guarantee hereunder is continuing in
nature and applies to all Obligations, whether currently existing or hereafter incurred. 

  
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 SECTION 2.03. No Limitations. (a) Except for the termination and release of a
Guarantor’s obligations hereunder as expressly provided in Section 8.12, the obligations of each Guarantor hereunder shall not be subject to any reduction, limitation, impairment or termination for any reason, including any claim of
waiver, release, surrender, alteration or compromise of any of the Obligations, and shall not be subject to any defense or set-off, counterclaim, recoupment or termination whatsoever by reason of the invalidity, illegality or unenforceability of any
of the Obligations, any impossibility in the performance of any of the Obligations, or otherwise. Without limiting the generality of the foregoing, except for the termination or release of its obligations hereunder as expressly provided in
Section 8.12, the obligations of each Guarantor hereunder shall not be discharged or impaired or otherwise affected by (i) the failure of the Administrative Agent or any other Secured Party to assert any claim or demand or to enforce any
right or remedy under the provisions of any Loan Document or otherwise; (ii) any rescission, waiver, amendment or modification of, or any release from any of the terms or provisions of, any Loan Document or any other agreement, including with
respect to any other Guarantor under this Agreement; (iii) the release of, or any impairment of or failure to perfect any Lien on, any security held by the Administrative Agent or any other Secured Party for any of the Obligations;
(iv) any default, failure or delay, wilful or otherwise, in the performance of any of the Obligations; (v) any other act or omission that may or might in any manner or to any extent vary the risk of any Guarantor or otherwise operate as a
discharge of any Guarantor as a matter of law or equity (other than the indefeasible payment in full in cash of all the Obligations); (vi) any illegality, lack of validity or lack of enforceability of any of the Obligations; (vii) any
change in the corporate existence, structure or ownership of any Loan Party, or any insolvency, bankruptcy, reorganization or other similar proceeding affecting any Loan Party or its assets or any resulting release or discharge of any of the
Obligations; (viii) the existence of any claim, set-off or other rights that any Guarantor may have at any time against the Company, the Administrative Agent, any other Secured Party or any other Person, whether in connection with the Credit
Agreement, the other Loan Documents or any unrelated transaction; (ix) this Agreement having been determined (on whatsoever grounds) to be invalid, non-binding or unenforceable against any other Guarantor ab initio or at any time
after the Effective Date; (x) the fact that any Person that, pursuant to the Loan Documents, was required to become a party hereto may not have executed or is not effectually bound by this Agreement, whether or not this fact is known to the
Secured Parties, (xi) any action permitted or authorized hereunder; or (xii) any other circumstance (including any statute of limitations), or any existence of or reliance on any representation by the Administrative Agent, any other
Secured Party or any other Person, that might otherwise constitute a defense to, or a legal or equitable discharge of, the Company, any Guarantor or any other guarantor or surety (other than the payment in full in cash of all the Obligations
(excluding contingent obligations as to which no claim has been made) and the expiration, termination or cash collateralization of all Letters of Credit). Each Guarantor expressly authorizes the Secured Parties to take and hold security for the
payment and performance of the Obligations, to exchange, waive or release any or all such security (with or without consideration), to enforce or apply such security and direct the order and manner of any sale thereof in their sole discretion or to
release or substitute any one or more other guarantors or obligors upon or in respect of the Obligations, all without affecting the obligations of any Guarantor hereunder. 

  
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 (b) To the fullest extent permitted by applicable law, each Guarantor waives any defense based on
or arising out of any defense of the Company or any other Loan Party or the unenforceability of the Obligations or any part thereof from any cause, or the cessation from any cause of the liability of the Company or any other Loan Party, other than
the indefeasible payment in full in cash of all the Obligations. The Administrative Agent and the other Secured Parties may, at their election, foreclose on any security held by one or more of them by one or more judicial or nonjudicial sales,
accept an assignment of any such security in lieu of foreclosure, compromise or adjust any part of the Obligations, make any other accommodation with the Company or any other Loan Party or exercise any other right or remedy available to them against
the Company or any other Loan Party, without affecting or impairing in any way the liability of any Guarantor hereunder except to the extent the Obligations have been fully and indefeasibly paid in full in cash. To the fullest extent permitted by
applicable law, each Guarantor waives any defense arising out of any such election even though such election operates, pursuant to applicable law, to impair or to extinguish any right of reimbursement or subrogation or other right or remedy of such
Guarantor against the Company or any other Loan Party, as the case may be, or any security. 
 SECTION 2.04. Reinstatement. Each
Guarantor agrees that, unless released pursuant to Section 8.12, its guarantee hereunder shall continue to be effective or be reinstated, as the case may be, if at any time payment, or any part thereof, of any Obligation is rescinded or must
otherwise be restored by the Administrative Agent or any other Secured Party upon the bankruptcy or reorganization (or any analogous proceeding in any jurisdiction) of the Company, any other Loan Party or otherwise. 

SECTION 2.05. Agreement to Pay; Subrogation. In furtherance of the foregoing and not in limitation of any other right that the
Administrative Agent or any other Secured Party has at law or in equity against any Guarantor by virtue hereof, upon the failure of the Company or any other Loan Party to pay any Obligation when and as the same shall become due, whether at maturity,
by acceleration, after notice of prepayment or otherwise, each Guarantor hereby promises to and will forthwith pay, or cause to be paid, to the Administrative Agent for distribution to the applicable Secured Parties in cash the amount of such unpaid
Obligation. Upon payment by any Guarantor of any sums to the Administrative Agent as provided above, all rights of such Guarantor against the Company or any other Loan Party arising as a result thereof by way of right of subrogation, contribution,
reimbursement, indemnity or otherwise shall in all respects be subject to Article VI. 
 SECTION 2.06. Information. Each
Guarantor (a) assumes all responsibility for being and keeping itself informed of the Company’s and each other Loan Party’s financial condition and assets, and of all other circumstances bearing upon the risk of nonpayment of the
Obligations and the nature, scope and extent of the risks that such Guarantor assumes and incurs hereunder, and (b) agrees that none of the Administrative Agent or the other Secured Parties will have any duty to advise such Guarantor of
information known to it or any of them regarding such circumstances or risks. 

  
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 SECTION 2.07. Taxes. The provisions of Section 2.16 of the Credit Agreement shall
apply to each Guarantor, mutatis mutandis. 
 SECTION 2.08. Keepwell. Each Qualified ECP Guarantor hereby jointly and
severally absolutely, unconditionally and irrevocably undertakes to provide such funds or other support as may be needed from time to time by each other Guarantor and Grantor to honor all of its obligations under this Agreement in respect of Swap
Obligations (provided, however, that each Qualified ECP Guarantor shall only be liable under this Section 2.08 for the maximum amount of such liability that can be hereby incurred without rendering its obligations under this
Section 2.08 or otherwise under this Agreement voidable under applicable law relating to fraudulent conveyance or fraudulent transfer, and not for any greater amount). The obligations of each Qualified ECP Guarantor under this Section 2.08
shall remain in full force and effect until the indefeasible payment in full in cash of all the Obligations. Each Qualified ECP Guarantor intends that this Section 2.08 constitute, and this Section 2.08 shall be deemed to constitute, a
“keepwell, support, or other agreement” for the benefit of each other Guarantor and Grantor for all purposes of Section la(18)(A)(v)(II) of the Commodity Exchange Act. 

ARTICLE III  

Pledge of Securities 

SECTION 3.01. Pledge. As security for the payment or performance, as the case may be, in full of the Obligations, each Grantor hereby
(1) reaffirms the security interest granted by such Grantor pursuant to Section 3.01 of the Existing Guarantee and Collateral Agreement and (2) assigns and pledges to the Administrative Agent, its successors and assigns, for the
benefit of the Secured Parties, and hereby grants to the Administrative Agent, its successors and assigns, for the benefit of the Secured Parties, a security interest in, all of such Grantor’s right, title and interest in, to and under
(a)(i) the shares of capital stock and other Equity Interests now owned or at any time hereafter acquired by such Grantor, including those set forth opposite the name of such Grantor on Schedule IV, and (ii) all certificates and any
other instruments representing all such Equity Interests (collectively, the “Pledged Equity Interests”); provided that the Pledged Equity Interests shall not include
(A) 66 2⁄3% or more of the issued and outstanding voting Equity Interests of any CFC; (B) any Equity Interests if, to the extent, and for so long as,
the grant of a Lien thereon to secure the Obligations is prohibited by any Requirements of Law (other than to the extent that any such prohibition would be rendered ineffective pursuant to the New York UCC or any other applicable Requirements of
Law); provided that such Equity Interest shall cease to be an Excluded Equity Interest at such time as such prohibition ceases to be in effect; (C) Margin Stock and, to the extent requiring the consent of one or more third parties (other
than the Company or any Subsidiary or any director, officer or employee thereof) or prohibited by the terms of any applicable organizational documents, joint venture agreement or shareholders’ agreement, Equity Interests in any Person other
than wholly-owned Material Subsidiaries; provided that such Equity Interest shall cease to be an Excluded Equity Interest at such time as such prohibition ceases to be in effect; (D) Equity Interests of NCR (Middle East) Limited so

  
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long as, and only to the extent that, the pledge of such Equity Interests would result in a change of control default under the existing contract to which NCR (Middle East) Limited was a party on
the Effective Date, as disclosed to the Administrative Agent; provided that such Equity Interest shall cease to be an Excluded Equity Interest at such time as such prohibition ceases to be in effect; (E) Equity Interests if and for so
long as they are Principal Property Collateral pledged under the Pledge Agreement; or (F) any Equity Interest if, to the extent, and for so long as, the Administrative Agent and the Company shall have agreed in writing to treat such Equity
Interest as an Excluded Equity Interest on account of the cost of pledging such Equity Interest hereunder (taking into account any adverse tax consequences to the Company and the Subsidiaries (including the imposition of withholding or other
material taxes)) being excessive in view of the benefits to be obtained by the Lenders therefrom (the Equity Interests excluded pursuant to clauses (A) through (F) above being referred to as the “Excluded Equity
Interests”); (b)(i) the debt securities now owned or at any time hereafter acquired by such Grantor, including those listed opposite the name of such Grantor on Schedule V, and (ii) all promissory notes and other instruments
evidencing all such debt securities ((i) and (ii) collectively, the “Pledged Debt Securities”); (c) all other property that may be delivered to and held by the Administrative Agent pursuant to the terms of this
Section 3.01 and Section 3.02; (d) subject to Section 3.06, all payments of principal and interest, dividends, cash, instruments and other property from time to time received, receivable or otherwise distributed in respect of, in
exchange for or upon the conversion of, and all other Proceeds received in respect of, the securities referred to in clauses (a) and (b) above; (e) subject to Section 3.06, all rights and privileges of such Grantor with respect
to the securities and other property referred to in clauses (a), (b), (c) and (d) above; and (f) all Proceeds of any of the foregoing (the items referred to in clauses (a) through (f) above being collectively referred
to as the “Pledged Collateral”). Notwithstanding anything herein to the contrary, to the extent and for so long as any asset is an Excluded Asset, the security interest granted under this Section 3.01 shall not attach to, and
the Pledged Collateral shall not include, such Excluded Asset; provided that the security interest shall immediately attach to, and the Pledged Collateral shall immediately include, any such asset (or portion thereof) upon such asset (or such
portion) ceasing to be an Excluded Asset. 
 SECTION 3.02. Delivery of the Pledged Securities. (a) Each Grantor agrees to
deliver or cause to be delivered to the Administrative Agent any and all Pledged Equity Interests (i) on the Effective Date, in the case of any such Pledged Equity Interests owned by such Grantor on the Effective Date and not previously so
delivered, and (ii) promptly after the acquisition thereof (and, in any event, as required under the Credit Agreement), in the case of any such Pledged Equity Interests acquired by such Grantor after the Effective Date. 

(b) Each Grantor (i) will cause (A) all Indebtedness for borrowed money owed to such Grantor by the Company or any Subsidiary to be
evidenced by a duly executed global intercompany note and/or duly executed promissory note, in each case in a form reasonably acceptable to the Administrative Agent and (B) all Indebtedness for borrowed money (other than Permitted Investments)
in a principal amount of $10,000,000 or more owed to such Grantor by any other Person to be evidenced by a duly 

  
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executed promissory note (x) on the Effective Date, in the case of any such Indebtedness existing on the Effective Date or (y) promptly following the incurrence thereof in the case of
Indebtedness incurred after the Effective Date, and (ii) agrees to deliver or cause to be delivered to the Administrative Agent any and all Pledged Debt Securities (other than promissory notes and other evidences of Indebtedness in a principal
amount of less than $10,000,000 and Permitted Investments), (I) on the Effective Date, in the case of any such Pledged Debt Securities owned by such Grantor on the Effective Date, and (II) promptly after the acquisition thereof (and, in any
event as required under the Credit Agreement) in the case of any such Pledged Debt Securities acquired after the Effective Date. 
 (c) Upon
delivery to the Administrative Agent, (i) any Pledged Securities shall be accompanied by undated stock powers duly executed by the applicable Grantor in blank or other undated instruments of transfer satisfactory to the Administrative Agent and
by such other instruments and documents as the Administrative Agent may reasonably request and (ii) all other property comprising part of the Pledged Collateral shall be accompanied by undated proper instruments of assignment duly executed by
the applicable Grantor in blank and such other instruments or documents as the Administrative Agent may reasonably request. Each delivery of Pledged Securities shall be accompanied by a schedule describing such securities, which schedule shall be
deemed attached to, and shall supplement, Schedule IV or V, as applicable, and be made a part hereof; provided that failure to provide any such schedule hereto shall not affect the validity of such pledge of such Pledged Securities. 

(d) If the Company or any Guarantors hereafter acquire or hold any Equity Interests constituting Principal Property Collateral that would be
required to be pledged hereunder but for the exclusion in clause (E) of the definition of Excluded Equity Interests (including as a result of Pledged Equity Interests becoming Principal Property Collateral after having been pledged hereunder),
then (i) unless the Pledge Agreement has previously been executed and delivered, the Company will promptly execute and deliver, and cause each such Guarantor to execute and deliver, the Pledge Agreement, and (ii) the Company or such
Guarantors, as the case may be, will (subject to the provisions of paragraph (e) below in the case of Pledged Equity Interests previously pledged hereunder) pledge such Equity Interests constituting Principal Property Collateral to the
Administrative Agent in accordance with the provisions of the Pledge Agreement to secure the Shared Pledge Obligations. 
 (e) If at any time
Pledged Equity Interests previously pledged under this Agreement become Principal Property Collateral, then the Company will promptly notify the Administrative Agent thereof and at such time as the Pledge Agreement has been executed and delivered
and each Grantor owning such Principal Property Collateral has become party thereto, the security interests created hereunder in such Pledged Equity Interests securing the Obligations shall, automatically and without further action, be governed by,
subject to the provisions of, and deemed held by the Administrative Agent under, the Pledge Agreement for so long as such Pledged Equity Interests continue to constitute Principal Property Collateral and accordingly will after such time continue to
secure the Obligations and also secure the other Shared Pledge Obligations under the 

  
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Pledge Agreement; provided that if such Pledged Equity Interests at any time cease to constitute Principal Property Collateral, then such security interests in such Pledged Equity
Interests securing the Obligations shall automatically and without further action again be governed by, subject to the provisions of, and deemed held by the Administrative Agent under, this Agreement. 

SECTION 3.03. Representations and Warranties. The Grantors jointly and severally represent and warrant to the Administrative Agent, for
the benefit of the Secured Parties, that: 
 (a) (i) Schedule IV sets forth, as of the Effective Date, a true and complete list, with
respect to each Grantor, of all the Pledged Equity Interests owned by such Grantor and the percentage of the issued and outstanding units of each class of the Equity Interests of the issuer thereof represented by the Pledged Equity Interests owned
by such Grantor and (ii) Schedule V sets forth, as of the Effective Date, all the Pledged Debt Securities (other than promissory notes and other evidences of Indebtedness in a principal amount of less than $10,000,000) owned by such Grantor
(other than, in each case, any Pledged Equity Interests or Pledged Debt Securities that are not yet required to have been delivered to the Administrative Agent under the terms of this Agreement or the Credit Agreement); 

(b) the Pledged Equity Interests and Pledged Debt Securities, in the case of any Pledged Debt Securities issued by the Company or any
Subsidiary, have been duly and validly authorized and issued by the issuers thereof and (i) in the case of Pledged Equity Interests, are fully paid and nonassessable and (ii) in the case of Pledged Debt Securities, are legal, valid and
binding obligations of the issuers thereof, subject to applicable bankruptcy, insolvency, reorganization, moratorium or other laws affecting creditors’ rights generally and to general principles of equity, regardless of whether considered in a
proceeding in equity or at law; 
 (c) except for the security interests granted hereunder and under any other Loan Documents, each of the
Grantors (i) is and, subject to any transfers, dispositions or other transactions made in compliance with the Credit Agreement, will continue to be the direct owner, beneficially and of record, of the Pledged Securities indicated on Schedule IV
and Schedule V, as applicable, as owned by such Grantor, (ii) holds the same free and clear of all Liens, other than Liens permitted pursuant to Section 6.02 of the Credit Agreement and transfers, dispositions and other transactions made
in compliance with the Credit Agreement, (iii) will make no further assignment, pledge, hypothecation or transfer of, or create or permit to exist any security interest in or other Lien on, the Pledged Collateral, other than Liens permitted
pursuant to Section 6.02 of the Credit Agreement and transfers, dispositions and other transactions made in compliance with the Credit Agreement, and (iv) will defend its title or interest thereto or therein against any and all Liens
(other than the Liens created by this Agreement and the other Loan Documents and Liens permitted pursuant to Section 6.02 of the Credit Agreement and transfers, dispositions and other transactions made in compliance with the Credit Agreement),
however arising, of all Persons whomsoever; 

  
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 (d) except for restrictions and limitations imposed by the Loan Documents or securities laws
generally, the Pledged Collateral is and will continue to be freely transferable and assignable and none of the Pledged Collateral is or will be subject to any option, right of first refusal, shareholders agreement, charter, by-law or other
organizational document provisions or contractual restriction of any nature that might prohibit, impair, delay or otherwise adversely affect the pledge of such Pledged Collateral hereunder, the sale or disposition thereof pursuant hereto or the
exercise by the Administrative Agent of rights and remedies hereunder; 
 (e) each of the Grantors has the power and authority to pledge the
Pledged Collateral pledged by it hereunder in the manner hereby done or contemplated; 
 (f) no consent or approval of any Governmental
Authority, any securities exchange or any other Person was or is necessary to the validity of the pledge effected hereby (other than such as have been obtained and are in full force and effect); 

(g) by virtue of the execution and delivery by the Grantors of this Agreement, when any Pledged Securities are delivered to the Administrative
Agent in accordance with this Agreement, all actions necessary or desirable for the Administrative Agent to obtain a legal, valid and perfected lien upon and security interest in such Pledged Securities, free of any adverse claims, under the New
York UCC to the extent such lien and security interest may be created and perfected under the New York UCC, as security for the payment and performance of the Obligations, will have been duly taken; and 

(h) subject to applicable local law in the case of any Equity Interests in any CFC, the pledge effected hereby is effective to vest in the
Administrative Agent, for the benefit of the Secured Parties, the rights of the Administrative Agent in the Pledged Collateral as set forth herein. 

SECTION 3.04. Certification of Limited Liability Company and Limited Partnership Interests. Each Grantor acknowledges and agrees that
(a) to the extent each interest in any limited liability company or limited partnership controlled now or in the future by such Grantor and pledged hereunder is a “security” within the meaning of Article 8 of the Uniform Commercial
Code and is governed by Article 8 of the Uniform Commercial Code, such interest shall be certificated and (b) each such interest shall at all times hereafter continue to be such a security and represented by such certificate. Each Grantor
further acknowledges and agrees that with respect to any interest in any limited liability company or limited partnership controlled now or in the future by such Grantor and pledged hereunder that is not a “security” within the meaning of
Article 8 of the Uniform Commercial Code, such Grantor shall at no time elect to treat any such interest as a “security” within the meaning of Article 8 of the Uniform Commercial Code, nor shall such interest be represented by a
certificate, unless such Grantor provides prior written notification (or such other notice as the Administrative Agent may agree) to the Administrative Agent of such election and such interest is thereafter represented by a certificate that is
promptly delivered to the Administrative Agent pursuant to the terms hereof. Notwithstanding the foregoing provisions of this Section 3.04, with the consent 

  
 24 

 
of the Administrative Agent, an interest in a limited liability company or limited partnership owned by a Grantor, may cease to be a “security” within the meaning of Article 8 of the
Uniform Commercial Code or be governed by Article 8 of the Uniform Commercial Code, so long as any certificates evidencing such interests (unless canceled) are delivered to or remain in the possession of the Administrative Agent. 

SECTION 3.05. Registration in Nominee Name; Denominations. Upon the occurrence and during the continuance of an Event of Default, the
Administrative Agent, on behalf of the Secured Parties, shall have the right (in its sole and absolute discretion) to hold the Pledged Securities in its own name as pledgee, in the name of its nominee (as pledgee or as sub-agent) or in the name of
the applicable Grantor, endorsed or assigned in blank or in favor of the Administrative Agent. Upon the occurrence and during the continuance of an Event of Default, each Grantor will promptly give to the Administrative Agent copies of any notices
or other communications received by it with respect to Pledged Securities registered in the name of such Grantor. The Administrative Agent shall at all times have the right to exchange the certificates representing Pledged Securities for
certificates of smaller or larger denominations for any purpose consistent with this Agreement. 
 SECTION 3.06. Voting Rights; Dividends
and Interest. (a) Unless and until an Event of Default shall have occurred and be continuing and the Administrative Agent shall have notified the Grantors that their rights under this Section 3.06 are being suspended: 

(i) each Grantor shall be entitled to exercise any and all voting and/or other consensual rights and powers inuring to an owner of Pledged
Collateral or any part thereof for any purpose consistent with the terms of this Agreement and the other Loan Documents, provided that such rights and powers shall not be exercised in any manner that could reasonably be expected to materially
and adversely affect the rights inuring to a holder of any Pledged Collateral or the rights and remedies of any of the Administrative Agent or any Secured Party under this Agreement or any other Loan Document or the ability of the Secured Parties to
exercise the same; 
 (ii) the Administrative Agent shall execute and deliver to each Grantor, or cause to be executed and delivered to such
Grantor, all such proxies, powers of attorney and other instruments as such Grantor may reasonably request for the purpose of enabling such Grantor to exercise the voting and/or consensual rights and powers it is entitled to exercise pursuant to
paragraph (a)(i) of this Section; and 
 (iii) each Grantor shall be entitled to receive and retain any and all dividends, interest,
principal and other distributions paid on or distributed in respect of the Pledged Collateral, but only to the extent that such dividends, interest, principal and other distributions are permitted by, and otherwise paid or distributed in accordance
with, the terms and conditions of the Credit Agreement, the other Loan Documents and applicable laws, provided that any noncash dividends, interest, principal or other distributions that would constitute Pledged Equity Interests or Pledged
Debt Securities, whether resulting from a subdivision, combination or reclassification of the outstanding Equity Interests in 

  
 25 

 
the issuer of any Pledged Securities or received in exchange for Pledged Securities or any part thereof, or in redemption thereof, or as a result of any merger, consolidation, acquisition or
other exchange of assets to which such issuer may be a party or otherwise, shall be and become part of the Pledged Collateral and, if received by any Grantor, and required to be delivered to the Administrative Agent hereunder, shall be held in trust
for the benefit of the Administrative Agent and the other Secured Parties and shall be forthwith delivered to the Administrative Agent in the same form as so received (unless a different form is consented to by the Administrative Agent) (with any
necessary endorsements, stock or note powers or other instruments of transfer). 
 (b) Upon the occurrence and during the continuance of an
Event of Default, after the Administrative Agent shall have notified the Grantors of the suspension of their rights under paragraph (a)(iii) of this Section, then all rights of any Grantor to dividends, interest, principal or other distributions
that such Grantor is authorized to receive pursuant to paragraph (a)(iii) of this Section, shall cease, and all such rights shall thereupon become vested in the Administrative Agent, which shall have the sole and exclusive right and authority
to receive and retain such dividends, interest, principal or other distributions. All dividends, interest, principal or other distributions received by any Grantor contrary to the provisions of this Section shall be held in trust for the benefit of
the Administrative Agent and the other Secured Parties, shall be segregated from any property or funds of such Grantor not constituting Collateral and shall be forthwith delivered to the Administrative Agent upon demand in the same form as so
received (with any necessary endorsements, stock powers or other instruments of transfer). Any and all money and other property paid over to or received by the Administrative Agent pursuant to the provisions of this paragraph (b) shall be
retained by the Administrative Agent in an account to be established by the Administrative Agent upon receipt of such money or other property, shall be held as security for the payment and performance of the Obligations and shall be applied in
accordance with the provisions of Section 5.02. After all Events of Default cease to exist (whether as a result of being cured or waived or otherwise), the Administrative Agent shall promptly repay to each Grantor (without interest) all
dividends, interest, principal or other distributions that such Grantor would otherwise be permitted to retain pursuant to the terms of paragraph (a)(iii) of this Section and that remain in such account. 

(c) Upon the occurrence and during the continuance of an Event of Default, after the Administrative Agent shall have notified the Grantors of
the suspension of their rights under paragraph (a)(i) of this Section 3.06, then all rights of any Grantor to exercise the voting and consensual rights and powers it is entitled to exercise pursuant to paragraph (a)(i) of this
Section 3.06, and the obligations of the Administrative Agent under paragraph (a)(ii) of this Section 3.06, shall cease, and all such rights shall thereupon become vested in the Administrative Agent, which shall have the sole and
exclusive right and authority to exercise such voting and consensual rights and powers, provided that, unless otherwise directed by the Required Lenders, the Administrative Agent shall have the right from time to time following and during the
continuance of an Event of Default to permit the Grantors to exercise such rights. After all Events of Default cease to exist (whether as a result of being cured or waived or otherwise), all rights vested in the Administrative Agent pursuant to this
paragraph (c) shall cease, and the Grantors shall have the exclusive right to exercise the voting and consensual rights and powers they would otherwise be entitled to exercise pursuant to paragraph (a)(i) of this Section 3.06. 

  
 26 

 (d) Any notice given by the Administrative Agent to the Grantors suspending their rights under
paragraph (a) of this Section 3.06 (i) may be given by telephone if promptly confirmed in writing, (ii) may be given with respect to one or more of the Grantors at the same or different times and (iii) may suspend the rights
of the Grantors under paragraph (a)(i) or paragraph (a)(iii) in part without suspending all such rights (as specified by the Administrative Agent in its sole and absolute discretion) and without waiving or otherwise affecting the Administrative
Agent’s right to give additional notices from time to time suspending other rights so long as an Event of Default has occurred and is continuing. 

ARTICLE IV  

Security Interests in Personal Property 

SECTION 4.01. Security Interest. (a) As security for the payment or performance, as the case may be, in full of the Obligations,
and subject to the last sentence of this Section 4.01(a), each Grantor hereby (1) reaffirms the security interest granted by such Grantor pursuant to Section 4.01 of the Existing Guarantee and Collateral Agreement and (2) grants
to the Administrative Agent, its successors and assigns, for the benefit of the Secured Parties, a security interest (the “Security Interest”) in all right, title and interest in, to and under any and all of the following assets now
owned or at any time hereafter acquired by such Grantor or in, to or under which such Grantor now has or at any time hereafter may acquire any right, title or interest (collectively, the “Article 9 Collateral”): 

(i) all Accounts; 

(ii) all Chattel Paper; 

(iii) all cash, cash equivalents, Deposit Accounts and Securities Accounts; 

(iv) all Documents; 

(v) all Equipment; 

(vi) all General Intangibles, including all Intellectual Property; 

(vii) all Instruments; 

(viii) all Inventory; 

(ix) all other Goods; 

(x) all Investment Property; 

  
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 (xi) all Letter-of-Credit Rights; 

(xii) all Commercial Tort Claims described on Schedule VII, as such schedule may be supplemented from time to time pursuant to
Section 4.02(e); 
 (xiii) all Fixtures; 

(xiv) all books and records pertaining to the Article 9 Collateral; and 

(xv) all Proceeds and products of any and all of the foregoing and all collateral security and guarantees given by any Person
with respect to any of the foregoing. 
 Notwithstanding anything herein to the contrary, to the extent and for so long as any asset is an Excluded Asset,
the Security Interest granted under this Section 4.01 shall not attach to, and the term “Article 9 Collateral” shall not include, such Excluded Asset; provided that the Security Interest shall immediately attach to, and the
Article 9 Collateral shall immediately include, any such asset (or portion thereof) upon such asset (or such portion) ceasing to be an Excluded Asset. 

(b) Each Grantor hereby irrevocably authorizes the Administrative Agent (or its designee) at any time and from time to time to file in any
relevant jurisdiction any financing statements (including fixture filings) with respect to the Article 9 Collateral or any part thereof and amendments thereto that (i) indicate the Collateral as “all assets, whether now owned or
hereafter acquired” of such Grantor or words of similar effect or of a lesser scope or with greater detail and (ii) contain the information required by Article 9 of the Uniform Commercial Code of each applicable jurisdiction for the
filing of any financing statement or amendment, including (A) whether such Grantor is an organization, the type of organization and any organizational identification number issued to such Grantor and (B) in the case of a financing
statement filed as a fixture filing or covering Article 9 Collateral constituting minerals or the like to be extracted or timber to be cut, a sufficient description of the real property to which such Article 9 Collateral relates. Each
Grantor agrees to provide the information required for any such filing to the Administrative Agent promptly upon request. 
 Each Grantor
also ratifies its authorization for the Administrative Agent (or its designee) to file in any relevant jurisdiction any initial financing statements or amendments thereto with respect to the Article 9 Collateral or any part thereof that are
otherwise consistent with the preceding paragraph if filed prior to the Effective Date. 
 The Administrative Agent (or its designee) is
further authorized by each Grantor to file with the United States Patent and Trademark Office or the United States Copyright Office (or any successor office or any similar office in any other country) such documents as may be necessary or advisable
for the purpose of perfecting, confirming, continuing, enforcing or protecting the Security Interest granted by such Grantor, without the signature of any Grantor, and naming any Grantor or the Grantors as debtors and the Administrative Agent as
secured party; provided that notwithstanding anything to the contrary in any of the Loan Documents, the Grantors shall not have any obligation to perfect any Security Interest or lien, or record any notice thereof, in any Article 9 Collateral
consisting of Intellectual Property in any jurisdiction other than the United States. 

  
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 (c) The Security Interest and the security interest granted pursuant to Article III are
granted as security only and shall not subject the Administrative Agent or any other Secured Party to, or in any way alter or modify, any obligation or liability of any Grantor with respect to or arising out of the Collateral. 

SECTION 4.02. Representations and Warranties. The Grantors jointly and severally represent and warrant to the Administrative Agent for
the benefit of the Secured Parties that: 
 (a) Each Grantor has good and valid rights in and title to the Article 9 Collateral with
respect to which it has purported to grant the Security Interest and has full power and authority to grant to the Administrative Agent the Security Interest in such Article 9 Collateral pursuant hereto and to execute, deliver and perform its
obligations in accordance with the terms of this Agreement, without the consent or approval of any other Person other than any consent or approval that has been obtained. 

(b) The Perfection Certificate has been duly prepared, completed and executed and the information set forth therein, including information set
out in Schedule 1 thereto, is correct and complete in all material respects as of the Effective Date. The Uniform Commercial Code financing statements (including fixture filings, as applicable) prepared by the Administrative Agent based upon the
information provided to the Administrative Agent in the Perfection Certificate for filing in each governmental, municipal or other office specified in Schedule 2(a) or 2(b) to the Perfection Certificate (or specified by notice from the Company
to the Administrative Agent after the Effective Date in the case of filings, recordings or registrations required by the Credit Agreement after the Effective Date are all the filings, recordings and registrations (other than filings required to be
made in the United States Patent and Trademark Office and the United States Copyright Office in order to perfect the Security Interest in the Article 9 Collateral consisting of United States issued Patents and published United States Patent
applications, United States registered Trademarks (and Trademarks for which United States applications for registration are pending), United States registered Copyrights and United States exclusive Copyright Licenses under which a Grantor is a
licensee) that are necessary to publish notice of and protect the validity of and to establish a legal, valid and perfected security interest in favor of the Administrative Agent (for the benefit of the Secured Parties) in respect of all
Article 9 Collateral in which the Security Interest may be perfected by filing, recording or registration in the United States of America, and no further or subsequent filing, refiling, recording, rerecording, registration or reregistration is
necessary with respect to any such Article 9 Collateral in any such jurisdiction, except as provided under applicable law with respect to the filing of continuation statements. A patent security agreement in the form of Exhibit II-A
hereto, a trademark security agreement in the form of Exhibit II-B hereto, and a copyright security agreement in the form of Exhibit II-C hereto (such agreements being collectively referred to herein as the “IP Security
Agreements”), in each case 

  
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containing a description of the Article 9 Collateral consisting of United States issued Patents and published United States Patent applications, United States registered Trademarks (and
Trademarks for which United States applications for registration are pending), United States registered Copyrights and United States exclusive Copyright Licenses under which a Grantor is a licensee, as applicable, and executed by each Grantor owning
any such Article 9 Collateral, have been delivered to the Administrative Agent for recording with the United States Patent and Trademark Office and the United States Copyright Office, as applicable, pursuant to applicable law and regulation, to
protect the validity of and to establish a legal, valid and perfected security interest in favor of the Administrative Agent (for the benefit of the Secured Parties) in respect of all Article 9 Collateral consisting of United States issued
Patents and published United States Patent applications, United States registered Trademarks (and Trademarks for which United States applications for registration are pending), United States registered Copyrights and United States exclusive
Copyright Licenses under which a Grantor is a licensee in which a security interest may be perfected by filing, recording or registration in the United States of America, and no further or subsequent filing, refiling, recording, rerecording,
registration or reregistration is necessary with respect to any such Article 9 Collateral in any such jurisdiction (other than such actions as are necessary to perfect the Security Interest with respect to any Article 9 Collateral
consisting of United States Patents, United States registered Trademarks and United States registered Copyrights and United States exclusive Copyright Licenses under which a Grantor is a licensee (or registration or application for registration
thereof) acquired or developed after the Effective Date). 
 (c) The Security Interest constitutes (i) a legal and valid security
interest in all the Article 9 Collateral securing the payment of the Obligations, (ii) subject to the filings described in Section 4.02(b), a perfected security interest in all Article 9 Collateral in which a security interest
may be perfected by filing, recording or registering a financing statement or analogous document in the United States of America pursuant to the Uniform Commercial Code or other applicable law in such jurisdictions and (iii) a security interest
that shall be perfected in all Article 9 Collateral in which a security interest may be perfected upon the receipt and recording of the IP Security Agreements with the United States Patent and Trademark Office and the United States Copyright
Office, as applicable. The Security Interest is and shall be prior to any other Lien on any of the Article 9 Collateral, other than Liens expressly permitted pursuant to Section 6.02 of the Credit Agreement to have equal or greater
priority. 
 (d) Schedule VI sets forth, as of the Effective Date, a true and complete list (in all material respects), with respect to each
Grantor, of (i) all Patents owned by such Grantor that have been granted by the United States Patent and Trademark Office and for which published United States registration applications are pending, (ii) all Copyrights owned by such
Grantor that have been registered with the United States Copyright Office, (iii) all Trademarks owned by such Grantor that have been registered with the United States Patent and Trademark Office and for which United States registration
applications are pending, and (iv) all exclusive Copyright Licenses under which such Grantor is a licensee, in each case truly and completely specifying the name of the registered owner, title or mark, registration or application number and
(except 

  
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with respect to Copyrights) registration date (if already registered) or application date and, with respect to any such exclusive Licenses, the licensee, the licensor and date of license
agreement. In the event any Supplement or any certificate delivered pursuant to Section 4.03(b) shall set forth any Intellectual Property described in the foregoing (i) through (vi), Schedule VI shall be deemed to be supplemented to
include the reference to such Intellectual Property, in the same form as such reference is set forth on such certificate or Supplement. 

(e) Schedule VII sets forth, as of the Effective Date, a true and complete list, with respect to each Grantor, of each Commercial Tort Claim
seeking damages in an amount reasonably estimated to exceed $10,000,000 held by any Grantor, including a brief description thereof. In the event any Supplement or any certificate delivered pursuant to Section 4.03(b) shall set forth any
Commercial Tort Claim, Schedule VII shall be deemed to be supplemented to include the reference to such Commercial Tort Claim (and the description thereof), in the same form as such reference and description are set forth on such certificate or
Supplement. 
 (f) No Grantor has filed or consented to the filing of (i) any financing statement or analogous document under the
Uniform Commercial Code or any other applicable laws covering any Article 9 Collateral, (ii) any assignment in which any Grantor assigns any Collateral or any security agreement or similar instrument covering any Article 9 Collateral with the
United States Patent and Trademark Office or the United States Copyright Office, (iii) any notice under the Assignment of Claims Act, or (iv) any assignment in which any Grantor assigns any Article 9 Collateral or any security agreement or
similar instrument covering any Article 9 Collateral with any foreign governmental, municipal or other office, which financing statement or analogous document, assignment, security agreement or similar instrument is still in effect, except, in each
case, for any of the foregoing related solely to Liens expressly permitted pursuant to Section 6.02 of the Credit Agreement. 
 SECTION
4.03. Covenants. (a) Each Grantor agrees (i) to be bound by the provisions of Section 5.04 of the Credit Agreement with the same force and effect, and to the same extent, as if each reference therein to the Company were a
reference to such Grantor, (ii) promptly to provide the Administrative Agent with certified organizational documents reflecting any of the changes described in Section 5.04 of the Credit Agreement and (iii) to be bound by the
provisions of Sections 2.16, 5.05, 5.06, 5.07, 5.08, 5.09, 5.10, 5.12, 5.14 and 9.20 of the Credit Agreement with the same force and effect, and to the same extent, as if such Grantor were a party to the Credit Agreement. Each Grantor agrees not to
effect or permit any change referred to in the preceding sentence during any Non-Investment Grade Period unless all filings have been made (or the Administrative Agent shall have been advised of the Company’s intent to make such change and
shall have received all the information necessary to, and shall have been authorized to, make all filings) under the Uniform Commercial Code or all actions otherwise required have been taken in order for the Administrative Agent to continue at all
times following such change to have a valid, legal and perfected security interest, having the priority required by this Agreement, in all the Article 9 Collateral. Each Grantor agrees promptly to notify the Administrative Agent if any material
portion of the Article 9 Collateral owned or held by such Grantor is damaged, destroyed, or subject to condemnation. 

  
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 (b) [Reserved]. 

(c) Each Grantor shall, at its own expense, take any and all commercially reasonable actions necessary to defend title to the Article 9
Collateral owned by such Grantor against all Persons and to defend the Security Interest of the Administrative Agent in the Article 9 Collateral and the priority thereof against any Lien not permitted pursuant to Section 6.02 of the Credit
Agreement. 
 (d) Each Grantor agrees, at its own expense, to execute, acknowledge, deliver and cause to be duly filed all such further
instruments, financing statements, agreements and documents and take all such other actions as the Administrative Agent may from time to time reasonably request to cause the Collateral and Guarantee Requirement to be and remain satisfied at all
times or otherwise to effectuate the provisions of the Loan Documents. 
 (e) [Reserved]. 

(f) At its option, the Administrative Agent may discharge past due Taxes, assessments, charges, fees and Liens at any time levied or placed on
the Article 9 Collateral that are not permitted by the Credit Agreement, and may pay for the maintenance and preservation of the Article 9 Collateral to the extent any Grantor fails to do so as required by this Agreement or the other Loan
Documents, and each Grantor jointly and severally agrees to reimburse the Administrative Agent on demand for any payment made or any expense incurred by the Administrative Agent pursuant to the foregoing authorization (and any such payment made or
expense waived shall be an additional Obligation secured hereby); provided that nothing in this Section 4.03(f) shall be interpreted as excusing any Grantor from the performance of, or imposing any obligation on the Administrative Agent
or any Secured Party to cure or perform, any covenants or other promises of any Grantor with respect to Taxes, assessments, charges, fees and Liens and maintenance as set forth herein or in the other Loan Documents. 

(g) Each Grantor shall remain liable to observe and perform all the conditions and obligations to be observed and performed by it under each
contract, agreement or instrument relating to the Article 9 Collateral, all in accordance with the terms and conditions thereof, except where the failure to do so could not reasonably be expected to result in a Material Adverse Effect, and each
Grantor jointly and severally agrees to indemnify and hold harmless the Administrative Agent and the Secured Parties from and against any and all liability for such performance. 

(h) Each Grantor shall not transfer, and shall remain at all times in possession or control of, the Article 9 Collateral owned by it, except
that the Grantors may use and dispose of the Article 9 Collateral in any lawful manner not inconsistent with the provisions of this Agreement, the Credit Agreement or any other Loan Document. Notwithstanding the foregoing, if an Event of Default
shall have occurred 

  
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and be continuing, each Grantor shall not sell, convey, lease, assign, transfer or otherwise dispose of any Article 9 Collateral, and shall remain at all times in possession or control of the
Article 9 Collateral owned by it, other than any sale of inventory in the ordinary course of business in any lawful manner not inconsistent with the provisions of this Agreement, the Credit Agreement or any other Loan Document; provided that,
if upon or during the continuance of any such Event of Default the maturity of the Loans has been accelerated, no Grantor may sell any Article 9 Collateral to the extent it has been designated by the Administrative Agent (which designation may be
given by telephone if promptly confirmed in writing) as being subject to a sale in connection with its exercise of remedies hereunder and under the other Loan Documents. 

(i) None of the Grantors will, without the Administrative Agent’s prior written consent, grant any extension of the time of payment of any
Accounts or any Payment Intangibles included in the Article 9 Collateral, compromise, compound or settle the same for less than the full amount thereof, release, wholly or partly, any Person liable for the payment thereof or allow any credit or
discount whatsoever thereon, other than extensions, compromises, settlements, releases, credits or discounts granted or made in the ordinary course of business and consistent with its current practices or as otherwise permitted by the Credit
Agreement. 
 (j) Each Grantor irrevocably makes, constitutes and appoints the Administrative Agent (and its designees) as such
Grantor’s true and lawful agent (and attorney-in-fact) for the purpose, upon the occurrence and during the continuance of an Event of Default, of making, settling and adjusting claims in respect of Article 9 Collateral under policies of
insurance, endorsing the name of such Grantor on any check, draft, instrument or other item of payment for the proceeds of such policies of insurance and for making all determinations and decisions with respect thereto. In the event that any Grantor
at any time or times shall fail to obtain or maintain any of the policies of insurance required pursuant to Section 5.08 of the Credit Agreement, or to pay any premium in whole or part relating thereto, the Administrative Agent may, without
waiving or releasing any obligation or liability of the Grantors hereunder or any Event of Default, in its sole discretion, obtain and maintain such policies of insurance and pay such premium and take any other actions with respect thereto as the
Administrative Agent deems advisable. All sums disbursed by the Administrative Agent in connection with this paragraph, including reasonable attorneys’ fees, court costs, expenses and other charges relating thereto, shall be payable upon demand
by the Grantors to the Administrative Agent and shall be additional Obligations secured hereby. 
 SECTION 4.04. Instruments and Tangible
Chattel Paper. Without limiting each Grantor’s obligations under Article III, if any Grantor shall at any time on or after the Effective Date hold or acquire any Instruments (other than any instrument with a face amount of less than
$10,000,000) or Tangible Chattel Paper (other than Tangible Chattel Paper acquired in the ordinary course of business), such Grantor shall forthwith endorse, assign and deliver the same to the Administrative Agent, accompanied by such instruments of
transfer or assignment duly executed in blank as the Administrative Agent may from time to time reasonably request. Prior to any delivery of 

  
 33 

 
any such Tangible Chattel Paper pursuant to the immediately preceding sentence, each Grantor shall hold all Chattel Paper included in the Collateral in its possession or control as bailee for the
Administrative Agent, for the benefit of the Secured Parties, and shall not transfer possession or control of such Chattel Paper to any third party without the consent of the Administrative Agent. All such Chattel Paper is held at the locations
identified in Schedule VIII, in the Electronic Invoice System or in other electronic document management systems (which may include document storage systems provided by third party vendors used in the ordinary course of the applicable Grantor’s
business). 
 SECTION 4.05. Covenants Regarding Patent, Trademark and Copyright Collateral. (a) Except as shall be consistent
with commercially reasonable business judgment, each Grantor agrees that it will not take any action or omit to take any action (and will exercise commercially reasonable efforts to prevent its licensees from taking any action or omitting to take
any action) whereby any Patent material to the conduct of the business of the Company and the Subsidiaries is likely to become invalidated or dedicated to the public (except as a result of expiration of such Patent at the end of its statutory term).

 (b) Except as shall be consistent with commercially reasonable business judgment, each Grantor will (and will exercise commercially
reasonable efforts to cause its licensees or its sublicensees to), for each Trademark material to the conduct of the business of the Company and the Subsidiaries (i) maintain such Trademark in full force, free from any valid claim of
abandonment or invalidity for non-use, (ii) maintain the quality of products and services offered under such Trademark and (iii) not knowingly use or knowingly permit the use of such Trademark in
violation of any third-party rights. 
 (c) Each Grantor shall notify the Administrative Agent promptly if it knows that any Patent,
Trademark or Copyright material to the conduct of the business of the Company and the Subsidiaries may become abandoned, lost or dedicated to the public, or of any materially adverse proceeding or determination (including the institution of any such
proceeding or any such determination in the United States Patent and Trademark Office, United States Copyright Office or any court or similar office of any country, except for any office actions or other determinations in the ordinary course of
prosecution before the United States Patent and Trademark Office or the United States Copyright Office or any similar office of any country) regarding such Grantor’s ownership of any such Patent, Trademark or Copyright, its right to register
the same, or its right to keep and maintain the same. 
 (d) Except as shall be consistent with commercially reasonable business judgment,
each Grantor will take all necessary steps that are consistent with its current practice (i) in any proceeding before the United States Patent and Trademark Office, United States Copyright Office or any office or agency in any political
subdivision of the United States of America or in any other country or any political subdivision thereof, to maintain and pursue each material application relating to its Patents, Trademarks and/or Copyrights (and to obtain the relevant grant or
registration) and (ii) to maintain each issued Patent and each registration of the Trademarks and Copyrights 

  
 34 

 
that is material to the conduct of any Grantor’s business, including timely filings of applications for renewal, affidavits of use, affidavits of incontestability and payment of maintenance
fees, and, if consistent with good business judgment, to initiate opposition, interference and cancelation proceedings against third parties. 

(e) In the event that any Grantor has reason to believe that any Article 9 Collateral consisting of a Patent, Trademark or Copyright
material to the conduct of any Grantor’s business has been or is about to be infringed, misappropriated or diluted by a third party, such Grantor shall promptly notify the Administrative Agent and shall, take commercially reasonable action to
sue for infringement, misappropriation or dilution and to recover any and all damages for such infringement, misappropriation or dilution, and take such other actions as are appropriate under the circumstances to protect such Article 9
Collateral, except, in each case, as shall be consistent with commercially reasonable business judgment. 
 (f) Upon the occurrence and
during the continuance of an Event of Default, each Grantor shall, upon request of the Administrative Agent, use commercially reasonable efforts to obtain all requisite consents or approvals by the licensor of each Copyright License, Patent License
or Trademark License under which such Grantor is a licensee to effect the assignment of all such Grantor’s right, title and interest thereunder to the Administrative Agent or its designee. 

ARTICLE V 
 Remedies

 SECTION 5.01. Remedies Upon Default. Upon the occurrence and during the continuance of an Event of Default, each Grantor agrees,
at the Administrative Agent’s request, to assemble all or part of the Collateral and make it available to the Administrative Agent at places which the Administrative Agent shall reasonably select, whether at such Grantor’s premises or
elsewhere to the Administrative Agent or any Person designated by the Administrative Agent and it is agreed that the Administrative Agent shall have the right to exercise remedies in accordance with Article VII of the Credit Agreement and in
connection therewith to take any of or all the following actions at the same or different times: (a) with respect to any Article 9 Collateral consisting of registered or applied-for Intellectual Property, on demand, to cause the Security
Interest to become an assignment, transfer and conveyance of any of or all such Article 9 Collateral by the applicable Grantors to the Administrative Agent, or to license or sublicense in accordance with Section 5.05, and (b) with or
without legal process and with or without prior notice or demand for performance, to take possession of the Article 9 Collateral and without liability for trespass to enter any premises where the Article 9 Collateral may be located for the
purpose of taking possession of or removing the Article 9 Collateral and, generally, to exercise any and all rights afforded to a secured party under the Uniform Commercial Code or other applicable law. Each Grantor agrees that the
Administrative Agent shall have the right, subject to the mandatory requirements of applicable law and the notice requirements described below, and subject to any applicable notice requirements described in Article VII of the Credit Agreement, to
sell 

  
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 or otherwise dispose of all or any part of the Collateral at a public or private sale or any securities exchange,
for cash, upon credit or for future delivery as the Administrative Agent shall deem appropriate. The Administrative Agent shall be authorized at any such sale of securities (if it deems it advisable to do so) to restrict the prospective bidders or
purchasers to Persons who will represent and agree that they are purchasing the Collateral for their own account for investment and not with a view to the distribution or sale thereof, and upon consummation of any such sale the Administrative Agent
shall have the right to assign, transfer and deliver to the purchaser or purchasers thereof the Collateral so sold. Each such purchaser at any sale of Collateral shall hold the property sold absolutely free from any claim or right on the part of any
Grantor, and each Grantor hereby waives (to the extent permitted by law) all rights of redemption, stay and appraisal that such Grantor now has or may at any time in the future have under any rule of law or statute now existing or hereafter enacted,
in connection with any exercise of remedies by the Administrative Agent or the Secured Parties in respect of the Collateral. 
 The
Administrative Agent shall give the applicable Grantors no less than 10 days’ prior written notice (which each Grantor agrees is reasonable notice within the meaning of Section 9-611 of the
New York UCC or its equivalent in other jurisdictions) of the Administrative Agent’s intention to make any sale of Collateral. Such notice, in the case of a public sale, shall state the time and place for such sale and, in the case of a
sale on a securities exchange, shall state the exchange at which such sale is to be made and the day on which the Collateral or portion thereof, will first be offered for sale at such exchange. Any such public sale shall be held at such time or
times within ordinary business hours and at such place or places as the Administrative Agent may fix and state in the notice (if any) of such sale. At any such sale, the Collateral, or portion thereof, to be sold may be sold in one lot as an
entirety or in separate parcels, as the Administrative Agent may (in its sole and absolute discretion) determine. The Administrative Agent shall not be obligated to make any sale of any Collateral if it shall determine not to do so, regardless of
the fact that notice of sale of such Collateral shall have been given. The Administrative Agent may, without notice or publication, adjourn any public or private sale or cause the same to be adjourned from time to time by announcement at the time
and place fixed for sale, and such sale may, without further notice (except any notice required by law), be made at the time and place to which the same was so adjourned. In case any sale of all or any part of the Collateral is made on credit or for
future delivery, the Collateral so sold may be retained by the Administrative Agent until the sale price is paid by the purchaser or purchasers thereof, but none of the Administrative Agent or the other Secured Parties shall incur any liability in
case any such purchaser or purchasers shall fail to take up and pay for the Collateral so sold and, in case of any such failure, such Collateral may be sold again upon like notice. In the event of a foreclosure by the Administrative Agent on any of
the Collateral pursuant to a public or private sale or other disposition, the Administrative Agent or any Lender may be the purchaser or licensor of any or all of such Collateral at any such sale or other disposition, and the Administrative Agent,
at the direction of the Required Lenders, as agent for and representative of the Secured Parties (but not any Lender or Lenders in its or their respective individual capacities unless the Required Lenders shall otherwise agree in writing) shall be
entitled, for the purpose of bidding and making settlement or payment of the purchase price for all or any portion of the Collateral sold at any such public sale, to use and apply any of the 

  
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Loan Document Obligations as a credit on account of the purchase price for any Collateral payable by the Administrative Agent on behalf of the Secured Parties at such sale or other disposition.
For purposes hereof, a written agreement to purchase the Collateral or any portion thereof shall be treated as a sale thereof; the Administrative Agent shall be free to carry out such sale pursuant to such agreement and no Grantor shall be entitled
to the return of the Collateral or any portion thereof subject thereto, notwithstanding the fact that after the Administrative Agent shall have entered into such an agreement all Events of Default shall have been remedied and the Obligations paid in
full, but any such proceeds shall be paid over to the Grantors to the extent required by Section 5.02. As an alternative to exercising the power of sale herein conferred upon it, the Administrative Agent may proceed by a suit or suits at law or
in equity to foreclose this Agreement and to sell the Collateral or any portion thereof pursuant to a judgment or decree of a court or courts having competent jurisdiction or pursuant to a proceeding by a
court-appointed receiver. Each Grantor hereby waives any claims against the Administrative Agent arising by reason of the fact that the price at which any Collateral may have been sold at such a private sale
was less than the price which might have been obtained at a public sale, even if the Administrative Agent accepts the first offer received and does not offer such Collateral to more than one offeree, and agrees that notwithstanding that a private
sale of Collateral may result in a lower sale price than a public sale, such lower sale price will not, in and of itself, affect the commercially reasonableness of such sale for purposes of
Section 9-610(b) of the Uniform Commercial Code. 
 SECTION 5.02. Application of
Proceeds. The Administrative Agent shall apply the proceeds of any collection or sale of Collateral, including any Collateral consisting of cash, as follows: 

FIRST, to the payment of all costs and expenses incurred by the Administrative Agent in connection with such collection or sale
or otherwise in connection with this Agreement, any other Loan Document or any of the Obligations, including all court costs and the reasonable fees and expenses of its agents and legal counsel, the repayment of all advances made by the
Administrative Agent hereunder or under any other Loan Document on behalf of any Grantor and any other reasonable costs or expenses incurred in connection with the exercise of any right or remedy hereunder or under any other Loan Document; 

SECOND, to the payment in full of the Obligations (the amounts so applied to be distributed among the Secured Parties pro rata
in accordance with the amounts of the Obligations owed to them on the date of any such distribution); and 
 THIRD, to the
Grantors, their successors or assigns, or as a court of competent jurisdiction may otherwise direct. 

  
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 The Administrative Agent shall have absolute discretion as to the time of application of any such proceeds,
moneys or balances in accordance with this Agreement. Upon any sale of Collateral by the Administrative Agent (including pursuant to a power of sale granted by statute or under a judicial proceeding), the receipt of the Administrative Agent or of
the officer making the sale shall be a sufficient discharge to the purchaser or purchasers of the Collateral so sold and such purchaser or purchasers shall not be obligated to see to the application of any part of the purchase money paid over to the
Administrative Agent or such officer or be answerable in any way for the misapplication thereof. Notwithstanding the foregoing, the proceeds of any collection, sale, foreclosure or realization upon any Collateral of any Grantor, including any
collateral consisting of cash, shall not be applied to any Excluded Swap Obligation of such Grantor and shall instead be applied to other secured obligations. 

SECTION 5.03. Securities Act. In view of the position of the Grantors in relation to the Collateral, or because of other current or
future circumstances, a question may arise under the Securities Act of 1933, as now or hereafter in effect, or any similar statute hereafter enacted analogous in purpose or effect (such Act and any such similar statute as from time to time in effect
being called the “Federal Securities Laws”) with respect to any disposition of the Collateral permitted hereunder. Each Grantor understands that compliance with the Federal Securities Laws might very strictly limit the course of
conduct of the Administrative Agent if the Administrative Agent were to attempt to dispose of all or any part of the Collateral, and might also limit the extent to which or the manner in which any subsequent transferee of any Collateral could
dispose of the same. Similarly, there may be other legal restrictions or limitations affecting the Administrative Agent in any attempt to dispose of all or part of the Collateral under applicable “blue sky” or other state securities laws
or similar laws analogous in purpose or effect. Each Grantor recognizes that in light of such restrictions and limitations the Administrative Agent may, with respect to any sale of the Collateral, limit the purchasers to those who will agree, among
other things, to acquire such Collateral for their own account, for investment, and not with a view to the distribution or resale thereof. Each Grantor acknowledges and agrees that in light of such restrictions and limitations, the Administrative
Agent, in its sole and absolute discretion, (a) may proceed to make such a sale whether or not a registration statement for the purpose of registering such Pledged Collateral or part thereof shall have been filed under the Federal Securities
Laws to the extent the Administrative Agent has determined that such a registration is not required by any Requirement of Law and (b) may approach and negotiate with a limited number of potential purchasers (including a single potential
purchaser) to effect such sale. Each Grantor acknowledges and agrees that any such sale might result in prices and other terms less favorable to the seller than if such sale were a public sale without such restrictions. In the event of any such
sale, none of the Administrative Agent or the other Secured Parties shall incur any responsibility or liability for selling all or any part of the Collateral at a price that the Administrative Agent, in its sole and absolute discretion, may in good
faith deem reasonable under the circumstances, notwithstanding the possibility that a substantially higher price might have been realized if the sale were deferred until after registration as aforesaid or if more than a limited number of purchases
(or a single purchaser) were approached. The provisions of this Section 5.03 will apply notwithstanding the existence of a public or private market upon which the quotations or sales prices may exceed substantially the price at which the
Administrative Agent sells. 

  
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 SECTION 5.04. Registration. Each Grantor agrees that, upon the occurrence and during the
continuance of an Event of Default, if for any reason the Administrative Agent desires to sell any of the Collateral at a public sale, it will, at any time and from time to time, upon the written request of the Administrative Agent, use its best
efforts to take or to cause the issuer of such Collateral to take such action and prepare, distribute and/or file such documents, as are required or advisable in the reasonable opinion of counsel for the Administrative Agent to permit the public
sale of such Collateral. Each Grantor further agrees to indemnify, defend and hold harmless the Administrative Agent, each other Secured Party, any underwriter and their respective affiliates and their respective officers, directors, affiliates and
controlling persons from and against all loss, liability, expense or claims (including the reasonable fees, disbursements and other charges of one counsel for all such persons, and, if necessary, one firm of local counsel in each appropriate
jurisdiction (which may include a single special counsel acting in multiple jurisdictions) (including the costs of investigation) that they may incur insofar as such loss, liability, expense or claim arises out of or is based upon any alleged untrue
statement of a material fact by or on behalf of a Grantor contained in any prospectus (or any amendment or supplement thereto) or in any notification or offering circular, or arises out of or is based upon any alleged omission by or on behalf of a
Grantor to state a material fact required to be stated therein or necessary to make the statements in any thereof not misleading. Each Grantor further agrees, upon such written request referred to above, to use its best efforts to qualify, file or
register, or cause the issuer of such Collateral to qualify, file or register, any of the Collateral under the “blue sky” or other securities laws of such states as may be requested by the Administrative Agent and keep effective, or cause
to be kept effective, all such qualifications, filings or registrations. Each Grantor will bear all costs and expenses of carrying out its obligations under this Section 5.04. Each Grantor acknowledges that there is no adequate remedy at law
for failure by it to comply with the provisions of this Section 5.04 and that such failure would not be adequately compensable in damages, and therefore agrees that its agreements contained in this Section 5.04 may be specifically
enforced. 
 SECTION 5.05. Grant of License To Use Intellectual Property. For the purpose of enabling the Administrative Agent to
exercise rights and remedies under this Agreement at such time as the Administrative Agent shall be lawfully entitled to exercise such rights and remedies, each Grantor hereby grants to the Administrative Agent an irrevocable, nonexclusive license
and, to the extent permitted under Licenses granting such Grantor rights in Intellectual Property, sublicense (exercisable without payment of royalty or other compensation to the Grantors) to use, license or sublicense any of the Article 9
Collateral consisting of Intellectual Property now owned or hereafter acquired by such Grantor, and wherever the same may be located, and including in such license reasonable access to all media in which any of the licensed items may be recorded or
stored and to all computer software and programs used for the compilation or printout thereof, and, to the extent permitted by applicable law, the right to prosecute and maintain all Intellectual Property and the right to sue for infringement of the
Intellectual Property. Each Grantor further agrees to cooperate with the Administrative Agent in any attempt to prosecute or maintain the Intellectual Property or sue for infringement of the Intellectual Property. The use of such license by the
Administrative Agent may be 

  
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exercised, at the option of the Administrative Agent, only upon the occurrence and during the continuation of an Event of Default; provided (i) that any license, sublicense or other
transaction entered into by the Administrative Agent in accordance herewith shall be binding upon the Grantors notwithstanding any subsequent cure of an Event of Default, (ii) such license shall be subject to the rights of any licensee under
any exclusive License granted prior to such Event of Default, (iii) the quality of any services or products in connection with which any Trademarks included in the Article 9 Collateral are used will not be materially inferior to the quality of
such services and products sold by any Grantor under such Trademarks immediately prior to such Event of Default and such Grantor shall have the right to inspect any such services and products to monitor compliance with such standard, and
(iv) to the extent such license is a sublicense of any Grantor’s rights as licensee under any License, the license to the Administrative Agent shall act in accordance with any limitations in such License actually known to it, including
prohibitions on further sublicensing. 
 ARTICLE VI  

Indemnity, Subrogation and Subordination 

SECTION 6.01. Indemnity and Subrogation. In addition to all such rights of indemnity and subrogation as the Guarantors may have under
applicable law (but subject to Section 6.03 in respect of any payment hereunder), the Company agrees that (a) in the event a payment in respect of any Obligation shall be made by any Guarantor under this Agreement, the Company shall
indemnify such Guarantor for the full amount of such payment and such Guarantor shall be subrogated to the rights of the Person to whom such payment shall have been made to the extent of such payment and (b) in the event any assets of any
Guarantor or Grantor shall be sold pursuant to this Agreement, the Pledge Agreement or any other Security Document to satisfy in whole or in part any Obligation or any Shared Pledge Obligation, the Company shall indemnify such Guarantor or Grantor
in an amount equal to the greater of the book value or the fair market value of the assets so sold. 
 SECTION 6.02. Contribution and
Subrogation. Each Guarantor and Grantor (a “Contributing Party”) agrees (subject to Section 6.03) that, in the event a payment shall be made by any other Guarantor hereunder in respect of any Obligation or assets of any
other Guarantor or Grantor (other than the Company) shall be sold pursuant to this Agreement, the Pledge Agreement or any other Security Document to satisfy any Obligation or Shared Pledge Obligation and such other Guarantor or Grantor (the
“Claiming Party”) shall not have been fully indemnified by the Company as provided in Section 6.01, the Contributing Party shall indemnify the Claiming Party in an amount equal to the amount of such payment or the greater of
the book value or the fair market value of such assets (the “Indemnified Amount”), as the case may be, in each case multiplied by a fraction of which the numerator shall be the net worth of the Contributing Party on the Effective
Date (or, in the case of any Guarantor or Grantor becoming a party hereto pursuant to Section 8.13 or to the Pledge Agreement pursuant to Section 5.13 thereof, the date of the supplement hereto or to the Pledge Agreement, as the case may
be, executed and delivered by such Guarantor or Grantor) and the denominator shall be 

  
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the aggregate net worth of all the Guarantors and Grantors on the Effective Date (or, in the case of any Guarantor or Grantor becoming a party hereto pursuant to Section 8.13 or to the
Pledge Agreement pursuant to Section 5.13 thereof, such other date). Any Contributing Party making any payment to a Claiming Party pursuant to this Section 6.02 shall (subject to Section 6.03) be subrogated to the rights of such
Claiming Party under Section 6.01 to the extent of such payment. Notwithstanding the foregoing, to the extent that any Claiming Party’s right to indemnification hereunder arises from a payment or sale of Collateral made to satisfy
Obligations constituting Swap Obligations, only those Contributing Parties for whom such Swap Obligations do not constitute Excluded Swap Obligations shall indemnify such Claiming Party, with the fraction set forth in the second preceding sentence
being modified as appropriate to provide for indemnification of the entire Indemnified Amount. 
 SECTION 6.03. Subordination.
(a) Notwithstanding any provision of this Agreement to the contrary, all rights of the Guarantors and Grantors under Sections 6.01 and 6.02 and all other rights of the Guarantors and Grantors of indemnity, contribution or subrogation under
applicable law or otherwise shall be fully subordinated to the indefeasible payment in full in cash of the Obligations and the Shared Pledge Credit Agreement Obligations. No failure on the part of the Company or any other Guarantor or Grantor to
make the payments required by Sections 6.01 and 6.02 (or any other payments required under applicable law or otherwise) shall in any respect limit the obligations and liabilities of any Guarantor or Grantor with respect to its obligations
hereunder or under the Pledge Agreement, and each Guarantor and Grantor shall remain liable for the full amount of the obligations of such Guarantor or Grantor hereunder and under the Pledge Agreement. 

(b) Each Guarantor and Grantor hereby agrees that all Indebtedness and other monetary obligations owed by it to, or to it by, any other
Guarantor, Grantor or any other Subsidiary shall be fully subordinated to the indefeasible payment in full in cash of the Obligations and the Shared Pledge Credit Agreement Obligations. 

ARTICLE VII  

Foreign Borrower Guarantee 

SECTION 7.01. Guarantee. Each Foreign Borrower irrevocably and unconditionally guarantees to each of the Secured Parties, jointly with
the other Foreign Borrowers and severally, as a primary obligor and not merely as a surety, the due and punctual payment and performance of the Foreign Borrower Obligations. Each Foreign Borrower further agrees that the Foreign Borrower Obligations
may be extended or renewed, in whole or in part, or amended or modified, without notice to or further assent from it, and that it will remain bound upon its guarantee hereunder notwithstanding any extension, renewal, amendment or modification of any
Foreign Borrower Obligation. Each Foreign Borrower waives presentment to, demand of payment from and protest to any Foreign Borrower or any other Loan Party of any of the Foreign Borrower Obligations, and also waives notice of acceptance of its
guarantee hereunder and notice of protest for nonpayment. 

  
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 SECTION 7.02. Guarantee of Payment; Continuing Guarantee. Each Foreign Borrower further
agrees that its guarantee hereunder constitutes a guarantee of payment when due (whether or not any bankruptcy, insolvency, receivership, examinership or similar proceeding shall have stayed the accrual or collection of any of the Foreign Borrower
Obligations or operated as a discharge thereof) and not merely of collection, and waives any right to require that any resort be had by the Administrative Agent or any other Secured Party to any security held for the payment of any of the Foreign
Borrower Obligations or to any balance of any deposit account or credit on the books of the Administrative Agent or any other Secured Party in favor of any Foreign Borrower, any other Loan Party, or any other Person. Each Foreign Borrower agrees
that its guarantee hereunder is continuing in nature and applies to all Foreign Borrower Obligations, whether currently existing or hereafter incurred. 

SECTION 7.03. No Limitations. (a) Except for the termination and release of a Foreign Borrower’s obligations hereunder as
expressly provided in Section 8.12, the obligations of each Foreign Borrower hereunder shall not be subject to any reduction, limitation, impairment or termination for any reason, including any claim of waiver, release, surrender, alteration or
compromise of any of the Foreign Borrower Obligations, and shall not be subject to any defense or set-off, counterclaim, recoupment or termination whatsoever by reason of the invalidity, illegality or unenforceability of any of the Foreign Borrower
Obligations, any impossibility in the performance of any of the Foreign Borrower Obligations, or otherwise. Without limiting the generality of the foregoing, except for the termination or release of its obligations hereunder as expressly provided in
Section 8.12, the obligations of each Foreign Borrower hereunder shall not be discharged or impaired or otherwise affected by (i) the failure of the Administrative Agent or any other Secured Party to assert any claim or demand or to
enforce any right or remedy under the provisions of any Loan Document or otherwise; (ii) any rescission, waiver, amendment or modification of, or any release from any of the terms or provisions of, any Loan Document or any other agreement,
including with respect to any other Foreign Borrower under this Agreement; (iii) the release of, or any impairment of or failure to perfect any Lien on, any security held by the Administrative Agent or any other Secured Party for any of the
Foreign Borrower Obligations; (iv) any default, failure or delay, wilful or otherwise, in the performance of any of the Foreign Borrower Obligations; (v) any other act or omission that may or might in any manner or to any extent vary the
risk of any Foreign Borrower or otherwise operate as a discharge of any Foreign Borrower as a matter of law or equity (other than the indefeasible payment in full in cash of all the Foreign Borrower Obligations); (vi) any illegality, lack of
validity or lack of enforceability of any of the Foreign Borrower Obligations; (vii) any change in the corporate existence, structure or ownership of any Loan Party, or any insolvency, bankruptcy, receivership, examinership, reorganization or
other similar proceeding affecting any Loan Party or its assets or any resulting release or discharge of any of the Foreign Borrower Obligations; (viii) the existence of any claim, set-off or other rights that any Foreign Borrower may have at
any time against any Foreign Borrower, the Administrative Agent, any other Secured Party or any other Person, whether in connection with the Credit Agreement, the other Loan Documents or any unrelated transaction; (ix) this Agreement having
been determined (on whatsoever grounds) to be invalid, non-binding or unenforceable against any other Foreign Borrower ab initio or at 

  
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any time after the Effective Date; (x) the fact that any Person that, pursuant to the Loan Documents, was required to become a party hereto may not have executed or is not effectually bound
by this Agreement, whether or not this fact is known to the Secured Parties, (xi) any action permitted or authorized hereunder; or (xii) any other circumstance (including any statute of limitations), or any existence of or reliance on any
representation by the Administrative Agent, any other Secured Party or any other Person, that might otherwise constitute a defense to, or a legal or equitable discharge of, any Foreign Borrower or any other guarantor or surety (other than the
payment in full in cash of all the Foreign Borrower Obligations (excluding contingent obligations as to which no claim has been made) and the expiration, termination or cash collateralization of each Letter of Credit issued for the account of a
Foreign Borrower). Each Foreign Borrower expressly authorizes the Secured Parties to take and hold security for the payment and performance of the Foreign Borrower Obligations, to exchange, waive or release any or all such security (with or without
consideration), to enforce or apply such security and direct the order and manner of any sale thereof in their sole discretion or to release or substitute any one or more other guarantors or obligors upon or in respect of the Foreign Borrower
Obligations, all without affecting the obligations of any Foreign Borrower hereunder. 
 (b) To the fullest extent permitted by applicable
law, each Foreign Borrower waives any defense based on or arising out of any defense of any Foreign Borrower or any other Loan Party or the unenforceability of the Foreign Borrower Obligations or any part thereof from any cause, or the cessation
from any cause of the liability of any Foreign Borrower or any other Loan Party, other than the indefeasible payment in full in cash of all the Foreign Borrower Obligations. The Administrative Agent and the other Secured Parties may, at their
election, foreclose on any security held by one or more of them by one or more judicial or nonjudicial sales, accept an assignment of any such security in lieu of foreclosure, compromise or adjust any part of the Foreign Borrower Obligations, make
any other accommodation with any Foreign Borrower or any other Loan Party or exercise any other right or remedy available to them against any Foreign Borrower or any other Loan Party, without affecting or impairing in any way the liability of any
Foreign Borrower hereunder except to the extent the Foreign Borrower Obligations have been fully and indefeasibly paid in full in cash. To the fullest extent permitted by applicable law, each Foreign Borrower waives any defense arising out of any
such election even though such election operates, pursuant to applicable law, to impair or to extinguish any right of reimbursement or subrogation or other right or remedy of such Foreign Borrower against any Foreign Borrower or any other Loan
Party, as the case may be, or any security. 
 SECTION 7.04. Reinstatement. Each Foreign Borrower agrees that, unless released
pursuant to Section 8.12, its guarantee hereunder shall continue to be effective or be reinstated, as the case may be, if at any time payment, or any part thereof, of any Foreign Borrower Obligation is rescinded or must otherwise be restored by
the Administrative Agent or any other Secured Party upon the bankruptcy or reorganization (or any analogous proceeding in any jurisdiction) of any Foreign Borrower, any other Loan Party or otherwise. 

  
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 SECTION 7.05. Agreement to Pay; Subrogation. In furtherance of the foregoing and not in
limitation of any other right that the Administrative Agent or any other Secured Party has at law or in equity against any Foreign Borrower by virtue hereof, upon the failure of any Foreign Borrower or any other Loan Party to pay any Foreign
Borrower Obligation when and as the same shall become due, whether at maturity, by acceleration, after notice of prepayment or otherwise, each Foreign Borrower hereby promises to and will forthwith pay, or cause to be paid, to the Administrative
Agent for distribution to the applicable Secured Parties in cash the amount of such unpaid Foreign Borrower Obligation. Upon payment by any Foreign Borrower of any sums to the Administrative Agent as provided above, all rights of such Foreign
Borrower against any Foreign Borrower arising as a result thereof by way of right of subrogation, contribution, reimbursement, indemnity or otherwise shall in all respects be fully subordinated to the indefeasible payment in full in cash of the
Foreign Borrower Obligations. 
 SECTION 7.06. Information. Each Foreign Borrower (a) assumes all responsibility for being and
keeping itself informed of the Foreign Borrowers’ and each other Loan Party’s financial condition and assets, and of all other circumstances bearing upon the risk of nonpayment of the Foreign Borrower Obligations and the nature, scope and
extent of the risks that such Foreign Borrower assumes and incurs hereunder, and (b) agrees that none of the Administrative Agent or the other Secured Parties will have any duty to advise such Foreign Borrower of information known to it or any
of them regarding such circumstances or risks. 
 SECTION 7.07. Taxes. The provisions of Section 2.16 of the Credit Agreement
shall apply to each Foreign Borrower, mutatis mutandis. 
 SECTION 7.08. Keepwell. Each Foreign Borrower that is a Qualified
ECP Guarantor (each an “FB Qualified ECP Guarantor”) hereby jointly and severally absolutely, unconditionally and irrevocably undertakes to provide such funds or other support as may be needed from time to time by each other Foreign
Borrower to honor all of its obligations under this Agreement in respect of Swap Obligations (provided, however, that each FB Qualified ECP Guarantor shall only be liable under this Section 7.08 for the maximum amount of such
liability that can be hereby incurred within the limitations, if any, set forth for such Foreign Borrower in this Article VII, and not for any greater amount). The obligations of each FB Qualified ECP Guarantor under this Section 7.08 shall
remain in full force and effect until the indefeasible payment in full in cash of all the Foreign Borrower Obligations. Each FB Qualified ECP Guarantor intends that this Section 7.08 constitute, and this Section 7.08 shall be deemed to
constitute, a “keepwell, support, or other agreement” for the benefit of each other Foreign Borrower for all purposes of Section la(18)(A)(v)(II) of the Commodity Exchange Act. 

  
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 ARTICLE VIII 

Miscellaneous 

SECTION 8.01. Notices. All communications and notices hereunder shall (except as otherwise expressly permitted herein) be in writing
and given in the manner provided in Section 9.01 of the Credit Agreement. All communications and notices hereunder to any Subsidiary Loan Party or Foreign Borrower shall be given to it in care of the Company in the manner provided in
Section 9.01 of the Credit Agreement. 
 SECTION 8.02. Waivers; Amendment. (a) No failure or delay by the Administrative
Agent, any Issuing Bank or any Lender in exercising any right or power hereunder or under any other Loan Document shall operate as a waiver thereof, nor shall any single or partial exercise of any such right or power, or any abandonment or
discontinuance of steps to enforce such a right or power, preclude any other or further exercise thereof or the exercise of any other right or power. The rights and remedies of the Administrative Agent, the Issuing Banks and the Lenders hereunder
and under the other Loan Documents are cumulative and are not exclusive of any rights or remedies that they would otherwise have. No waiver of any provision of this Agreement or consent to any departure by any Loan Party therefrom shall in any event
be effective unless the same shall be permitted by paragraph (b) of this Section, and then such waiver or consent shall be effective only in the specific instance and for the purpose for which given. Without limiting the generality of the
foregoing, the execution and delivery of this Agreement, the making of a Loan or issuance of a Letter of Credit shall not be construed as a waiver of any Default, regardless of whether the Administrative Agent, any Lender or any Issuing Bank may
have had notice or knowledge of such Default at the time. No notice or demand on any Loan Party in any case shall entitle any Loan Party to any other or further notice or demand in similar or other circumstances. 

(b) Neither this Agreement nor any provision hereof may be waived, amended or modified except pursuant to an agreement or agreements in writing
entered into by the Administrative Agent and the Loan Party or Loan Parties with respect to which such waiver, amendment or modification is to apply, subject to any consent required in accordance with Section 9.02 of the Credit Agreement;
provided that the Administrative Agent may, without the consent of any Secured Party, consent to a departure by any Loan Party from any covenant of such Loan Party set forth herein to the extent such departure is consistent with the authority
of the Administrative Agent set forth in the definition of the term “Collateral and Guarantee Requirement” in the Credit Agreement. 

(c) This Agreement shall be construed as a separate agreement with respect to each Loan Party and may be amended, modified, supplemented,
waived or released with respect to any Loan Party without the approval of any other Loan Party and without affecting the obligations of any other Loan Party hereunder. 

  
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 SECTION 8.03. Administrative Agent’s Fees and Expenses; Indemnification. (a) The
Guarantors and the Grantors jointly and severally agree to reimburse the Administrative Agent for its reasonable fees and expenses incurred hereunder as provided in Section 9.03 of the Credit Agreement; provided that each reference
therein to the “Company” shall be deemed to be a reference to the “Guarantors and Grantors.” 
 (b) The Guarantors and
Grantors jointly and severally agree to indemnify and hold harmless each Indemnitee as provided in Section 9.03 of the Credit Agreement; provided that each reference therein to the “Company” shall be deemed to be a reference to
the “Guarantors and Grantors.” 
 (c) Any amounts payable under this Section 8.03 shall be additional Obligations secured
hereby and by the other Security Documents. The provisions of this Section shall survive and remain in full force and effect regardless of the termination of this Agreement or any other Loan Document, the consummation of the transactions
contemplated hereby or thereby, the repayment of any of the Obligations, the invalidity or unenforceability of any term or provision of this Agreement or any other Loan Document or any investigation made by or on behalf of the Administrative Agent
or any other Secured Party. 
 (d) All amounts due under this Section 8.03 shall be payable promptly after written demand therefore.

 SECTION 8.04. Survival. All covenants, agreements, representations and warranties made by the Loan Parties in this Agreement or
any other Loan Document and in the certificates or other instruments delivered in connection with or pursuant to this Agreement or any other Loan Document shall be considered to have been relied upon by the Administrative Agent, the Lenders, the
Issuing Banks and the other Secured Parties and shall survive the execution and delivery of the Loan Documents and the making of any Loans and issuance of any Letters of Credit, regardless of any investigation made by or on behalf of the
Administrative Agent, any Lender, any Issuing Bank or any other Person and notwithstanding that the Administrative Agent, any Lender, any Issuing Bank or any other Person may have had notice or knowledge of any Default or incorrect representation or
warranty at the time any Loan Document is executed and delivered or any credit is extended under the Credit Agreement, and shall continue in full force and effect until such time as (a) all the Loan Document Obligations (including LC
Disbursements, if any, but excluding contingent obligations as to which no claim has been made) have been paid in full in cash, (b) all Commitments have terminated or expired and (c) the LC Exposure has been reduced to zero (including as a
result of obtaining the consent of the applicable Issuing Bank as described in Section 9.05 of the Credit Agreement) and the Issuing Banks have no further obligation to issue or amend Letters of Credit under the Credit Agreement. 

SECTION 8.05. Counterparts; Effectiveness, Successors and Assignment. This Agreement may be executed in counterparts, (and by different
parties hereto on different counterparts), each of which shall constitute an original but all of which when taken together shall constitute a single contract. This Agreement shall become effective as to any Loan Party when a counterpart hereof
executed on behalf of such Loan Party 

  
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shall have been delivered to the Administrative Agent and a counterpart hereof shall have been executed on behalf of the Administrative Agent, and thereafter shall be binding upon such Loan Party
and the Administrative Agent and their respective successors and assigns, and shall inure to the benefit of such Loan Party, the Administrative Agent and the other Secured Parties and their respective successors and assigns, except that no Loan
Party may assign or otherwise transfer any of its rights or obligations hereunder or any interest herein or in the Collateral (and any attempted assignment or transfer by any Loan Party shall be null and void), except as expressly provided in this
Agreement or the Credit Agreement. Delivery of an executed counterpart of a signature page of this Agreement by facsimile or other electronic imaging shall be effective as delivery of a manually executed counterpart of this Agreement. 

SECTION 8.06. Severability. Any provision of this Agreement held to be invalid, illegal or unenforceable in any jurisdiction shall, as
to such jurisdiction, be ineffective to the extent of such invalidity, illegality or unenforceability without affecting the validity, legality and enforceability of the remaining provisions hereof; and the invalidity of a particular provision in a
particular jurisdiction shall not invalidate such provision in any other jurisdiction. The parties shall endeavor in good-faith negotiations to replace any invalid, illegal or unenforceable provisions with valid provisions the economic effect of
which comes as close as possible to that of such invalid, illegal or unenforceable provisions. 
 SECTION 8.07. Right of Set-Off. If
an Event of Default shall have occurred and be continuing, each Lender and Issuing Bank, and each Affiliate of any of the foregoing, is hereby authorized at any time and from time to time, to the fullest extent permitted by applicable law, to set
off and apply any and all deposits (general or special, time or demand, provisional or final), in whatever currency) or other amounts at any time held and other obligations (in whatever currency) at any time owing by such Lender or Issuing Bank, or
by such an Affiliate, to or for the credit or the account of any Loan Party against any of and all the obligations then due of such Loan Party now or hereafter existing under this Agreement held by such Lender or Issuing Bank, irrespective of
whether or not such Lender or Issuing Bank shall have made any demand under this Agreement. The rights of each Lender and Issuing Bank, and each Affiliate of any of the foregoing, under this Section are in addition to other rights and remedies
(including other rights of setoff) that such Lender, Issuing Bank or Affiliate may have. 
 SECTION 8.08. Governing Law; Jurisdiction;
Consent to Service of Process. (a) This Agreement shall be construed in accordance with and governed by the law of the State of New York. 

(b) Each of the Loan Parties hereby irrevocably and unconditionally submits, for itself and its property, to the exclusive jurisdiction of the
Supreme Court of the State of New York sitting in New York County and of the United States District Court of the Southern District of New York, and any appellate court from any thereof, in any action or proceeding arising out of or relating to this
Agreement or any other Loan Document, or for recognition or enforcement of any judgment, and each of the parties hereto hereby irrevocably and unconditionally agrees that all claims in respect of 

  
 47 

 
any such action or proceeding shall be heard and determined in such New York State or, to the extent permitted by law, in such Federal court. Each of the Loan Parties hereto agrees that a
final judgment in any such action or proceeding shall be conclusive and may be enforced in other jurisdictions by suit on the judgment or in any other manner provided by law. Nothing in this Agreement or any other Loan Document shall affect any
right that the Administrative Agent, any Issuing Bank or any Lender may otherwise have to bring any action or proceeding relating to this Agreement or any other Loan Document against any Loan Party or any of its properties in the courts of any
jurisdiction. 
 (c) Each of the Loan Parties hereby irrevocably and unconditionally waives, to the fullest extent permitted by law, any
objection that it may now or hereafter have to the laying of venue of any suit, action or proceeding arising out of or relating to this Agreement or any other Loan Document in any court referred to in paragraph (b) of this Section. Each of the
Loan Parties hereto hereby irrevocably waives, to the fullest extent permitted by law, the defense of an inconvenient forum to the maintenance of such action or proceeding in any such court. 

(d) Each party hereto irrevocably consents to service of process in the manner provided for notices in Section 8.01 and, in the case of
each Foreign Borrower, to service of process upon its designated authorized agent for service of process as contemplated by Section 9.09(e) of the Credit Agreement. Nothing in this Agreement or any other Loan Document will affect the right of
any party to this Agreement to serve process in any other manner permitted by law. 
 (e) Each Grantor hereby irrevocably designates,
appoints and empowers the Company as its designee, appointee and agent to receive, accept and acknowledge for and on its behalf, and in respect of its property, service of any and all legal process, summons, notices and documents that may be served
in any such action or proceeding. 
 SECTION 8.09. WAIVER OF JURY TRIAL. EACH PARTY HERETO HEREBY WAIVES, TO THE FULLEST EXTENT PERMITTED
BY APPLICABLE LAW, ANY RIGHT IT MAY HAVE TO A TRIAL BY JURY IN ANY LEGAL PROCEEDING DIRECTLY OR INDIRECTLY ARISING OUT OF OR RELATING TO THIS AGREEMENT, ANY OTHER LOAN DOCUMENT OR THE TRANSACTIONS CONTEMPLATED HEREBY (WHETHER BASED ON CONTRACT, TORT
OR ANY OTHER THEORY). EACH PARTY HERETO (A) CERTIFIES THAT NO REPRESENTATIVE, AGENT OR ATTORNEY OF ANY OTHER PARTY HAS REPRESENTED, EXPRESSLY OR OTHERWISE, THAT SUCH OTHER PARTY WOULD NOT, IN THE EVENT OF LITIGATION, SEEK TO ENFORCE THE
FOREGOING WAIVER AND (B) ACKNOWLEDGES THAT IT AND THE OTHER PARTIES HERETO HAVE BEEN INDUCED TO ENTER INTO THIS AGREEMENT BY, AMONG OTHER THINGS, THE MUTUAL WAIVERS AND CERTIFICATIONS IN THIS SECTION 8.09. 

SECTION 8.10. Headings. Article and Section headings and the Table of Contents used herein are for convenience of reference only, are
not part of this Agreement and shall not affect the construction of, or be taken into consideration in interpreting, this Agreement. 

  
 48 

 SECTION 8.11. Security Interest Absolute. All rights of the Administrative Agent
hereunder, the Security Interest, the grant of the security interest in the Pledged Collateral and all obligations of each Loan Party hereunder shall be absolute and unconditional irrespective of (a) any lack of validity or enforceability of
the Credit Agreement, any other Loan Document, any agreement with respect to any of the Obligations or any other agreement or instrument relating to any of the foregoing, (b) any change in the time, manner or place of payment of, or in any
other term of, all or any of the Obligations, or any other amendment to or waiver of, or any consent to any departure from, the Credit Agreement, any other Loan Document, any agreement with respect to any of the Obligations or any other agreement or
instrument relating to any of the foregoing, (c) any exchange, release or non-perfection of any Lien on other collateral securing, or any release or amendment to or waiver of, or any consent to any departure from, any guarantee of, all or any
of the Obligations, or (d) any other circumstance that might otherwise constitute a defense available to, or a discharge of, any Grantor or Guarantor in respect of the Obligations or this Agreement. 

SECTION 8.12. Termination or Release. (a) Subject to Section 2.04 and Section 7.04, this Agreement, the Guarantees made
herein, the Security Interest and all other security interests granted hereby shall terminate when (i) all the Loan Document Obligations (including all LC Disbursements, if any, but excluding contingent obligations as to which no claim has been
made) have been paid in full, (ii) all Commitments have terminated or expired and (iii) the LC Exposure has been reduced to zero (including as a result of obtaining the consent of the applicable Issuing Bank as described in
Section 9.05 of the Credit Agreement) and the Issuing Banks have no further obligations to issue or amend Letters of Credit under the Credit Agreement. The obligations of the Foreign Borrowers under Article VII shall terminate when (i) all
Foreign Obligations (including all LC Disbursements with respect to Foreign Borrowers, if any, but excluding contingent obligations as to which no claim has been made) have been paid in full, (ii) no Lender has any Commitment to provide Loans
to any Foreign Borrower, (iii) the LC Exposure in relation to the Foreign Borrowers has been reduced to zero (including as a result of obtaining the consent of the applicable Issuing Bank as described in Section 9.05 of the Credit
Agreement) and the Issuing Banks have no further obligations to issue or amend Letters of Credit to any Foreign Borrower under the Credit Agreement, and (iv) there shall be no Foreign Borrower under the Credit Agreement. 

(b) The Guarantees made herein, the Security Interest and all other security interests granted hereby shall also terminate and be released with
respect to a Guarantor, a Grantor or an asset at the time or times and in the manner set forth in Section 9.14 of the Credit Agreement. In the event of any such termination or release, Schedules IV, V, VI and VII to this Agreement shall be
deemed to be modified to remove the Collateral with respect to which the Security Interest and the other security interests granted hereby have been so released. The obligations of a Foreign Borrower under Article VII shall terminate and be released
with respect to a Foreign Borrower when the Company has delivered a Foreign Borrower Termination with respect to such Foreign Borrower to the Administrative Agent and such Foreign Borrower Termination shall have become effective in accordance with
the requirements of Section 2.23(c) of the Credit Agreement. 

  
 49 

 (c) Upon any sale or other transfer by any Grantor of any Collateral that is permitted under the
Credit Agreement (other than a sale or other transfer to a Loan Party), or upon the effectiveness of any written consent to the release of the security interest granted hereby in any Collateral pursuant to Section 9.02 of the Credit Agreement,
the Security Interest and all other security interests, as applicable, in such Collateral shall be automatically released. In the event of any such release, Schedules IV, V, VI and VII to this Agreement shall be deemed to be modified to remove the
Collateral with respect to which the Security Interest and the other security interests granted hereby have been so released. 
 (d) In
connection with any termination or release pursuant to paragraph (a), (b) or (c) of this Section 8.12, the Administrative Agent shall execute and deliver to any Grantor or Foreign Borrower, at such Grantor’s or Foreign
Borrower’s expense, all documents that such Grantor or Foreign Borrower shall reasonably request to evidence such termination or release. Any execution and delivery of documents pursuant to this Section 8.12 shall be without recourse to or
warranty by the Administrative Agent. 
 SECTION 8.13. Additional Subsidiaries. Pursuant to the Credit Agreement, certain
Subsidiaries not a party hereto on the Effective Date may or may be required to become Guarantors and Grantors after the Effective Date. Upon the execution and delivery by the Administrative Agent and any such Subsidiary of a Supplement, any such
Subsidiary shall become a Subsidiary Loan Party, a Guarantor and/or a Grantor hereunder, with the same force and effect as if originally named as such herein. The execution and delivery of any Supplement shall not require the consent of any other
Loan Party. The rights and obligations of each Loan Party hereunder shall remain in full force and effect notwithstanding the addition of any new Subsidiary as a party to this Agreement. 

SECTION 8.14. Administrative Agent Appointed Attorney-in-Fact. Each Grantor hereby appoints the Administrative Agent the
attorney-in-fact of such Grantor for the purpose of carrying out the provisions of this Agreement and taking any action and executing any instrument that the Administrative Agent may deem necessary for the purpose of carrying out the provisions of
this Agreement and taking any action and executing any instrument that the Administrative Agent may deem necessary or advisable to accomplish the purposes hereof, which appointment is irrevocable and coupled with an interest. Without limiting the
generality of the foregoing, the Administrative Agent shall have the right, upon the occurrence and during the continuance of an Event of Default, with full power of substitution either in the Administrative Agent’s name or in the name of such
Grantor (a) to receive, endorse, assign and/or deliver any and all notes, acceptances, checks, drafts, money orders or other evidences of payment relating to the Collateral or any part thereof; (b) to demand, collect, receive payment of,
give receipt for and give discharges and releases of all or any of the Collateral; (c) to sign the name of 

  
 50 

 
any Grantor on any invoice or bill of lading relating to any of the Collateral; (d) to send verifications of Accounts to any Account Debtor; (e) to commence and prosecute any and all
suits, actions or proceedings at law or in equity in any court of competent jurisdiction to collect or otherwise realize on all or any of the Collateral or to enforce any rights in respect of any Collateral; (f) to settle, compromise, compound,
adjust or defend any actions, suits or proceedings relating to all or any of the Collateral; (g) to notify, or to require any Grantor to notify, Account Debtors to make payment directly to the Administrative Agent; and (h) to use, sell,
assign, transfer, pledge, make any agreement with respect to or otherwise deal with all or any of the Collateral, and to do all other acts and things necessary to carry out the purposes of this Agreement, as fully and completely as though the
Administrative Agent were the absolute owner of the Collateral for all purposes, provided that nothing herein contained shall be construed as requiring or obligating the Administrative Agent to make any commitment or to make any inquiry as to
the nature or sufficiency of any payment received by the Administrative Agent, or to present or file any claim or notice, or to take any action with respect to the Collateral or any part thereof or the moneys due or to become due in respect thereof
or any property covered thereby. The Administrative Agent and the other Secured Parties shall be accountable only for amounts actually received as a result of the exercise of the powers granted to them herein, and neither they nor their officers,
directors, employees or agents shall be responsible to any Grantor for any act or failure to act hereunder, except for their own gross negligence or wilful misconduct. 

SECTION 8.15. Exculpatory Provisions. (a) The Administrative Agent may execute any of the powers granted under this Agreement and
perform any duty hereunder either directly or by or through agents or attorneys-in-fact, and shall not be responsible for the gross negligence or wilful misconduct of any agents or attorneys-in-fact selected by it with reasonable care and without
gross negligence or wilful misconduct. 
 (b) The Administrative Agent shall not be deemed to have actual, constructive, direct or indirect
notice or knowledge of the occurrence of any Event of Default unless and until the Administrative Agent shall have received a notice of Event of Default or a notice from any Guarantor or Grantor or the Secured Parties to the Administrative Agent in
its capacity as Administrative Agent indicating that an Event of Default has occurred. The Administrative Agent shall have no obligation either prior to or after receiving such notice to inquire whether an Event of Default has, in fact, occurred and
shall be entitled to rely conclusively, and shall be fully protected in so relying, on any notice so furnished to it. 
 SECTION 8.16.
Parallel Debt. (a) Notwithstanding any other provision of this Agreement, each of the Company and each Guarantor (each, a “Principal Party”) hereby irrevocably and unconditionally undertakes (such undertaking and the
obligations and liabilities that are a result thereof being referred to as the “Parallel Debt” of such Principal Party) to pay to the Administrative Agent (in its personal capacity and not in its capacity as agent) an amount equal
to the aggregate amount payable by such Principal Party in respect of each and every payment obligation owed to each and every Secured Party under the Loan Documents and, to the extent included in the Obligations, under any

  
 51 

 
Hedging Agreement or arising out of or in connection with Cash Management Services or Performance Support Instruments provided by any Secured Party (collectively, the “Principal
Obligations”) in accordance with the terms and conditions of such Principal Obligations. The Parallel Debt of any Principal Party shall become due and payable as and when any Principal Obligation of such Principal Party becomes due and
payable. 
 (b) The Administrative Agent and each Principal Party agree and acknowledge that: 

(i) the Parallel Debt of each Principal Party constitutes an undertaking, obligation and liability of such Principal Party to
the Administrative Agent (in its personal capacity and not in its capacity as agent) that is separate and independent from, and without prejudice to, any Principal Obligation and represents the Administrative Agent’s own claim as a creditor in
its own right to receive payment of such Parallel Debt from such Principal Party (and for the avoidance of doubt, for purposes of Netherlands law, the Parallel Debt of each Principal Party constitutes independent claims (zelfstandige
vorderingen) of the Administrative Agent vis-à-vis each Principal Party); and 
 (ii) the security interest
created under the Loan Documents to secure the Parallel Debt is granted to the Administrative Agent in its capacity as sole creditor of the Parallel Debt and, for purposes of Netherlands law, each Principal Party and the Administrative Agent
acknowledge that the Administrative Agent acts in its own name and not as representative (vertegenwoordiger) of the Secured Parties or any of them. 

(c) The Administrative Agent and each Principal Party agree and acknowledge that: 

(i) the Parallel Debt of each Principal Party shall be decreased if and to the extent that the Principal Obligations of
such Principal Party have been paid or, in the case of guarantee obligations, discharged; 
 (ii) the Principal
Obligations of each Principal Party shall be decreased if and to the extent that the Parallel Debt of such Principal Party has been paid or, in the case of guarantee obligations, discharged; and 

(iii) the amount payable under the Parallel Debt of each Principal Party shall at no time exceed the amount payable under
the Principal Obligations of such Principal Party. 
 (d) Any amount received or recovered by the Administrative Agent in respect of any
Parallel Debt (including as a result of any enforcement proceedings) shall be applied in accordance with the terms of this Agreement and the other Security Documents. 

(e) The Administrative Agent accepts the provisions of this clause 8.16 (Parallel Debt) on behalf of the Secured Parties. 

  
 52 

 (f) The rights of the Secured Parties (other than the Administrative Agent) to receive payment of
amounts payable by each Principal Party under the Principal Obligations are several and are separate and independent from, and without prejudice to, the rights of the Administrative Agent to receive payment under this Section 8.16 and each
Principal Party’s obligations under this Section 8.16 toward the Administrative Agent constitutes a single and separate obligation from any other debt or obligation of each Principal Party under the Principal Obligations. 

[Signature Pages Follow] 

  
 53 

 IN WITNESS WHEREOF, the parties hereto have duly executed this Agreement as of the day and year
first above written. 
  

			
	NCR CORPORATION,
		
	by	 	 /s/ Robert Fishman

		 	Name: Robert Fishman
		 	 Title: Senior Vice President and

          Chief Financial Officer

 [Signature Page to Guarantee and Collateral Agreement] 

 
			
	Executed by NCR LIMITED acting
	by:
	
	/s/ Carolikne Kee
	Signature of director
	
	Director
	Name of director:	 	 Caroline Kee

	
	in the presence of:
	
	 TKovacevic

	Signature of witness
	
	Name of witness: Tanja Kovacevic
	Address: 5 Merchant Square, London W218Q
	Occupation: Contract Manager

 [Signature Page to Guarantee and Collateral Agreement] 

 
			
	NCR NEDERLAND B.V.,
		
	by	 	 /s/ John Boudreau

		 	Name: John Boudreau
		 	Title: Attorney-in-fact

 [Signature Page to Guarantee and Collateral Agreement] 

 GIVEN under the Common Seal of 

NCR GLOBAL SOLUTIONS LIMITED 
 and delivered as a deed:

  

	
	 /s/ William Wayne

	Director
	
	 /s/ Bruce Gowans

	Director

 [Signature Page to Guarantee and Collateral Agreement] 

 
			
	NCR INTERNATIONAL, INC.,
		
	by	 	 /s/ John Boudreau

		 	Name: John Boudreau
		 	Title: Treasurer

 [Signature Page to Guarantee and Collateral Agreement] 

 
			
	RADIANT PAYMENT SERVICES, LLC,
		
	by	 	 John Boudreau

		 	Name: John Boudreau
		 	Title: Treasurer

 [Signature Page to Guarantee and Collateral Agreement] 

 
			
	DIGITAL INSIGHT CORPORATION,
		
	by	 	 /s/ John Boudreau

		 	Name: John Boudreau
		 	Title: Treasurer

 [Signature Page to Guarantee and Collateral Agreement] 

 
			
	JPMORGAN CHASE BANK, N.A., as Administrative Agent,
		
	by	 	 /s/ Tina Ruyter

		 	Name: Tina Ruyter
		 	Title: Executive Director

 [Signature Page to Guarantee and Collateral Agreement] 

 Schedule I to the 

Collateral Agreement 
 SUBSIDIARY
LOAN PARTIES 
 NCR International, Inc. 
 Radiant Payment
Services, LLC 
 Digital Insight Corporation 

 Schedule II to the 

Collateral Agreement 
 GRANTORS 

NCR Corporation 
 NCR International, Inc. 

Radiant Payment Services, LLC 
 Digital Insight Corporation 

 Schedule III to the 

Collateral Agreement 
 GUARANTORS

 NCR Corporation 
 NCR International, Inc. 

Radiant Payment Services, LLC 
 Digital Insight Corporation 

 Schedule IV to the 

Collateral Agreement 
 PLEDGED
EQUITY INTERESTS 
  

															
	 Loan Party
	  	 Issuer
	  	Certificate
Number	 	  	Number of
Equity
Interests	 	  	Percentage
of
Ownership
Pledged	 
	 NCR Corporation
	  	NCR EasyPoint LLC	  	 	N/A	  	  	 	N/A	  	  	 	100	% 
	 NCR Corporation
	  	NCR Government Systems LLC	  	 	N/A	  	  	 	N/A	  	  	 	100	% 
	 NCR Corporation
	  	NCR Middle East Holdings, LLC	  	 	N/A	  	  	 	N/A	  	  	 	100	% 
	 NCR Corporation
	  	NCR International, Inc.	  	 
  
	1
 2
	  
   
	  	 
 	1,000
5.5517257	  
  	  	 	100	% 
	 NCR International, Inc.
	  	NCR Corporation India Private Limited	  	 
 	39,869,271 to
219,149,185 9A	  
  	  	 	179,279,915	  	  	 	64.99	% 
	 NCR Corporation
	  	NCR Corporation India Private Limited	  	 
 	710,292 to
710,486 4A	  
  	  	 	195	  	  	 	.01	% 
	 NCR International, Inc.
	  	NCR France SNC	  	 	N/A	  	  	 	486,356	  	  	 	64.675	% 
	 NCR Corporation
	  	NCR France SNC	  	 	N/A	  	  	 	2,444	  	  	 	0.325	% 
	 NCR Corporation
	  	NCR Dutch Holdings C.V.	  	 	N/A	  	  	 	N/A	  	  	 	.01	% 
	 NCR International, Inc.
	  	NCR Dutch Holdings C.V.	  	 	N/A	  	  	 	N/A	  	  	 	64.99	% 
	 NCR Corporation
	  	Keynesplein Holding C.V.	  	 	N/A	  	  	 	N/A	  	  	 	58.175	% 
	 NCR International, Inc.
	  	Keynesplein Holding C.V.	  	 	N/A	  	  	 	N/A	  	  	 	6.825	% 
	 NCR Corporation
	  	Radiant Payment Services, LLC	  	 	N/A	  	  	 	N/A	  	  	 	100	% 
	 NCR International, Inc.
	  	TCR Business Systems, Inc.	  	 	1	  	  	 	100	  	  	 	100	% 
	 NCR Corporation
	  	NCR International S.e.n.c.	  	 	N/A	  	  	 	13,893	  	  	 	61.75	% 
	 NCR International, Inc.
	  	NCR International S.e.n.c.	  	 	N/A	  	  	 	731	  	  	 	3.25	% 
	 NCR
	  	Radiant Systems Retail	  	 	2	  	  	 	65	  	  	 	65	% 

															
	 International, Inc.
	  	Solutions Pte Ltd. (Singapore)	  				  				  			
	 NCR Corporation
	  	Digital Insight Corporation	  	 	C-002	  	  	 	1,000	  	  	 	100	% 
	 NCR Corporation
	  	Global Acquisition C.V.	  	 	N/A	  	  	 	N/A	  	  	 	64.99	% 
	 NCR Corporation
	  	NCR Foreign Investco, LLC	  	 	N/A	  	  	 	N/A	  	  	 	100	% 
	 NCR Corporation
	  	NCR Foreign Investco 1, LLC	  	 	N/A	  	  	 	N/A	  	  	 	65	% 
	 NCR International, Inc.
	  	NCR Japan Ltd.	  	 	2	  	  	 	46,535,000	  	  	 	32.8	% 
	 NCR International, Inc.
	  	NCR Canada Corporation	  	 	COM-2	  	  	 	65,003	  	  	 	65	% 
	 NCR Corporation
	  	Moon Holdings S.P.V.	  	 	O-2	  	  	 	65	  	  	 	65	% 

 Schedule V to the 

Collateral Agreement 
 PLEDGED DEBT
SECURITIES 
  

									
	 Loan Party
	  	 Debtor
	  	 Type of Instrument
	  	Outstanding Principal
Amount	 
	 NCR Corporation
	  	NCR Oesterreich Ges.m.b.H	  	Intercompany Note	  	EUR	 12,815,847.05	  
	 NCR Corporation
	  	Digital Insight Corporation	  	Intercompany Note	  	$	1,045,000,000.00	  
	 NCR International, Inc.
	  	NCR Corporation	  	Intercompany Note	  	$	16,689,651.49	  
	 NCR International, Inc.
	  	NCR Treasury Finance, Ltd.	  	Intercompany Note	  	$	54,944,470.83	  
	 NCR International, Inc.
	  	NCR Dutch Holdings C.V.	  	Intercompany Note	  	$	48,045,931.34	  

 Schedule VI to the 

Collateral Agreement 
 INTELLECTUAL
PROPERTY 
 Intellectual Property (Patents) 
  

	I.	Patents1 

  

													
	 Registered Owner
	  	 Type
	  	 Title
	  	Patent No.	 	  	Reg. Date	 
	 Fujitsu Ltd And NCR

International Inc
	  	Utility	  	Sheet bundle conveying apparatus and paper sheet handling apparatus	  	 	8448780	  	  	 	05/28/2013	  
	 NCR Corporation
	  	Design	  	Barcode scanner weigh plate	  	 	D608362	  	  	 	01/19/2010	  
	 NCR Corporation
	  	Design	  	Self-service terminal	  	 	D653012	  	  	 	01/24/2012	  
	 NCR Corporation
	  	Design	  	Self-service terminal	  	 	D653013	  	  	 	01/24/2012	  
	 NCR Corporation
	  	Design	  	Self-service terminal	  	 	D653014	  	  	 	01/24/2012	  
	 NCR Corporation
	  	Design	  	Kiosk	  	 	D681030	  	  	 	04/30/2013	  
	 NCR Corporation
	  	Design	  	Kiosk	  	 	D471192	  	  	 	03/04/2003	  
	 NCR Corporation
	  	Design	  	Scanner tower	  	 	D560220	  	  	 	01/22/2008	  
	 NCR Corporation
	  	Design	  	Self-service terminal	  	 	D505240	  	  	 	05/17/2005	  
	 NCR Corporation
	  	Design	  	Price verifier	  	 	D480397	  	  	 	10/07/2003	  
	 NCR Corporation
	  	Design	  	Privacy screen for a self-service terminal	  	 	D525410	  	  	 	07/18/2006	  
	 NCR Corporation
	  	Design	  	Self-service terminal	  	 	D653417	  	  	 	01/31/2012	  
	 NCR Corporation
	  	Design	  	Self-service terminal	  	 	D653418	  	  	 	01/31/2012	  
	 NCR Corporation
	  	Design	  	Self-service terminal	  	 	D653419	  	  	 	01/31/2012	  
	 NCR Corporation
	  	Design	  	Self-service terminal	  	 	D653420	  	  	 	01/31/2012	  
	 NCR Corporation
	  	Design	  	Self-service terminal	  	 	D653421	  	  	 	01/31/2012	  
	 NCR Corporation
	  	Design	  	Self-service terminal	  	 	D653422	  	  	 	01/31/2012	  
	 NCR Corporation
	  	Design	  	Self-service terminal	  	 	D653423	  	  	 	01/31/2012	  
	 NCR Corporation
	  	Design	  	Self-service terminal	  	 	D653424	  	  	 	01/31/2012	  
	 NCR Corporation
	  	Design	  	Entertainment kiosk	  	 	D652454	  	  	 	01/17/2012	  
	 NCR Corporation
	  	Design	  	Computer	  	 	D654495	  	  	 	02/21/2012	  
	 NCR Corporation
	  	Design	  	Financial document processing module	  	 	D456586	  	  	 	04/30/2002	  
	 NCR Corporation
	  	Design	  	Self-service terminal	  	 	D456587	  	  	 	04/30/2002	  
	 NCR Corporation
	  	Design	  	Self-service terminal	  	 	D652601	  	  	 	01/17/2012	  
	 NCR Corporation
	  	Design	  	Self-service terminal	  	 	D652602	  	  	 	01/17/2012	  
	 NCR Corporation
	  	Design	  	Self-service terminal	  	 	D505765	  	  	 	05/31/2005	  
	 NCR Corporation
	  	Design	  	Control device	  	 	D687783	  	  	 	08/13/2013	  
	 NCR Corporation
	  	Design	  	Self-service terminal	  	 	D651784	  	  	 	01/03/2012	  
	 NCR Corporation
	  	Design	  	Bar code reader	  	 	D454879	  	  	 	03/26/2002	  
	 NCR Corporation
	  	Re-Issue	  	Point-of-sale system including isolation layer between client and server software	  	 	RE40576	  	  	 	11/18/2008	  
	 NCR Corporation
	  	Re-Issue	  	Method of monitoring item shuffling in a post-scan area of a self-service checkout terminal	  	 	RE41093	  	  	 	02/02/2010	  
	 NCR Corporation
	  	Re-Issue	  	Method of processing misoriented items in an image-based item processing system and an apparatus therefor	  	 	RE41418	  	  	 	07/06/2010	  
	 NCR Corporation
	  	Re-Issue	  	Apparatus and method for operating a checkout system having a display monitor which displays both transaction information and customer-specific messages during a checkout transaction	  	 	RE41717	  	  	 	09/21/2010	  

  

	1 	* Subject to Master Acquisition Agreement dated as of January 6, 2016, by and among the Company, Receiptco LLC and Receiptco (UK), Ltd., and Intellectual Property Agreement dated as of January 6, 2016, by and
between the Company and Receiptco LLC 

  
 2 

													
	 Registered Owner
	  	 Type
	  	 Title
	  	Patent No.	 	 	Reg. Date	 
	 NCR Corporation
	  	Utility	  	Cash dispensing apparatus (ATM) and method for separating bank notes	  	 	5597996	  	 	 	01/28/1997	  
	 NCR Corporation
	  	Utility	  	Sheet Separating apparatus	  	 	5630582	  	 	 	05/20/1997	  
	 NCR Corporation
	  	Utility	  	Self-service, banking system	  	 	5661285	  	 	 	08/26/1997	  
	 NCR Corporation
	  	Utility	  	Document drive apparatus for directing a document around a corner	  	 	5676368	  	 	 	10/14/1997	  
	 NCR Corporation
	  	Utility	  	Indicator device	  	 	5676456	  	 	 	10/14/1997	  
	 NCR Corporation
	  	Utility	  	Adjustable display mount	  	 	5697588	  	 	 	12/16/1997	  
	 NCR Corporation
	  	Utility	  	Method for reinker reservoir pad insertion	  	 	5718031	* 	 	 	02/17/1998	  
	 NCR Corporation
	  	Utility	  	Display peripheral incorporating a wedge interface	  	 	5719382	  	 	 	07/02/1998	  
	 NCR Corporation
	  	Utility	  	Shutter control mechanism	  	 	5721420	  	 	 	02/24/1998	  
	 NCR Corporation
	  	Utility	  	Method of backlighting a display panel of an ATM	  	 	5739876	  	 	 	04/14/1998	  
	 NCR Corporation
	  	Utility	  	Multilayerd thermal transfer medium for matte finish printing	  	 	5744226	* 	 	 	04/28/1998	  
	 NCR Corporation
	  	Utility	  	Security container	  	 	5746140	  	 	 	05/05/1998	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for enhancing security in a self-service checkout station	  	 	5747784	  	 	 	05/05/1998	  
	 NCR Corporation
	  	Utility	  	Hypertext markup language (HTML) extensions for graphical reporting over an internet	  	 	5748188	  	 	 	05/05/1998	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for identifying names with a speech recognition program	  	 	5752230	  	 	 	05/12/1998	  
	 NCR Corporation
	  	Utility	  	Electronic price label having a switched light	  	 	5753900	  	 	 	05/19/1998	  
	 NCR Corporation
	  	Utility	  	Method of diagnosing communication problems of electronic price labels	  	 	5758064	  	 	 	05/26/1998	  
	 NCR Corporation
	  	Utility	  	Shutter mechanism for card controlled self-service transaction terminal	  	 	5760380	  	 	 	06/02/1998	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for simulating bar code	  	 	5760383	  	 	 	06/02/1998	  
	 NCR Corporation
	  	Utility	  	Browser kiosk system	  	 	5761071	2 	 	 	06/02/1998	  
	 NCR Corporation
	  	Utility	  	Electronic scale including a fault-detecting electronic display module	  	 	5767454	  	 	 	06/16/1998	  
	 NCR Corporation
	  	Utility	  	Bar code error scanner	  	 	5767498	  	 	 	06/16/1998	  
	 NCR Corporation
	  	Utility	  	Cash drawer assembly with cutter	  	 	5768965	  	 	 	06/23/1998	  
	 NCR Corporation
	  	Utility	  	Access card for multiple accounts	  	 	5770843	  	 	 	6/23/1998	  
	 NCR Corporation
	  	Utility	  	Overload protected loadcell	  	 	5773729	  	 	 	6/30/1998	  
	 NCR Corporation
	  	Utility	  	Scale with reset extender bar	  	 	5773767	  	 	 	6/30/1998	  
	 NCR Corporation
	  	Utility	  	Method of optimizing electronic price label systems	  	 	5794215	  	 	 	08/11/1998	  
	 NCR Corporation
	  	Utility	  	Self-service terminal capable of detecting fraudulent use of an integrated circuit card	  	 	5796083	  	 	 	08/18/1998	  
	 NCR Corporation
	  	Utility	  	Winding arbor having a plurality of air valves for making coreless paper rolls and method for using	  	 	5797559	* 	 	 	08/25/1998	  
	 NCR Corporation
	  	Utility	  	Selective pattern scanner	  	 	5818025	  	 	 	10/06/1998	  
	 NCR Corporation
	  	Utility	  	Telephone tone security device	  	 	5818937	  	 	 	10/06/1998	  
	 NCR Corporation
	  	Utility	  	Multilayered thermal transfer medium with opaque sub-coat	  	 	5824399	* 	 	 	10/20/1998	  
	 NCR Corporation
	  	Utility	  	Method of controlling viewability of a display screen and a device therefor by placing an LCD in front of a CRT	  	 	5825436	  	 	 	10/20/1998	  
	 NCR Corporation
	  	Utility	  	Web information kiosk	  	 	5826267	3 	 	 	10/20/1998	  

  

	2 	The Company shall use its commercially reasonable efforts to file a release with respect to the security interest held by MMV Financial Inc. dated 1/19/2007 and recorded at Reel/Frame 019019/0276 within a reasonable
amount of time after the Effective Date. 

	3 	The Company shall use its commercially reasonable efforts to file a release with respect to the security interest held by MMV Financial Inc. dated 1/19/2007 and recorded at Reel/Frame 01920/0105 within a reasonable
amount of time after the Effective Date. 

													
	 Registered Owner
	  	 Type
	  	 Title
	  	Patent No.	 	 	Reg. Date	 
	 NCR Corporation
	  	Utility	  	Card reader system including an invalidating device	  	 	5828043	  	 	 	10/27/1998	  
	 NCR Corporation
	  	Utility	  	Greeting card kit having associated adhesive labels or stickers for customized greeting cards	  	 	5829790	* 	 	 	11/03/1998	  
	 NCR Corporation
	  	Utility	  	System and method for performing intelligent analysis of a computer database	  	 	5832496	  	 	 	11/03/1998	  
	 NCR Corporation
	  	Utility	  	Electromagnetic actuators	  	 	5834863	  	 	 	11/10/1998	  
	 NCR Corporation
	  	Utility	  	Financial transaction system	  	 	5835603	  	 	 	11/10/1998	  
	 NCR Corporation
	  	Utility	  	Magnetic thermal transfer ribbon with aqueous ferrofluids	  	 	5843579	* 	 	 	12/01/1998	  
	 NCR Corporation
	  	Utility	  	Method and system for redeeming coupons	  	 	5844221	  	 	 	12/01/1998	  
	 NCR Corporation
	  	Utility	  	Systems and methods for generating and displaying a symbolic representation of a network model	  	 	5845124	  	 	 	12/01/1998	  
	 NCR Corporation
	  	Utility	  	Electronic price label having a two-part overlay arrangement	  	 	5847378	  	 	 	12/08/1998	  
	 NCR Corporation
	  	Utility	  	System for data transmission between a wedge microcontroller and a personal computer microcontroller by disconnecting the keyboard microcontroller and placing the same in hold state	  	 	5848292	  	 	 	12/08/1998	  
	 NCR Corporation
	  	Utility	  	User controlled browser identification disclosing mechanism	  	 	5848412	  	 	 	12/08/1998	  
	 NCR Corporation
	  	Utility	  	Self service print terminal	  	 	5852977	  	 	 	12/29/1998/	  
	 NCR Corporation
	  	Utility	  	Apparatus for detecting multiple superposed sheets	  	 	5853089	  	 	 	12/29/1998	  
	 NCR Corporation
	  	Utility	  	Electronic shelf labels for mounting in c channels of retail shelves and method for mounting	  	 	5853196	  	 	 	12/29/1998	  
	 NCR Corporation
	  	Utility	  	Electronic sign having automatic price display	  	 	5854474	  	 	 	12/29/1998	  
	 NCR Corporation
	  	Utility	  	Method of displaying a government program message by an electronic price label	  	 	5854475	  	 	 	12/29/1998	  
	 NCR Corporation
	  	Utility	  	Method of displaying a product restriction message by an electronic price label	  	 	5854476	  	 	 	12/29/1998	  
	 NCR Corporation
	  	Utility	  	Management of client requests in a client-server environment	  	 	5857188	  	 	 	01/05/1999	  
	 NCR Corporation
	  	Utility	  	Self-service terminal and method of performing a maintenance operation of a card reader of a self-service terminal	  	 	5861614	  	 	 	01/19/1999	  
	 NCR Corporation
	  	Utility	  	Method of processing documents moving along a transport path of a document processing system and an apparatus therefor	  	 	5861646	  	 	 	01/19/1999	  
	 NCR Corporation
	  	Utility	  	Self reading permanent electronic label for a computing device	  	 	5864126	  	 	 	01/26/1999	  
	 NCR Corporation
	  	Utility	  	Magnetic thermal transfer ribbon with non-metallic magnets	  	 	5866637	* 	 	 	02/02/1999	  
	 NCR Corporation
	  	Utility	  	High print quality thermal transfer ribbons	  	 	5866643	* 	 	 	02/02/1999	  
	 NCR Corporation
	  	Utility	  	System and method for distributing configuration-dependent software revisions to a computer system	  	 	5867714	  	 	 	02/02/1999	  
	 NCR Corporation
	  	Utility	  	Selective inking cassette	  	 	5868506	* 	 	 	02/09/1999	  
	 NCR Corporation4
	  	Utility	  	EPL scheduled price verification system and method	  	 	5870714	  	 	 	02/09/1999	  

  

	4 	Assignment recorded in error to Block Drug Company, Inc. NCR has requested a corrective assignment. 

													
	 Registered Owner
	  	 Type
	  	 Title
	  	Patent No.	 	 	Reg. Date	 
	 NCR Corporation
	  	Utility	  	System and method for segmenting a database based upon data attributes	  	 	5870746	  	 	 	02/09/1999	  
	 NCR Corporation
	  	Utility	  	Multi-functional retail terminal and associated method	  	 	5878211	  	 	 	03/02/1999	  
	 NCR Corporation
	  	Utility	  	Thermal paper with security features	  	 	5883043	* 	 	 	03/16/1999	  
	 NCR Corporation
	  	Utility	  	Multiside coverage optical scanner	  	 	5886336	  	 	 	03/23/1999	  
	 NCR Corporation
	  	Utility	  	Document picker apparatus	  	 	5890709	  	 	 	04/06/1999	  
	 NCR Corporation
	  	Utility	  	Document feeder apparatus	  	 	5890710	  	 	 	04/06/1999	  
	 NCR Corporation
	  	Utility	  	Document feeder tray	  	 	5890712	  	 	 	04/06/1999	  
	 NCR Corporation
	  	Utility	  	Low profile planar scanner	  	 	5892214	  	 	 	04/06/1999	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for routing voice and video calls to a group of agents	  	 	5894512	  	 	 	04/13/1999	  
	 NCR Corporation
	  	Utility	  	Broadcast software distribution	  	 	5894516	  	 	 	04/13/1999	  
	 NCR Corporation
	  	Utility	  	Self-service shopping system including an electronic price label system	  	 	5898383	  	 	 	04/27/1999	  
	 NCR Corporation
	  	Utility	  	Apparatus for detecting the presence and speed of a record medium	  	 	5900639	  	 	 	05/04/1999	  
	 NCR Corporation5
	  	Utility	  	Method for displaying an IT (Information Technology) architecture visual model in a symbol-based decision rational table	  	 	5903478	  	 	 	05/11/1999	  
	 NCR Corporation
	  	Utility	  	Automated lesson selection and examination in computer-assisted education	  	 	5904485	  	 	 	05/18/1999	  
	 NCR Corporation
	  	Utility	  	Security via hole(s) for printed circuit boards	  	 	5905640	  	 	 	05/18/1999	  
	 NCR Corporation
	  	Utility	  	Client/server distribution of performance monitoring data	  	 	5905868	  	 	 	05/18/1999	  
	 NCR Corporation
	  	Utility	  	Method of displaying a promotional message by an electronic price label	  	 	5907143	  	 	 	05/25/1999	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for sending electronic data signals	  	 	5910986	  	 	 	06/08/1999	  
	 NCR Corporation
	  	Utility	  	Line focus barcode scanner	  	 	5914477	  	 	 	06/22/1999	  
	 NCR Corporation
	  	Utility	  	Method of assigning promotional messages to electronic price labels	  	 	5914670	  	 	 	06/22/1999	  
	 NCR Corporation
	  	Utility	  	Self-service system	  	 	5915246	  	 	 	06/22/1999	  
	 NCR Corporation
	  	Utility	  	Sheet handling apparatus	  	 	5915681	  	 	 	06/29/1999	  
	 NCR Corporation
	  	Utility	  	Method of authenticating an application program and a system therefor	  	 	5917421	  	 	 	06/29/1999	  
	 NCR Corporation
	  	Utility	  	System and method of assigning an electronic serial number to a radio frequency device	  	 	5917422	  	 	 	06/29/1999	  
	 NCR Corporation
	  	Utility	  	Distributed electronic performance support systems	  	 	5918054	  	 	 	06/29/1999	  
	 NCR Corporation
	  	Utility	  	Electronic price label price synchronization system and method	  	 	5918212	  	 	 	06/29/1999	  
	 NCR Corporation
	  	Utility	  	Automatic teller machines	  	 	5918748	  	 	 	07/06/1999	  
	 NCR Corporation
	  	Utility	  	Reactive thermal transfer medium with encapsulated epoxy	  	 	5919557	* 	 	 	07/06/1999	  
	 NCR Corporation
	  	Utility	  	System and method for building testing and integrating a graphical dynakey user interface	  	 	5920312	  	 	 	07/06/1999	  
	 NCR Corporation
	  	Utility	  	System and method for navigation and interaction in structured information spaces	  	 	5923330	  	 	 	07/13/1999	  

  

	5 	 Assignment recorded in error from Troux Technologies to Square 1 Bank. NCR has requested a corrective assignment.

													
	 Registered Owner
	  	 Type
	  	 Title
	  	Patent No.	 	 	Reg. Date	 
	 NCR Corporation
	  	Utility	  	Method of assigning electronic price labels to groups of price lookup file items	  	 	5926797	  	 	 	07/20/1999	  
	 NCR Corporation
	  	Utility	  	Transaction terminal with modular display	  	 	5928320	  	 	 	07/27/1999	  
	 NCR Corporation
	  	Utility	  	Self-service terminal (SST) and method of operating the SST to control movement of a card of the SST	  	 	5929413	  	 	 	07/27/1999	  
	 NCR Corporation
	  	Utility	  	Magnetic card sensor for sensing presence of a card having a magnetic stripe and thickness complying with ISO standard	  	 	5929426	  	 	 	07/27/1999	  
	 NCR Corporation
	  	Utility	  	Communication system for preventing interference between wireless devices	  	 	5930683	  	 	 	07/27/1999	  
	 NCR Corporation
	  	Utility	  	Thermal transfer ribbon with conductive polymers	  	 	5932643	* 	 	 	08/03/1999	  
	 NCR Corporation
	  	Utility	  	Mechanism for providing wireless audio and control channels for personal computer interactive phone (PCIP) system	  	 	5933775	  	 	 	08/03/1999	  
	 NCR Corporation
	  	Utility	  	Shrink wrap pack former	  	 	5934047	* 	 	 	08/10/1999	  
	 NCR Corporation
	  	Utility	  	Keypad	  	 	5936557	  	 	 	08/10/1999	  
	 NCR Corporation
	  	Utility	  	Updating of electronic performance support systems by remote parties	  	 	5937197	  	 	 	08/10/1999	  
	 NCR Corporation
	  	Utility	  	Dependable web page synchronization mechanism	  	 	5941957	  	 	 	08/24/1999	  
	 NCR Corporation
	  	Utility	  	Electronic forms voice messaging apparatus and method	  	 	5943401	  	 	 	08/24/1999	  
	 NCR Corporation
	  	Utility	  	Method of displaying promotional messages by electronic price labels	  	 	5943654	  	 	 	08/24/1999	  
	 NCR Corporation
	  	Utility	  	Apparatus for monitoring a self-service transaction terminal	  	 	5945602	  	 	 	08/31/1999	  
	 NCR Corporation
	  	Utility	  	Apparatus for issuing integrated circuit cards	  	 	5949046	  	 	 	09/07/1999	  
	 NCR Corporation
	  	Utility	  	Mechanism for dependably organizing and managing information for web synchronization and tracking among multiple browsers	  	 	5951643	  	 	 	09/14/1999	  
	 NCR Corporation
	  	Utility	  	Dependable data element synchronization mechanism	  	 	5951652	  	 	 	09/14/1999	  
	 NCR Corporation
	  	Utility	  	Thermal transfer medium with phase isolated reactive components	  	 	5952098	* 	 	 	09/14/1999	  
	 NCR Corporation
	  	Utility	  	Backcoat for thermal transfer ribbons	  	 	5952107	* 	 	 	09/14/1999	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for detecting item substitutions during entry of an item into a self-service checkout terminal	  	 	5952642	  	 	 	09/14/1999	  
	 NCR Corporation
	  	Utility	  	Mechanism for dependably managing web synchronization and tracking operations among multiple browsers	  	 	5954798	  	 	 	09/21/1999	  
	 NCR Corporation
	  	Utility	  	Self service terminal	  	 	5962830	  	 	 	10/05/1999	  
	 NCR Corporation
	  	Utility	  	Method of extracting relevant character information from gray scale image data for character recognition	  	 	5963669	  	 	 	10/05/1999	  
	 NCR Corporation
	  	Utility	  	Winding arbor	  	 	5964430	* 	 	 	10/12/1999	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for enhancing security in a self-service checkout terminal	  	 	5965861	  	 	 	10/12/1999	  
	 NCR Corporation
	  	Utility	  	System for detecting multiple superposed sheets	  	 	5965865	  	 	 	10/12/1999	  
	 NCR Corporation
	  	Utility	  	Computer system and method including a portable portion that has a capability to diagnose and perform analysis for a stationary position and for a portable portion	  	 	5968187	  	 	 	10/19/1999	  
	 NCR Corporation
	  	Utility	  	Price determination system and method using digitized gray-scale image recognition and price-lookup files	  	 	5969317	  	 	 	10/19/1999	  

													
	 Registered Owner
	  	 Type
	  	 Title
	  	Patent No.	 	  	Reg. Date	 
	 NCR Corporation
	  	Utility	  	Keyboard	  	 	5969320	  	  	 	10/19/1999	  
	 NCR Corporation
	  	Utility	  	Apparatus and method of securing a heat dissipating cover to a thermally conductive housing associated with a retail terminal	  	 	5973922	  	  	 	10/26/1999	  
	 NCR Corporation
	  	Utility	  	System for authenticating printed documents	  	 	5974883	  	  	 	11/02/1999	  
	 NCR Corporation
	  	Utility	  	Convertible barcode scanner	  	 	5975417	  	  	 	11/02/1999	  
	 NCR Corporation
	  	Utility	  	Apparatus and method for dissipating heat from a core module assembly of a retail terminal	  	 	5978225	  	  	 	11/02/1999	  
	 NCR Corporation
	  	Utility	  	Card reader/writer with pivoting read/write contact head	  	 	5984179	  	  	 	11/16/1999	  
	 NCR Corporation
	  	Utility	  	Electronic price label system including groups of electronic price labels and method of managing the groups	  	 	5987427	  	  	 	11/16/1999	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for checking out non-barcoded items at a checkout station	  	 	5987428	  	  	 	11/16/1999	  
	 NCR Corporation
	  	Utility	  	Self-service deposit method and apparatus	  	 	5987431	  	  	 	11/16/1999	  
	 NCR Corporation
	  	Utility	  	Method of improving assistance to an operator to balance an out-of-proof transaction and an apparatus therefor	  	 	5987437	  	  	 	11/16/1999	  
	 NCR Corporation
	  	Utility	  	Method of delaying availability of price changes to checkout terminals following EPL price changes	  	 	5988498	  	  	 	11/23/1999	  
	 NCR Corporation
	  	Utility	  	Apparatus for detecting the passage of multiple superposed sheets along a feed path	  	 	5988634	  	  	 	11/23/1999	  
	 NCR Corporation
	  	Utility	  	Self-service checkout apparatus	  	 	5992570	  	  	 	11/30/1999	  
	 NCR Corporation
	  	Utility	  	Electrical lead and financial terminal including the lead	  	 	5999097	  	  	 	12/07/1999	  
	 NCR Corporation
	  	Utility	  	Electronic price label system which displays prices in multiple currencies	  	 	5999913	  	  	 	12/07/1999	  
	 NCR Corporation
	  	Utility	  	Electronic price label mounting device and method	  	 	6000611	  	  	 	12/14/1999	  
	 NCR Corporation
	  	Utility	  	Magnetic card reader	  	 	6000620	  	  	 	12/14/1999	  
	 NCR Corporation
	  	Utility	  	Multi-transaction service system	  	 	6003019	  	  	 	12/14/1999	  
	 NCR Corporation
	  	Utility	  	Assigning security levels to particular documents on a document by document basis in a database	  	 	6006228	  	  	 	12/21/1999	  
	 NCR Corporation
	  	Utility	  	System and method of reporting a status of another system through an electronic price label system	  	 	6009538	  	  	 	12/28/1999	  
	 NCR Corporation
	  	Utility	  	System and method of locating wireless devices	  	 	6011487	  	  	 	01/04/2000	  
	 NCR Corporation
	  	Utility	  	EPL price change verification system and method	  	 	6012040	  	  	 	01/04/2004	  
	 NCR Corporation
	  	Utility	  	Multi-transaction service system	  	 	6012050	  	  	 	01/04/2000	  
	 NCR Corporation
	  	Utility	  	System and method of managing displayed message priorities in an EPL system	  	 	6021395	  	  	 	02/01/2000	  
	 NCR Corporation
	  	Utility	  	Multi-stage transaction executed from multiple ATMs	  	 	6021400	  	  	 	02/01/2000	  
	 NCR Corporation
	  	Utility	  	Method of sending messages to an electronic price label	  	 	6026373	  	  	 	02/15/2000	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for optimizing promotional sale of products based upon historical data	  	 	6029139	  	  	 	02/22/2000	  
	 NCR Corporation
	  	Utility	  	Electronic price label comprised of a liquid crystal display with polarizers perpendicular to each other creating a wide verticle viewing angle	  	 	6031585	  	  	 	02/29/2000	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for detecting item placement and item removal during operation of a self-service checkout terminal	  	 	6032128	  	  	 	02/29/2000	  

									
	 Registered Owner
	  	 Type
	  	 Title
	  	Patent No.	 	Reg. Date
	 NCR Corporation
	  	Utility	  	Method for issuing a new authenticated electronic ticket based on an expired authenticated ticket and distributed server architecture for using same	  	6032260	 	02/29/2000
	 NCR Corporation
	  	Utility	  	Document feeder	  	6032946	 	03/07/2000
	 NCR Corporation
	  	Utility	  	Method for monitoring user interactions with web pages from web server using data and command lists for maintaining information visited and issued by participants	  	6035332	 	03/07/2000
	 NCR Corporation
	  	Utility	  	Communication device and method for electronic price label systems	  	6035437	 	03/07/2000
	 NCR Corporation
	  	Utility	  	Multi-layer thermal transfer media from selectively curable formulations	  	6040040*	 	03/21/2000
	 NCR Corporation
	  	Utility	  	Self-service computer assembly with integrated receipt printer	  	6042007	 	03/28/2000
	 NCR Corporation
	  	Utility	  	System and method of determining price differences between price look-up files	  	6044358	 	03/28/2000
	 NCR Corporation
	  	Utility	  	Method of minimizing power consumption within an electronic price label	  	6044359	 	03/28/2000
	 NCR Corporation
	  	Utility	  	Offset barcode scanner	  	6045045	 	04/04/2000
	 NCR Corporation
	  	Utility	  	Full coverage barcode scanner	  	6045046	 	04/04/2000
	 NCR Corporation
	  	Utility	  	Electronic price label including noisemaker and method of locating electronic price labels	  	6046682	 	04/04/2000
	 NCR Corporation
	  	Utility	  	Method and system for monitoring and enhancing computer-assisted performance	  	6047261	 	04/04/2000
	 NCR Corporation
	  	Utility	  	Method for providing security and enhancing efficiency during operation of a self-service checkout terminal	  	6047262	 	04/04/2000
	 NCR Corporation
	  	Utility	  	Method of displaying information by an electronic price label	  	6047263	 	04/04/2000
	 NCR Corporation
	  	Utility	  	Retail terminal and associated mounting method	  	6053411	 	04/25/2000
	 NCR Corporation
	  	Utility	  	System and method for improving reliability and performance of wireless communication systems using message pooling	  	6055414	 	04/25/2000
	 NCR Corporation
	  	Utility	  	Method and apparatus for providing security to a self-service checkout terminal	  	6056087	 	05/02/2000
	 NCR Corporation
	  	Utility	  	Multilayered thermal transfer medium for high speed printing	  	6057028*	 	05/02/2000
	 NCR Corporation
	  	Utility	  	Apparatus and method of operating a retail terminal having a single-orientation base assembly and a multiple-orientation base assembly	  	6062477	 	05/16/2000
	 NCR Corporation
	  	Utility	  	Document transport apparatus	  	6068255	 	05/30/2000
	 NCR Corporation
	  	Utility	  	System and method for improving reliability and performance of wireless communication systems using message pooling	  	6070057	 	05/30/2000
	 NCR Corporation
	  	Utility	  	Printable sheet with removable label and method for producing same	  	6071585*	 	06/06/2000
	 NCR Corporation
	  	Utility	  	Automated teller machine including a mechanism which retracts a stack of currency notes which has been presented to a user	  	6073837	 	06/13/2000
	 NCR Corporation
	  	Utility	  	System and method for spectroscopic product recognition and identification	  	6075594*	 	06/13/2000
	 NCR Corporation
	  	Utility	  	Browser kiosk system	  	6078848	 	06/20/2000
	 NCR Corporation
	  	Utility	  	Method and apparatus for resetting a product scale of a retail checkout terminal	  	6080938	 	06/27/2000

													
	 Registered Owner
	  	 Type
	  	 Title
	  	Patent No.	 	 	Reg. Date	 
	 NCR Corporation
	  	Utility	  	Adjustable balance weight	  	 	6082186	  	 	 	07/04/2000	  
	 NCR Corporation
	  	Utility	  	System for detecting superposed sheets	  	 	6082732	  	 	 	07/04/2000	  
	 NCR Corporation
	  	Utility	  	Retail terminal having a tilt mechanism which includes a ratchet member for positioning a display monitor relative to a stationary base	  	 	6085972	  	 	 	07/11/2000	  
	 NCR Corporation
	  	Utility	  	Off-scale item sensing apparatus and method for a bar code reader	  	 	6085979	  	 	 	07/11/2000	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for checking out items which do not have a record corresponding thereto stored in a master product database	  	 	6089454	  	 	 	07/18/2000	  
	 NCR Corporation
	  	Utility	  	Document feeder	  	 	6089561	  	 	 	07/18/2000	  
	 NCR Corporation
	  	Utility	  	Card reader	  	 	6092723	  	 	 	07/25/2000	  
	 NCR Corporation
	  	Utility	  	Apparatus for authenticating sheets	  	 	6094500	  	 	 	07/25/2000	  
	 NCR Corporation
	  	Utility	  	ATM delivery roll validation	  	 	6095414	* 	 	 	08/01/2000	  
	 NCR Corporation
	  	Utility	  	Electronic price label system including groups of electronic price labels and method of managing the groups	  	 	6098049	  	 	 	08/01/2000	  
	 NCR Corporation
	  	Utility	  	Electronic price label antenna	  	 	6100850	  	 	 	08/08/2000	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for reducing shrinkage during operation of a self-service checkout terminal	  	 	6105866	  	 	 	08/22/2000	  
	 NCR Corporation
	  	Utility	  	Print media with near infrared fluorescent sense mark and printer therefor	  	 	6106910	* 	 	 	08/22/2000	  
	 NCR Corporation
	  	Utility	  	Electronic price label system including an electronic price label for attracting customers	  	 	6107936	  	 	 	08/22/2000	  
	 NCR Corporation
	  	Utility	  	Paper roll impression identification	  	 	6112653	* 	 	 	09/05/2000	  
	 NCR Corporation
	  	Utility	  	Hand-held scanner device having a smart card associated therewith and associated method	  	 	6112857	  	 	 	09/05/2000	  
	 NCR Corporation
	  	Utility	  	Pattern recognition constraint network	  	 	6122399	  	 	 	09/19/2000	  
	 NCR Corporation
	  	Utility	  	Parallel document buffer and method of buffering documents	  	 	6124561	  	 	 	09/26/2000	  
	 NCR Corporation
	  	Utility	  	Electronic price label mounting device	  	 	6126125	  	 	 	10/03/2000	  
	 NCR Corporation
	  	Utility	  	Collection and integration of internet and electronic commerce data in a database during web browsing	  	 	6128624	  	 	 	10/03/2000	  
	 NCR Corporation
	  	Utility	  	Security paper with shrinking polymer security feature	  	 	6132854	* 	 	 	10/17/2000	  
	 NCR Corporation
	  	Utility	  	Sheet feeding apparatus	  	 	6135440	  	 	 	10/24/2000	  
	 NCR Corporation
	  	Utility	  	Flip-up tab pouch	  	 	6138900	* 	 	 	10/31/2000	  
	 NCR Corporation
	  	Utility	  	Print media with untrimmed print gaps	  	 	6142077	* 	 	 	11/07/2000	  
	 NCR Corporation
	  	Utility	  	Computer system management using dedicated cellular appliance	  	 	6145101	  	 	 	11/07/2000	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for operating a self-service checkout terminal which has a single weight scale for performing both an itemization and a security function	  	 	6145629	  	 	 	11/14/2000	  
	 NCR Corporation
	  	Utility	  	Ceramic marking system with decals and thermal transfer ribbon	  	 	6149747	* 	 	 	11/21/2000	  
	 NCR Corporation
	  	Utility	  	Method of improving assistance to an operator during jam recovery in an item processing system	  	 	6151132	  	 	 	11/21/2000	  
	 NCR Corporation
	  	Utility	  	Computer architecture and method for validating and collecting and metadata and data about the internet and electronic commerce environments (data discoverer)	  	 	6151584	  	 	 	11/21/2000	  

													
	 Registered Owner
	  	 Type
	  	 Title
	  	Patent No.	 	 	Reg. Date	 
	 NCR Corporation
	  	Utility	  	Computer architecture and method for collecting, analyzing and/or transforming internet and/or electronic commerce data for storage into a data storage area	  	 	6151601	  	 	 	11/21/2000	  
	 NCR Corporation
	  	Utility	  	Cash drawer bill dispenser	  	 	6152366	  	 	 	11/28/2000	  
	 NCR Corporation
	  	Utility	  	Returnable mailer	  	 	6155481	* 	 	 	12/05/2000	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for operating a security system of a self-service checkout terminal	  	 	6155486	  	 	 	12/05/2000	  
	 NCR Corporation
	  	Utility	  	Item checkout device including a bar code data collector and a produce data collector	  	 	6155489	  	 	 	12/05/2000	  
	 NCR Corporation
	  	Utility	  	Document feeding apparatus	  	 	6155556	  	 	 	12/05/2000	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for supplemental barcode detection and decoding	  	 	6158660	  	 	 	12/12/2000	  
	 NCR Corporation
	  	Utility	  	Modular bar code scanner and scale assembly	  	 	6161758	  	 	 	12/19/2000	  
	 NCR Corporation
	  	Utility	  	Self service terminal	  	 	6164529	  	 	 	12/26/2000	  
	 NCR Corporation
	  	Utility	  	Thermal paper with a near infrared radiation scannable data image	  	 	6165937	* 	 	 	12/26/2000	  
	 NCR Corporation
	  	Utility	  	Thermal transfer ribbon with paper leader and trailer	  	 	6166755	* 	 	 	12/26/2000	  
	 NCR Corporation
	  	Utility	  	Self-service checkout terminal	  	 	6167381	  	 	 	12/26/2000	  
	 NCR Corporation
	  	Utility	  	Combination custom printed form and container and method of using	  	 	6167679	* 	 	 	01/02/2001	  
	 NCR Corporation
	  	Utility	  	Shelf talker management system and method	  	 	6169493	  	 	 	01/02/2001	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for forming subject (context) map and presenting Internet data according to the subject map	  	 	6169997	  	 	 	01/02/2001	  
	 NCR Corporation
	  	Utility	  	Returnable shipping label	  	 	6170879	* 	 	 	01/09/2001	  
	 NCR Corporation
	  	Utility	  	Thermal transfer media with a mixture of non-melting solid particles of distinct sizes	  	 	6171690	* 	 	 	01/09/2001	  
	 NCR Corporation
	  	Utility	  	Thermal transfer medium with phase isolated reactive components	  	 	6172142	* 	 	 	01/09/2001	  
	 NCR Corporation
	  	Utility	  	Method of displaying temporary information by an electronic price label	  	 	6173268	  	 	 	01/09/2001	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for forming page map to present internet data meaningful to management and business operation	  	 	6175838	  	 	 	01/16/2001	  
	 NCR Corporation
	  	Utility	  	System and method for detecting a human face in uncontrolled environments	  	 	6184926	  	 	 	02/06/2001	  
	 NCR Corporation
	  	Utility	  	Inverted shelf talker sheet	  	 	6186555	* 	 	 	02/13/2001	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for displaying instructional messages during operation of a self-service checkout terminal	  	 	6189790	  	 	 	02/20/2001	  
	 NCR Corporation
	  	Utility	  	System and methods for exemplar based bar code error detection and correction	  	 	6189792	  	 	 	02/20/2001	  
	 NCR Corporation
	  	Utility	  	Automated teller machine	  	 	6196456	  	 	 	03/06/2001	  
	 NCR Corporation
	  	Utility	  	Sheet dispensing mechanism	  	 	6196457	  	 	 	03/06/2001	  
	 NCR Corporation
	  	Utility	  	Card reader	  	 	6196463	  	 	 	03/06/2001	  
	 NCR Corporation
	  	Utility	  	Document routing mechanism	  	 	6196464	  	 	 	03/06/2001	  
	 NCR Corporation
	  	Utility	  	Self-service terminal	  	 	6199754	  	 	 	03/13/2001	  
	 NCR Corporation
	  	Utility	  	Method of authenticating an application program and a system therefor	  	 	6202924	  	 	 	03/20/2001	  
	 NCR Corporation
	  	Utility	  	Escrow storage device	  	 	6203000	  	 	 	03/20/2001	  
	 NCR Corporation
	  	Utility	  	System and method for notifying itinerants of film development	  	 	6203217	  	 	 	03/20/2001	  
	 NCR Corporation
	  	Utility	  	Film drop-off apparatus and method	  	 	6206585	  	 	 	03/27/2001	  

													
	 Registered Owner
	  	 Type
	  	 Title
	  	Patent No.	 	 	Reg. Date	 
	 NCR Corporation
	  	Utility	  	System and process for manipulating and viewing hierarchical iconic containers	  	 	6208344	  	 	 	03/27/2001	  
	 NCR Corporation
	  	Utility	  	Secure data processing method and system	  	 	6209099	  	 	 	03/27/2001	  
	 NCR Corporation
	  	Utility	  	Remote control device and method for electronic price label systems	  	 	6211773	  	 	 	04/03/2001	  
	 NCR Corporation
	  	Utility	  	Visual displays	  	 	6211930	  	 	 	04/03/2001	  
	 NCR Corporation
	  	Utility	  	Apparatus and method for operating a checkout system having a scanner which is rotatable between an assisted scanner position and a self-service scanner position	  	 	6213395	  	 	 	04/10/2001	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for determining a stable weight measurement for use in a security software application of a self-service checkout terminal	  	 	6215078	  	 	 	04/10/2001	  
	 NCR Corporation
	  	Utility	  	Label sheet	  	 	6217078	* 	 	 	04/17/2001	  
	 NCR Corporation
	  	Utility	  	Desensitized price label	  	 	6217966	* 	 	 	04/17/2001	  
	 NCR Corporation
	  	Utility	  	Personal computer assisted multiple line access	  	 	6219411	  	 	 	04/17/2001	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for determining bar code label location information	  	 	6220513	  	 	 	04/24/2001	  
	 NCR Corporation
	  	Utility	  	Jet ink with a magneto-rheological fluid	  	 	6221138	* 	 	 	04/24/2001	  
	 NCR Corporation
	  	Utility	  	Automatic teller machines	  	 	6225902	  	 	 	05/01/2001	  
	 NCR Corporation
	  	Utility	  	Thermal transfer ribbons with large size wax or resin particles	  	 	6231964	* 	 	 	05/15/2001	  
	 NCR Corporation
	  	Utility	  	Film drop-off apparatus and method	  	 	6233399	  	 	 	05/15/2001	  
	 NCR Corporation
	  	Utility	  	Low-bandwidth remote conferencing	  	 	6233605	  	 	 	05/15/2001	  
	 NCR Corporation
	  	Utility	  	System and method of tracking short range transmitters	  	 	6236335	  	 	 	05/22/2001	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for screening documents	  	 	6236745	  	 	 	05/22/2001	  
	 NCR Corporation
	  	Utility	  	Position flag for manually usable means	  	 	6237524	  	 	 	05/29/2001	  
	 NCR Corporation
	  	Utility	  	System for detecting multiple superposed sheets	  	 	6237847	  	 	 	05/29/2001	  
	 NCR Corporation
	  	Utility	  	Dual mode barcode scanner	  	 	6237851	  	 	 	05/29/2001	  
	 NCR Corporation
	  	Utility	  	Method of authenticating a magnetic card	  	 	6240515	  	 	 	05/29/2001	  
	 NCR Corporation
	  	Utility	  	Sheet dispensing mechanism	  	 	6241150	  	 	 	06/05/2001	  
	 NCR Corporation
	  	Utility	  	Self service terminal	  	 	6241151	  	 	 	06/05/2001	  
	 NCR Corporation
	  	Utility	  	Electronic price label including a plurality of separately addressable displays	  	 	6243690	  	 	 	06/05/2001	  
	 NCR Corporation
	  	Utility	  	Water soluble silicone resin backcoat for thermal transfer ribbons	  	 	6245416	* 	 	 	06/12/2001	  
	 NCR Corporation
	  	Utility	  	Thermal paper with security features	  	 	6245711	* 	 	 	06/12/2001	  
	 NCR Corporation
	  	Utility	  	Product activity data collection system	  	 	6246995	  	 	 	06/12/2001	  
	 NCR Corporation
	  	Utility	  	Cash register having sawteeth shaped circular perforator	  	 	6250547	  	 	 	06/26/2001	  
	 NCR Corporation
	  	Utility	  	Privacy-enhanced database	  	 	6253203	  	 	 	06/26/2001	  
	 NCR Corporation
	  	Utility	  	Apparatus for checking the condition of documents	  	 	6253603	  	 	 	07/03/2001	  
	 NCR Corporation
	  	Utility	  	Semi-transparent label laminate	  	 	6254138	* 	 	 	07/03/2001	  
	 NCR Corporation
	  	Utility	  	Strip tied label sheet	  	 	6254952	* 	 	 	07/03/2001	  
	 NCR Corporation
	  	Utility	  	Transaction processing system including a networked produce recognition system	  	 	6260023	  	 	 	07/10/2001	  
	 NCR Corporation
	  	Utility	  	Electronic ticketing, authentication and/or authorization security system for internet applications	  	 	6263432	  	 	 	07/17/2001	  
	 NCR Corporation
	  	Utility	  	Apparatus for grouping electronic price labels	  	 	6266905	  	 	 	07/31/2001	  
	 NCR Corporation
	  	Utility	  	Apparatus for grouping electronic price labels	  	 	6269572	  	 	 	08/07/2001	  
	 NCR Corporation
	  	Utility	  	Tilted offset barcode scanner	  	 	6273337	  	 	 	08/14/2001	  

													
	 Registered Owner
	  	 Type
	  	 Title
	  	Patent No.	 	 	Reg. Date	 
	 NCR Corporation
	  	Utility	  	Method for managing states within activex controls simplifying CTI enabled application development	  	 	6275230	  	 	 	08/14/2001	  
	 NCR Corporation
	  	Utility	  	Modular self service terminal	  	 	6276602	  	 	 	08/21/2001	  
	 NCR Corporation
	  	Utility	  	Sheet dispensing mechanism	  	 	6276603	  	 	 	08/21/2001	  
	 NCR Corporation
	  	Utility	  	Method of processing a document in an image-based document processing system and an apparatus therefor	  	 	6282308	  	 	 	08/28/2001	  
	 NCR Corporation
	  	Utility	  	Automated teller machines	  	 	6285988	  	 	 	09/04/2001	  
	 NCR Corporation
	  	Utility	  	Reconfigurable checkout system	  	 	6286758	  	 	 	09/11/2001	  
	 NCR Corporation
	  	Utility	  	System and method of graphically displaying relative information by an electronic price label	  	 	6290128	  	 	 	09/18/2001	  
	 NCR Corporation
	  	Utility	  	Electronic price label battery storage apparatus and replacement method	  	 	6293463	  	 	 	09/25/2001	  
	 NCR Corporation
	  	Utility	  	Pulsed barcode scanner	  	 	6293468	  	 	 	09/25/2001	  
	 NCR Corporation
	  	Utility	  	Session creation mechanism for collaborative network navigation	  	 	6295550	  	 	 	09/25/2001	  
	 NCR Corporation
	  	Utility	  	Self-service terminals	  	 	6296079	  	 	 	10/02/2001	  
	 NCR Corporation
	  	Utility	  	Apparatus and method for operating a checkout system having a security scale for providing security during an assisted checkout transaction	  	 	6296184	  	 	 	10/02/2001	  
	 NCR Corporation
	  	Utility	  	Produce recognition system including a produce shape collector	  	 	6296186	  	 	 	10/02/2001	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for gray image based text identification	  	 	6301386	  	 	 	10/02/2001	  
	 NCR Corporation
	  	Utility	  	System and method of verifying graphically displayed relative information	  	 	6301565	  	 	 	10/09/2001	  
	 NCR Corporation
	  	Utility	  	Printable sheets which forms duplicate copies and methods for producing and using same	  	 	6303539	* 	 	 	10/16/2001	  
	 NCR Corporation
	  	Utility	  	Blazed diffraction scanner	  	 	6307662	  	 	 	10/23/2001	  
	 NCR Corporation
	  	Utility	  	Personal computer interactive phone system	  	 	6310940	  	 	 	10/30/2001	  
	 NCR Corporation
	  	Utility	  	Transaction processing systems	  	 	6311165	  	 	 	10/30/2001	  
	 NCR Corporation
	  	Utility	  	Communication device and method for electronic price label systems	  	 	6311308	  	 	 	10/30/2001	  
	 NCR Corporation
	  	Utility	  	Liquid crystal display with enhanced character visibility	  	 	6317184	  	 	 	11/13/2001	  
	 NCR Corporation
	  	Utility	  	Method of temporarily changing an electronic price label display sequence	  	 	6317724	  	 	 	11/13/2001	  
	 NCR Corporation
	  	Utility	  	Computer system and computer implemented method for synchronization of simultaneous web views	  	 	6317794	  	 	 	11/13/2001	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for checking out large items with a self-service checkout terminal	  	 	6325290	  	 	 	12/04/2001	  
	 NCR Corporation
	  	Utility	  	Acoustic coupling product label and method of using	  	 	6327365	  	 	 	12/04/2001	  
	 NCR Corporation
	  	Utility	  	Graphical user interface (GUI) prototyping and specification tool	  	 	6330007	  	 	 	12/11/2001	  
	 NCR Corporation
	  	Utility	  	Label sheet	  	 	6331018	* 	 	 	12/18/2001	  
	 NCR Corporation
	  	Utility	  	Produce data collector and produce recognition system	  	 	6332573	  	 	 	12/25/2001	  
	 NCR Corporation
	  	Utility	  	System and method for analyzing customer transactions and interactions	  	 	6334110	  	 	 	12/25/2001	  
	 NCR Corporation
	  	Utility	  	Apparatus and method for operating a checkout system having a video camera for enhancing security during operation thereof	  	 	6343739	  	 	 	02/05/2002	  

													
	 Registered Owner
	  	 Type
	  	 Title
	  	Patent No.	 	 	Reg. Date	 
	 NCR Corporation
	  	Utility	  	Methods and apparatus for requesting assistance at a self-checkout terminal	  	 	6347137	  	 	 	02/12/2002	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for determining bar code label location information	  	 	6347741	  	 	 	02/19/2002	  
	 NCR Corporation
	  	Utility	  	Apparatus and method for operating a checkout system having a number of interface terminals associated therewith	  	 	6354497	  	 	 	03/12/2002	  
	 NCR Corporation
	  	Utility	  	Method for displaying the status of a self-service checkout terminal	  	 	6354498	  	 	 	03/12/2002	  
	 NCR Corporation
	  	Utility	  	Anti-fraud device	  	 	6357657	  	 	 	03/19/2002	  
	 NCR Corporation
	  	Utility	  	Security Screen for self-service terminals	  	 	6357881	  	 	 	03/19/2002	  
	 NCR Corporation
	  	Utility	  	System and method of consolidating information for display by electronic price labels	  	 	6360207	  	 	 	03/19/2002	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for employing a hidden security partition to enchance system security	  	 	6360945	  	 	 	03/26/2002	  
	 NCR Corporation
	  	Utility	  	Sheet dispenser mechanism	  	 	6361043	  	 	 	03/26/2002	  
	 NCR Corporation
	  	Utility	  	System and process for assessing the quality of a signature within a binary imageu	  	 	6363162	  	 	 	03/26/2002	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for operating a self-service checkout system having a number of retail terminals associated therewith	  	 	6363355	  	 	 	03/26/2002	  
	 NCR Corporation
	  	Utility	  	Visual bar code recognition method	  	 	6366696	  	 	 	04/02/2002	  
	 NCR Corporation
	  	Utility	  	Self service terminal	  	 	6367695	  	 	 	04/09/2002	  
	 NCR Corporation
	  	Utility	  	Electronic price label mounting apparatus	  	 	6367752	  	 	 	04/09/2002	  
	 NCR Corporation
	  	Utility	  	Financial document processing system and method of operating a financial document processing system to verify zone coordinates	  	 	6370266	  	 	 	04/09/2002	  
	 NCR Corporation
	  	Utility	  	Linear variable filter spectrometer	  	 	6373574	  	 	 	04/16/2002	  
	 NCR Corporation
	  	Utility	  	Call management system and associated method for a local telephone circuit	  	 	6377663	  	 	 	04/23/2002	  
	 NCR Corporation
	  	Utility	  	Automated teller machines and method of replenishiing the same	  	 	6378770	  	 	 	04/30/2002	  
	 NCR Corporation
	  	Utility	  	Printable sheet with removeable label and method for producing same	  	 	6379488	* 	 	 	04/30/2002	  
	 NCR Corporation
	  	Utility	  	Retail system for allowing a customer to perform a retail transaction and associated method	  	 	6382357	  	 	 	05/07/2002	  
	 NCR Corporation
	  	Utility	  	Printing apparatus and method	  	 	6382504	  	 	 	05/07/2002	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for digitizing and processing of analog barcode signals	  	 	6382511	  	 	 	05/07/2002	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for routing service request / agent programs to service provider sites wherein said programs comprise of a list of the sites visited	  	 	6385175	  	 	 	05/07/2002	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for operating a self-service retail system in a department	  	 	6386448	  	 	 	05/14/2002	  
	 NCR Corporation
	  	Utility	  	Coin dispenser	  	 	6390360	  	 	 	05/21/2002	  
	 NCR Corporation
	  	Utility	  	Apparatus and method for operating convertible checkout system which has a customer side and a personnel side	  	 	6390363	  	 	 	05/21/2002	  
	 NCR Corporation
	  	Utility	  	Fraud prevention arrangement	  	 	6390367	  	 	 	05/21/2002	  
	 NCR Corporation
	  	Utility	  	Streamlined scanner spinner	  	 	6390369	  	 	 	05/21/2002	  
	 NCR Corporation
	  	Utility	  	Checkout terminal and associated method having movable scanner	  	 	6394345	  	 	 	05/28/2002	  

													
	 Registered Owner
	  	 Type
	  	 Title
	  	Patent No.	 	 	Reg. Date	 
	 NCR Corporation
	  	Utility	  	Methods and apparatus for enhanced scanner operation employing bar code and bar code fragment time and position of data collection	  	 	6394351	  	 	 	05/28/2002	  
	 NCR Corporation
	  	Utility	  	System and method of altering transaction terms based upon current inventory levels	  	 	6397199	  	 	 	05/28/2002	  
	 NCR Corporation
	  	Utility	  	Machine for dispensing media	  	 	6398108	  	 	 	06/04/2002	  
	 NCR Corporation
	  	Utility	  	System and methods for collaborative bar code error detection and correction	  	 	6398113	  	 	 	06/04/2002	  
	 NCR Corporation
	  	Utility	  	Self service terminal	  	 	6400276	  	 	 	06/04/2002	  
	 NCR Corporation
	  	Utility	  	Machine operable by a card carrying data	  	 	6402024	  	 	 	06/11/2002	  
	 NCR Corporation
	  	Utility	  	Dispensing container	  	 	6402025	  	 	 	06/11/2002	  
	 NCR Corporation
	  	Utility	  	Cabinet with pivoted footrest	  	 	6402273	  	 	 	06/11/2002	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for operating a self-service checkout terminal and a remote supervisor terminal of a retail system	  	 	6408279	  	 	 	06/18/2002	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for delegated error handling	  	 	6408407	  	 	 	06/18/2002	  
	 NCR Corporation
	  	Utility	  	Adhesive shelf talker	  	 	6408553	* 	 	 	06/25/2002	  
	 NCR Corporation
	  	Utility	  	Apparatus and method for operating a checkout system having an item set-aside shelf which is movable between a number of shelf positions	  	 	6409081	  	 	 	06/25/2002	  
	 NCR Corporation
	  	Utility	  	Method of recognizing produce items using checkout frequency	  	 	6409085	  	 	 	06/25/2002	  
	 NCR Corporation
	  	Utility	  	Selective release label sheet	  	 	6410111	* 	 	 	06/25/2002	  
	 NCR Corporation
	  	Utility	  	Dual skip label laminate	  	 	6410113	* 	 	 	06/25/2002	  
	 NCR Corporation
	  	Utility	  	System and method of controlling an electronic price label	  	 	6411196	  	 	 	06/25/2002	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for providing secure signals from a touch panel display	  	 	6411284	  	 	 	06/25/2002	  
	 NCR Corporation
	  	Utility	  	Method of selecting one of a plurality of binarization programs	  	 	6411737	  	 	 	06/25/2002	  
	 NCR Corporation
	  	Utility	  	Produce recognition system and method including weighted rankings	  	 	6412694	  	 	 	07/02/2002	  
	 NCR Corporation
	  	Utility	  	Placemats having integrated adhesive stickers or labels	  	 	6413603	* 	 	 	07/02/2002	  
	 NCR Corporation
	  	Utility	  	Method of minimizing interference between devices which communicate in overlapping communication bands	  	 	6415136	  	 	 	07/02/2002	  
	 NCR Corporation
	  	Utility	  	System and methods for determining and displaying product pricing	  	 	6415263	  	 	 	07/02/2002	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for entering an item name into a self-service checkout terminal	  	 	6418414	  	 	 	07/09/2002	  
	 NCR Corporation
	  	Utility	  	Computer system and computer implemented method for translation of information into multiple media variations	  	 	6418439	  	 	 	07/09/2002	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for negotiating contract terms for execution of a mobile software agent on a host computer	  	 	6418463	  	 	 	07/09/2002	  
	 NCR Corporation
	  	Utility	  	Method for recording and reproducing the browsing activities of an individual web browser	  	 	6418471	  	 	 	07/09/2002	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for an electronic shelf label communication system having multiple transmit	  	 	6419154	  	 	 	07/16/2002	  
	 NCR Corporation
	  	Utility	  	Method for collecting and displaying information for activex controls simplifying cti enabled application development	  	 	6421068	  	 	 	07/16/2002	  

													
	 Registered Owner
	  	 Type
	  	 Title
	  	Patent No.	 	 	Reg. Date	 
	 NCR Corporation
	  	Utility	  	Self-service terminal	  	 	6422475	  	 	 	07/23/2002	  
	 NCR Corporation
	  	Utility	  	Variegated label sheet	  	 	6423391	* 	 	 	07/23/2002	  
	 NCR Corporation
	  	Utility	  	Portable communication device	  	 	6424845	  	 	 	07/23/2002	  
	 NCR Corporation
	  	Utility	  	Waste despsitory	  	 	6425487	  	 	 	07/30/2002	  
	 NCR Corporation
	  	Utility	  	Bow ribbed core	  	 	6425551	* 	 	 	07/30/2002	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for providing an electronic price label countdown timer	  	 	6427138	  	 	 	07/30/2002	  
	 NCR Corporation
	  	Utility	  	Apparatus and method for operating a checkout system having a number of port expander devices associated therewith	  	 	6427914	  	 	 	08/06/2002	  
	 NCR Corporation
	  	Utility	  	Method of operating checkout system having modular construction	  	 	6427915	  	 	 	08/06/2002	  
	 NCR Corporation
	  	Utility	  	Replenishment arrangements for automated teller machines	  	 	6427998	  	 	 	08/06/2002	  
	 NCR Corporation
	  	Utility	  	System and method of reporting a status of another system through an electronic price label system	  	 	6430704	  	 	 	08/06/2002	  
	 NCR Corporation
	  	Utility	  	Barcode supervisory terminal	  	 	6431444	  	 	 	08/13/2002	  
	 NCR Corporation
	  	Utility	  	Produce recognition system and method	  	 	6431446	  	 	 	08/13/2002	  
	 NCR Corporation
	  	Utility	  	Nested label	  	 	6432499	* 	 	 	08/13/2002	  
	 NCR Corporation
	  	Utility	  	Lock protection	  	 	6434986	  	 	 	08/20/2002	  
	 NCR Corporation
	  	Utility	  	Financial document processing system and method of operating a financial document processing system	  	 	6438433	  	 	 	08/20/2002	  
	 NCR Corporation
	  	Utility	  	A computer-based system and method for mapping and conveying product location	  	 	6442530	  	 	 	08/27/2002	  
	 NCR Corporation
	  	Utility	  	Method of changing an electronic price label display sequence	  	 	6442531	  	 	 	08/27/2002	  
	 NCR Corporation
	  	Utility	  	Electronic price label and method of graphically displaying relative information by an electronic price label	  	 	6445370	  	 	 	09/03/2002	  
	 NCR Corporation
	  	Utility	  	Ambient light blocking apparatus for a produce recognition system	  	 	6446869	  	 	 	09/10/2002	  
	 NCR Corporation
	  	Utility	  	Sheet recognition system	  	 	6449032	  	 	 	09/10/2002	  
	 NCR Corporation
	  	Utility	  	Self-service terminal	  	 	6454163	  	 	 	09/24/2002	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for obtaining and maintaining position information for a rotating optical element in a bar code scanner	  	 	6454169	  	 	 	09/24/2002	  
	 NCR Corporation
	  	Utility	  	Money storage device, system and method of operating a bank account and bank account	  	 	6454570	  	 	 	09/24/2002	  
	 NCR Corporation
	  	Utility	  	System and method for touch screen environmental calibration	  	 	6456952	  	 	 	09/24/2002	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for displaying a customized advertising message with a retail terminal	  	 	6456981	  	 	 	09/24/2002	  
	 NCR Corporation
	  	Utility	  	Media processing	  	 	6457639	  	 	 	10/01/2002	  
	 NCR Corporation
	  	Utility	  	Item checkout device including a bar code data collector and a produce data collector	  	 	6457644	  	 	 	10/01/2002	  
	 NCR Corporation
	  	Utility	  	Motorized card reader module	  	 	6460771	  	 	 	10/08/2002	  
	 NCR Corporation
	  	Utility	  	Method of restoring information for display by an electronic price label	  	 	6469617	  	 	 	10/22/2002	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for touch screen touch ahead capability	  	 	6469695	  	 	 	10/22/2002	  
	 NCR Corporation
	  	Utility	  	Satellite control of electronic memory devices	  	 	6470495	  	 	 	10/22/2002	  
	 NCR Corporation
	  	Utility	  	Method of tracking produce selection data	  	 	6471125	  	 	 	10/29/2002	  
	 NCR Corporation
	  	Utility	  	Self-service terminals	  	 	6478221	  	 	 	11/12/2002	  

													
	 Registered Owner
	  	 Type
	  	 Title
	  	Patent No.	 	 	Reg. Date	 
	 NCR Corporation
	  	Utility	  	Method and apparatus to model the variables of a data set	  	 	6480832	  	 	 	11/12/2002	  
	 NCR Corporation
	  	Utility	  	Flush scanner window	  	 	6481626	  	 	 	11/19/2002	  
	 NCR Corporation
	  	Utility	  	Terminal	  	 	6484936	  	 	 	11/26/2002	  
	 NCR Corporation
	  	Utility	  	Self-service terminal having a cassette and method of replenishing the cassette with sheet currency	  	 	6484938	  	 	 	11/26/2002	  
	 NCR Corporation
	  	Utility	  	Software apparatus for immediately posting sharing and maintaining objects on a web page	  	 	6489980	  	 	 	12/03/2002	  
	 NCR Corporation
	  	Utility	  	Keyscreen	  	 	6492978	  	 	 	12/10/2002	  
	 NCR Corporation
	  	Utility	  	Self-service terminal	  	 	6494363	  	 	 	12/17/2002	  
	 NCR Corporation
	  	Utility	  	Self-service terminal	  	 	6494364	  	 	 	12/17/2002	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for an electronic shelf label communication system	  	 	6496121	  	 	 	12/17/2002	  
	 NCR Corporation
	  	Utility	  	Method of temporarily displaying information by an electronic price label	  	 	6496805	  	 	 	12/17/2002	  
	 NCR Corporation
	  	Utility	  	Apparatus and method for deactivating electronic article surveillance in a retail self-checkout terminal	  	 	6497361	  	 	 	12/24/2002	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for dual channel video recovery in bar code scanners	  	 	6497366	  	 	 	12/24/2002	  
	 NCR Corporation
	  	Utility	  	Surface wave touch screen	  	 	6498603	  	 	 	12/24/2002	  
	 NCR Corporation
	  	Utility	  	Hand-held produce recognition system and produce data collector	  	 	6501547	  	 	 	12/31/2002	  
	 NCR Corporation
	  	Utility	  	System and methods for determining and displaying product promotions	  	 	6502076	  	 	 	12/31/2002	  
	 NCR Corporation6
	  	Utility	  	Communication device and method for electronic price label systems	  	 	6502219	  	 	 	12/31/2002	  
	 NCR Corporation
	  	Utility	  	Apparatus and method for operating a checkout system having an rf transmitter for communicating to a number of wireless personal pagers	  	 	6502749	  	 	 	01/07/2003	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for dual thresholding in processing of barcode signals	  	 	6502751	  	 	 	01/07/2003	  
	 NCR Corporation
	  	Utility	  	Compact dual aperture scanner	  	 	6502753	  	 	 	01/07/2003	  
	 NCR Corporation
	  	Utility	  	Produce data collector with enhanced lvf spectrometer	  	 	6505775	  	 	 	01/14/2003	  
	 NCR Corporation
	  	Utility	  	Apparatus and method for displaying a menu with an interactive retail terminal	  	 	6507352	  	 	 	01/14/2003	  
	 NCR Corporation
	  	Utility	  	System and process for removing a background pattern from a binary image	  	 	6507670	  	 	 	01/14/2003	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for area weighted mean processing of barcode signals	  	 	6508405	  	 	 	01/21/2003	  
	 NCR Corporation
	  	Utility	  	Mass produced business mailer	  	 	6510980	* 	 	 	01/28/2003	  
	 NCR Corporation
	  	Utility	  	Automatic teller machines	  	 	6510985	  	 	 	01/28/2003	  
	 NCR Corporation
	  	Utility	  	Bar code processing method for a network kiosk	  	 	6510990	  	 	 	01/28/2003	  
	 NCR Corporation
	  	Utility	  	System and method of displaying information about an item by an electronic displayü	  	 	6510991	  	 	 	01/28/2003	  
	 NCR Corporation
	  	Utility	  	Triggering method for a produce recognition system	  	 	6510994	  	 	 	01/28/2003	  
	 NCR Corporation
	  	Utility	  	Stippled label sheet	  	 	6511725	* 	 	 	01/28/2003	  
	 NCR Corporation
	  	Utility	  	Media cassette	  	 	6513444	  	 	 	02/04/2003	  

  

	6 	 Assignment recorded in error from Russell Lambert to Zero Impact Water Systems, Inc. NCR has requested a corrective assignment.

													
	 Registered Owner
	  	 Type
	  	 Title
	  	Patent No.	 	 	Reg. Date	 
	 NCR Corporation
	  	Utility	  	System and methods for collaborative bar code error detection and correction	  	 	6513715	  	 	 	02/04/2003	  
	 NCR Corporation
	  	Utility	  	Duplex cd label laminate	  	 	6514588	* 	 	 	02/04/2003	  
	 NCR Corporation
	  	Utility	  	Self-service terminal	  	 	6516998	  	 	 	02/11/2003	  
	 NCR Corporation
	  	Utility	  	Time-temperature indicators activated with thermal transfer printing and methods for their production	  	 	6517239	* 	 	 	02/11/2003	  
	 NCR Corporation
	  	Utility	  	Video call distribution	  	 	6518994	  	 	 	01/28/2018	  
	 NCR Corporation
	  	Utility	  	System and method of graphically displaying relative information by an electronic price label	  	 	6520411	  	 	 	02/18/2003	  
	 NCR Corporation
	  	Utility	  	Self-service checkout terminal having a biometric sensing device for verifying identity of a user and associated method	  	 	6522772	  	 	 	02/18/2003	  
	 NCR Corporation
	  	Utility	  	Self-service system	  	 	6523743	  	 	 	02/25/2003	  
	 NCR Corporation
	  	Utility	  	Time-temperature indicators activated with direct thermal printing and methods for their production	  	 	6524000	* 	 	 	02/25/2003	  
	 NCR Corporation
	  	Utility	  	Access key codes for computer resources	  	 	6526512	  	 	 	02/25/2003	  
	 NCR Corporation
	  	Utility	  	Produce recognition system and method	  	 	6529855	  	 	 	03/04/2003	  
	 NCR Corporation
	  	Utility	  	Apparatus and method for operating a checkout system having an rf transmitter for communicating to a receiver associated with an intercom system	  	 	6530520	  	 	 	03/11/2003	  
	 NCR Corporation
	  	Utility	  	Produce recognition apparatus and method of obtaining information about produce items	  	 	6530521	  	 	 	03/11/2003	  
	 NCR Corporation
	  	Utility	  	User interface for a self-service terminal	  	 	6533170	  	 	 	03/18/2003	  
	 NCR Corporation
	  	Utility	  	System and method of managing failure of an electronic shelf label to respond to a message	  	 	6535119	  	 	 	03/18/2003	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for operating a retail terminal having a proximity detector that is operable to ascertain movement and distance of a consumer relative to the retail terminal	  	 	6536658	  	 	 	03/25/2003	  
	 NCR Corporation
	  	Utility	  	Self-service kiosk which dispenses vouchers	  	 	6536663	  	 	 	03/25/2003	  
	 NCR Corporation
	  	Utility	  	Information gathering and personalization techniques	  	 	6539400	  	 	 	03/25/2003	  
	 NCR Corporation
	  	Utility	  	Replenishment arrangements for automated teller machines	  	 	6540136	  	 	 	04/01/2003	  
	 NCR Corporation
	  	Utility	  	Apparatus and method for operating a checkout system which has a number of payment devices for tendering payment during an assisted checkout transaction	  	 	6540137	  	 	 	04/01/2003	  
	 NCR Corporation
	  	Utility	  	Apparatus for a document processing system	  	 	6540226	  	 	 	04/01/2003	  
	 NCR Corporation
	  	Utility	  	System and method for using an enhanced external data interface to display data in epl systems	  	 	6542873	  	 	 	04/01/2003	  
	 NCR Corporation
	  	Utility	  	System and method for providing consumer access to a stored digital receipt generated as a result of a purchase transaction and to business/consumer applications related to the stored digital receipt	  	 	6543683	  	 	 	04/08/2003	  
	 NCR Corporation
	  	Utility	  	Transaction terminal with privacy shield for touch-screen pin entry	  	 	6543684	  	 	 	04/08/2003	  
	 NCR Corporation
	  	Utility	  	Extended coverage barcode scanner	  	 	6543694	  	 	 	04/08/2003	  
	 NCR Corporation
	  	Utility	  	Self-service checkout system with rfid capability	  	 	6547040	  	 	 	04/15/2003	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for processing a large number of items with a self-service checkout terminal	  	 	6550582	  	 	 	04/22/2003	  
	 NCR Corporation
	  	Utility	  	Electronic price label battery storage apparatus and replacement method	  	 	6551738	  	 	 	04/22/2003	  
	 NCR Corporation
	  	Utility	  	System and method of applying price changes in an electronic price label system	  	 	6553349	  	 	 	4/22/2003	  

													
	 Registered Owner
	  	 Type
	  	 Title
	  	Patent No.	 	 	Reg. Date	 
	 NCR Corporation
	  	Utility	  	Method of detecting and managing rfid labels on items brought into a store by a customer	  	 	6554187	  	 	 	04/29/2003	  
	 NCR Corporation
	  	Utility	  	Three-dimensional check image viewer and a method of handling check images in an image-based check processing system	  	 	6556188	  	 	 	04/29/2003	  
	 NCR Corporation
	  	Utility	  	Media cassette for self-service terminal	  	 	6557757	  	 	 	05/06/2003	  
	 NCR Corporation
	  	Utility	  	System and method of managing expired products	  	 	6557760	  	 	 	05/06/2003	  
	 NCR Corporation
	  	Utility	  	Retractable track guide apparatus for use in a document processing system	  	 	6557850	  	 	 	05/06/2003	  
	 NCR Corporation
	  	Utility	  	Domestic appliance	  	 	6559882	  	 	 	05/06/2003	  
	 NCR Corporation
	  	Utility	  	Carrel computer terminal	  	 	6560093	  	 	 	05/06/2003	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for supplemental barcode detection and decoding	  	 	6561426	  	 	 	05/13/2003	  
	 NCR Corporation
	  	Utility	  	Thermal paper with security features	  	 	6562755	* 	 	 	05/13/2003	  
	 NCR Corporation
	  	Utility	  	Universal methods and apparatus for determining prices and rewards within retail transactions	  	 	6564189	  	 	 	05/13/2003	  
	 NCR Corporation
	  	Utility	  	System and method of correlating a check tendered as payment for a purchase to the particular purchase transaction	  	 	6564996	  	 	 	05/20/2003	  
	 NCR Corporation
	  	Utility	  	Sheet printing and discharging apparatus	  	 	6565274	  	 	 	05/20/2003	  
	 NCR Corporation
	  	Utility	  	System and method for notifying customers of film develoment	  	 	6567619	  	 	 	05/20/2003	  
	 NCR Corporation
	  	Utility	  	Apparatus for grouping electronic price labels	  	 	6568111	  	 	 	05/27/2003	  
	 NCR Corporation
	  	Utility	  	Remote approval system and methods for use in network of retail checkout terminals	  	 	6571218	  	 	 	05/27/2003	  
	 NCR Corporation
	  	Utility	  	System of automated teller machines	  	 	6575359	  	 	 	06/10/2003	  
	 NCR Corporation
	  	Utility	  	Produce recognition method	  	 	6577983	  	 	 	06/10/2003	  
	 NCR Corporation
	  	Utility	  	Check cashing at automated teller machines	  	 	6578760	  	 	 	06/17/2003	  
	 NCR Corporation
	  	Utility	  	System and method for automatically creating and updating a graphical user interface	  	 	6580440	  	 	 	06/17/2003	  
	 NCR Corporation
	  	Utility	  	Apparatus for grouping electronic price labels	  	 	6581316	  	 	 	06/24/2003	  
	 NCR Corporation
	  	Utility	  	Electronic price label and assembly method	  	 	6581828	  	 	 	06/24/2003	  
	 NCR Corporation
	  	Utility	  	Self service terminal	  	 	6583864	  	 	 	06/24/2003	  
	 NCR Corporation
	  	Utility	  	Time-stamping of merchandise prior to sale	  	 	6584449	  	 	 	06/24/2003	  
	 NCR Corporation
	  	Utility	  	Track bottom apparatus for use in a document processing system	  	 	6585261	  	 	 	07/01/2003	  
	 NCR Corporation
	  	Utility	  	Financial document processing system and method of operating a financial document processing system during exception recovery	  	 	6585775	  	 	 	07/01/2003	  
	 NCR Corporation
	  	Utility	  	Method of quantifying the quality of a gray scale image of a document and an apparatus therefor	  	 	6587576	  	 	 	07/01/2003	  
	 NCR Corporation
	  	Utility	  	Method of parameterizing a threshold curve for a binarization program and an apparatus therefor	  	 	6587585	  	 	 	07/01/2003	  
	 NCR Corporation
	  	Utility	  	Checkout system convertible between assisted and non-assisted configurations	  	 	6588549	  	 	 	07/08/2003	  
	 NCR Corporation
	  	Utility	  	Card reader module	  	 	6588659	  	 	 	07/08/2003	  
	 NCR Corporation
	  	Utility	  	Network of self-service terminals	  	 	6588664	  	 	 	07/08/2003	  
	 NCR Corporation
	  	Utility	  	Duplex label pocket	  	 	6589623	* 	 	 	07/08/2003	  
	 NCR Corporation
	  	Utility	  	Item processing system and method which track label usage	  	 	6592038	  	 	 	07/15/2003	  
	 NCR Corporation
	  	Utility	  	Self-service terminal	  	 	6593915	  	 	 	07/15/2003	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for hands-free operation of a voice recognition system	  	 	6594632	  	 	 	07/15/2003	  

													
	 Registered Owner
	  	 Type
	  	 Title
	  	Patent No.	 	 	Reg. Date	 
	 NCR Corporation
	  	Utility	  	Integrated antenna scanner window	  	 	6595421	  	 	 	07/22/2003	  
	 NCR Corporation
	  	Utility	  	Retractable track idler apparatus for use in a document processing system	  	 	6595516	  	 	 	07/22/2003	  
	 NCR Corporation
	  	Utility	  	Duplex label laminate	  	 	6596359	* 	 	 	07/22/2003	  
	 NCR Corporation
	  	Utility	  	Geospatial inventory control	  	 	6598025	  	 	 	07/22/2003	  
	 NCR Corporation
	  	Utility	  	System and method of managing inventory	  	 	6601764	  	 	 	08/05/2003	  
	 NCR Corporation
	  	Utility	  	Ambient light sensing apparatus and method for a produce data collector	  	 	6601767	  	 	 	08/05/2003	  
	 NCR Corporation
	  	Utility	  	Media validation	  	 	6605819	  	 	 	08/12/2003	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for assessing quality of information displays	  	 	6606116	  	 	 	08/12/2003	  
	 NCR Corporation
	  	Utility	  	Method of combining spectral data with non-spectral data in a produce recognition system	  	 	6606579	  	 	 	08/12/2003	  
	 NCR Corporation
	  	Utility	  	Server based virtual conferencing	  	 	6608636	  	 	 	08/19/2003	  
	 NCR Corporation
	  	Utility	  	Web-based education	  	 	6608992	  	 	 	08/19/2003	  
	 NCR Corporation
	  	Utility	  	Bevel ribbed core	  	 	6609677	* 	 	 	08/26/2003	  
	 NCR Corporation
	  	Utility	  	Ribbed core	  	 	6609678	* 	 	 	08/26/2003	  
	 NCR Corporation
	  	Utility	  	Fold-a-frame	  	 	6612061	* 	 	 	09/02/2003	  
	 NCR Corporation
	  	Utility	  	Duplex envelope	  	 	6612484	* 	 	 	09/02/2003	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for obtaining imaging information in bar code scanners	  	 	6616044	  	 	 	09/09/2003	  
	 NCR Corporation
	  	Utility	  	Self-service terminal	  	 	6626357	  	 	 	09/30/2003	  
	 NCR Corporation
	  	Utility	  	Self-service terminal	  	 	6626426	  	 	 	09/30/2003	  
	 NCR Corporation
	  	Utility	  	System and method for preventing detection of touch screen input data	  	 	6630896	  	 	 	10/07/2003	  
	 NCR Corporation
	  	Utility	  	Self-service terminal	  	 	6630941	  	 	 	10/07/2003	  
	 NCR Corporation
	  	Utility	  	Customer workstation intelligently connectable to a legacy retail system and providing supplemental functionality thereto	  	 	6644547	  	 	 	11/11/2003	  
	 NCR Corporation
	  	Utility	  	Belt apparatus for use in a document processing system	  	 	6645103	  	 	 	11/11/2003	  
	 NCR Corporation
	  	Utility	  	Method of providing persistent memory to a hand-held platform operating system on a computer system	  	 	6647492	  	 	 	11/11/2003	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for using passive loopback circuitry to determine whether a peripheral device is able to accept power from a computer and providing power accordlingly	  	 	6651177	  	 	 	11/18/2003	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for obtaining and maintaining position information for a rotating optical element in a bar code scanner	  	 	6651889	  	 	 	11/25/2003	  
	 NCR Corporation
	  	Utility	  	Active gap controlled feeder	  	 	6655677	  	 	 	12/02/2003	  
	 NCR Corporation
	  	Utility	  	Scented jet ink and printed articles therefrom	  	 	6656256	* 	 	 	12/02/2003	  
	 NCR Corporation
	  	Utility	  	Produce texture data collecting apparatus and method	  	 	6658138	  	 	 	12/02/2003	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for integrating remote human interactive assistance function into software systems	  	 	6658466	  	 	 	12/02/2003	  
	 NCR Corporation
	  	Utility	  	Self-service terminal	  	 	6659342	  	 	 	12/09/2003	  
	 NCR Corporation
	  	Utility	  	Automated monitoring of activity of shoppers in a market	  	 	6659344	  	 	 	12/09/2003	  
	 NCR Corporation
	  	Utility	  	System and method for detecting low paper in a printer using continuously variable measurements	  	 	6661979	  	 	 	12/09/2003	  
	 NCR Corporation
	  	Utility	  	Automated configuration of computer accessories	  	 	6662240	  	 	 	12/09/2003	  
	 NCR Corporation
	  	Utility	  	Self service terminal	  	 	6663001	  	 	 	12/16/2003	  

													
	 Registered Owner
	  	 Type
	  	 Title
	  	Patent No.	 	 	Reg. Date	 
	 NCR Corporation
	  	Utility	  	System for retrieving migratory data items, using urls	  	 	6665660	  	 	 	12/16/2003	  
	 NCR Corporation
	  	Utility	  	Software sanity monitor	  	 	6665758	  	 	 	12/16/2003	  
	 NCR Corporation
	  	Utility	  	Serviceable tamper resistant pin entry apparatus	  	 	6669100	  	 	 	12/30/2003	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for protecting data retrieved from a database	  	 	6671687	  	 	 	12/30/2003	  
	 NCR Corporation
	  	Utility	  	Retail terminal configured as consumer gateway to electronic billing application	  	 	6676016	  	 	 	01/13/2004	  
	 NCR Corporation
	  	Utility	  	System and method for monitoring a bag supply in a self-checkout station	  	 	6681896	  	 	 	01/27/2004	  
	 NCR Corporation
	  	Utility	  	Self -service terminal	  	 	6685086	  	 	 	02/03/2004	  
	 NCR Corporation
	  	Utility	  	A method of interfacing with virtual objects on a map including items with machine-readable tags	  	 	6690402	  	 	 	02/10/2004	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for enhanced scanner operation employing bar code and bar code fragment time and position of data collection	  	 	6695211	  	 	 	02/24/2004	  
	 NCR Corporation
	  	Utility	  	Method of changing an electronic price label display sequence	  	 	6696920	  	 	 	02/24/2004	  
	 NCR Corporation
	  	Utility	  	Electronic shelf label mounting apparatus	  	 	6698701	  	 	 	03/02/2004	  
	 NCR Corporation
	  	Utility	  	Printable form with removable label and method for producing same	  	 	6699551	* 	 	 	03/02/2004	  
	 NCR Corporation
	  	Utility	  	Wiring hub for a retail terminal	  	 	6701192	  	 	 	03/02/2004	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for scan pattern selection and selective decode inhibition in barcode scanners	  	 	6702183	  	 	 	03/09/2004	  
	 NCR Corporation
	  	Utility	  	System and method of providing a requested service at a lodging establishment	  	 	6705519	  	 	 	03/16/2004	  
	 NCR Corporation
	  	Utility	  	Method for preventing storage of duplicate barcode entries in an item security database	  	 	6712268	  	 	 	03/30/2004	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for forming user sessions and presenting internet data according to the user sessions	  	 	6714931	  	 	 	03/30/2004	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for secure personal identification number and data encryption	  	 	6715078	  	 	 	03/30/2004	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for an electronic price label system	  	 	6715676	  	 	 	04/06/2004	  
	 NCR Corporation
	  	Utility	  	Checkout system including a product security label deactivator	  	 	6715677	  	 	 	04/06/2004	  
	 NCR Corporation
	  	Utility	  	Predictive internet automatic work distributor (pre-iawd) and proactive internet automatic work distributor (pro-iawd)	  	 	6718330	  	 	 	04/06/2004	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for detection and processing of supplemental bar code labels	  	 	6722568	  	 	 	04/20/2004	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for detection and processing of supplemental bar code labels	  	 	6724318	  	 	 	04/20/2004	  
	 NCR Corporation
	  	Utility	  	Method of using an electronic ticket and distributed server computer architecture for the same	  	 	6725376	  	 	 	04/20/2004	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for multiple format image capture for use in retail transactions	  	 	6726094	  	 	 	04/27/2004	  
	 NCR Corporation
	  	Utility	  	Card reader module	  	 	6729538	  	 	 	05/04/2004	  
	 NCR Corporation
	  	Utility	  	Duplexing ties	  	 	6730383	* 	 	 	05/04/2004	  
	 NCR Corporation
	  	Utility	  	Release layer and method of preparation	  	 	6730765	* 	 	 	05/04/2004	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for providing display of bagging indicator on electronic price labels	  	 	6731197	  	 	 	05/04/2004	  
	 NCR Corporation
	  	Utility	  	Self service terminal	  	 	6732918	  	 	 	05/11/2004	  

													
	 Registered Owner
	  	 Type
	  	 Title
	  	Patent No.	 	 	Reg. Date	 
	 NCR Corporation
	  	Utility	  	Radio frequency identification system and method	  	 	6732923	  	 	 	05/11/2004	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for creating and storing secure customer receipts on smart cards	  	 	6738749	  	 	 	05/18/2004	  
	 NCR Corporation
	  	Utility	  	Apparatus for use in a self-service terminal and a method of processing a financial instrument at a self-service terminal	  	 	6739503	  	 	 	05/25/2004	  
	 NCR Corporation
	  	Utility	  	Consumer model	  	 	6741973	  	 	 	05/25/2004	  
	 NCR Corporation
	  	Utility	  	Rule based expert system for consumer preference	  	 	6741975	  	 	 	05/25/2004	  
	 NCR Corporation
	  	Utility	  	Retail terminal utilizing an imaging scanner for product attribute identification and consumer interactive querying	  	 	6744938	  	 	 	06/01/2004	  
	 NCR Corporation
	  	Utility	  	Stealth tied label laminate	  	 	6746742	* 	 	 	06/08/2004	  
	 NCR Corporation
	  	Utility	  	System and method of detecting movement of an item	  	 	6747560	  	 	 	06/08/2004	  
	 NCR Corporation
	  	Utility	  	Thermal transfer medium and method of making thereof	  	 	6749909	* 	 	 	06/15/2004	  
	 NCR Corporation
	  	Utility	  	Detector assembly for use in a bar code scanner and methods for fabricating the same	  	 	6752315	  	 	 	06/22/2004	  
	 NCR Corporation
	  	Utility	  	Imaging system	  	 	6757419	  	 	 	06/29/2004	  
	 NCR Corporation
	  	Utility	  	Method of downloading web content to a network kiosk in advance	  	 	6757683	  	 	 	06/29/2004	  
	 NCR Corporation
	  	Utility	  	Self-service terminal	  	 	6758395	  	 	 	07/06/2004	  
	 NCR Corporation
	  	Utility	  	Dual-sided imaging element	  	 	6759366	* 	 	 	07/06/2004	  
	 NCR Corporation
	  	Utility	  	Smart card which temporarily stores transactions in non-secure memory and consolidates the transactions into secure memory	  	 	6760796	  	 	 	07/06/2004	  
	 NCR Corporation
	  	Utility	  	Card reader	  	 	6761310	  	 	 	07/13/2004	  
	 NCR Corporation
	  	Utility	  	Self-service terminal	  	 	6763999	  	 	 	07/20/2004	  
	 NCR Corporation
	  	Utility	  	System and method of displaying random weight item information by electronic price labels	  	 	6764002	  	 	 	07/20/2004	  
	 NCR Corporation
	  	Utility	  	Checkout device including barcode reading apparatus, scale, and eas system	  	 	6764010	  	 	 	07/20/2004	  
	 NCR Corporation
	  	Utility	  	Document printing, staging, and presentation device and associated methods	  	 	6767093	  	 	 	07/27/2004	  
	 NCR Corporation
	  	Utility	  	Water-based dual security ink	  	 	6770687	* 	 	 	08/03/2004	  
	 NCR Corporation
	  	Utility	  	System and method of dispatching an individual in a transaction establishment	  	 	6774765	  	 	 	08/10/2004	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for attaching an electronic price label to an electronic theft prevention tag	  	 	6774794	  	 	 	08/10/2004	  
	 NCR Corporation
	  	Utility	  	Segmented	  	 	6775910	* 	 	 	08/17/2004	  
	 NCR Corporation
	  	Utility	  	Security label laminate	  	 	6777054	* 	 	 	08/17/2004	  
	 NCR Corporation
	  	Utility	  	System and method for updating a database of weights at a self-checkout terminal	  	 	6779722	  	 	 	08/24/2004	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for replacing an electronic shelf label battery	  	 	6781580	  	 	 	08/24/2004	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for analyzing and orienting lcd viewing screens in order to provide improved display quality	  	 	6781604	  	 	 	08/24/2004	  
	 NCR Corporation
	  	Utility	  	Intelligent knowledge base content categorizer (IKBCC)	  	 	6782391	  	 	 	08/24/2004	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for efficient use of space in arranging and configuring optical components of bar code scanners	  	 	6783074	  	 	 	08/31/2004	  

													
	 Registered Owner
	  	 Type
	  	 Title
	  	Patent No.	 	 	Reg. Date	 
	 NCR Corporation
	  	Utility	  	Direct thermal printer	  	 	6784906	* 	 	 	08/31/2004	  
	 NCR Corporation
	  	Utility	  	Media cassette	  	 	6786354	  	 	 	09/07/2004	  
	 NCR Corporation
	  	Utility	  	System and method for verifying surveillance tag deactivation in a self-checkout station	  	 	6788205	  	 	 	09/07/2004	  
	 NCR Corporation
	  	Utility	  	Variable pressure document infeed transport apparatus for use in a self-service terminal	  	 	6789795	  	 	 	09/14/2004	  
	 NCR Corporation
	  	Utility	  	Epoxy curing agent emulsification for ttr application	  	 	6790493	* 	 	 	09/14/2004	  
	 NCR Corporation
	  	Utility	  	Apparatus for providing wireless transmission of information in electronic display systems and methods of using the same	  	 	6791466	  	 	 	09/14/2004	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for determining the retail performance metric of entry identification time	  	 	6792394	  	 	 	09/14/2004	  
	 NCR Corporation
	  	Utility	  	Self-service terminal	  	 	6793134	  	 	 	09/21/2004	  
	 NCR Corporation
	  	Utility	  	System and method for controlling weighing operations at a scale of a self-checkout terminal	  	 	6794586	  	 	 	09/21/2004	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for dynamic adjustment of bar code reader parameters	  	 	6796503	  	 	 	09/28/2004	  
	 NCR Corporation
	  	Utility	  	Thermal paper with preprinted indicia	  	 	6803344	* 	 	 	10/12/2004	  
	 NCR Corporation
	  	Utility	  	Self-service terminal having a reconfigurable media entry slot	  	 	6805285	  	 	 	10/19/2004	  
	 NCR Corporation
	  	Utility	  	System and method for updating a product database based on surveillance tag detection at a self-checkout station	  	 	6809645	  	 	 	10/26/2004	  
	 NCR Corporation
	  	Utility	  	Information system	  	 	6810394	  	 	 	10/26/2004	  
	 NCR Corporation
	  	Utility	  	System and method of sending messages to a group of electronic price labels	  	 	6816840	  	 	 	11/09/2004	  
	 NCR Corporation
	  	Utility	  	Web-on-CD	  	 	6816892	  	 	 	11/09/2004	  
	 NCR Corporation
	  	Utility	  	Bar code scanner	  	 	6820811	  	 	 	11/23/2004	  
	 NCR Corporation
	  	Utility	  	Self-service terminal including wireless communication	  	 	6823172	  	 	 	11/23/2004	  
	 NCR Corporation
	  	Utility	  	Method of processing documents in an image-based document processing system and an apparatus therefor	  	 	6825940	  	 	 	11/30/2004	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for locating and identifying text labels in digital images	  	 	6826305	  	 	 	11/30/2004	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for using imaging information to improve scanning accuracy in bar code scanners	  	 	6827266	  	 	 	12/07/2004	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for determining a position of a rotating optical element in a bar code scanner	  	 	6827271	  	 	 	12/07/2004	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for manipulating billing and payment information within a browser interface system	  	 	6830186	  	 	 	12/14/2004	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for manipulating billing and payment information within a browser interface system	  	 	6832212	  	 	 	12/14/2004	  
	 NCR Corporation
	  	Utility	  	Preserving pagination of a document converted between different page sizes	  	 	6832352	  	 	 	12/14/2004	  
	 NCR Corporation
	  	Utility	  	Self-service terminal	  	 	6840441	  	 	 	01/11/2005	  
	 NCR Corporation
	  	Utility	  	System and method for self-checkout of video media in a rental store	  	 	6842115	  	 	 	01/11/2005	  
	 NCR Corporation
	  	Utility	  	Method of processing a check and an apparatus therefor	  	 	6845366	  	 	 	01/18/2005	  

													
	 Registered Owner
	  	 Type
	  	 Title
	  	Patent No.	 	 	Reg. Date	 
	 NCR Corporation
	  	Utility	  	Produce recognition system and method	  	 	6845910	  	 	 	01/25/2005	  
	 NCR Corporation
	  	Utility	  	Self-service terminal	  	 	6847937	  	 	 	01/25/2005	  
	 NCR Corporation
	  	Utility	  	Expert system	  	 	6850923	  	 	 	02/01/2005	  
	 NCR Corporation
	  	Utility	  	Self service terminal media loading and storage device	  	 	6851605	  	 	 	02/08/2005	  
	 NCR Corporation
	  	Utility	  	System and method for integrating a self-checkout system into an existing store system	  	 	6856964	  	 	 	02/15/2005	  
	 NCR Corporation
	  	Utility	  	Apparatus and method for utilizing an existing software application during operation of a convertible checkout terminal	  	 	6857505	  	 	 	02/22/2005	  
	 NCR Corporation
	  	Utility	  	Thermal paper with preprinted indicia	  	 	6858564	* 	 	 	02/22/2005	  
	 NCR Corporation
	  	Utility	  	System and method of displaying information by an electronic price label	  	 	6859786	  	 	 	02/22/2005	  
	 NCR Corporation
	  	Utility	  	Serialized system for image replacement documents	  	 	6860423	  	 	 	03/01/2005	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for wireless operator notification in document processing systems	  	 	6862461	  	 	 	03/01/2005	  
	 NCR Corporation
	  	Utility	  	Optical scanner having enhanced item side coverage	  	 	6866197	  	 	 	03/15/2005	  
	 NCR Corporation
	  	Utility	  	Means for and method of displaying a visual decision tree model	  	 	6868412	  	 	 	03/15/2005	  
	 Ncr corporation
	  	Utility	  	System and method for adjusting display brightness levels according to user preferences	  	 	6870529	  	 	 	03/22/2005	  
	 NCR Corporation
	  	Utility	  	Method of processing items in a check processing system and an apparatus therefor	  	 	6870947	  	 	 	03/22/2005	  
	 NCR Corporation
	  	Utility	  	System and method for handling alternate information on electronic price lables	  	 	6876975	  	 	 	04/05/2005	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for error detection and correction in an electronic shelf label system	  	 	6877133	  	 	 	04/05/2005	  
	 NCR Corporation
	  	Utility	  	Bar code scanner	  	 	6883712	  	 	 	04/26/2005	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for automatically locating an electronic shelf label	  	 	6885287	  	 	 	04/26/2005	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for separating noise from a weight signal of a self-service checkout terminal	  	 	6886746	  	 	 	05/03/2005	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for generating an item menu for use during operation of a self-service checkout terminal	  	 	6892183	  	 	 	05/10/2005	  
	 NCR Corporation
	  	Utility	  	Retrofit printer guide clip	  	 	6893014	* 	 	 	05/17/2005	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for tracking customer purchasing habits	  	 	6901373	  	 	 	05/31/2005	  
	 NCR Corporation
	  	Utility	  	Bar code scanner	  	 	6905070	  	 	 	06/14/2005	  
	 NCR Corporation
	  	Utility	  	Active learning framework	  	 	6905341	  	 	 	06/14/2005	  
	 NCR Corporation
	  	Utility	  	Promotion apparatus and method	  	 	6907400	  	 	 	06/14/2005	  
	 NCR Corporation
	  	Utility	  	Method of determining usability of a document image and an apparatus therefor	  	 	6912297	  	 	 	06/28/2005	  
	 NCR Corporation
	  	Utility	  	Creation, transmission and retrieval of information	  	 	6917722	  	 	 	07/12/2005	  
	 NCR Corporation
	  	Utility	  	Event occurrence detection method and apparatus	  	 	6920468	  	 	 	07/19/2005	  
	 NCR Corporation
	  	Utility	  	Authorization code	  	 	6923371	  	 	 	08/02/2005	  
	 NCR Corporation
	  	Utility	  	Self-service terminal	  	 	6929176	  	 	 	08/16/2005	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for storing retail performance metrics	  	 	6929177	  	 	 	08/16/2005	  
	 NCR Corporation
	  	Utility	  	Computer architecture and method for supporting and analyzing electronic commerce over the world wide web for commerce service providers and/or internet service providers	  	 	6934687	  	 	 	08/23/2005	  

													
	 Registered Owner
	  	 Type
	  	 Title
	  	Patent No.	 	 	Reg. Date	 
	 NCR Corporation
	  	Utility	  	Checkout device with enhanced security label detection	  	 	6942145	  	 	 	09/13/2005	  
	 NCR Corporation
	  	Utility	  	Dynamic architecture integration technique	  	 	6944864	  	 	 	09/13/2005	  
	 NCR Corporation
	  	Utility	  	Synchronized web scrolling	  	 	6958981	  	 	 	10/25/2005	  
	 NCR Corporation
	  	Utility	  	Method of providing information	  	 	6959187	  	 	 	10/25/2005	  
	 NCR Corporation
	  	Utility	  	Automated cafeteria	  	 	6959283	  	 	 	10/25/2005	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for advertising over a communications network	  	 	6968315	  	 	 	11/22/2005	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for storing retail performance metrics	  	 	6970810	  	 	 	11/29/2005	  
	 NCR Corporation
	  	Utility	  	System and method of configuring value cards	  	 	6970851	  	 	 	11/29/2005	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for intelligent data bedcheck of an electronic shelf label	  	 	6976206	  	 	 	12/13/2005	  
	 NCR Corporation
	  	Utility	  	Electronic sign with oppositely facing electronic displays	  	 	6977627	  	 	 	12/20/2005	  
	 NCR Corporation
	  	Utility	  	Apparatus and methods of reviewing deposited cheques	  	 	6978927	  	 	 	12/27/2005	  
	 NCR Corporation
	  	Utility	  	System and method of reducing noise in an electronic shelf label system	  	 	6980784	  	 	 	12/27/2005	  
	 NCR Corporation
	  	Utility	  	Private data protection method for a network kiosk	  	 	6981030	  	 	 	12/27/2005	  
	 NCR Corporation
	  	Utility	  	Extended liner shelf talker	  	 	6981343	* 	 	 	01/03/2006	  
	 NCR Corporation
	  	Utility	  	Document path selector apparatus for use in a self-service terminal	  	 	6981636	  	 	 	01/03/2006	  
	 NCR Corporation
	  	Utility	  	Thermal transfer ribbon with end of ribbon markers	  	 	6989180	* 	 	 	01/24/2006	  
	 NCR Corporation
	  	Utility	  	Interactive phone system utilizing wireless channels	  	 	6990321	  	 	 	01/24/2006	  
	 NCR Corporation
	  	Utility	  	Self-checkout system	  	 	6990463	  	 	 	01/24/2006	  
	 NCR Corporation
	  	Utility	  	Apparatus, system and method for electronic book distribution	  	 	6990464	  	 	 	01/24/2006	  
	 NCR Corporation
	  	Utility	  	Evaluation system	  	 	6990474	  	 	 	01/24/2006	  
	 NCR Corporation
	  	Utility	  	ATM receipt	  	 	6994265	* 	 	 	02/07/2006	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for automatically selecting and loading initialization software for a hardware configuration	  	 	6996708	  	 	 	02/07/2006	  
	 NCR Corporation
	  	Utility	  	Radio frequency identification (RFID) tag and a method of operating an rfid tag	  	 	7002474	  	 	 	02/21/2006	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for error detection and correction of an electronic shelf label system communication error	  	 	7007219	  	 	 	02/28/2006	  
	 NCR Corporation
	  	Utility	  	Method for enhancing security and providing assistance in the operation of a self-service checkout terminal	  	 	7016862	  	 	 	03/21/2006	  
	 NCR Corporation
	  	Utility	  	Checkout device including scan pattern-shifting element	  	 	7021544	  	 	 	04/04/2006	  
	 NCR Corporation
	  	Utility	  	Transaction system and method of conducting a point-of-sale transaction between a merchant and a consumer using a wireless platform	  	 	7024396	  	 	 	04/04/2006	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for self-diagnosing electronic price labels	  	 	7026913	  	 	 	04/11/2006	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for determining the validity of a data processing transaction	  	 	7028193	  	 	 	04/11/2006	  
	 NCR Corporation
	  	Utility	  	System and method for enhancing security at a self-checkout station	  	 	7034679	  	 	 	04/25/2006	  
	 NCR Corporation
	  	Utility	  	Self-service terminal	  	 	7035822	  	 	 	04/25/2006	  

													
	 Registered Owner
	  	 Type
	  	 Title
	  	Patent No.	 	 	Reg. Date	 
	 NCR Corporation
	  	Utility	  	Takeaway belt with item weight handling	  	 	7036726	  	 	 	05/02/2006	  
	 NCR Corporation
	  	Utility	  	System and method for tracking items at a scale of a self-checkout terminal	  	 	7040455	  	 	 	05/09/2006	  
	 NCR Corporation
	  	Utility	  	Excisable pharmaceutical label	  	 	7048308	* 	 	 	05/23/2006	  
	 NCR Corporation
	  	Utility	  	Optical sensor and method of operation thereof	  	 	7049572	  	 	 	05/23/2006	  
	 NCR Corporation
	  	Utility	  	Apparatus for use in a self-service terminal and a method of processing a financial instrument at a self-service terminal	  	 	7051927	  	 	 	05/30/2006	  
	 NCR Corporation
	  	Utility	  	Document diverter apparatus for use in a self-service terminal	  	 	7051928	  	 	 	05/30/2006	  
	 NCR Corporation
	  	Utility	  	Bar code scanner with laser beam oscillator	  	 	7051939	  	 	 	05/30/2006	  
	 NCR Corporation
	  	Utility	  	Establishing audio communication during initialization of video conference calls	  	 	7053923	  	 	 	05/30/2006	  
	 NCR Corporation
	  	Utility	  	Methods for selecting high visual contrast colors in user-interface design	  	 	7054483	  	 	 	05/30/2006	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for using imaging information to improve scanning accuracy in bar code scanners	  	 	7059527	  	 	 	06/13/2006	  
	 NCR Corporation
	  	Utility	  	Method of creating an image replacement document for use in a check truncation environment and an apparatus therefor	  	 	7066668	  	 	 	06/27/2006	  
	 NCR Corporation
	  	Utility	  	Method of creating an image replacement document for use in a check truncation environment and an apparatus therefor	  	 	7066669	  	 	 	06/27/2006	  
	 NCR Corporation
	  	Utility	  	Settled weight scale for a checkout system	  	 	7070097	  	 	 	07/04/2006	  
	 NCR Corporation
	  	Utility	  	Bar code scanner	  	 	7070108	  	 	 	07/04/2006	  
	 NCR Corporation
	  	Utility	  	Radio frequency identification system with separately located transmitters and receivers	  	 	7071815	  	 	 	07/04/2006	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for conserving battery power in an electronic shelf label system	  	 	7073081	  	 	 	07/04/2006	  
	 NCR Corporation
	  	Utility	  	Barcode scanner with dual-surface polygon	  	 	7073716	  	 	 	07/11/2006	  
	 NCR Corporation
	  	Utility	  	Noise suppression in beam-steered microphone array	  	 	7092882	  	 	 	08/15/2006	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for tracking retail performance metrics during a transaction at a point of sale station	  	 	7093748	  	 	 	08/22/2006	  
	 NCR Corporation
	  	Utility	  	System and method of maintaining a bar code reader	  	 	7093760	  	 	 	08/22/2006	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for a spread spectrum modulated backscatter electronic shelf label system	  	 	7095794	  	 	 	08/22/2006	  
	 NCR Corporation
	  	Utility	  	Electronic check presentment with image interchange system and method of operating an electronic check presentment with image interchange system	  	 	7099845	  	 	 	08/29/2006	  
	 NCR Corporation
	  	Utility	  	Downloading and uploading data in information networks using proxy server clients	  	 	7099927	  	 	 	08/29/2006	  
	 NCR Corporation
	  	Utility	  	Self-service terminal	  	 	7100818	  	 	 	09/05/2006	  
	 NCR Corporation
	  	Utility	  	Data warehouse applications for networks of self-service machines	  	 	7103618	  	 	 	09/05/2006	  
	 NCR Corporation
	  	Utility	  	Method of reading a plurality of bar codes during a scanning motion	  	 	7108187	  	 	 	09/19/2006	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for improved display of visual data for point of sale terminals	  	 	7116283	  	 	 	10/03/2006	  
	 NCR Corporation
	  	Utility	  	Mobile inventory management system	  	 	7118036	  	 	 	10/10/2006	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for design of dot matrix visual displays	  	 	7120570	  	 	 	10/10/2006	  

													
	 Registered Owner
	  	 Type
	  	 Title
	  	Patent No.	 	 	Reg. Date	 
	 NCR Corporation
	  	Utility	  	Security method for theft prone areas of a retail store	  	 	7123146	  	 	 	10/17/2006	  
	 NCR Corporation
	  	Utility	  	Apparatus, system and method for electronic book distribution	  	 	7124100	  	 	 	10/17/2006	  
	 NCR Corporation
	  	Utility	  	Method of processing image data to reorient an image represented by the image data in an image-based item processing system and an apparatus therefor	  	 	7127080	  	 	 	10/24/2006	  
	 NCR Corporation
	  	Utility	  	System and method for controlling software configuration in a convertible self-checkout station	  	 	7127706	  	 	 	10/24/2006	  
	 NCR Corporation
	  	Utility	  	Detector	  	 	7128259	  	 	 	10/31/2006	  
	 NCR Corporation
	  	Utility	  	Methods of an operator handling a fault condition in an image-based self-service check depositing terminal	  	 	7128260	  	 	 	10/31/2006	  
	 NCR Corporation
	  	Utility	  	Bar code scanner having a mirrored spinner which operates at different speeds	  	 	7128268	  	 	 	10/31/2006	  
	 NCR Corporation
	  	Utility	  	Optically detectable security feature	  	 	7129506	  	 	 	10/31/2006	  
	 NCR Corporation
	  	Utility	  	Method of operating an image-based document processing system and an apparatus therefor	  	 	7130090	  	 	 	10/31/2006	  
	 NCR Corporation
	  	Utility	  	Method of printing information by a network kiosk	  	 	7130889	  	 	 	10/31/2006	  
	 NCR Corporation
	  	Utility	  	Software development system having particular adaptability to financial payment switches	  	 	7131108	  	 	 	10/31/2006	  
	 NCR Corporation
	  	Utility	  	Three-dimensional check image viewer and a method of handling check images in an image-based check processing system	  	 	7136061	  	 	 	11/14/2006	  
	 NCR Corporation
	  	Utility	  	Self-service system and method of loading an executable transaction application program from a self-service terminal to a portable electronic device	  	 	7136623	  	 	 	11/14/2006	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for lane and front-end planning and design analysis	  	 	7146304	  	 	 	12/05/2006	  
	 NCR Corporation
	  	Utility	  	Signature capture terminal	  	 	7146577	  	 	 	12/05/2006	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for performing recurring electronic shelf label transactions	  	 	7149708	  	 	 	12/12/2006	  
	 NCR Corporation
	  	Utility	  	Method of identifying items for checkout	  	 	7150395	  	 	 	12/19/2006	  
	 NCR Corporation
	  	Utility	  	System and method for short-range wireless retail advertising aimed at short-range wireless protocol-enabled personal devices	  	 	7155210	  	 	 	12/26/2006	  
	 NCR Corporation
	  	Utility	  	Shopping system and method	  	 	7156303	  	 	 	01/02/2007	  
	 NCR Corporation
	  	Utility	  	Offset diecut stack	  	 	7157130	* 	 	 	01/02/2007	  
	 NCR Corporation
	  	Utility	  	Self-service terminals	  	 	7158952	  	 	 	01/02/2007	  
	 NCR Corporation
	  	Utility	  	Downloading and uploading data in information networks	  	 	7159013	  	 	 	01/02/2007	  
	 NCR Corporation
	  	Utility	  	Method of creating an image replacement document for use in a check truncation environment and an apparatus therefor	  	 	7163347	  	 	 	01/16/2007	  
	 NCR Corporation
	  	Utility	  	Vote verification system and method	  	 	7178730	  	 	 	02/20/2007	  
	 NCR Corporation
	  	Utility	  	Bar code reader with image display system	  	 	7178732	  	 	 	02/20/2007	  
	 NCR Corporation
	  	Utility	  	Barcode scanner including a multitasking pattern mirror	  	 	7178734	  	 	 	02/20/2007	  
	 NCR Corporation
	  	Utility	  	Keyboard matrix data transfer	  	 	7180504	  	 	 	02/20/2007	  
	 NCR Corporation
	  	Utility	  	System and method for implementing financial transactions using cellular telephone data	  	 	7184747	  	 	 	02/27/2007	  
	 NCR Corporation
	  	Utility	  	System and method of managing time-sensitive items	  	 	7185810	  	 	 	03/06/2007	  
	 NCR Corporation
	  	Utility	  	Automated teller machine	  	 	7191936	  	 	 	03/20/2007	  

													
	 Registered Owner
	  	 Type
	  	 Title
	  	Patent No.	 	 	Reg. Date	 
	 NCR Corporation
	  	Utility	  	Optical media detector and method of operation thereof	  	 	7194151	  	 	 	03/20/2007	  
	 NCR Corporation
	  	Utility	  	Self-service terminal	  	 	7194414	  	 	 	03/20/2007	  
	 NCR Corporation
	  	Utility	  	Anti-jamming detector for radio frequency identification systems	  	 	7202784	  	 	 	04/10/2007	  
	 NCR Corporation
	  	Utility	  	Self-service terminal	  	 	7206544	  	 	 	04/17/2007	  
	 NCR Corporation
	  	Utility	  	Cash transaction verification and crediting apparatus	  	 	7206759	  	 	 	04/17/2007	  
	 NCR Corporation
	  	Utility	  	Document stacker apparatus and method of stacking documents	  	 	7207493	  	 	 	04/24/2007	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for operating a configurable remote supervisor terminal of a self-service retail checkout system	  	 	7209891	  	 	 	04/24/2007	  
	 NCR Corporation
	  	Utility	  	Module for validating deposited media items	  	 	7215414	  	 	 	05/08/2007	  
	 NCR Corporation
	  	Utility	  	Currency system	  	 	7219083	  	 	 	05/15/2007	  
	 NCR Corporation
	  	Utility	  	Systems and methods for providing performance feedback to a cashier at a point-of-sale terminal	  	 	7222086	  	 	 	05/22/2007	  
	 NCR Corporation
	  	Utility	  	Method of downloading web content to a network kiosk in advance	  	 	7222184	  	 	 	05/22/2007	  
	 NCR Corporation
	  	Utility	  	Self-service terminal	  	 	7225973	  	 	 	06/05/2007	  
	 NCR Corporation
	  	Utility	  	Self-service terminal	  	 	7229007	  	 	 	06/12/2007	  
	 NCR Corporation
	  	Utility	  	Document stacker apparatus and method of stacking documents	  	 	7229071	  	 	 	06/12/2007	  
	 NCR Corporation
	  	Utility	  	Sensing system for ascertaining currency content of ATM	  	 	7230223	  	 	 	06/12/2007	  
	 NCR Corporation
	  	Utility	  	Vacuum picking system	  	 	7232059	  	 	 	06/19/2007	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for disabling, enabling or setting the range of radio frequency identification devices	  	 	7232069	  	 	 	06/19/2007	  
	 NCR Corporation
	  	Utility	  	Module	  	 	7233408	  	 	 	06/19/2007	  
	 NCR Corporation
	  	Utility	  	Cable retention apparatus	  	 	7234958	  	 	 	06/26/2007	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for automatic assignment of a communication base station and timeslot for an electronic shelf label	  	 	7236473	  	 	 	06/26/2007	  
	 NCR Corporation
	  	Utility	  	System and method of managing time-sensitive items	  	 	7237713	  	 	 	07/03/2007	  
	 NCR Corporation
	  	Utility	  	Foldform label laminate	  	 	7241357	* 	 	 	07/10/2007	  
	 NCR Corporation
	  	Utility	  	Note skew detector	  	 	7242486	  	 	 	07/10/2007	  
	 NCR Corporation
	  	Utility	  	Acoustic coupling product label	  	 	7245708	  	 	 	07/17/2007	  
	 NCR Corporation
	  	Utility	  	Scale pan designed to pass rf signals with minimal interference	  	 	7247802	  	 	 	07/24/2007	  
	 NCR Corporation
	  	Utility	  	Apparatus and method for operating a self-service checkout terminal having a voice generating device associated therewith	  	 	7255200	  	 	 	08/14/2007	  
	 NCR Corporation
	  	Utility	  	Method of limiting access to network sites for a network kiosk	  	 	7260622	  	 	 	08/21/2007	  
	 NCR Corporation
	  	Utility	  	Optical scanner having micro-electro-mechanical systems mirror array and associated method	  	 	7264167	  	 	 	09/04/2007	  
	 NCR Corporation
	  	Utility	  	Method of providing an indication of quality of a document image and an apparatus therefor	  	 	7266230	  	 	 	09/04/2007	  
	 NCR Corporation
	  	Utility	  	Secured pin entry device	  	 	7270275	  	 	 	09/18/2007	  
	 NCR Corporation
	  	Utility	  	System and methods for integrating a self-checkout system into an existing store system	  	 	7272570	  	 	 	09/18/2007	  
	 NCR Corporation
	  	Utility	  	System and method of determining unprocessed items	  	 	7275690	  	 	 	10/02/2007	  

													
	 Registered Owner
	  	 Type
	  	 Title
	  	Patent No.	 	 	Reg. Date	 
	 NCR Corporation
	  	Utility	  	Thermal transfer medium and method of making thereof	  	 	7282247	* 	 	 	10/16/2007	  
	 NCR Corporation
	  	Utility	  	Method of enabling consumer privacy using personal storage device	  	 	7293174	  	 	 	11/06/2007	  
	 NCR Corporation
	  	Utility	  	Media thickness sensor assembly	  	 	7296735	  	 	 	11/20/2007	  
	 NCR Corporation
	  	Utility	  	Encrypting keypad module	  	 	7298850	  	 	 	11/20/2007	  
	 NCR Corporation
	  	Utility	  	Biometrics template	  	 	7302583	  	 	 	11/27/2007	  
	 NCR Corporation
	  	Utility	  	RFID weight-based security method with container compensation	  	 	7311250	  	 	 	12/25/2007	  
	 NCR Corporation
	  	Utility	  	System and method of completing a transaction involving goods tagged with RFID labels	  	 	7311251	  	 	 	12/25/2007	  
	 NCR Corporation
	  	Utility	  	System and method of scheduling assisted-service travel terminal representatives	  	 	7313535	  	 	 	12/25/2007	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for improved use of partial bar code information to decode a complete bar code	  	 	7314175	  	 	 	01/01/2008	  
	 NCR Corporation
	  	Utility	  	Optical scanner having a balanced mirrored spinner	  	 	7316356	  	 	 	01/08/2008	  
	 NCR Corporation
	  	Utility	  	Resin coated flexible substrates for printing high temperature resistant images	  	 	7318952	* 	 	 	01/15/2008	  
	 NCR Corporation
	  	Utility	  	Using a remote terminal to conduct assisted self-service transactions in a banking facility	  	 	7322516	  	 	 	01/29/2008	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for performing delta updates of an electronic shelf label	  	 	7340412	  	 	 	03/04/2008	  
	 NCR Corporation
	  	Utility	  	Adaptive, predictive system for replenishing currency in ATMS	  	 	7340415	  	 	 	03/04/2008	  
	 NCR Corporation
	  	Utility	  	Media cassette sensing system	  	 	7341179	  	 	 	03/11/2008	  
	 NCR Corporation
	  	Utility	  	Self-service terminal	  	 	7347359	  	 	 	03/25/2008	  
	 NCR Corporation
	  	Utility	  	System and method of verifying item placement on a security scale	  	 	7347367	  	 	 	03/25/2008	  
	 NCR Corporation
	  	Utility	  	System and method of notifying an operator of a result of attempting to read a product label	  	 	7347372	  	 	 	03/25/2008	  
	 NCR Corporation
	  	Utility	  	Scale having surface plate that provides sole structural connection of its support members	  	 	7348501	  	 	 	03/25/2008	  
	 NCR Corporation
	  	Utility	  	Wireless security module	  	 	7350230	  	 	 	03/25/2008	  
	 NCR Corporation
	  	Utility	  	System and method for coupling users to a retail computer system with low risk of eavesdropping	  	 	7352996	  	 	 	04/01/2008	  
	 NCR Corporation
	  	Utility	  	Card reader	  	 	7354003	  	 	 	04/08/2008	  
	 NCR Corporation
	  	Utility	  	Self service terminal	  	 	7357302	  	 	 	04/15/2008	  
	 NCR Corporation
	  	Utility	  	Security means for a spray dispenser	  	 	7357304	  	 	 	04/15/2008	  
	 NCR Corporation
	  	Utility	  	Inkjet apparatus and a method of controlling an inkjet mechanism	  	 	7360862	  	 	 	04/22/2008	  
	 NCR Corporation
	  	Utility	  	Security markers for indicating condition of an item	  	 	7378675	  	 	 	05/27/2008	  
	 NCR Corporation
	  	Utility	  	Barcode scanner with configurable video modes	  	 	7380719	  	 	 	06/03/2008	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for identifying electronic shelf labels with which communication has been lost	  	 	7382228	  	 	 	06/03/2008	  
	 NCR Corporation
	  	Utility	  	Apparatus and method for maintaining a children’s automated bank account	  	 	7383213	  	 	 	06/03/2008	  
	 NCR Corporation
	  	Utility	  	Self-checkout terminal	  	 	7386472	  	 	 	06/10/2008	  
	 NCR Corporation
	  	Utility	  	Automatic electronic article surveillance for self-checkout	  	 	7389918	  	 	 	06/24/2008	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for tracking the direction of a moving item by a bar code scanner	  	 	7389923	  	 	 	06/24/2008	  
	 NCR Corporation
	  	Utility	  	Barcode scanner with tool free tower housing assembly	  	 	7389932	  	 	 	06/24/2008	  

													
	 Registered Owner
	  	 Type
	  	 Title
	  	Patent No.	 	 	Reg. Date	 
	 NCR Corporation
	  	Utility	  	Method of creating a substitute check using check image data from a remote check image capture device and an apparatus therefor	  	 	7391934	  	 	 	06/24/2008	  
	 NCR Corporation
	  	Utility	  	Internet stamp	  	 	7396048	* 	 	 	07/08/2008	  
	 NCR Corporation
	  	Utility	  	Self service terminal	  	 	7401729	  	 	 	07/22/2008	  
	 NCR Corporation
	  	Utility	  	Self-service deposit method and apparatus	  	 	7401730	  	 	 	07/22/2008	  
	 NCR Corporation
	  	Utility	  	Card reader	  	 	7401736	  	 	 	07/22/2008	  
	 NCR Corporation
	  	Utility	  	Systems and methods for asynchronous processing of electronic shelf label communication responses	  	 	7403909	  	 	 	07/22/2008	  
	 NCR Corporation
	  	Utility	  	Paper sheet handling apparatus, automatic transaction apparatus, and paper sheet conveying apparatus	  	 	7404552	  	 	 	07/29/2008	  
	 NCR Corporation
	  	Utility	  	System and method for directing customers to product locations within a store	  	 	7406437	  	 	 	07/29/2008	  
	 NCR Corporation
	  	Utility	  	Method of controlling applications	  	 	7406693	  	 	 	07/29/2008	  
	 NCR Corporation
	  	Utility	  	Paper feeding device with independent pickup rollers	  	 	7410159	  	 	 	08/12/2008	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for determining if a user walks away from a self-service checkout terminal during operation thereof	  	 	7416117	  	 	 	08/26/2008	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for automatically determining and deducting weight of containers for products	  	 	7416119	  	 	 	08/26/2008	  
	 NCR Corporation
	  	Utility	  	Paper skew correcting device and bill depositing/dispensing apparatus	  	 	7416182	  	 	 	08/26/2008	  
	 NCR Corporation
	  	Utility	  	Method of determining failure of a communication base station	  	 	7417545	  	 	 	08/26/2008	  
	 NCR Corporation
	  	Utility	  	System and method for synchronizing restaurant menu display with progress through a meal	  	 	7418413	  	 	 	08/26/2008	  
	 NCR Corporation
	  	Utility	  	Method of creating a substitute check and an apparatus therefor	  	 	7421107	  	 	 	09/02/2008	  
	 NCR Corporation
	  	Utility	  	Universal warning stripe slitting machine	  	 	7424852	* 	 	 	09/16/2008	  
	 NCR Corporation
	  	Utility	  	Cheque deposit at a self-service terminal	  	 	7424969	  	 	 	09/16/2008	  
	 NCR Corporation
	  	Utility	  	Module	  	 	7426053	  	 	 	09/16/2008	  
	 NCR Corporation
	  	Utility	  	Customer activity data system and method	  	 	7426479	  	 	 	09/16/2008	  
	 NCR Corporation
	  	Utility	  	Anti-ram raid plinth	  	 	7427054	  	 	 	09/23/2008	  
	 NCR Corporation
	  	Utility	  	Data entry device	  	 	7427933	  	 	 	09/23/2008	  
	 NCR Corporation
	  	Utility	  	Dual-communication electronic shelf label system and method	  	 	7436285	  	 	 	10/14/2008	  
	 NCR Corporation
	  	Utility	  	Penetration system	  	 	7436313	  	 	 	10/14/2008	  
	 NCR Corporation
	  	Utility	  	System and method of tracking bill payment methods	  	 	7437324	  	 	 	10/14/2008	  
	 NCR Corporation
	  	Utility	  	System and method for identifying a spatial code	  	 	7441704	  	 	 	10/28/2008	  
	 NCR Corporation
	  	Utility	  	Self-service terminal	  	 	7451919	  	 	 	11/18/2008	  
	 NCR Corporation
	  	Utility	  	Portable credit card verifier	  	 	7451920	  	 	 	11/18/2008	  
	 NCR Corporation
	  	Utility	  	Document stacker apparatus and method of stacking documents	  	 	7451977	  	 	 	11/18/2008	  
	 NCR Corporation
	  	Utility	  	System for displaying an information package	  	 	7453347	  	 	 	11/18/2008	  
	 NCR Corporation
	  	Utility	  	Reconfigurable user interface systems	  	 	7453442	  	 	 	11/18/2008	  
	 NCR Corporation
	  	Utility	  	Method of determining usability of a document image and an apparatus therefor	  	 	7457440	  	 	 	11/25/2008	  
	 NCR Corporation
	  	Utility	  	Card reader	  	 	7458516	  	 	 	12/02/2008	  
	 NCR Corporation
	  	Utility	  	System and method of sending messages to electronic shelf labels based upon priority	  	 	7461009	  	 	 	12/02/2008	  

													
	 Registered Owner
	  	 Type
	  	 Title
	  	Patent No.	 	 	Reg. Date	 
	 NCR Corporation
	  	Utility	  	Method of operating an image-based self-service check depositing terminal in response to a fault condition	  	 	7461773	  	 	 	12/09/2008	  
	 NCR Corporation
	  	Utility	  	Secure tag reader	  	 	7462840	  	 	 	12/09/2008	  
	 NCR Corporation
	  	Utility	  	Conducting assisted self-service transactions in a banking facility through a database schema	  	 	7464860	  	 	 	12/16/2008	  
	 NCR Corporation
	  	Utility	  	Self-checkout system	  	 	7466231	  	 	 	12/16/2008	  
	 NCR Corporation
	  	Utility	  	Power control interface for a self-service apparatus	  	 	7469350	  	 	 	12/23/2008	  
	 NCR Corporation
	  	Utility	  	Self-service terminal	  	 	7469825	  	 	 	12/30/2008	  
	 NCR Corporation
	  	Utility	  	Methods for selecting high visual contrast colors in user-interface design	  	 	7480405	  	 	 	01/20/2009	  
	 NCR Corporation
	  	Utility	  	Security markers for marking a person or property	  	 	7488954	  	 	 	02/10/2009	  
	 NCR Corporation
	  	Utility	  	Accuracy of data entry into micr line of bank checks in transit in the clearing process	  	 	7490759	  	 	 	02/17/2009	  
	 NCR Corporation
	  	Utility	  	Conducting assisted self-service transactions where approval is needed	  	 	7490761	  	 	 	02/17/2009	  
	 NCR Corporation
	  	Utility	  	Secure enclosure for sub-assembly of self service equipment	  	 	7490764	  	 	 	02/17/2009	  
	 NCR Corporation
	  	Utility	  	Card reader	  	 	7490780	  	 	 	02/17/2009	  
	 NCR Corporation
	  	Utility	  	Loss of universal serial bus communication	  	 	7493422	  	 	 	02/17/2009	  
	 NCR Corporation
	  	Utility	  	Biometric system	  	 	7493496	  	 	 	02/17/2009	  
	 NCR Corporation
	  	Utility	  	Secure tag validation	  	 	7495234	  	 	 	02/24/2009	  
	 NCR Corporation
	  	Utility	  	Media cassette pusher plate locking mechanism	  	 	7497436	  	 	 	03/03/2009	  
	 NCR Corporation
	  	Utility	  	Security markers for reducing receipt fraud	  	 	7501646	  	 	 	03/10/2009	  
	 NCR Corporation
	  	Utility	  	Apparatus for rotating a mirrored spinner	  	 	7510119	  	 	 	03/31/2009	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for wireless display units for document trays in financial document processing	  	 	7514646	  	 	 	04/07/2009	  
	 NCR Corporation
	  	Utility	  	Material browser	  	 	7519544	* 	 	 	04/14/2009	  
	 NCR Corporation
	  	Utility	  	Self-service terminals in which remote parties can induce operation of peripheral devices without obtaining control over the peripheral devices	  	 	7519653	  	 	 	04/14/2009	  
	 NCR Corporation
	  	Utility	  	Multi-vendor agent for a self-service terminal	  	 	7520423	  	 	 	04/21/2009	  
	 NCR Corporation
	  	Utility	  	Self-service terminal	  	 	7522759	  	 	 	04/21/2009	  
	 NCR Corporation
	  	Utility	  	Method of providing information	  	 	7522916	  	 	 	04/21/2009	  
	 NCR Corporation
	  	Utility	  	Two-sided thermal transfer ribbon	  	 	7531224	* 	 	 	05/12/2009	  
	 NCR Corporation
	  	Utility	  	System and method for managing electronic price label overlays	  	 	7533127	  	 	 	05/12/2009	  
	 NCR Corporation
	  	Utility	  	Weight scale fault detection	  	 	7533799	  	 	 	05/19/2009	  
	 NCR Corporation
	  	Utility	  	Diverting stacker wheel	  	 	7543816	  	 	 	06/09/2009	  
	 NCR Corporation
	  	Utility	  	Transaction processing systems maintenance	  	 	7545816	  	 	 	06/09/2009	  
	 NCR Corporation
	  	Utility	  	Portable terminal	  	 	7545930	  	 	 	06/09/2009	  
	 NCR Corporation
	  	Utility	  	Biometric system	  	 	7545960	  	 	 	06/09/2009	  
	 NCR Corporation
	  	Utility	  	System and method for facilitating electronic commerce transactions at an automatic teller machine	  	 	7546274	  	 	 	06/09/2009	  
	 NCR Corporation
	  	Utility	  	System for providing secure access	  	 	7546300	  	 	 	06/09/2009	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for bar code conversion	  	 	7546949	  	 	 	06/16/2009	  
	 NCR Corporation
	  	Utility	  	System for mounting a handheld barcode scanner	  	 	7546953	  	 	 	06/16/2009	  
	 NCR Corporation
	  	Utility	  	Travel kiosk	  	 	7546957	  	 	 	06/16/2009	  
	 NCR Corporation
	  	Utility	  	System and method for securing a base derivation key for use in injection of derived unique key per transaction devices	  	 	7548621	  	 	 	06/16/2009	  
	 NCR Corporation
	  	Utility	  	Convenience store effectiveness model (CSEM)	  	 	7548879	  	 	 	06/16/2009	  

													
	 Registered Owner
	  	 Type
	  	 Title
	  	Patent No.	 	 	Reg. Date	 
	 NCR Corporation
	  	Utility	  	Methods and apparatus for preventing improper scans by a bar code scanner	  	 	7549585	  	 	 	06/23/2009	  
	 NCR Corporation
	  	Utility	  	Feedback device	  	 	7551060	  	 	 	06/23/2009	  
	 NCR Corporation
	  	Utility	  	Optical scanner	  	 	7552874	  	 	 	06/30/2009	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for multiple support and weight measurement points in a scanner scale combination	  	 	7554042	  	 	 	06/30/2009	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for using noise data to enhance bar code scanning accuracy	  	 	7556198	  	 	 	07/07/2009	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for reducing the influence of noise in an optical scanning system	  	 	7556200	  	 	 	07/07/2009	  
	 NCR Corporation
	  	Utility	  	Barcode scanner with tool free tower housing assembly	  	 	7556202	  	 	 	07/07/2009	  
	 NCR Corporation
	  	Utility	  	Item checkout apparatus including integrated complimentary antennas	  	 	7559467	  	 	 	07/14/2009	  
	 NCR Corporation
	  	Utility	  	Security container	  	 	7574967	  	 	 	08/18/2009	  
	 NCR Corporation
	  	Utility	  	Rotating path switch	  	 	7575155	  	 	 	08/18/2009	  
	 NCR Corporation
	  	Utility	  	Conducting financial transactions under multiple protocols in a single user session within a self-service terminal	  	 	7575156	  	 	 	08/18/2009	  
	 NCR Corporation
	  	Utility	  	Security validation of machine components	  	 	7575160	  	 	 	08/18/2009	  
	 NCR Corporation
	  	Utility	  	Self-checkout system and method	  	 	7575162	  	 	 	08/18/2009	  
	 NCR Corporation
	  	Utility	  	Automated teller machine	  	 	7575166	  	 	 	08/18/2009	  
	 NCR Corporation
	  	Utility	  	Self service terminal	  	 	7577612	  	 	 	08/18/2009	  
	 NCR Corporation
	  	Utility	  	Provision of receipts for self service or point of sale terminals	  	 	7577613	  	 	 	08/18/2009	  
	 NCR Corporation
	  	Utility	  	Defining a process by a plurality of pages defined in a mark-up language	  	 	7577903	  	 	 	08/18/2009	  
	 NCR Corporation
	  	Utility	  	Columnar adhesive label roll	  	 	7588811	* 	 	 	09/15/2009	  
	 NCR Corporation
	  	Utility	  	Two-sided thermal printing	  	 	7589752	* 	 	 	09/15/2009	  
	 NCR Corporation
	  	Utility	  	Method of determining the cause of an error state in an apparatus	  	 	7600671	  	 	 	10/13/2009	  
	 NCR Corporation
	  	Utility	  	Across the pavement wireless security system	  	 	7602294	  	 	 	10/13/2009	  
	 NCR Corporation
	  	Utility	  	Self-service terminal	  	 	7602909	  	 	 	10/13/2009	  
	 NCR Corporation
	  	Utility	  	Image-based check processing system and a method of operating an image-based check processing system to test focus of an imaging camera	  	 	7602957	  	 	 	10/13/2009	  
	 NCR Corporation
	  	Utility	  	Self-service terminal	  	 	7603315	  	 	 	10/13/2009	  
	 NCR Corporation
	  	Utility	  	Optical scanner	  	 	7611055	  	 	 	11/03/2009	  
	 NCR Corporation
	  	Utility	  	Method of determining failure of an RFID label reader	  	 	7617979	  	 	 	11/17/2009	  
	 NCR Corporation
	  	Utility	  	Computer peripheral with integrated printer and bar code reader	  	 	7617982	  	 	 	11/17/2009	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for dynamic adjustment of scanner parameters	  	 	7617983	  	 	 	11/17/2009	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for detecting and identifying improper antitheft device deactivation	  	 	7619528	  	 	 	11/17/2009	  
	 NCR Corporation
	  	Utility	  	Self-checkout system	  	 	7620568	  	 	 	11/17/2009	  
	 NCR Corporation
	  	Utility	  	Security feaure	  	 	7625500	  	 	 	12/01/2009	  
	 NCR Corporation
	  	Utility	  	Prism sensor and method of operating a prism sensor for a check processing module of a self-service check depositing terminal	  	 	7633605	  	 	 	12/15/2009	  
	 NCR Corporation
	  	Utility	  	Self-service terminal	  	 	7637420	  	 	 	12/29/2009	  

													
	 Registered Owner
	  	 Type
	  	 Title
	  	Patent No.	 	 	Reg. Date	 
	 NCR Corporation
	  	Utility	  	Method of processing a check depositing transaction between a bank customer and a bank teller	  	 	7637423	  	 	 	12/29/2009	  
	 NCR Corporation
	  	Utility	  	Sensing system for detecting whether one bill, or more than one bill, is present at a sensing station in an ATM	  	 	7638746	  	 	 	12/29/2009	  
	 NCR Corporation
	  	Utility	  	Currency validation	  	 	7639858	  	 	 	12/29/2009	  
	 NCR Corporation
	  	Utility	  	Method of operating a remote check image capture device and an apparatus therefor	  	 	7639859	  	 	 	12/29/2009	  
	 NCR Corporation
	  	Utility	  	Advertising terminal	  	 	7640214	  	 	 	12/29/2009	  
	 NCR Corporation
	  	Utility	  	Vacuum pick mechanisms	  	 	7641185	  	 	 	01/5/2010	  
	 NCR Corporation
	  	Utility	  	Thermal paper with security features	  	 	7645719	* 	 	 	01/12/2010	  
	 NCR Corporation
	  	Utility	  	Method and system for tuning an RFID interrogator	  	 	7649441	  	 	 	01/19/2010	  
	 NCR Corporation
	  	Utility	  	Checkout device with hand grip	  	 	7658331	  	 	 	02/09/2010	  
	 NCR Corporation
	  	Utility	  	System and method of processing payment of bills from multiple bill providers	  	 	7668766	  	 	 	02/23/2010	  
	 NCR Corporation
	  	Utility	  	System and method for providing remote site intervention support for self-checkout stations	  	 	7673796	  	 	 	03/09/2010	  
	 NCR Corporation
	  	Utility	  	Personalization of self-checkout security	  	 	7673797	  	 	 	03/09/2010	  
	 NCR Corporation
	  	Utility	  	Method of displaying information by a network kiosk	  	 	7675503	  	 	 	03/09/2010	  
	 NCR Corporation
	  	Utility	  	Selective omission of transaction data in a digital receipt	  	 	7676396	  	 	 	03/09/2010	  
	 NCR Corporation
	  	Utility	  	Personal digital assistant as smart card	  	 	7676438	  	 	 	03/09/2010	  
	 NCR Corporation
	  	Utility	  	Method and system for automated teller machine remote diagnostics and configuration	  	 	7677447	  	 	 	03/16/2010	  
	 NCR Corporation
	  	Utility	  	Self-service terminals and self-service networks	  	 	7680689	  	 	 	03/16/2010	  
	 NCR Corporation
	  	Utility	  	Self-service terminal	  	 	7680710	  	 	 	03/16/2010	  
	 NCR Corporation
	  	Utility	  	Method of calibrating a scale	  	 	7681431	  	 	 	03/23/2010	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for a scanner having a top plate assembly with weight measurement capabilities	  	 	7681795	  	 	 	03/23/2010	  
	 NCR Corporation
	  	Utility	  	Secure tag	  	 	7699230	  	 	 	04/20/2010	  
	 NCR Corporation
	  	Utility	  	Two-sided thermal print configurations	  	 	7710442	* 	 	 	05/04/2010	  
	 NCR Corporation
	  	Utility	  	Computer-implemented method of processing a substitute check and an apparatus therefor	  	 	7711176	  	 	 	05/04/2010	  
	 NCR Corporation
	  	Utility	  	Self-service terminal	  	 	7711643	  	 	 	05/04/2010	  
	 NCR Corporation
	  	Utility	  	Self service terminal	  	 	7716133	  	 	 	05/11/2010	  
	 NCR Corporation
	  	Utility	  	Self service terminal	  	 	7716134	  	 	 	05/11/2010	  
	 NCR Corporation
	  	Utility	  	Digitized bank checks validated by digital signatures	  	 	7720313	  	 	 	05/18/2010	  
	 NCR Corporation
	  	Utility	  	Self-service system and method including shared components	  	 	7720710	  	 	 	05/18/2010	  
	 NCR Corporation
	  	Utility	  	Self-guiding interface for customer service machines	  	 	7720711	  	 	 	05/18/2010	  
	 NCR Corporation
	  	Utility	  	Presenting misaligned stacks of media	  	 	7721952	  	 	 	05/25/2010	  
	 NCR Corporation
	  	Utility	  	Method, device and system for scanning optical codes	  	 	7726574	  	 	 	06/01/2010	  
	 NCR Corporation
	  	Utility	  	Self-service terminal	  	 	7739144	  	 	 	06/15/2010	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for locating electronic shelf labels	  	 	7743983	  	 	 	06/29/2010	  
	 NCR Corporation
	  	Utility	  	Direct thermal and inkjet dual-sided printing	  	 	7764299	* 	 	 	07/27/2010	  
	 NCR Corporation
	  	Utility	  	Self-service terminal	  	 	7774649	  	 	 	08/10/2010	  
	 NCR Corporation
	  	Utility	  	Dual-sided two-ply direct thermal image element	  	 	7777770	* 	 	 	08/17/2010	  
	 NCR Corporation
	  	Utility	  	Access self-service terminal	  	 	7782600	  	 	 	08/24/2010	  
	 NCR Corporation
	  	Utility	  	Cash transaction verification and crediting apparatus	  	 	7783570	  	 	 	08/24/2010	  

													
	 Registered Owner
	  	 Type
	  	 Title
	  	Patent No.	 	 	Reg. Date	 
	 NCR Corporation
	  	Utility	  	Financial document item processing system and method of operating a financial document item processing system to encode/endorse a financial document item having a radio frequency identification tag	  	 	7792754	  	 	 	09/07/2010	  
	 NCR Corporation
	  	Utility	  	Security markers for identifying a source of a substance	  	 	7800088	  	 	 	09/21/2010	  
	 NCR Corporation
	  	Utility	  	Customizing security features	  	 	7802725	  	 	 	09/28/2010	  
	 NCR Corporation
	  	Utility	  	Data management	  	 	7805609	  	 	 	09/28/2010	  
	 NCR Corporation
	  	Utility	  	Self-service terminal	  	 	7810715	  	 	 	10/12/2010	  
	 NCR Corporation
	  	Utility	  	Personal teller system and method of remote interactive and personalized banking	  	 	7814016	  	 	 	10/12/2010	  
	 NCR Corporation
	  	Utility	  	Method of and system for prediction of the state of health of an apparatus	  	 	7815103	  	 	 	10/19/2010	  
	 NCR Corporation
	  	Utility	  	Idle registered label roll	  	 	7820264	* 	 	 	10/26/2010	  
	 NCR Corporation
	  	Utility	  	Method of controlling thermal printing	  	 	7839425	* 	 	 	11/23/2010	  
	 NCR Corporation
	  	Utility	  	Media storage device	  	 	7845573	  	 	 	12/07/2010	  
	 NCR Corporation
	  	Utility	  	Photoconductive device	  	 	7847254	  	 	 	12/07/2010	  
	 NCR Corporation
	  	Utility	  	Barcode scanner with mirror antenna	  	 	7850085	  	 	 	12/14/2010	  
	 NCR Corporation
	  	Utility	  	Self-service terminal	  	 	7856401	  	 	 	12/21/2010	  
	 NCR Corporation
	  	Utility	  	System and method of determining interactions between medicines	  	 	7870007	  	 	 	01/11/2011	  
	 NCR Corporation
	  	Utility	  	Scaleable check processing module for a self-service check depositing terminal	  	 	7886965	  	 	 	02/15/2011	  
	 NCR Corporation
	  	Utility	  	High sensitivity radio frequency identification tag	  	 	7893816	  	 	 	02/22/2011	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for directing bar code positioning for imaging scanning	  	 	7900840	  	 	 	03/08/2011	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for single sideband modulation employing a frequency shift	  	 	7904032	  	 	 	03/08/2011	  
	 NCR Corporation
	  	Utility	  	System for generating revenue using electronic mail and method for its use	  	 	7904336	  	 	 	03/08/2011	  
	 NCR Corporation
	  	Utility	  	Methods of operating an image-based self-service check depositing terminal to provide enhanced check images and an apparatus therefor	  	 	7909244	  	 	 	03/22/2011	  
	 NCR Corporation
	  	Utility	  	An optical sensor with a counter for counting items and controlling a light source	  	 	7910903	  	 	 	03/22/2011	  
	 NCR Corporation
	  	Utility	  	Transaction processing systems	  	 	7912914	  	 	 	03/22/2011	  
	 NCR Corporation
	  	Utility	  	Method of programming a barcode scanner	  	 	7913910	  	 	 	03/29/2011	  
	 NCR Corporation
	  	Utility	  	Matching bar code colors to painted pixel filters	  	 	7913922	  	 	 	03/29/2011	  
	 NCR Corporation
	  	Utility	  	Modular signature verification architecture	  	 	7917765	  	 	 	03/29/2011	  
	 NCR Corporation
	  	Utility	  	Self-service checkout system with cash not available mode	  	 	7922072	  	 	 	04/12/2011	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for automated document examination for age verification	  	 	7931194	  	 	 	04/26/2011	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for self diagnosing electronic price labels	  	 	7933804	  	 	 	04/26/2011	  
	 NCR Corporation
	  	Utility	  	Self-service terminal	  	 	7942315	  	 	 	05/17/2011	  
	 NCR Corporation
	  	Utility	  	Self service terminal	  	 	7946409	  	 	 	05/24/2011	  
	 NCR Corporation
	  	Utility	  	Distributed image capture proof-of-deposit system and method of operating a distributed image capture proof-of-deposit system	  	 	7949602	  	 	 	05/24/2011	  
	 NCR Corporation
	  	Utility	  	Method of producing a coated optical element	  	 	7950582	  	 	 	05/31/2011	  
	 NCR Corporation
	  	Utility	  	Media stacker	  	 	7950651	  	 	 	05/31/2011	  
	 NCR Corporation
	  	Utility	  	Printer with debris control apparatus	  	 	7952598	* 	 	 	05/31/2011	  

													
	 Registered Owner
	  	 Type
	  	 Title
	  	Patent No.	 	 	Reg. Date	 
	 NCR Corporation
	  	Utility	  	Bank document image viewing apparatus and methods of a financial institution presenting an image of a bank document in a check truncation environment	  	 	7957577	  	 	 	06/07/2011	  
	 NCR Corporation
	  	Utility	  	Mirrored spinner with paired offset facets	  	 	7992785	  	 	 	08/09/2011	  
	 NCR Corporation
	  	Utility	  	Method of remotely controlling a user interface	  	 	7996461	  	 	 	08/09/2011	  
	 NCR Corporation
	  	Utility	  	Dual-aperature barcode scanner with tether-free tower housing	  	 	7997493	  	 	 	08/16/2011	  
	 NCR Corporation
	  	Utility	  	Self-service terminal	  	 	8011571	  	 	 	09/06/2011	  
	 NCR Corporation
	  	Utility	  	System and method of refilling a prescription	  	 	8027847	  	 	 	09/27/2011	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for positioning objects for scanning by a hybrid laser and imaging scanner	  	 	8028916	  	 	 	10/04/2011	  
	 NCR Corporation
	  	Utility	  	Slitting knife cartridge	  	 	8033203	* 	 	 	10/11/2011	  
	 NCR Corporation
	  	Utility	  	Self-service terminal	  	 	8033454	  	 	 	10/11/2011	  
	 NCR Corporation
	  	Utility	  	Item checkout device and weigh plate with improved electromagnetic field performance	  	 	8033461	  	 	 	10/11/2011	  
	 NCR Corporation
	  	Utility	  	Apparatus, method and system for an image scanner with differential panning	  	 	8033468	  	 	 	10/11/2011	  
	 NCR Corporation
	  	Utility	  	Secure tag coding	  	 	8034398	  	 	 	10/11/2011	  
	 NCR Corporation
	  	Utility	  	Radio frequency data reader	  	 	8035521	  	 	 	10/11/2011	  
	 NCR Corporation
	  	Utility	  	Automated business system and method of vending and returning a consumer product	  	 	8036774	  	 	 	10/11/2011	  
	 NCR Corporation
	  	Utility	  	Automated business system and method of vending and returning a consumer product	  	 	8041454	  	 	 	10/18/2011	  
	 NCR Corporation
	  	Utility	  	Two-sided thermal wrap around label	  	 	8043993	* 	 	 	10/25/2011	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for generating and decoding scan patterns using multiple laser sources	  	 	8056810	  	 	 	11/15/2011	  
	 NCR Corporation
	  	Utility	  	Privacy-enabled keypad	  	 	8061590	  	 	 	11/22/2011	  
	 NCR Corporation
	  	Utility	  	Dual-stack document storage bin for use in a self-service bunch document depositing terminal	  	 	8066273	  	 	 	11/29/2011	  
	 NCR Corporation
	  	Utility	  	Multisided thermal media combinations	  	 	8067335	* 	 	 	11/29/2011	  
	 NCR Corporation
	  	Utility	  	Queue management system and method	  	 	8068600	  	 	 	11/29/2011	  
	 NCR Corporation
	  	Utility	  	Automated business system and method of vending and returning a consumer product	  	 	8078316	  	 	 	12/13/2011	  
	 NCR Corporation
	  	Utility	  	Self-service terminal	  	 	8078912	  	 	 	12/13/2011	  
	 NCR Corporation
	  	Utility	  	Thermal indicators	  	 	8083423	* 	 	 	12/27/2011	  
	 NCR Corporation
	  	Utility	  	Detecting improved quality counterfeit media	  	 	8086017	  	 	 	12/27/2011	  
	 NCR Corporation
	  	Utility	  	Methods of processing a check in a check stock verification system	  	 	8086018	  	 	 	12/27/2011	  
	 NCR Corporation
	  	Utility	  	Automated business system and method of vending and returning a consumer product	  	 	8086349	  	 	 	12/27/2011	  
	 NCR Corporation
	  	Utility	  	Barcode imaging system and source of electromagnetic radiation therefor	  	 	8091789	  	 	 	01/10/2012	  
	 NCR Corporation
	  	Utility	  	Universal serial bus (USB) connector retaining device and arrangement	  	 	8092243	  	 	 	01/10/2012	  
	 NCR Corporation
	  	Utility	  	Dedicated self-service return terminal and method of operating a dedicated self-service return terminal for receiving returned media on which entertainment data is stored	  	 	8113421	  	 	 	02/14/2012	  
	 NCR Corporation
	  	Utility	  	Check processing module for a self-service check depositing terminal	  	 	8113426	  	 	 	02/14/2012	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for automated product identification in point of sale applications	  	 	8113427	  	 	 	02/14/2012	  
	 NCR Corporation
	  	Utility	  	Barcode reading station	  	 	8113429	  	 	 	02/14/2012	  

													
	 Registered Owner
	  	 Type
	  	 Title
	  	Patent No.	 	 	Reg. Date	 
	 NCR Corporation
	  	Utility	  	Scale assembly mounting apparatus for an optical scanner	  	 	8113431	  	 	 	02/14/2012	  
	 NCR Corporation
	  	Utility	  	Document deskewing module with a moving track bottom and methods of operating a document deskewing module	  	 	8113511	  	 	 	02/14/2012	  
	 NCR Corporation
	  	Utility	  	Printable adhesive label	  	 	8114811	* 	 	 	02/14/2012	  
	 NCR Corporation
	  	Utility	  	Two-sided thermal paper	  	 	8114812	* 	 	 	02/14/2012	  
	 NCR Corporation
	  	Utility	  	Media characterization	  	 	8116995	  	 	 	02/14/2012	  
	 NCR Corporation
	  	Utility	  	Printing security features	  	 	8117963	  	 	 	02/21/2012	  
	 NCR Corporation
	  	Utility	  	Self-service terminal	  	 	8118215	  	 	 	02/21/2012	  
	 NCR Corporation
	  	Utility	  	Shopping cart with a self-charging system	  	 	8120190	  	 	 	02/21/2012	  
	 NCR Corporation
	  	Utility	  	Method and system for tuning an RFID interrogator	  	 	8120469	  	 	 	02/21/2012	  
	 NCR Corporation
	  	Utility	  	Method of processing a check and an apparatus therefor	  	 	8121950	  	 	 	02/21/2012	  
	 NCR Corporation
	  	Utility	  	Data verification system for a near field communications enabled display	  	 	8126505	  	 	 	02/28/2012	  
	 NCR Corporation
	  	Utility	  	Produce weighing scale with a camera and methods of operating a produce weighing scale having a camera	  	 	8136727	  	 	 	03/20/2012	  
	 NCR Corporation
	  	Utility	  	Dual-sided thermal form card	  	 	8173575	* 	 	 	05/08/2012	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for customer specific based food preparation prediction	  	 	8175917	  	 	 	05/08/2012	  
	 NCR Corporation
	  	Utility	  	Controlled fold document delivery	  	 	8182161	* 	 	 	05/22/2012	  
	 NCR Corporation
	  	Utility	  	System and method for tracking currency at a self-checkout station	  	 	8185404	  	 	 	05/22/2012	  
	 NCR Corporation
	  	Utility	  	Apparatus, method and system for selective reading of pixels from an image capture device	  	 	8186596	  	 	 	05/29/2012	  
	 NCR Corporation
	  	Utility	  	Gift card account system and methods of a merchant processing a gift card	  	 	8191775	  	 	 	06/05/2012	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for automated access control system	  	 	8191781	  	 	 	06/05/2012	  
	 NCR Corporation
	  	Utility	  	Two-sided thermal print command	  	 	8194107	* 	 	 	06/05/2012	  
	 NCR Corporation
	  	Utility	  	Audio processing apparatus	  	 	8194877	  	 	 	06/05/2012	  
	 NCR Corporation
	  	Utility	  	Conducting multiple financial transactions on a self-service terminal	  	 	8196812	  	 	 	06/12/2012	  
	 NCR Corporation
	  	Utility	  	Self-service terminal	  	 	8196820	  	 	 	06/12/2012	  
	 NCR Corporation
	  	Utility	  	Media cassette	  	 	8196920	  	 	 	06/12/2012	  
	 NCR Corporation
	  	Utility	  	RFID tag reader	  	 	8199004	  	 	 	06/12/2012	  
	 NCR Corporation
	  	Utility	  	Terminal and device management method	  	 	8201728	  	 	 	06/19/2012	  
	 NCR Corporation
	  	Utility	  	Entertainment media rental and return system and a removable storage bin therefor	  	 	8204622	  	 	 	06/19/2012	  
	 NCR Corporation
	  	Utility	  	Method of validating a digital certificate and a system therefor	  	 	8205250	  	 	 	06/19/2012	  
	 NCR Corporation
	  	Utility	  	Two sided thermal RFID	  	 	8207824	* 	 	 	06/26/2012	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for analyzing signal conditions affecting operation of an RFID communication device	  	 	8207826	  	 	 	06/26/2012	  
	 NCR Corporation
	  	Utility	  	Two-sided thermal media	  	 	8211826	* 	 	 	07/03/2012	  
	 NCR Corporation
	  	Utility	  	Kiosk for dispensing items	  	 	8214078	  	 	 	07/03/2012	  
	 NCR Corporation
	  	Utility	  	UV and thermal guard	  	 	8222184	* 	 	 	07/17/2012	  
	 NCR Corporation
	  	Utility	  	Secure circuit board assembly	  	 	8238095	  	 	 	08/07/2012	  

													
	 Registered Owner
	  	 Type
	  	 Title
	  	Patent No.	 	 	Reg. Date	 
	 NCR Corporation
	  	Utility	  	Methods and apparatus for managing sequencing of data received from devices in a retail point of sale system	  	 	8239271	  	 	 	08/07/2012	  
	 NCR Corporation
	  	Utility	  	Hybrid imaging optical code reader	  	 	8240570	  	 	 	08/14/2012	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for initiating corrective action for an electronic terminal	  	 	8245076	  	 	 	08/14/2012	  
	 NCR Corporation
	  	Utility	  	Card reader device with sensor for sensing card trapping device	  	 	8251282	  	 	 	08/28/2012	  
	 NCR Corporation
	  	Utility	  	Dual-sided two-ply direct thermal image element	  	 	8252717	* 	 	 	08/28/2012	  
	 NCR Corporation
	  	Utility	  	Apparatus, method and system for elongating pixel data	  	 	8254725	  	 	 	08/28/2012	  
	 NCR Corporation
	  	Utility	  	Linerless label printer	  	 	8261799	* 	 	 	09/11/2012	  
	 NCR Corporation
	  	Utility	  	Media presenter	  	 	8261903	  	 	 	09/11/2012	  
	 NCR Corporation
	  	Utility	  	Media depository	  	 	8262076	  	 	 	09/11/2012	  
	 NCR Corporation
	  	Utility	  	Media cassette	  	 	8262083	  	 	 	09/11/2012	  
	 NCR Corporation
	  	Utility	  	Device and method of coupling a processor to an RFID tag	  	 	8269608	  	 	 	09/18/2012	  
	 NCR Corporation
	  	Utility	  	Methods of two-sided printing	  	 	8276808	* 	 	 	10/02/2012	  
	 NCR Corporation
	  	Utility	  	Thermal labels	  	 	8283283	* 	 	 	10/09/2012	  
	 NCR Corporation
	  	Utility	  	Checkout methods and apparatus	  	 	8286868	  	 	 	10/16/2012	  
	 NCR Corporation
	  	Utility	  	Wireless self-service terminal audio lead through	  	 	8290436	  	 	 	10/16/2012	  
	 NCR Corporation
	  	Utility	  	Self-checkout system having minimal footprint	  	 	8290814	  	 	 	10/16/2012	  
	 NCR Corporation
	  	Utility	  	Techniques for temporary access to enterprise networks	  	 	8290877	  	 	 	10/16/2012	  
	 NCR Corporation
	  	Utility	  	Rental return method and apparatus	  	 	8290878	  	 	 	10/16/2012	  
	 NCR Corporation
	  	Utility	  	Apparatus and system for a hybrid optical code scanner	  	 	8292181	  	 	 	10/23/2012	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for germicidal irradiation of checkout system surfaces	  	 	8297435	  	 	 	10/30/2012	  
	 NCR Corporation
	  	Utility	  	Media transport	  	 	8297865	  	 	 	10/30/2012	  
	 NCR Corporation
	  	Utility	  	Methods of operating an image-based self-service check depositing terminal to improve locating a pre-defined check field and an apparatus therefor	  	 	8300915	  	 	 	10/30/2012	  
	 NCR Corporation
	  	Utility	  	Distributed item dispenser management	  	 	8301301	  	 	 	10/30/2012	  
	 NCR Corporation
	  	Utility	  	Heartbeat system	  	 	8301937	  	 	 	10/30/2012	  
	 NCR Corporation
	  	Utility	  	Media recycler	  	 	8302757	  	 	 	11/06/2012	  
	 NCR Corporation
	  	Utility	  	Method of controlling thermal printing	  	 	8314821	* 	 	 	11/20/2012	  
	 NCR Corporation
	  	Utility	  	Printer and method of printing	  	 	8314823	  	 	 	11/20/2012	  
	 NCR Corporation
	  	Utility	  	Fraudulent document detection system and method	  	 	8317085	  	 	 	11/27/2012	  
	 NCR Corporation
	  	Utility	  	Item having a data tag	  	 	8317098	  	 	 	11/27/2012	  
	 NCR Corporation
	  	Utility	  	Produce data collecter which collects internal produce information	  	 	8317101	  	 	 	11/27/2012	  
	 NCR Corporation
	  	Utility	  	Modular print system	  	 	8317188	  	 	 	11/27/2012	  
	 NCR Corporation
	  	Utility	  	Multiple-display device	  	 	8319700	  	 	 	11/27/2012	  
	 NCR Corporation
	  	Utility	  	Touchscreen module	  	 	8319738	  	 	 	11/27/2012	  
	 NCR Corporation
	  	Utility	  	System and method for identifying produce	  	 	8320633	  	 	 	11/27/2012	  
	 NCR Corporation
	  	Utility	  	Self-service kiosk with multiple secure service areas	  	 	8321052	  	 	 	11/27/2012	  
	 NCR Corporation
	  	Utility	  	Adjustable mounting apparatus for a peripheral device of a self-service retail item checkout station	  	 	8321340	  	 	 	11/27/2012	  
	 NCR Corporation
	  	Utility	  	Self-service terminal	  	 	8321344	  	 	 	11/27/2012	  
	 NCR Corporation
	  	Utility	  	Methods of operating a self-service check depositing terminal to provide an ackowledgement receipt	  	 	8321349	  	 	 	11/27/2012	  
	 NCR Corporation
	  	Utility	  	Media dispenser	  	 	8322721	  	 	 	12/04/2012	  
	 NCR Corporation
	  	Utility	  	Personal teller system for remote interactive and personalized banking	  	 	8332319	  	 	 	12/11/2012	  

													
	 Registered Owner
	  	 Type
	  	 Title
	  	Patent No.	 	 	Reg. Date	 
	 NCR Corporation
	  	Utility	  	Optical code recognition apparatus	  	 	8333328	  	 	 	12/18/2012	  
	 NCR Corporation
	  	Utility	  	Travel kiosk	  	 	8342391	  	 	 	01/01/2013	  
	 NCR Corporation
	  	Utility	  	High speed wireless infrastructure	  	 	8345577	  	 	 	01/01/2013	  
	 NCR Corporation
	  	Utility	  	Dedicated self-service return terminal and method of operating a dedicated self-service return terminal for receiving returned media on which entertainment data is stored	  	 	8346387	  	 	 	01/01/2013	  
	 NCR Corporation
	  	Utility	  	Security method for a self-service checkout system with rfid capability	  	 	8360207	  	 	 	01/29/2013	  
	 NCR Corporation
	  	Utility	  	Reducing transaction time in a self-service terminal	  	 	8360309	  	 	 	01/29/2013	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for user interface management in point of sale applications	  	 	8360310	  	 	 	01/29/2013	  
	 NCR Corporation
	  	Utility	  	Apparatus, system and method for a hybrid optical code scanner	  	 	8360320	  	 	 	01/29/2013	  
	 NCR Corporation
	  	Utility	  	Externally-powerable media transport module	  	 	8360429	  	 	 	01/29/2013	  
	 NCR Corporation
	  	Utility	  	Dual-sided thermal print folding	  	 	8363074	* 	 	 	01/29/2013	  
	 NCR Corporation
	  	Utility	  	Weight detection for cashier checkout terminals	  	 	8364543	  	 	 	01/29/2013	  
	 NCR Corporation
	  	Utility	  	Kiosk	  	 	8365868	  	 	 	02/05/2013	  
	 NCR Corporation
	  	Utility	  	Techniques for disparate barcode transaction processing	  	 	8365984	  	 	 	02/05/2013	  
	 NCR Corporation
	  	Utility	  	Optical scanner with floating load cell frame	  	 	8365992	  	 	 	02/05/2013	  
	 NCR Corporation
	  	Utility	  	Convertible barcode reader	  	 	8365998	  	 	 	02/05/2013	  
	 NCR Corporation
	  	Utility	  	Combined laser and imaging scanner	  	 	8366006	  	 	 	02/05/2013	  
	 NCR Corporation
	  	Utility	  	Media presenter	  	 	8366107	  	 	 	02/05/2013	  
	 NCR Corporation
	  	Utility	  	Dual-sided thermal security features	  	 	8367580	* 	 	 	02/05/2013	  
	 NCR Corporation
	  	Utility	  	Method of processing a check in an image-based check processing system and an apparatus therefor	  	 	8369601	  	 	 	02/05/2013	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for managing location information for movable objects	  	 	8369981	  	 	 	02/05/2013	  
	 NCR Corporation
	  	Utility	  	Method and system for delivering multi-media products	  	 	8369987	  	 	 	02/05/2013	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for travel information	  	 	8370066	  	 	 	02/05/2013	  
	 NCR Corporation
	  	Utility	  	Method of completing a transaction using wirelessly transferred payment information	  	 	8370220	  	 	 	02/05/2013	  
	 NCR Corporation
	  	Utility	  	Self-service terminal	  	 	8370499	  	 	 	02/05/2013	  
	 NCR Corporation
	  	Utility	  	Access to a processing device	  	 	8370923	  	 	 	02/05/2013	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for managing and updating stored information	  	 	8423564	  	 	 	04/16/2013	  
	 NCR Corporation
	  	Utility	  	Pick unit	  	 	8430395	  	 	 	04/30/2013	  
	 NCR Corporation
	  	Utility	  	Encrypting touch-sensitive display	  	 	8456429	  	 	 	06/04/2013	  
	 NCR Corporation
	  	Utility	  	System and method of cashing a check	  	 	8458096	  	 	 	06/04/2013	  
	 NCR Corporation
	  	Utility	  	Two-sided thermal printer control	  	 	8462184	* 	 	 	06/11/2013	  
	 NCR Corporation
	  	Utility	  	Self-service media rental terminal and method of operating a self-service media rental terminal having a plurality of customer interfaces	  	 	8463432	  	 	 	06/11/2013	  
	 NCR Corporation
	  	Utility	  	Distributed digital certificate validation method and system	  	 	8464045	  	 	 	06/11/2013	  
	 NCR Corporation
	  	Utility	  	Electronic shelf label with internal information	  	 	8479422	  	 	 	07/09/2013	  
	 NCR Corporation
	  	Utility	  	Removable media container	  	 	8479910	  	 	 	07/09/2013	  
	 NCR Corporation
	  	Utility	  	Media cassette	  	 	8479979	  	 	 	07/09/2013	  
	 NCR Corporation
	  	Utility	  	Hybrid optical code scanner and system	  	 	8479995	  	 	 	07/09/2013	  
	 NCR Corporation
	  	Utility	  	Media handling	  	 	8480076	  	 	 	07/09/2013	  

													
	 Registered Owner
	  	 Type
	  	 Title
	  	Patent No.	 	 	Reg. Date	 
	 NCR Corporation
	  	Utility	  	Document processing apparatus and method of operating a document processing apparatus	  	 	8480077	  	 	 	07/09/2013	  
	 NCR Corporation
	  	Utility	  	Item storage	  	 	8480085	  	 	 	07/09/2013	  
	 NCR Corporation
	  	Utility	  	UV and thermal guard and a process of making and using thereof	  	 	8481108	* 	 	 	07/09/2013	  
	 NCR Corporation
	  	Utility	  	Software framework to build an executable scheme in a gui environment	  	 	8484615	  	 	 	07/09/2013	  
	 NCR Corporation
	  	Utility	  	Interoperability method and software	  	 	8484627	  	 	 	07/09/2013	  
	 NCR Corporation
	  	Utility	  	Terminal fascia	  	 	8485433	  	 	 	07/16/2013	  
	 NCR Corporation
	  	Utility	  	Retail checkout system and method	  	 	8494908	  	 	 	07/23/2013	  
	 NCR Corporation
	  	Utility	  	Fraud prevention	  	 	8496171	  	 	 	07/30/2013	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for providing customer side imaging as well as bar code scanning imaging	  	 	8496178	  	 	 	07/30/2013	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for imaging bar code scanning	  	 	8496179	  	 	 	07/30/2013	  
	 NCR Corporation
	  	Utility	  	Secure ID	  	 	8496185	  	 	 	07/30/2013	  
	 NCR Corporation
	  	Utility	  	Media cassette	  	 	8496242	  	 	 	07/30/2013	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for managing location information for movable objects	  	 	8498734	  	 	 	07/30/2013	  
	 NCR Corporation
	  	Utility	  	Storage method for digital media items	  	 	8498735	  	 	 	07/30/2013	  
	 NCR Corporation
	  	Utility	  	Compact media disc vending or rental kiosk	  	 	8498737	  	 	 	07/30/2013	  
	 NCR Corporation
	  	Utility	  	Methods to broadcast status of a self-service dispensing device	  	 	8498738	  	 	 	07/30/2013	  
	 NCR Corporation
	  	Utility	  	System and Method for Performing a Security Check at a Checkout Terminal	  	 	8498903	  	 	 	07/30/2013	  
	 NCR Corporation
	  	Utility	  	Application monitoring	  	 	8499071	  	 	 	07/30/2013	  
	 NCR Corporation
	  	Utility	  	Managing code-tracing data	  	 	8499200	  	 	 	07/30/2013	  
	 NCR Corporation
	  	Utility	  	Secure authentication at a self-service terminal	  	 	8499346	  	 	 	07/30/2013	  
	 NCR Corporation
	  	Utility	  	Scanner and weigh scale with self-centering surface	  	 	8500017	  	 	 	08/06/2013	  
	 NCR Corporation
	  	Utility	  	Method of validating a media item	  	 	8503796	  	 	 	08/06/2013	  
	 NCR Corporation
	  	Utility	  	Multi-lingual two-sided printing	  	 	8504427	* 	 	 	08/06/2013	  
	 NCR Corporation
	  	Utility	  	System and method of displaying information by an electronic price label	  	 	8504429	  	 	 	08/06/2013	  
	 NCR Corporation
	  	Utility	  	System and method of displaying information by an electronic price label	  	 	8504430	  	 	 	08/06/2013	  
	 NCR Corporation
	  	Utility	  	System and method of certifying a check	  	 	8504476	  	 	 	08/06/2013	  
	 NCR Corporation
	  	Utility	  	Communicating with devices in an ATM	  	 	8505037	  	 	 	08/06/2013	  
	 NCR Corporation
	  	Utility	  	Thermal indicators	  	 	8511228	* 	 	 	08/20/2013	  
	 NCR Corporation
	  	Utility	  	Self-service terminal	  	 	8515869	  	 	 	08/20/2013	  
	 NCR Corporation
	  	Utility	  	Linerless labels	  	 	8537184	* 	 	 	09/17/2013	  
	 NCR Corporation
	  	Utility	  	Thermal indicators	  	 	8567317	* 	 	 	10/29/2013	  
	 NCR Corporation
	  	Utility	  	Secure enclosure	  	 	8567665	  	 	 	10/29/2013	  
	 NCR Corporation
	  	Utility	  	Two-sided sheet containing a plurality of different travel-related document items and a method of operating an apparatus to provide such a two-sided sheet	  	 	8567674	* 	 	 	10/29/2013	  
	 NCR Corporation
	  	Utility	  	Method, device and system for a laser bar code scanner with imaging assist	  	 	8567680	  	 	 	10/29/2013	  
	 NCR Corporation
	  	Utility	  	Two-sided Direct Thermal Label with Pouch	  	 	8568847	* 	 	 	10/29/2013	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for multi-touch surface interaction for a financial application within a bank branch	  	 	8570281	  	 	 	10/29/2013	  
	 NCR Corporation
	  	Utility	  	Device start up system and method	  	 	8572294	  	 	 	10/29/2013	  

													
	 Registered Owner
	  	 Type
	  	 Title
	  	Patent No.	 	  	Reg. Date	 
	 NCR Corporation
	  	Utility	  	Methods and apparatus for selecting and delivering content	  	 	8572753	  	  	 	10/29/2013	  
	 NCR Corporation
	  	Utility	  	Media depository	  	 	8573405	  	  	 	11/05/2013	  
	 NCR Corporation
	  	Utility	  	Two-sided print data splitting	  	 	8576436	  	  	 	11/05/2013	  
	 NCR Corporation
	  	Utility	  	Evaluating soiling of a media item	  	 	8577117	  	  	 	11/05/2013	  
	 NCR Corporation
	  	Utility	  	System and method for interpreting a specification language file to implement a business system	  	 	8578350	  	  	 	11/05/2013	  
	 NCR Corporation
	  	Utility	  	Fraud prevention	  	 	8584947	  	  	 	11/19/2013	  
	 NCR Corporation
	  	Utility	  	Apparatus, method and system for extracting pixel data from an image capture device	  	 	8584951	  	  	 	11/19/2013	  
	 NCR Corporation
	  	Utility	  	Apparatus, system and method for extending the depth of field of an optical code scanner	  	 	8584952	  	  	 	11/19/2013	  
	 NCR Corporation
	  	Utility	  	Controlling a pick mechanism of a machine for handling sheet media	  	 	8585042	  	  	 	11/19/2013	  
	 NCR Corporation
	  	Utility	  	Media transaction kiosk and method	  	 	8587407	  	  	 	11/19/2013	  
	 NCR Corporation
	  	Utility	  	Encrypting touch-sensitive display	  	 	8587551	  	  	 	11/19/2013	  
	 NCR Corporation
	  	Utility	  	Creating a terminal application	  	 	8589868	  	  	 	11/19/2013	  
	 NCR Corporation
	  	Utility	  	Method and system for entry of encrypted and non-encrypted information on a touch screen	  	 	6317835	  	  	 	11/13/2001	  
	 NCR Corporation
	  	Utility	  	Audio request interaction system	  	 	7257536	  	  	 	08/14/2007	  
	 NCR Corporation
	  	Utility	  	Interactive customer display system and method	  	 	7835946	  	  	 	11/16/2010	  
	 NCR Corporation
	  	Utility	  	Pay at pump encryption device	  	 	7966262	  	  	 	06/21/2011	  
	 NCR Corporation
	  	Utility	  	Loyalty host interface	  	 	8510162	  	  	 	08/13/2013	  
	 Toshiba Tec Kabushiki
 Kaisha
	  	Utility	  	Thermal printer and drive control method of thermal head	  	 	8382388	  	  	 	02/26/2013	  
	NCR Corporation and Toshiba Tec Kabushiki Kaisha	  	Utility	  	Thermal printer and locking device	  	 	8231291	  	  	 	07/31/2012	  
	NCR Corporation and Toshiba Tec Kabushiki Kaisha	  	Utility	  	Thermal printer and drive control method of thermal head	  	 	7950860	  	  	 	05/31/2011	  
	NCR Corporation and Toshiba Tec Kabushiki Kaisha	  	Utility	  	Thermal printer and drive control method of thermal head	  	 	7914218	  	  	 	05/31/2011	  
	NCR Corporation and Toshiba Tec Kabushiki Kaisha	  	Utility	  	Printing apparatus including plural printheads and a drive mechanism for the platen rollers	  	 	7891893	  	  	 	02/22/2011	  
	NCR Corporation and Toshiba Tec Kabushiki Kaisha	  	Utility	  	Printing apparatus including a cover holding a thermal head and a platen roller on a hinged frame	  	 	7828490	  	  	 	11/09/2010	  
	NCR Corporation and Toshiba Tec Kabushiki Kaisha	  	Utility	  	Thermal printer and method of controlling the same	  	 	7782349	  	  	 	08/24/2010	  
	NCR Corporation and Toshiba Tec Kabushiki Kaisha	  	Utility	  	Duplex printer	  	 	7623145	  	  	 	11/24/2009	  

													
	 Registered Owner
	  	 Type
	  	 Title
	  	Patent No.	 	 	Reg. Date	 
	 NCR Corporation
	  	Utility	  	Method of monitoring item shuffling in a post-scan area of a self-service checkout terminal	  	 	5967264	  	 	 	10/19/1999	  
	 NCR Corporation
	  	Utility	  	Business process simulation testing for bank branches using avatars	  	 	8606610	  	 	 	12/10/2013	  
	 NCR Corporation
	  	Design	  	Self-service terminal	  	 	D707012	  	 	 	06/10/2014	  
	 NCR Corporation
	  	Design	  	Terminal	  	 	D734314	  	 	 	07/14/2015	  
	 NCR Corporation
	  	Design	  	Terminal	  	 	D693803	  	 	 	11/19/2013	  
	 NCR Corporation
	  	Utility	  	Method of controlling a self-service terminal	  	 	8788302	  	 	 	07/22/2014	  
	 NCR Corporation
	  	Utility	  	Media item transporter	  	 	9171430	  	 	 	10/27/2015	  
	 NCR Corporation
	  	Utility	  	Pathway selection	  	 	8875991	  	 	 	11/04/2014	  
	 NCR Corporation
	  	Utility	  	System and method of using electronic funds transfer to complete payment for goods and services	  	 	8880432	  	 	 	11/04/2014	  
	 Inventor
	  	Utility	  	Format and method for representing a dynamic digital image	  	 	9001136	  	 	 	04/07/2015	  
	 NCR Corporation
	  	Utility	  	Checkout device with multi-touch input device	  	 	9092050	  	 	 	07/28/2015	  
	 NCR Corporation
	  	Utility	  	Methods and Apparatus for Positioning an Optical Code for Imaging Scanning	  	 	8870073	  	 	 	10/28/2014	  
	 NCR Corporation
	  	Utility	  	Checkout stand with a barcode reader on a bagging end	  	 	8985444	  	 	 	03/24/2015	  
	 NCR Corporation
	  	Utility	  	Display location	  	 	8876079	  	 	 	11/04/2014	  
	 NCR Corporation
	  	Utility	  	Media dispensing self-service terminal	  	 	8915426	  	 	 	12/23/2014	  
	 NCR Corporation
	  	Utility	  	Document pinching	  	 	8936244	  	 	 	01/20/2015	  
	 NCR Corporation
	  	Utility	  	Secure collection	  	 	9147323	  	 	 	09/29/2015	  
	 NCR Corporation
	  	Utility	  	Selective direct thermal and thermal transfer printing	  	 	8848010	* 	 	 	09/30/2014	  
	 Inventor
	  	Utility	  	Device and Method of Coupling a Processor to an RFID tag	  	 	8681002	  	 	 	03/25/2014	  
	 NCR Corporation
	  	Design	  	Self-service terminal	  	 	D697505	  	 	 	01/14/2014	  
	 NCR Corporation
	  	Utility	  	Validation template for valuable media of multiple classes	  	 	8625876	  	 	 	01/07/2014	  
	 Inventors
	  	Utility	  	Thermal indicators	  	 	8764324	* 	 	 	07/01/2014	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for managing location information for movable objects	  	 	8626332	  	 	 	01/07/2014	  
	 NCR Corporation
	  	Utility	  	Linerless labels	  	 	8711190	* 	 	 	04/29/2014	  
	 NCR Corporation
	  	Utility	  	Removable media container	  	 	8714337	  	 	 	05/06/2014	  
	 NCR Corporation
	  	Utility	  	Patent application information retrieval	  	 	8949310	  	 	 	02/03/2015	  
	 NCR Corporation
	  	Utility	  	System and method for operating multiple checkout stations with a single processor	  	 	9129288	  	 	 	09/08/2015	  
	 NCR Corporation
	  	Utility	  	Jam reduction	  	 	8931632	  	 	 	01/13/2015	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for reducing recognition times in an image-based product recognition system	  	 	9135789	  	 	 	09/15/2015	  
	 NCR Corporation
	  	Utility	  	Method, apparatus and system for scanning optical codes	  	 	8702002	  	 	 	04/22/2014	  
	 NCR Corporation
	  	Utility	  	Self-service terminal (SST) withmedia transfer device	  	 	8887996	  	 	 	11/18/2014	  
	 NCR Corporation
	  	Utility	  	Low profile tri-aperture optical code scanner	  	 	8733651	  	 	 	05/27/2014	  
	 NCR Corporation
	  	Utility	  	Dual capacitor load cell	  	 	9250144	  	 	 	02/02/2016	  
	 NCR Corporation
	  	Utility	  	Checkout system including rotating barcode reader	  	 	8925811	  	 	 	01/06/2015	  
	 NCR Corporation
	  	Utility	  	Techniques for checking into a retail establishment	  	 	9111273	  	 	 	08/18/2015	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for low resolution item identification	  	 	8953062	  	 	 	02/10/2015	  
	 NCR Corporation
	  	Utility	  	Secure enclosure	  	 	9127495	  	 	 	09/08/2015	  
	 NCR Corporation
	  	Utility	  	User inerface for an SST	  	 	9019089	  	 	 	04/28/2015	  

													
	 Registered Owner
	  	 Type
	  	 Title
	  	Patent No.	 	 	Reg. Date	 
	 NCR Corporation
	  	Utility	  	Methods of mobile self-checkout shopping for produce items in a retail grocery store	  	 	8915429	  	 	 	12/23/2014	  
	 NCR Corporation
	  	Utility	  	Media alignment	  	 	9098089	  	 	 	08/21/2014	  
	 NCR Corporation
	  	Utility	  	Media handler protection	  	 	9177450	  	 	 	11/03/2015	  
	 Inventors
	  	Utility	  	Dynamic host integration	  	 	9253258	  	 	 	02/02/2016	  
	 NCR Corporation
	  	Utility	  	Methods and systems for performing security weight checks at checkouts	  	 	9033227	  	 	 	05/19/2015	  
	 NCR Corporation
	  	Utility	  	Item location	  	 	9016682	  	 	 	04/28/2015	  
	 NCR Corporation
	  	Utility	  	Security method using an imaging barcode reader	  	 	9165173	  	 	 	10/20/2015	  
	 NCR Corporation
	  	Utility	  	Media authentication	  	 	9245399	  	 	 	01/26/2016	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for assembling an image of a document	  	 	9129176	  	 	 	09/08/2015	  
	 NCR Corporation
	  	Utility	  	Device and Method for Active Reduction of Radio Frequency Noise	  	 	9252892	  	 	 	02/02/2016	  
	 NCR Corporation
	  	Utility	  	Self-service check cashing system and method	  	 	9070124	  	 	 	06/30/2015	  
	 NCR Corporation
	  	Utility	  	Media item transportation	  	 	9016683	  	 	 	04/28/2015	  
	 NCR Corporation
	  	Utility	  	Media item transportation	  	 	9082246	  	 	 	07/14/2015	  
	 NCR Corporation
	  	Utility	  	Event handling	  	 	8966505	  	 	 	02/24/2015	  
	 NCR Corporation
	  	Utility	  	Defect categorization	  	 	9047723	  	 	 	06/02/2015	  
	 NCR Corporation
	  	Utility	  	Optical code scanner with a high dispersion optical lens	  	 	9082029	  	 	 	07/14/2015	  
	 NCR Corporation
	  	Utility	  	Techniques for computer system recovery	  	 	9250923	  	 	 	02/02/2016	  
	 NCR Corporation
	  	Utility	  	Bunch media processing system	  	 	8684152	  	 	 	04/01/2014	  
	 NCR Corporation
	  	Utility	  	Multipurpose printer protecting print elements from adhesive on the medium	  	 	8985738	* 	 	 	03/24/2015	  
	 NCR Corporation
	  	Utility	  	Optical code	  	 	8925829	  	 	 	01/06/2015	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for visually assisted fast food order preparation	  	 	8793161	  	 	 	07/29/2014	  
	 NCR Corporation
	  	Utility	  	Media presenter	  	 	8899475	  	 	 	12/02/2014	  
	 NCR Corporation
	  	Utility	  	Cash management of self-service transactional devices	  	 	8639594	  	 	 	01/28/2014	  
	 Inventors
	  	Utility	  	Self-service terminal	  	 	8827152	  	 	 	09/09/2014	  
	 NCR Corporation
	  	Utility	  	Method, apparatus and system for scanning an optical code	  	 	8960549	  	 	 	02/24/2015	  
	 NCR Corporation
	  	Utility	  	Item recycling	  	 	8733530	  	 	 	05/27/2014	  
	 NCR Corporation
	  	Utility	  	Self-service terminal	  	 	9219660	  	 	 	12/22/2015	  
	 NCR Corporation
	  	Utility	  	Methods of processing data from multiple image sources to provide normalized confidence levels for use in improving performance of a recognition processor	  	 	9208378	  	 	 	12/08/2015	  
	 NCR Corporation
	  	Utility	  	Deposit module	  	 	8973917	  	 	 	03/10/2015	  
	 NCR Corporation
	  	Utility	  	Selective bunch presentation	  	 	8844806	  	 	 	09/30/2014	  
	 NCR Corporation
	  	Utility	  	Location aware authentication techniques	  	 	9037111	  	 	 	05/19/2015	  
	 NCR Corporation
	  	Utility	  	Fraud prevention	  	 	8695879	  	 	 	04/15/2014	  
	 Inventors
	  	Utility	  	System and method of connecting a computer to a peripheral of another computer	  	 	8886842	  	 	 	11/11/2014	  
	 NCR Corporation
	  	Utility	  	Network management system, software and method	  	 	9071634	  	 	 	06/30/2015	  
	 NCR Corporation
	  	Utility	  	Apparatus, method and system for opening a paper bag	  	 	9113726	  	 	 	08/25/2015	  
	 NCR Corporation
	  	Utility	  	Multi-touch surface interaction	  	 	8754856	  	 	 	06/17/2014	  
	 NCR Corporation
	  	Utility	  	Media quality assessment system and method	  	 	8927891	  	 	 	01/06/2015	  
	 NCR Corporation
	  	Utility	  	Thermal transfer ribbon for finishing a printed label and method of manufacturing a thermal transfer ribbon therfor	  	 	8823757	* 	 	 	09/02/2014	  

													
	 Registered Owner
	  	 Type
	  	 Title
	  	Patent No.	 	 	Reg. Date	 
	 NCR Corporation
	  	Utility	  	Augmented reality for assisting consumer transactions	  	 	9020838	  	 	 	04/28/2015	  
	 NCR Corporation
	  	Utility	  	Convertible barcode reader	  	 	8672225	  	 	 	03/18/2014	  
	 NCR Corporation
	  	Utility	  	Techniques for mobile transaction processing	  	 	8738540	  	 	 	05/27/2014	  
	 NCR Corporation
	  	Utility	  	Techniques for automating self-service transactions	  	 	9053475	  	 	 	06/09/2015	  
	 NCR Corporation
	  	Utility	  	Techniques for calibrating measuring devices	  	 	9250114	  	 	 	02/02/2016	  
	 NCR Corporation
	  	Utility	  	Hybrid topcoat formulations for paper products	  	 	8969243	* 	 	 	03/03/2015	  
	 NCR Corporation
	  	Utility	  	Self-learning an item’s weight range	  	 	8843397	  	 	 	09/23/2014	  
	 NCR Corporation
	  	Utility	  	Stain detection	  	 	8805025	  	 	 	08/12/2014	  
	 NCR Corporation
	  	Utility	  	Managing code-tracing data	  	 	8874967	  	 	 	10/28/2014	  
	 NCR Corporation
	  	Utility	  	Media cassette loader	  	 	9221632	  	 	 	12/29/2015	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for operating a self-service terminal (SST)	  	 	8738528	  	 	 	05/27/2014	  
	 NCR Corporation
	  	Utility	  	State detection	  	 	8783559	  	 	 	07/22/2014	  
	 NCR Corporation
	  	Utility	  	System and method of categorising defects in a media item	  	 	8983168	  	 	 	03/17/2015	  
	 NCR Corporation
	  	Utility	  	User interface for a computing device	  	 	8719729	  	 	 	05/06/2014	  
	 NCR Corporation
	  	Utility	  	System and method of managing casino patron money balances	  	 	9251642	  	 	 	02/02/2016	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for produce identification using time resolved reflectance spectroscopy	  	 	8874472	  	 	 	10/28/2014	  
	 NCR Corporation
	  	Utility	  	One-ply two-sided thermal imaging labels	  	 	8716178	  	 	 	05/06/2014	  
	 NCR Corporation
	  	Utility	  	Converting documents	  	 	9064231	  	 	 	06/23/2015	  
	 NCR Corporation
	  	Utility	  	Media identification	  	 	8682056	  	 	 	03/25/2014	  
	 NCR Corporation
	  	Utility	  	Token and reader	  	 	9082056	  	 	 	07/14/2015	  
	 NCR Corporation
	  	Utility	  	Fault replay system and method	  	 	9064043	  	 	 	06/23/2015	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for providing a changing field of view in image based bar code scanning	  	 	8684269	  	 	 	04/01/2014	  
	 NCR Corporation
	  	Utility	  	Authentication at a self-service terminal	  	 	8994663	  	 	 	03/31/2015	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for secure distribution of protected content	  	 	9064096	  	 	 	06/23/2015	  
	 NCR Corporation
	  	Utility	  	Connector placement and routing for optical barcode scanner	  	 	8789755	  	 	 	07/29/2014	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for image recognition in checkout verification	  	 	8876001	  	 	 	11/04/2014	  
	 NCR Corporation
	  	Utility	  	Two-sided print data handling	  	 	8619315	  	 	 	12/31/2013	  
	 NCR Corporation
	  	Utility	  	Item checkout device with antenna	  	 	8878674	  	 	 	11/04/2014	  
	 NCR Corporation
	  	Utility	  	Methods and Apparatus for Distance Determination for Radiofrequency Identification Devices	  	 	8907767	  	 	 	12/09/2014	  
	 NCR Corporation
	  	Utility	  	Method and system of obtaining diagnostic data from a device at a remote location	  	 	9177272	  	 	 	11/03/2015	  
	 NCR Corporation
	  	Utility	  	Navigation system and method	  	 	8792911	  	 	 	07/29/2014	  
	 NCR Corporation
	  	Utility	  	Image-based check depositing automated teller machine (ATM) and method of operating an image-based check depositinG ATM	  	 	8783558	  	 	 	07/22/2014	  
	 NCR Corporation
	  	Utility	  	Automated code generation for an automated teller machine	  	 	8832650	  	 	 	09/09/2014	  
	 NCR Corporation
	  	Utility	  	Method of Recognizing a media item	  	 	8611665	  	 	 	12/17/2013	  
	 NCR Corporation
	  	Utility	  	Techniques for generating a product path with custom advertisements	  	 	8788325	  	 	 	07/22/2014	  
	 NCR Corporation
	  	Utility	  	Card reader device	  	 	8733653	  	 	 	05/27/2014	  
	 NCR Corporation
	  	Utility	  	Self-service terminal management	  	 	8870064	  	 	 	10/28/2014	  

													
	 Registered Owner
	  	 Type
	  	 Title
	  	Patent No.	 	 	Reg. Date	 
	 NCR Corporation
	  	Utility	  	Apparatus, system and method for controlling the flow of customers	  	 	8762207	  	 	 	06/24/2014	  
	 NCR Corporation
	  	Utility	  	System and method for remotely dispensing media discs	  	 	8965570	  	 	 	04/28/2015	  
	 NCR Corporation
	  	Utility	  	Terminal	  	 	9019066	  	 	 	07/28/2015	  
	 NCR Corporation
	  	Utility	  	Two-sided thermal print sensing	  	 	8670009	* 	 	 	03/11/2014	  
	 NCR Corporation
	  	Utility	  	Two-sided thermal print switch	  	 	8721202	* 	 	 	05/13/2014	  
	 NCR Corporation
	  	Utility	  	Dual-sided thermal pharmacy script printing	  	 	9024986	* 	 	 	05/05/2015	  
	 NCR Corporation
	  	Utility	  	Remote self service facilities administration system	  	 	9106613	  	 	 	08/11/2015	  
	 NCR Corporation
	  	Utility	  	Using biometric tokens to pre-stage and complete transactions	  	 	9141956	  	 	 	09/22/2015	  
	 NCR Corporation
	  	Utility	  	Accessing a processing device	  	 	8875282	  	 	 	10/28/2014	  
	 NCR Corporation
	  	Utility	  	Heat-activated linerless label	  	 	8764323	* 	 	 	07/01/2014	  
	 NCR Corporation
	  	Utility	  	Item verification apparatus and method	  	 	9014845	  	 	 	04/21/2015	  
	 NCR Corporation
	  	Utility	  	Apparatus for fanfolding media	  	 	8707898	* 	 	 	04/29/2014	  
	 NCR Corporation
	  	Utility	  	Method, system, and apparatus for a multiple path image scanner	  	 	9087248	  	 	 	07/21/2015	  
	 NCR Corporation
	  	Utility	  	Window suppression	  	 	8938689	  	 	 	01/20/2015	  
	 NCR Corporation
	  	Utility	  	Techniques for assisted self checkout	  	 	9053473	  	 	 	06/09/2015	  
	 NCR Corporation
	  	Utility	  	Produce transaction system and method including a scale and a computer separate from a checkout computer	  	 	8796564	  	 	 	08/05/2014	  
	 NCR Corporation
	  	Utility	  	Vehicle rental transaction system and method	  	 	8719155	  	 	 	05/06/2014	  
	 NCR Corporation
	  	Utility	  	Self-service checkout pay station located remote from a produce weighing scale and methods of operating such a self-service checkout pay station	  	 	9076170	  	 	 	07/07/2015	  
	 Inventors
	  	Utility	  	Self-service terminal and configurable screen therefor	  	 	8922498	  	 	 	12/30/2014	  
	 NCR Corporation
	  	Utility	  	Personalized kiosk	  	 	8793588	  	 	 	07/29/2014	  
	 NCR Corporation
	  	Utility	  	Transaction terminal	  	 	8928600	  	 	 	01/06/2015	  
	 NCR Corporation
	  	Utility	  	Digital storage media dispensing device	  	 	8818902	  	 	 	08/26/2014	  
	 NCR Corporation
	  	Utility	  	Accessing a secure terminal	  	 	8850181	  	 	 	09/30/2014	  
	 NCR Corporation
	  	Utility	  	Item identification device antenna	  	 	9251390	  	 	 	02/02/2016	  
	 Inventors
	  	Utility	  	Digital receipt reading device, software and method of digital receipt reading	  	 	8668141	  	 	 	03/11/2014	  
	 Inventors
	  	Utility	  	Magnetic sensor	  	 	9000759	  	 	 	04/07/2015	  
	 NCR Corporation
	  	Utility	  	Sensing system for a media presenter	  	 	8912479	  	 	 	12/16/2014	  
	 Inventors
	  	Utility	  	Peer to peer diagnostic tool	  	 	9020886	  	 	 	04/28/2015	  
	 NCR Corporation
	  	Utility	  	Methods to improve automated check-in	  	 	8626120	  	 	 	01/07/2014	  
	 NCR Corporation
	  	Utility	  	Entertainment kiosk error handling and troubleshooting method	  	 	8612807	  	 	 	12/17/2013	  
	 NCR Corporation
	  	Utility	  	Techniques for automating rental car transactions	  	 	8912883	  	 	 	12/16/2014	  
	 NCR Corporation
	  	Utility	  	Centralized user preference management for electronic decision making devices	  	 	9021363	  	 	 	04/28/2015	  
	 NCR Corporation
	  	Utility	  	Digital media kiosk	  	 	9053600	  	 	 	06/09/2015	  
	 NCR Corporation
	  	Utility	  	Secure digital download storage device	  	 	8826409	  	 	 	09/02/2014	  
	 Inventors
	  	Utility	  	Media transport module	  	 	9248991	  	 	 	02/02/2016	  
	 NCR Corporation
	  	Utility	  	Methods of managing loads on a plurality of secondary data servers whose workflows are controlled by a primary control server	  	 	8868730	  	 	 	10/21/2014	  
	 NCR Corporation
	  	Utility	  	Travel kiosk	  	 	8827162	  	 	 	09/09/2014	  
	 NCR Corporation
	  	Utility	  	Fraud prevention	  	 	8915434	  	 	 	12/23/2014	  
	 NCR Corporation
	  	Utility	  	Fraud prevention	  	 	8704633	  	 	 	04/22/2014	  
	 NCR Corporation
	  	Utility	  	Automatic print failure detection and correction	  	 	8879085	* 	 	 	11/04/2014	  

													
	 Registered Owner
	  	 Type
	  	 Title
	  	Patent No.	 	 	Reg. Date	 
	 NCR Corporation
	  	Utility	  	Cable manager	  	 	9190816	  	 	 	11/17/2015	  
	 NCR Corporation
	  	Utility	  	Media cassette	  	 	8668194	  	 	 	03/11/2014	  
	 NCR Corporation
	  	Utility	  	Self-service terminal	  	 	9082114	  	 	 	07/14/2015	  
	 NCR Corporation
	  	Utility	  	Techniques for interoperability between barcodes and near field communications	  	 	8831511	  	 	 	09/09/2014	  
	 NCR Corporation
	  	Utility	  	Perforated, combined receipt and label roll	  	 	9082321	* 	 	 	07/14/2015	  
	 NCR Corporation
	  	Utility	  	Unit of a media depository	  	 	8622295	  	 	 	01/07/2014	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for control of an imaging scanner	  	 	8950672	  	 	 	02/10/2015	  
	 NCR Corporation
	  	Utility	  	Condition determining	  	 	8727336	  	 	 	05/20/2014	  
	 NCR Corporation
	  	Utility	  	Media depository	  	 	8757356	  	 	 	06/24/2014	  
	 NCR Corporation
	  	Utility	  	System and method of securely delivering and verifying a mobile boarding pass	  	 	8672221	  	 	 	03/18/2014	  
	 NCR Corporation
	  	Utility	  	Apparatus, method and system for determining the source of an optical code presentated to an optical code scanner	  	 	8622299	  	 	 	01/07/2014	  
	 NCR Corporation
	  	Utility	  	Scanner, method and system for processing images in an imaging based optical code scanner	  	 	8967473	  	 	 	03/03/2015	  
	 NCR Corporation
	  	Utility	  	Techniques for real-time customer preference learning	  	 	8832008	  	 	 	09/09/2014	  
	 NCR Corporation
	  	Utility	  	Linerless label media	  	 	8852703	* 	 	 	10/07/2014	  
	 Inventors
	  	Utility	  	Methods of operating an image-based check processing system to detect a double feed condition of carrier envelopes and an apparatus therefor	  	 	8625877	  	 	 	01/07/2014	  
	 NCR Corporation
	  	Utility	  	Media dispensing	  	 	8800863	  	 	 	08/12/2014	  
	 NCR Corporation
	  	Utility	  	Methods and systems for predicting a fault	  	 	9081656	  	 	 	07/14/2015	  
	 NCR Corporation
	  	Utility	  	Methods and systems for scheduling a predicted fault service call	  	 	9183518	  	 	 	11/10/2015	  
	 NCR Corporation
	  	Utility	  	Item removal	  	 	8991694	  	 	 	03/31/2015	  
	 NCR Corporation
	  	Utility	  	Foreign body detecting	  	 	9098963	  	 	 	08/04/2015	  
	 NCR Corporation
	  	Utility	  	Media conveying	  	 	9159180	  	 	 	10/13/2015	  
	 NCR Corporation
	  	Utility	  	Guiding pathway	  	 	8608056	  	 	 	12/17/2013	  
	 NCR Corporation
	  	Utility	  	Foreign body detecting	  	 	9176100	  	 	 	11/03/2015	  
	 NCR Corporation
	  	Utility	  	Item transportation	  	 	8662284	  	 	 	03/04/2014	  
	 NCR Corporation
	  	Utility	  	Belt supporting	  	 	9145257	  	 	 	09/29/2015	  
	 NCR Corporation
	  	Utility	  	Automatic image processing for document de-skewing and cropping	  	 	8903173	  	 	 	12/02/2014	  
	 NCR Corporation
	  	Utility	  	Methods and Apparatus for Audio Input for Customization of Digital Displays	  	 	8756060	  	 	 	06/17/2014	  
	 NCR Corporation
	  	Utility	  	Document stacking	  	 	8777222	  	 	 	07/15/2014	  
	 NCR Corporation
	  	Utility	  	Apparatus, method and system for generating an optical code with authenticatable information	  	 	9250116	  	 	 	02/02/2016	  
	 NCR Corporation
	  	Utility	  	Managing code-tracing data	  	 	8972791	  	 	 	03/03/2015	  
	 NCR Corporation
	  	Utility	  	Proximity detection for kiosk payment	  	 	8810358	  	 	 	08/19/2014	  
	 NCR Corporation
	  	Utility	  	Digital media transaction kiosk and method	  	 	8626339	  	 	 	01/07/2014	  
	 NCR Corporation
	  	Utility	  	Techniques for optimization of barcodes	  	 	8931687	  	 	 	01/13/2015	  
	 NCR Corporation
	  	Utility	  	Techniques for third-party content delivery via a unique mobile application address	  	 	9179306	  	 	 	11/03/2015	  
	 NCR Corporation
	  	Utility	  	Methods of operating an image-based check processing system to detect a double feed condition of checks and an apparatus therefor	  	 	8761487	  	 	 	06/24/2014	  
	 NCR Corporation
	  	Utility	  	Correlation of resources	  	 	9135020	  	 	 	09/15/2015	  
	 NCR Corporation
	  	Utility	  	User interface	  	 	9218129	  	 	 	2/22/2015	  

													
	 Registered Owner
	  	 Type
	  	 Title
	  	Patent No.	 	 	Reg. Date	 
	 NCR Corporation
	  	Utility	  	Method and apparatus for storing a disc	  	 	8783455	  	 	 	07/22/2014	  
	 NCR Corporation
	  	Utility	  	Supervisor program	  	 	8708226	  	 	 	04/29/2014	  
	 NCR Corporation
	  	Utility	  	Apparatus and methods for communicating with a low duty cycle wireless device	  	 	8717346	  	 	 	05/06/2014	  
	 NCR Corporation
	  	Utility	  	Navigation accessibilitly apparatus, method and system	  	 	9013418	  	 	 	04/21/2015	  
	 NCR Corporation
	  	Utility	  	Audio request interaction system	  	 	9183848	  	 	 	11/10/2015	  
	 NCR Corporation
	  	Utility	  	Multi-channel controller	  	 	8666542	  	 	 	03/04/2014	  
	NCR Corporation and Toshiba TEC Kabushiki Kaisha	  	Utility	  	Thermal printer and printing device	  	 	8870483	  	 	 	10/28/2014	  
	NCR Corporation and Toshiba TEC Kabushiki Kaisha	  	Utility	  	Thermal printer and printing device	  	 	8696225	  	 	 	04/15/2014	  
	NCR Corporation and Toshiba TEC Kabushiki Kaisha	  	Utility	  	Thermal printer and printing device	  	 	8870482	  	 	 	10/28/2014	  
	 NCR Corporation
	  	Design	  	Terminal	  	 	D741853	  	 	 	10/27/2015	  
	 NCR Corporation
	  	Utility	  	Secure tag validation	  	 	7262420	  	 	 	8/28/2007	  
	 NCR Corporation
	  	Utility	  	Secure reader for use in data management	  	 	7494062	  	 	 	2/24/2009	  
	 NCR Corporation
	  	Utility	  	Data management	  	 	7845553	  	 	 	12/7/2010	  
	 NCR Corporation
	  	Utility	  	Secure access to encrypted information	  	 	8739305	  	 	 	5/27/2014	  
	 NCR Corporation
	  	Utility	  	Surveillance camera assembly for a checkout system	  	 	9092951	  	 	 	7/28/2015	  
	 NCR Corporation
	  	Utility	  	Systems and methods for facilitating in-aisle scanning	  	 	8851375	  	 	 	10/7/2014	  
	 NCR Corporation
	  	Utility	  	Method for controlling and managing a wireless connection for data communication between a mobile device and a broadband radio network	  	 	9247576	  	 	 	1/26/2016	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for assessing the health of an image capture device in an optical code scanner	  	 	9053373	  	 	 	6/9/2015	  
	 NCR Corporation
	  	Utility	  	Optical code scanner optimized for reading 2D optical codes	  	 	9147095	  	 	 	9/29/2015	  
	 NCR Corporation
	  	Utility	  	Haptic self-service terminal (SST) feedback	  	 	9251676	  	 	 	2/2/2016	  
	 NCR Corporation
	  	Utility	  	Vehicle rental transaction system and method	  	 	9159096	  	 	 	10/13/2015	  
	 NCR Corporation
	  	Utility	  	Operating system (OS) independent application and device communication	  	 	9098362	  	 	 	8/4/2015	  
	 NCR Corporation
	  	Utility	  	Conversion lifting platform	  	 	9155406	  	 	 	10/13/2015	  
	 NCR Corporation
	  	Design	  	Bezel	  	 	D0716171	  	 	 	10/28/2014	  
	 NCR Corporation
	  	Utility	  	Two-side thermal printer	  	 	9056488	* 	 	 	6/16/2015	  
	 NCR Corporation
	  	Utility	  	Receptive layer for thermal transfer printing on cartons	  	 	6607811	* 	 	 	8/19/2003	  
	 NCR Corporation
	  	Utility	  	Produce color data correction method and an apparatus therefor	  	 	8805014	  	 	 	8/12/2014	  
	 NCR Corporation
	  	Utility	  	Techniques for configuring physical spaces	  	 	9176492	  	 	 	11/3/2015	  

  

	II.	Patent Applications 

  

													
	 Registered Owner
	  	 Type
	  	 Title
	  	App. No.	 	 	App. Date	 
	 NCR Corporation
	  	Utility	  	Security module and method of securing payment information	  	 	13/612305	  	 	 	09/12/2012	  
	 Inventors
	  	Utility	  	Promotion verification method	  	 	13/194450	  	 	 	07/29/2011	  
	 NCR Corporation
	  	Utility	  	Linerless combined mailing label and return label and method of manufacturing same	  	 	13/485402	* 	 	 	05/31/2012	  

													
	 Registered Owner
	  	 Type
	  	 Title
	  	App. No.	 	 	App. Date	 
	 NCR Corporation
	  	Utility	  	Techniques for controlling redemption of offers	  	 	13/485081	  	 	 	05/31/2012	  
	 NCR Corporation
	  	Utility	  	Item validation	  	 	13/524423	  	 	 	06/15/2012	  
	 NCR Corporation
	  	Utility	  	Normalized interface for transaction processing systems	  	 	13/537678	  	 	 	06/29/2012	  
	 NCR Corporation
	  	Utility	  	Transaction authorization	  	 	13/546206	  	 	 	07/11/2012	  
	 Inventors7
	  	Utility	  	Techniques for tracking and limiting electronic offers	  	 	13/460834	  	 	 	04/30/2012	  
	 NCR Corporation
	  	Utility	  	Self service retail check out using smart phone	  	 	13/326484	  	 	 	12/15/2011	  
	 NCR Corporation
	  	Utility	  	Digital media rental and return kiosk having a three-position lockable	  	 	13/194448	  	 	 	07/29/2011	  
	 NCR Corporation
	  	Utility	  	Social network financial portal	  	 	13/178541	  	 	 	07/08/2011	  
	 NCR Corporation
	  	Utility	  	Automatic cleaning at a self-service dispensing device	  	 	13/326545	  	 	 	12/15/2011	  
	 NCR Corporation
	  	Utility	  	Method of operating an image-based self-service check depositing terminal	  	 	13/327340	  	 	 	12/15/2011	  
	 NCR Corporation
	  	Utility	  	Fraud prevention	  	 	13/099826	  	 	 	05/03/2011	  
	 NCR Corporation
	  	Utility	  	Techniques for overlaying a custom interface onto an existing kiosk interface	  	 	13/370055	  	 	 	02/09/2012	  
	 NCR Corporation
	  	Utility	  	Printer with adhesive capabilities	  	 	12/586956	* 	 	 	9/30/2009	  
	 NCR Corporation
	  	Utility	  	System and method for execution of customer-specific marketing, discounts, and promotions	  	 	10/631181	  	 	 	07/31/2003	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for processing check transactions in self service customer checkout terminals	  	 	10/324554	  	 	 	12/20/2002	  
	 NCR Corporation
	  	Utility	  	Techniques to maximize retail traffic	  	 	13/661477	  	 	 	10/26/2012	  
	 NCR Corporation
	  	Utility	  	Non-linear checkout stand	  	 	13/562737	  	 	 	07/31/2012	  
	 NCR Corporation
	  	Utility	  	Mobile point-of-sale (POS) techniques	  	 	13/548889	  	 	 	07/13/2012	  
	 NCR Corporation
	  	Utility	  	Clamping of media items	  	 	13/959271	  	 	 	08/05/2013	  
	 NCR Corporation
	  	Utility	  	Techniques for retail printing	  	 	13/656780	  	 	 	10/22/2012	  
	 NCR Corporation
	  	Utility	  	Techniques for restaurant transaction processing	  	 	13/656037	  	 	 	10/19/2012	  
	 NCR Corporation
	  	Utility	  	Techniques for drive thru mobile ordering	  	 	13/659424	  	 	 	10/24/2012	  
	 NCR Corporation
	  	Utility	  	Techniques for recommending a retailer, retail product, or retail services	  	 	13/665285	  	 	 	10/31/2012	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for injecting advertisements into mobile documents	  	 	13/663711	  	 	 	10/30/2012	  
	 NCR Corporation
	  	Utility	  	Self-service system and method for lodging establishment convenience shops	  	 	13/622772	  	 	 	09/19/2012	  
	 NCR Corporation
	  	Utility	  	Media item characterization	  	 	13/690823	  	 	 	11/30/2012	  
	 NCR Corporation
	  	Utility	  	Customer interaction manager	  	 	13/690690	  	 	 	11/30/2012	  
	 NCR Corporation
	  	Utility	  	Customer interaction manager on a point of sale computer	  	 	13/690806	  	 	 	11/30/2012	  
	 NCR Corporation
	  	Utility	  	Customer interaction manager on a restaurant computer	  	 	13/690896	  	 	 	11/30/2012	  
	 NCR Corporation
	  	Utility	  	Technique for negotiating with a consumer within a retail establishment	  	 	13/688365	  	 	 	11/29/2012	  
	 NCR Corporation
	  	Utility	  	Customer verification	  	 	13/720119	  	 	 	12/19/2012	  
	 NCR Corporation
	  	Utility	  	Self-aligning cover for an SST	  	 	13/718710	  	 	 	12/18/2012	  
	 NCR Corporation
	  	Utility	  	Media count replenishment management	  	 	13/967999	  	 	 	08/15/2013	  
	 NCR Corporation
	  	Utility	  	Transaction flow	  	 	13/595254	  	 	 	08/27/2012	  
	 NCR Corporation
	  	Utility	  	Transaction execution	  	 	13/688345	  	 	 	11/29/2012	  
	 NCR Corporation
	  	Utility	  	Customer interaction manager on a mobile smart device	  	 	13/690742	  	 	 	11/30/2012	  
	 NCR Corporation
	  	Utility	  	Baggage delivery notification system and method	  	 	13753618	  	 	 	01/30/2013	  
	 NCR Corporation
	  	Utility	  	Techniques for advertising	  	 	13/769305	  	 	 	02/16/2013	  
	 NCR Corporation
	  	Utility	  	Techniques for forecasting retail activity	  	 	13/664559	  	 	 	10/31/2012	  

  

	7 	NCR is able to locate an assignment from only one of two inventors. NCR is attempting to contact one of the inventors, who is a former employee, in order to execute and record an assignment. 

													
	 Registered Owner
	  	 Type
	  	 Title
	  	App. No.	 	 	App. Date	 
	 NCR Corporation
	  	Utility	  	Methods and apparatus for providing customer assistance	  	 	13/779964	  	 	 	02/28/2013	  
	 NCR Corporation
	  	Utility	  	Installable secret functions for a peripheral	  	 	13/780160	  	 	 	02/28/2013	  
	 NCR Corporation
	  	Utility	  	Techniques for voucher or rebate redemption	  	 	13/780440	  	 	 	02/28/2013	  
	 NCR Corporation
	  	Utility	  	High tack repositionable adhesives and substrates and methods for their manufacture	  	 	13/828471	* 	 	 	03/14/2013	  
	 NCR Corporation
	  	Utility	  	Detecting fraud using operational parameters for a peripheral	  	 	13/838105	  	 	 	03/15/2013	  
	 NCR Corporation
	  	Utility	  	Combined label for food preparers and food servers in table service restaurants and method of using same	  	 	13/755149	* 	 	 	01/31/2013	  
	 NCR Corporation
	  	Utility	  	Techniques for online price match	  	 	13/755013	  	 	 	01/31/2013	  
	 NCR Corporation
	  	Utility	  	Automatic language recognition	  	 	13/754987	  	 	 	01/31/2013	  
	 NCR Corporation
	  	Utility	  	Encrypting pin pad	  	 	13/899068	  	 	 	05/21/2013	  
	 NCR Corporation
	  	Utility	  	Transaction dispute resolution	  	 	13/869097	  	 	 	04/24/2013	  
	 NCR Corporation
	  	Utility	  	Systems and methods for evaluating fuel pump data	  	 	13/864365	  	 	 	04/17/2013	  
	 NCR Corporation
	  	Utility	  	Counterfeit media detection	  	 	13/711228	  	 	 	12/11/2012	  
	 NCR Corporation
	  	Utility	  	Techniques to custom define transaction sessions	  	 	13/600755	  	 	 	08/31/2012	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for fast item identification	  	 	13/790001	  	 	 	03/08/2013	  
	 NCR Corporation
	  	Utility	  	Headheld scanner and POS display with mobile phone	  	 	13/854211	  	 	 	04/01/2013	  
	 NCR Corporation
	  	Utility	  	Transaction system and method	  	 	14/038161	  	 	 	09/26/2013	  
	 NCR Corporation
	  	Utility	  	Plasticized uv/eb cured coatings	  	 	13/930393	* 	 	 	06/28/2013	  
	 Inventors
	  	Utility	  	Information provision	  	 	13/930554	  	 	 	06/28/2013	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for optimizing optical code scanning	  	 	13/931037	  	 	 	06/28/2013	  
	 NCR Corporation
	  	Utility	  	Techniques for transaction quantity control	  	 	13/755103	  	 	 	01/31/2013	  
	 NCR Corporation
	  	Utility	  	Keypad	  	 	13/926454	  	 	 	06/25/2013	  
	 NCR Corporation
	  	Utility	  	Bunch presentation	  	 	13/753026	  	 	 	01/29/2013	  
	 NCR Corporation
	  	Utility	  	Methods of printing food labels for restaurant food items	  	 	13/780954	  	 	 	02/28/2013	  
	 NCR Corporation
	  	Utility	  	Transaction system and method	  	 	13/838234	  	 	 	03/15/2013	  
	 NCR Corporation
	  	Utility	  	Adaptive reservation processing	  	 	13/836786	  	 	 	03/15/2013	  
	 NCR Corporation
	  	Utility	  	Self-cleaning thermal media and methods of manufacturing thereof	  	 	13/873884	* 	 	 	04/30/2013	  
	 NCR Corporation
	  	Utility	  	Access level management techniques	  	 	13/753733	  	 	 	01/30/2013	  
	 NCR Corporation
	  	Utility	  	Learning a new peripheral using a security provisioning manifest	  	 	13/872252	  	 	 	04/29/2013	  
	 NCR Corporation
	  	Utility	  	High-velocity scanned item distribution method and apparatus	  	 	13/874097	  	 	 	04/30/2013	  
	 NCR Corporation
	  	Utility	  	Media management	  	 	13/897744	  	 	 	05/20/2013	  
	 NCR Corporation
	  	Utility	  	Automated teller machine (atm) having a sidecar and methods of supporting an atm having a sidecar	  	 	13/873963	  	 	 	04/30/2013	  
	 NCR Corporation
	  	Utility	  	Techniques for airport check-in	  	 	13/906395	  	 	 	05/31/2013	  
	 NCR Corporation
	  	Utility	  	Managing media replenishment	  	 	14/013897	  	 	 	08/29/2013	  
	 NCR Corporation
	  	Utility	  	Techniques for channel-independent offer management	  	 	13/601020	  	 	 	08/31/2012	  
	 NCR Corporation
	  	Utility	  	Transaction connection mediator method and apparatus	  	 	13/664975	  	 	 	10/31/2012	  
	 NCR Corporation
	  	Utility	  	Method and apparatus for detecting misidentification of items sold by weight	  	 	13/955855	  	 	 	07/31/2013	  
	 NCR Corporation
	  	Utility	  	Techniques for secure mobile payment	  	 	13/955872	  	 	 	07/31/2013	  
	 NCR Corporation
	  	Utility	  	Techniques for retail location-aware services	  	 	13/955628	  	 	 	07/31/2013	  
	 NCR Corporation
	  	Utility	  	Transaction performance	  	 	13/962375	  	 	 	08/08/2013	  
	 NCR Corporation
	  	Utility	  	Produce and non-produce verification using hybrid scanner	  	 	13/975479	  	 	 	08/26/2013	  
	 Inventors
	  	Utility	  	Combined receipt and label roll having optimal adhesive patch patterns and a method of manuafacturing thereof	  	 	14/038287	* 	 	 	09/26/2013	  

													
	 Registered Owner
	  	 Type
	  	 Title
	  	App. No.	 	  	App. Date	 
	 NCR Corporation
	  	Utility	  	System and method for overriding rule driven automated decisions	  	 	14/066217	  	  	 	10/29/2013	  
	 NCR Corporation
	  	Utility	  	Automated employee management techniques	  	 	14/042529	  	  	 	09/30/2013	  
	 NCR Corporation
	  	Utility	  	Objective metrics measuring value of employees	  	 	14/041582	  	  	 	09/30/2013	  
	 NCR Corporation
	  	Utility	  	Compact point-of-sale system	  	 	14/091007	  	  	 	11/26/2013	  
	 NCR Corporation
	  	Utility	  	Techniques for checkout security using video surveillance	  	 	13/600913	  	  	 	08/31/2012	  
	 NCR Corporation
	  	Utility	  	Whole store scanner	  	 	13/950437	  	  	 	07/25/2013	  
	 NCR Corporation
	  	Utility	  	Self-service system and method of tagging baggage	  	 	13/954433	  	  	 	07/30/2013	  
	 NCR Corporation
	  	Utility	  	Travel check-in method	  	 	13/954495	  	  	 	07/30/2013	  
	 NCR Corporation
	  	Utility	  	Media item separation	  	 	13/955713	  	  	 	07/31/2013	  
	 NCR Corporation
	  	Utility	  	Virtualized ATM	  	 	13/962212	  	  	 	08/08/2013	  
	 NCR Corporation
	  	Utility	  	Flexible financial services terminal and methods of operation	  	 	13/853139	  	  	 	03/29/2013	  
	 Inventors
	  	Utility	  	Techniques for processing customers affected by involunary denial of boarding	  	 	14/038243	  	  	 	09/26/2013	  
	 NCR Corporation
	  	Utility	  	Systems and methods for facilitating location-relevant communication	  	 	14/038477	  	  	 	09/26/2013	  
	 NCR Corporation
	  	Utility	  	Clamping of media items	  	 	14/068629	  	  	 	10/31/2013	  
	 NCR Corporation
	  	Utility	  	Media depository	  	 	14/090407	  	  	 	11/26/2013	  
	 Inventors
	  	Utility	  	System for management of customer self-service terminals	  	 	14/090503	  	  	 	11/26/2013	  
	 NCR Corporation
	  	Utility	  	Method of determining HTTP process information	  	 	13/362133	  	  	 	01/31/2012	  
	 NCR Corporation
	  	Utility	  	Techniques for transacting via an animated assistant	  	 	13/739474	  	  	 	01/11/2013	  
	 NCR Corporation
	  	Utility	  	Personal teller system and method of remote interactive and personalized banking	  	 	12/881958	  	  	 	09/14/2010	  
	 NCR Corporation
	  	Utility	  	Self-service terminal	  	 	11/006983	  	  	 	12/08/2004	  
	 Inventors
	  	Utility	  	Assisted service terminal	  	 	12/951503	  	  	 	11/22/2010	  
	 NCR Corporation
	  	Utility	  	Advanced personal media player	  	 	13/099434	  	  	 	05/03/2011	  
	 NCR Corporation
	  	Utility	  	Methods and system for processing customers through a point-of-sale system having a multiple-item price scanning apparatus	  	 
 	PCT/
US2013/050750	 
  	  	 	07/16/2013	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for transfer of content to a self contained wireless media device	  	 	12/627281	  	  	 	11/30/2009	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for promotional display of images of products presented for entry into purchase transactions	  	 	12/606612	  	  	 	10/27/2009	  
	 NCR Corporation
	  	Utility	  	System and method of managing customer information	  	 	12/508998	  	  	 	07/24/2009	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for self service transactions from multiple vendors	  	 	12/498414	  	  	 	07/07/2009	  
	 NCR Corporation
	  	Utility	  	Transaction station with enhanced user interface	  	 	12/359460	  	  	 	01/26/2009	  
	 NCR Corporation
	  	Utility	  	State-driven self-service terminal	  	 	12/749840	  	  	 	03/30/2010	  
	 NCR Corporation
	  	Utility	  	Methods to access product placement data	  	 	12/751313	  	  	 	03/31/2010	  
	 Inventor
	  	Utility	  	Visual access token	  	 	12/955516	  	  	 	11/29/2010	  
	 NCR Corporation
	  	Utility	  	Controllable Kiosk Return Gate	  	 	12/952582	  	  	 	11/23/2010	  
	 NCR Corporation
	  	Utility	  	Platform and method for integrating services in a terminal or kiosk	  	 	12/956673	  	  	 	11/30/2010	  
	 NCR Corporation
	  	Utility	  	Digital receipt generation apparatus, software and method	  	 	12/977145	  	  	 	12/23/2010	  
	 Inventors
	  	Utility	  	Updating serialized objects	  	 	13/052421	  	  	 	03/21/2011	  
	 Inventor
	  	Utility	  	Selection of relevant advertising for anonymous customers	  	 	13/069949	  	  	 	03/23/2011	  
	 NCR Corporation
	  	Utility	  	Currency tracking	  	 	13/562814	  	  	 	07/31/2012	  

													
	 Registered Owner
	  	 Type
	  	 Title
	  	App. No.	 	  	App. Date	 
	 NCR Corporation
	  	Utility	  	Printer operation	  	 	13/568919	  	  	 	08/07/2012	  
	 NCR Corporation
	  	Utility	  	Techniques for deployment of universal promotion conditions for offer evaluations	  	 	13/601263	  	  	 	08/31/2012	  
	 NCR Corporation
	  	Utility	  	Apparatus and method for currency tracking	  	 	13/686508	  	  	 	11/27/2012	  
	 NCR Corporation
	  	Utility	  	Systems and methods for facilitating credit card application transactions	  	 	13/722059	  	  	 	12/20/2012	  
	 NCR Corporation
	  	Utility	  	Secure provisioning manifest for controlling peripherals attached to a computer	  	 	13/732088	  	  	 	12/31/2012	  
	 NCR Corporation
	  	Utility	  	Techniques for credit card processing	  	 	13/909140	  	  	 	06/04/2013	  
	 NCR Corporation
	  	Utility	  	Module mounting	  	 	13/718579	  	  	 	2/18/2012	  
	 NCR Corporation
	  	Utility	  	Cassette replenishment	  	 	13/562790	  	  	 	07/31/2012	  
	 NCR Corporation
	  	Utility	  	Display position offset	  	 	13/663166	  	  	 	10/29/2012	  
	 NCR Corporation
	  	Utility	  	Device for management of personal data	  	 	12/329191	  	  	 	12/05/2008	  
	 NCR Corporation
	  	Utility	  	Interaction method between an attendant computer and a self-service computer	  	 	12/425752	  	  	 	04/17/2009	  
	 NCR Corporation
	  	Utility	  	Techniques for location-based promotion evaluation	  	 	13/222402	  	  	 	08/31/2011	  
	 NCR Corporation
	  	Utility	  	Techniques for collaborative shopping	  	 	13/222127	  	  	 	08/31/2011	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for stored value token creation	  	 	12/606430	  	  	 	10/27/2009	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for dispensing recorded content	  	 	12/627370	  	  	 	11/30/2009	  
	 NCR Corporation
	  	Utility	  	Self-service computer with dynamic interface	  	 	12/569283	  	  	 	09/29/2009	  
	 NCR Corporation
	  	Utility	  	Secure enclosure	  	 	12/621770	  	  	 	11/19/2009	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for managing stored cash value for use in gaming transactions	  	 	12/645536	  	  	 	12/23/2009	  
	 NCR Corporation
	  	Utility	  	Techniques for automated teller machine (ATM) transactions	  	 	13/296359	  	  	 	11/15/2011	  
	 NCR Corporation
	  	Utility	  	Financial services center	  	 	13/413200	  	  	 	03/06/2012	  
	 NCR Corporation
	  	Utility	  	Automatic graphical user interface creation	  	 	13/362850	  	  	 	01/31/2012	  
	 NCR Corporation
	  	Utility	  	Methods of processing check image data from a remote deposit capture device to detect a duplicate check deposit	  	 	13/362207	  	  	 	01/31/2012	  
	 NCR Corporation
	  	Utility	  	Techniques for visually conducting transactions	  	 	13/285386	  	  	 	10/31/2011	  
	 NCR Corporation
	  	Utility	  	Techniques for automating a retail transaction	  	 	13/299702	  	  	 	11/18/2011	  
	 NCR Corporation
	  	Utility	  	Techniques for customer identification with automated transactions	  	 	13/285364	  	  	 	10/31/2011	  
	 NCR Corporation
	  	Utility	  	Techniques for automated transactions	  	 	13/285359	  	  	 	10/31/2011	  
	 NCR Corporation
	  	Utility	  	Network-based self-checkout	  	 	13/428623	  	  	 	03/23/2012	  
	 NCR Corporation
	  	Utility	  	Integrated scanner, scale, and touchscreen display	  	 	13/435430	  	  	 	03/30/2012	  
	 NCR Corporation
	  	Utility	  	Techniques for customized deployment of offers	  	 	13/434936	  	  	 	03/30/2012	  
	 NCR Corporation
	  	Utility	  	Travel information system	  	 	13/746030	  	  	 	01/21/2013	  
	 NCR Corporation
	  	Utility	  	Ticketless system and method of managing casino patron money balances	  	 	12/620714	  	  	 	11/18/2009	  
	 NCR Corporation
	  	Utility	  	Interactive display	  	 	12/512457	  	  	 	07/30/2009	  
	 NCR Corporation
	  	Utility	  	Data management	  	 	11/961182	  	  	 	12/20/2007	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for product price verification and information display	  	 	12/497080	  	  	 	07/02/2009	  
	 NCR Corporation
	  	Utility	  	Computer-implemented methods of identifying an optical character recognition (ocr) font to assist an operator in setting up a bank remittance coupon application	  	 	12/491771	  	  	 	06/25/2009	  
	 NCR Corporation
	  	Utility	  	Imaging system	  	 	12/582312	  	  	 	10/20/2009	  
	 Inventors
	  	Utility	  	Produce recognition method	  	 	12/902304	  	  	 	10/12/2010	  
	 NCR Corporation
	  	Utility	  	Sustained authentication of a customer in a physical environment	  	 	12/004350	  	  	 	12/20/2007	  

													
	 Registered Owner
	  	 Type
	  	 Title
	  	App. No.	 	 	App. Date	 
	 NCR Corporation
	  	Utility	  	Methods of processing data captured during a deposit transaction conducted at an image-based self-service check depositing terminal	  	 	12/004362	  	 	 	12/20/2007	  
	 NCR Corporation
	  	Utility	  	Methods of operating a self-service check depositing terminal to provide a check deposit transaction receipt	  	 	12/077798	  	 	 	03/21/2008	  
	 NCR Corporation
	  	Utility	  	Operator methods for a centralized keying and balancing site and a number of remote image-based check processing sites	  	 	12/074955	  	 	 	03/07/2008	  
	 NCR Corporation
	  	Utility	  	LumID barcode format	  	 	12/100058	  	 	 	04/09/2008	  
	 NCR Corporation
	  	Utility	  	Computer-implemented methods of processing payments for a merchant selling goods or services to a consumer	  	 	12/512340	  	 	 	07/30/2009	  
	 NCR Corporation
	  	Utility	  	Self-service terminal	  	 	12/004366	  	 	 	12/20/2007	  
	 NCR Corporation
	  	Utility	  	Wireless diagnostic download	  	 	11/585643	  	 	 	10/24/2006	  
	 NCR Corporation
	  	Utility	  	Scattered storage	  	 	12/148455	  	 	 	04/18/2008	  
	 NCR Corporation
	  	Utility	  	Device management portal, system and method	  	 	12/004356	  	 	 	12/20/2007	  
	 NCR Corporation
	  	Utility	  	Autorejecting spliced document product	  	 	11/356357	* 	 	 	02/16/2006	  
	 NCR Corporation
	  	Utility	  	Method and system for automated teller machine configuration	  	 	11/327943	  	 	 	01/09/2006	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for inventory and price information management	  	 	11/866642	  	 	 	10/03/2007	  
	 NCR Corporation
	  	Utility	  	Self-service terminal	  	 	11/315900	  	 	 	12/22/2005	  
	 NCR Corporation
	  	Utility	  	System and method for interacting with a self-service terminal	  	 	11/821124	  	 	 	06/22/2007	  
	 NCR Corporation
	  	Utility	  	Self-service system with user interface positioning	  	 	12/697469	  	 	 	02/01/2010	  
	 NCR Corporation
	  	Utility	  	Selecting a mix of denominations	  	 	12/700934	  	 	 	02/05/2010	  
	 NCR Corporation
	  	Utility	  	Techniques for self adjusting kiosk display information	  	 	12/800868	  	 	 	05/25/2010	  
	 NCR Corporation
	  	Utility	  	Self-service terminal	  	 	12/784598	  	 	 	05/21/2010	  
	 NCR Corporation
	  	Utility	  	Secure authentication at a self-service terminal	  	 	12/787654	  	 	 	05/26/2010	  
	 NCR Corporation
	  	Utility	  	Payment card reader apparatus and method of operating a payment card reader apparatus	  	 	12/817450	  	 	 	06/17/2010	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for self-service checkout	  	 	12/825467	  	 	 	06/29/2010	  
	 NCR Corporation
	  	Utility	  	Point of sale virtual customer session	  	 	12/847435	  	 	 	07/30/2010	  
	 NCR Corporation
	  	Utility	  	Transaction system which combines vehicle battery charging with other services	  	 	12/861250	  	 	 	08/23/2010	  
	 NCR Corporation
	  	Utility	  	Self-service terminal	  	 	12/861290	  	 	 	08/23/2010	  
	 NCR Corporation
	  	Utility	  	Enrollment for electronic banking services	  	 	12/880212	  	 	 	09/13/2010	  
	 Inventor
	  	Utility	  	Updating multi-media content in a digital download kiosk	  	 	12/881222	  	 	 	09/14/2010	  
	 Inventor
	  	Utility	  	Multi-media content at a digital download kiosk	  	 	12/881225	  	 	 	09/14/2010	  
	 Inventors
	  	Utility	  	System and method of managing unavailable items in shared screen data	  	 	12/900598	  	 	 	10/08/2010	  
	 NCR Corporation
	  	Utility	  	Tangible storage media access management	  	 	12/915276	  	 	 	10/29/2010	  
	 NCR Corporation
	  	Utility	  	System, method and apparatus for implementing an improved user interface	  	 	12/956072	  	 	 	11/30/2010	  
	 Inventor
	  	Utility	  	System, method and apparatus for implementing an improved user interface on a kiosk	  	 	12/956438	  	 	 	11/30/2010	  
	 Inventors
	  	Utility	  	System, method and apparatus for implementing an improved user interface on a terminal	  	 	12/956488	  	 	 	11/30/2010	  
	 NCR Corporation
	  	Utility	  	Using exception information	  	 	12/958001	  	 	 	12/01/2010	  
	 NCR Corporation
	  	Utility	  	Automatic selection at a self-service dispensing device	  	 	12/963699	  	 	 	12/09/2010	  
	 NCR Corporation
	  	Utility	  	Dynamic security for a self-checkout terminal	  	 	12/972702	  	 	 	12/20/2010	  
	 NCR Corporation
	  	Utility	  	Techniques for conducting single or limited use purchases via a mobile device	  	 	12/913974	  	 	 	10/28/2010	  
	 NCR Corporation
	  	Utility	  	Trip monitoring and inferential location based services	  	 	12/924827	  	 	 	10/06/2010	  

													
	 Registered Owner
	  	 Type
	  	 Title
	  	App. No.	 	 	App. Date	 
	 NCR Corporation
	  	Utility	  	Techniques for automated profile-based transaction processing	  	 	12/924841	  	 	 	10/06/2010	  
	 NCR Corporation
	  	Utility	  	Customized kiosk modes of operation	  	 	12/913415	  	 	 	10/27/2010	  
	 NCR Corporation
	  	Utility	  	Information access management	  	 	12/955099	  	 	 	11/29/2010	  
	 NCR Corporation
	  	Utility	  	Techniques for secure credit card transactions	  	 	12/956717	  	 	 	11/30/2010	  
	 NCR Corporation
	  	Utility	  	Standardizing Point of sale services and leveraging instances of the PLU data	  	 	13/250741	  	 	 	09/30/2011	  
	 Inventors
	  	Utility	  	Wireless communication device	  	 	13/023633	  	 	 	02/09/2011	  
	 NCR Corporation
	  	Utility	  	Advertising with digital media content	  	 	12/953594	  	 	 	11/24/2010	  
	 NCR Corporation
	  	Utility	  	Rotary storage	  	 	13/095002	  	 	 	04/27/2011	  
	 NCR Corporation
	  	Utility	  	Techniques for integrating social networking rewards with the retail checkout process	  	 	13/173390	  	 	 	06/30/2011	  
	 NCR Corporation
	  	Utility	  	Techniques for personalizing self checkouts	  	 	13/173998	  	 	 	06/30/2011	  
	 NCR Corporation
	  	Utility	  	Security kiosk	  	 	13/194149	  	 	 	07/29/2011	  
	 NCR Corporation
	  	Utility	  	Value management system	  	 	13/193852	  	 	 	07/29/2011	  
	 Inventor
	  	Utility	  	System and method of wirelessly downloading digital media items	  	 	13/222068	  	 	 	08/31/2011	  
	 NCR Corporation
	  	Utility	  	Methods and apparatus for downloading digital content	  	 	13/222024	  	 	 	08/31/2011	  
	 NCR Corporation
	  	Utility	  	Hybrid optical code scanner user alert	  	 	13/245939	  	 	 	09/27/2011	  
	 NCR Corporation
	  	Utility	  	Time multiplexing POS for INAisle scanning	  	 	13/250392	  	 	 	09/30/2011	  
	 NCR Corporation
	  	Utility	  	Session transfer	  	 	13/285685	  	 	 	10/31/2011	  
	 NCR Corporation
	  	Utility	  	Roll of pre-printed stamp label stock and method of manufacturing a roll of pre-printed stamp label stock	  	 	13/285937	* 	 	 	10/31/2011	  
	 Inventor
	  	Utility	  	Point-of-sale (pos) direct support of self-checkout	  	 	13/334253	  	 	 	12/22/2011	  
	 NCR Corporation
	  	Utility	  	Techniques for real-time offer evaluations	  	 	13/334269	  	 	 	12/22/2011	  
	 NCR Corporation
	  	Utility	  	Scanner, terminal and method for reading an optical code with authenticatable information	  	 	13/308150	  	 	 	11/30/2011	  
	 NCR Corporation
	  	Utility	  	Frequency switching	  	 	13/402981	  	 	 	02/23/2012	  
	 NCR Corporation
	  	Utility	  	Data transfer between devices	  	 	13/474292	  	 	 	05/17/2012	  
	 NCR Corporation
	  	Utility	  	System and Method for Ordering Items	  	 	13/533599	  	 	 	06/26/2012	  
	 NCR Corporation
	  	Utility	  	Apparatus and method of completing payment during a transaction	  	 	13/301504	  	 	 	11/21/2011	  
	 Investors
	  	Utility	  	Automated business system and method of vending and returning a consumer product	  	 	12/328146	  	 	 	12/04/2008	  
	 Inventors
	  	Utility	  	Automated business system and method of vending and returning a consumer product	  	 	12/328459	  	 	 	12/04/2008	  
	 Inventors
	  	Utility	  	Automated business system and method of vending and returning a consumer product	  	 	10/866387	  	 	 	06/11/2004	  
	 NCR Corporation
	  	Utility	  	Method of operating a self-service terminal to provide on-demand postage stamp labels to a postage stamp buyer and a self-service terminal therefor	  	 	13/102803	* 	 	 	05/06/2011	  
	 NCR Corporation
	  	Utility	  	System and method of managing promotions of different goods or services at lodging establishments	  	 	13/273799	  	 	 	10/14/2011	  
	 NCR Corporation
	  	Utility	  	Check-in system and method for lodging establishments	  	 	13/275788	  	 	 	10/18/2011	  
	 NCR Corporation
	  	Utility	  	Media and fuel dispensing apparatus and method	  	 	13/299860	  	 	 	11/18/2011	  
	 NCR Corporation
	  	Utility	  	Pay at pump encryption device	  	 	13/116146	  	 	 	5/26/2011	  
	 NCR Corporation
	  	Utility	  	Secure remote maintenance and support system, method, network entity and computer program product	  	 	12/349945	  	 	 	01/07/2009	  
	NCR Corporation and Toshiba Tec Kabushiki Kaisha	  	Utility	  	Printer	  	 	12/497932	  	 	 	07/06/2009	  

													
	 Registered Owner
	  	 Type
	  	 Title
	  	App. No.	 	 	App. Date	 
	NCR Corporation and Toshiba Tec Kabushiki Kaisha	  	Utility	  	Printer	  	 	12/497950	  	 	 	07/06/2009	  
	NCR Corporation and Toshiba Tec Kabushiki Kaisha	  	Utility	  	Printer	  	 	12/497944	  	 	 	07/06/2009	  
	 NCR Corporation
	  	Utility	  	Image capture transaction payment	  	 	14/132985	  	 	 	12/18/2013	  
	 NCR Corporation
	  	Utility	  	Event notification	  	 	14/134391	  	 	 	12/19/2013	  
	 NCR Corporation
	  	Utility	  	Consumer Progress Monitoring	  	 	14/134667	  	 	 	12/19/2013	  
	 Inventors
	  	Utility	  	Problem resolution validation	  	 	14/136971	  	 	 	12/20/2013	  
	 Inventors
	  	Utility	  	Onsite automated customer assistance	  	 	14/133128	  	 	 	12/18/2013	  
	 NCR Corporation
	  	Utility	  	Media presenter	  	 	14/134266	  	 	 	12/19/2013	  
	 NCR Corporation
	  	Utility	  	Imaging optical code scanner with camera regions	  	 	14/103394	  	 	 	12/11/2013	  
	 NCR Corporation
	  	Utility	  	Sensing of media items	  	 	14/136735	  	 	 	12/20/2013	  
	 Inventor
	  	Utility	  	Check-in method	  	 	14/134327	  	 	 	12/19/2013	  
	 NCR Corporation
	  	Utility	  	Media replenishment management	  	 	14/134201	  	 	 	12/19/2013	  
	 Inventors
	  	Utility	  	Media identification	  	 	14/142981	  	 	 	12/30/2013	  
	 NCR Corporation
	  	Utility	  	Single Item Removal	  	 	13/285854	  	 	 	10/31/2011	  
	 NCR Corporation
	  	Utility	  	System And Method For Associating Discounts With Payment Options	  	 	13/495530	  	 	 	6/13/2012	  
	 NCR Corporation
	  	Utility	  	Method And Apparatus For Zeroing A Weigh Scale	  	 	14/036935	  	 	 	9/25/2013	  
	 NCR Corporation
	  	Utility	  	Mobile Device Conduit For A Transaction Device	  	 	14/068757	  	 	 	10/31/2013	  
	 NCR Corporation
	  	Utility	  	Mobile Device Assisted Service	  	 	14/135953	  	 	 	12/20/2013	  
	 NCR Corporation
	  	Utility	  	Mobile Proximity-Based Analytics	  	 	14/136390	  	 	 	12/20/2013	  
	 NCR Corporation,

Law Dept.
	  	Utility	  	Visual Customer Identification	  	 	14/136640	  	 	 	12/20/2013	  
	 NCR Corporation
	  	Utility	  	Promotion Conflict Resolution	  	 	14/136665	  	 	 	12/20/2013	  
	 NCR Corporation
	  	Utility	  	Methods And Apparatus For Item Identification Using Brightness Compensation	  	 	14/165657	  	 	 	1/28/2014	  
	 NCR Corporation
	  	Utility	  	Out-Of-Band Monitoring And Managing Of Self-Service Terminals (Ssts)	  	 	14/169537	  	 	 	1/31/2014	  
	 NCR Corporation
	  	Utility	  	Media Item Re-Orientation	  	 	14/169692	  	 	 	1/31/2014	  
	 NCR Corporation
	  	Utility	  	Split Atm Booth And Method Of Performing Banking Transactions Therein	  	 	14/169756	  	 	 	1/31/2014	  
	 NCR Corporation
	  	Utility	  	Powering A Self-Service Terminal	  	 	14/169835	  	 	 	1/31/2014	  
	 NCR Corporation
	  	Utility	  	Maintaining Secure Access To A Self-Service Terminal (SST)	  	 	14/169845	  	 	 	1/31/2014	  
	 NCR Corporation
	  	Utility	  	Techniques For Kiosk Transactions	  	 	14/169919	  	 	 	1/31/2014	  
	 NCR Corporation
	  	Utility	  	System And Method For Reducing A Processing Time For A Bank Transaction	  	 	14/170066	  	 	 	1/31/2014	  
	 NCR Corporation
	  	Utility	  	Polling Statement Feedback System And Methods	  	 	14/170183	  	 	 	1/31/2014	  
	 NCR Corporation
	  	Utility	  	Interactive Self-Service (Ss) Display	  	 	14/184162	  	 	 	2/19/2014	  
	 NCR Corporation
	  	Utility	  	Tamper Detection System And Method	  	 	14/190896	  	 	 	2/26/2014	  
	 NCR Corporation
	  	Utility	  	Extensible Self-Service Terminal (Sst) Server	  	 	14/192079	  	 	 	2/27/2014	  
	 NCR Corporation
	  	Utility	  	Adhesive Label With Water-Based Release Coating	  	 	14/192997	* 	 	 	2/28/2014	  
	 NCR Corporation
	  	Utility	  	Self-Service Terminal (Sst) Backups And Rollbacks	  	 	14/193045	  	 	 	2/28/2014	  
	 NCR Corporation
	  	Utility	  	Methods And Apparatus For Determining Dimensions Of An Item Using 3-Dimensional Triangulation	  	 	14/193261	  	 	 	2/28/2014	  
	 NCR Corporation
	  	Utility	  	Unified Channel Management	  	 	14/193392	  	 	 	2/28/2014	  
	 NCR Corporation
	  	Utility	  	Unattended Secure Device Authorization	  	 	14/193493	  	 	 	2/28/2014	  
	 NCR Corporation
	  	Utility	  	Self-Service Terminal (Sst) Device Driver	  	 	14/193668	  	 	 	2/28/2014	  
	 NCR Corporation
	  	Utility	  	End-To-End Device Authentication	  	 	14/193967	  	 	 	2/28/2014	  
	 NCR Corporation
	  	Utility	  	Self-Service Terminal (Sst) Thin Client	  	 	14/194081	  	 	 	2/28/2014	  
	 NCR Corporation
	  	Utility	  	Systems And Methods For Facilitating Closing Of A Check	  	 	14/206708	  	 	 	3/12/2014	  

													
	 Registered Owner
	  	 Type
	  	 Title
	  	App. No.	 	 	App. Date	 
	 NCR Corporation
	  	Utility	  	System And Method Of Completing An Activity Via An Agent	  	 	14/208956	  	 	 	3/13/2014	  
	 NCR Corporation
	  	Utility	  	Linerless Labels	  	 	14/215776	* 	 	 	3/17/2014	  
	 NCR Corporation
	  	Utility	  	Media Item Validation	  	 	14/224849	  	 	 	3/25/2014	  
	 NCR Corporation,

Law Dept.
	  	Utility	  	Haptic Self-Service Terminal (SST) Feedback	  	 	14/225746	  	 	 	3/26/2014	  
	 NCR Corporation
	  	Utility	  	Imaging Barcode Scanner With Multiple Independent Fields Of View	  	 	14/227813	  	 	 	3/27/2014	  
	 NCR Corporation
	  	Utility	  	Media Escape Prevention For Self-Service Terminal	  	 	14/228858	  	 	 	3/28/2014	  
	 NCR Corporation
	  	Utility	  	Fanfold Media Dust Inhibitor	  	 	14/228898	* 	 	 	3/28/2014	  
	 NCR Corporation
	  	Utility	  	Fanfold Media Dust Inhibitor	  	 	14/228933	* 	 	 	3/28/2014	  
	 NCR Corporation
	  	Utility	  	Semi-Automatic Configuration Of A Self-Service Terminal	  	 	14/229272	  	 	 	3/28/2014	  
	 NCR Corporation
	  	Utility	  	Ncr Direct Connect (Ndc) Flexible State Parameter Extension	  	 	14/229376	  	 	 	3/28/2014	  
	 NCR Corporation
	  	Utility	  	Electronic Payments	  	 	14/230541	  	 	 	3/31/2014	  
	 NCR Corporation
	  	Utility	  	Fraud Detection In Self-Service Terminal	  	 	14/231011	  	 	 	3/31/2014	  
	 NCR Corporation
	  	Utility	  	Automated Attended Self-Service Terminal (Sst) Operations	  	 	14/231055	  	 	 	3/31/2014	  
	 NCR Corporation
	  	Utility	  	Fuel Theft Detection	  	 	14/264855	  	 	 	4/29/2014	  
	 NCR Corporation
	  	Utility	  	Media Item Validation	  	 	14/264860	  	 	 	4/29/2014	  
	 NCR Corporation
	  	Utility	  	Self-Service Terminal (Sst) Secure Boot	  	 	14/265603	  	 	 	4/30/2014	  
	 NCR Corporation
	  	Utility	  	Assisted Approval Of Denied Self-Service Transactions	  	 	14/265784	  	 	 	4/30/2014	  
	 NCR Corporation
	  	Utility	  	Channel Integration	  	 	14/266055	  	 	 	4/30/2014	  
	 NCR Corporation
	  	Utility	  	Inter-Device Self-Service Terminal (Sst) Interactions	  	 	14/266211	  	 	 	4/30/2014	  
	 NCR Corporation
	  	Utility	  	Automated Remote Transaction Assistance	  	 	14/266392	  	 	 	4/30/2014	  
	 NCR Corporation
	  	Utility	  	Techniques For Mobile Transaction Processing	  	 	14/276591	  	 	 	5/13/2014	  
	 NCR Corporation
	  	Utility	  	Techniques For Mobile Transaction Processing	  	 	14/276651	  	 	 	5/13/2014	  
	 NCR Corporation
	  	Utility	  	Adaptive Point-Of-Sale (Pos) Device	  	 	14/278796	  	 	 	5/15/2014	  
	 NCR Corporation
	  	Utility	  	Scanner Automatic Dirty/Clean Window Detection	  	 	14/279397	  	 	 	5/16/2014	  
	 NCR Corporation
	  	Utility	  	Techniques For Mobile Transaction Processing	  	 	14/287180	  	 	 	5/26/2014	  
	 NCR Corporation
	  	Utility	  	Textured Film Overlay For Touch-Sensitive Displays	  	 	14/288425	  	 	 	5/28/2014	  
	 NCR Corporation
	  	Utility	  	Currency Validation	  	 	14/289811	  	 	 	5/29/2014	  
	 NCR Corporation
	  	Utility	  	Operating System (Os) Independent Device Drivers	  	 	14/290091	  	 	 	5/29/2014	  
	 NCR Corporation
	  	Utility	  	Cash Drawer	  	 	14/291041	  	 	 	5/30/2014	  
	 NCR Corporation
	  	Utility	  	Remote Assistance Customer Information	  	 	14/291480	  	 	 	5/30/2014	  
	 NCR Corporation
	  	Utility	  	Deposit Visualization	  	 	14/291553	  	 	 	5/30/2014	  
	 NCR Corporation
	  	Utility	  	Automated Check Deposit Decisions	  	 	14/291630	  	 	 	5/30/2014	  
	 NCR Corporation
	  	Utility	  	High Tack Pressure-Sensitive Adhesive	  	 	14/305665	* 	 	 	6/16/2014	  
	 NCR Corporation
	  	Utility	  	Label With Adhesive And Silicone-Free Release Coating	  	 	14/305719	* 	 	 	6/16/2014	  
	 NCR Corporation
	  	Utility	  	Value Media Dispenser Recognition Systems	  	 	14/312076	  	 	 	6/23/2014	  
	 NCR Corporation
	  	Utility	  	Text-Augmented Interactive Self-Service Terminal Sessions	  	 	14/315923	  	 	 	6/26/2014	  
	 NCR Corporation
	  	Utility	  	Device Information On A Self-Service Terminal	  	 	14/317574	  	 	 	6/27/2014	  
	 NCR Corporation
	  	Utility	  	Techniques For Determining Movement Of A Device Away From A Preferred Location	  	 	14/338702	  	 	 	7/23/2014	  
	 NCR Corporation
	  	Utility	  	Assistance Techniques	  	 	14/338981	  	 	 	7/23/2014	  
	 NCR Corporation
	  	Utility	  	Method Of Obtaining Payment Information Using An Imaging Barcode Scanner	  	 	14/340702	  	 	 	7/25/2014	  
	 NCR Corporation
	  	Utility	  	Customer Check Retrieval	  	 	14/446560	  	 	 	7/30/2014	  
	 NCR Corporation
	  	Utility	  	Automated Fraud Detection	  	 	14/448071	  	 	 	7/31/2014	  
	 NCR Corporation
	  	Utility	  	Dynamic Network Timeout Tuning	  	 	14/448230	  	 	 	7/31/2014	  

													
	 Registered Owner
	  	 Type
	  	 Title
	  	App. No.	 	 	App. Date	 
	 NCR Corporation
	  	Utility	  	Multi-Destination Routing Of Transactions	  	 	14/448403	  	 	 	7/31/2014	  
	 NCR Corporation
	  	Utility	  	Feeder Module With Force Sensing Adjustment	  	 	14/448528	  	 	 	7/31/2014	  
	 NCR Corporation
	  	Utility	  	Shopping Pattern Recognition	  	 	14/468455	  	 	 	8/26/2014	  
	 NCR Corporation
	  	Utility	  	Language Independent Customer Communications	  	 	14/468517	  	 	 	8/26/2014	  
	 NCR Corporation
	  	Utility	  	Security Device Key Management	  	 	14/468770	  	 	 	8/26/2014	  
	 NCR Corporation
	  	Utility	  	Techniques For Completing Pre-Arranged Transactions	  	 	14/469176	  	 	 	8/26/2014	  
	 NCR Corporation
	  	Utility	  	Automatic Scanner Configuration	  	 	14/469696	  	 	 	8/27/2014	  
	 NCR Corporation
	  	Utility	  	Self-Service Terminal (SST) Safe And Methods Of Operating A Lock For The SST Safe	  	 	14/470300	  	 	 	8/27/2014	  
	 NCR Corporation
	  	Utility	  	Techniques For Providing Vouchers	  	 	14/470460	  	 	 	8/27/2014	  
	 NCR Corporation
	  	Utility	  	Device-Enabled Service Handoff And Collaboration	  	 	14/471517	  	 	 	8/28/2014	  
	 NCR Corporation
	  	Utility	  	In-Vehicle Content Systems And Methods	  	 	14/471787	  	 	 	8/28/2014	  
	 NCR Corporation
	  	Utility	  	Automatic Tuning Of Scanner Lighting	  	 	14/472654	  	 	 	8/29/2014	  
	 NCR Corporation
	  	Utility	  	Customer Locating And Delivery	  	 	14/473173	  	 	 	8/29/2014	  
	 NCR Corporation
	  	Utility	  	Systems And Methods Facilitating In-Aisle Scanning	  	 	14/475649	  	 	 	9/3/2014	  
	 NCR Corporation
	  	Utility	  	System And Method Of Connecting A Computer To A Peripheral Of Another Computer	  	 	14/506202	  	 	 	10/3/2014	  
	 NCR Corporation
	  	Utility	  	System And Method Of Using Electronic Funds Transfer To Complete Payment For Goods And Services	  	 	14/506288	  	 	 	10/3/2014	  
	 NCR Corporation
	  	Utility	  	System And Method Of Using Electronic Funds Transfer To Complete Payment For Goods And Services	  	 	14/506324	  	 	 	10/3/2014	  
	 NCR Corporation
	  	Utility	  	Display Location	  	 	14/506799	  	 	 	10/6/2014	  
	 NCR Corporation
	  	Utility	  	Multipurpose Printer	  	 	14/507052	* 	 	 	10/6/2014	  
	 NCR Corporation
	  	Utility	  	Method And System For Managing A Shopping List	  	 	14/609982	  	 	 	1/30/2015	  
	 NCR Corporation
	  	Utility	  	Magnetic Sensor	  	 	14/680208	  	 	 	4/7/2015	  
	 NCR Corporation
	  	Utility	  	Augmented Reality For Assisting Consumer Transactions	  	 	14/680551	  	 	 	4/7/2015	  
	 NCR Corporation
	  	Utility	  	Augmented Reality For Assisting Consumer Transactions	  	 	14/680596	  	 	 	4/7/2015	  
	 NCR Corporation
	  	Utility	  	Augmented Reality For Assisting Consumer Transactions	  	 	14/680633	  	 	 	4/7/2015	  
	 NCR Corporation
	  	Utility	  	Techniques For Automating Self-Service Transactions	  	 	14/705332	  	 	 	5/6/2015	  
	 NCR Corporation
	  	Utility	  	Techniques For Assisted Self Checkout	  	 	14/706064	  	 	 	5/7/2015	  
	 NCR Corporation
	  	Utility	  	Two-Sided Thermal Printer	  	 	14/706225	  	 	 	5/7/2015	  
	 NCR Corporation
	  	Utility	  	Audio Request Interaction System	  	 	14/719653	  	 	 	5/22/2015	  
	 NCR Corporation
	  	Utility	  	Audio Request Interaction System	  	 	14/719660	  	 	 	5/22/2015	  
	 NCR Corporation
	  	Utility	  	Perforated, Combined Receipt And Label Roll	  	 	14/741850	  	 	 	6/17/2015	  
	 NCR Corporation
	  	Utility	  	Techniques For Checking Into A Retail Establishment	  	 	14/751651	  	 	 	6/26/2015	  
	 NCR Corporation
	  	Utility	  	Techniques For Checking Into A Retail Establishment	  	 	14/751685	  	 	 	6/26/2015	  
	 NCR Corporation
	  	Utility	  	Self-Service Check Cashing System And Method	  	 	14/753411	  	 	 	6/29/2015	  
	 NCR Corporation
	  	Utility	  	Secure Collection	  	 	14/862516	  	 	 	9/23/2015	  
	 NCR Corporation
	  	Utility	  	Media Conveying	  	 	14/880336	  	 	 	10/12/2015	  
	 NCR Corporation
	  	Utility	  	Operating A Self Service Terminal As A Virtual Teller	  	 	14/135746	  	 	 	12/20/2013	  
	 NCR Corporation
	  	Utility	  	Signal-to-noise ration signal validation	  	 	14/264888	  	 	 	4/29/2014	  
	 NCR Corporation
	  	Utility	  	Wearable payment processing device	  	 	14/264895	  	 	 	4/29/2014	  
	 NCR CORPORATION
	  	Utility	  	Label with Adhesive and Silicone-Free Release Coating	  	 	14/305872	* 	 	 	6/16/2014	  
	 NCR CORPORATION
	  	Utility	  	Label with Adhesive and Silicone-Free Release Coating	  	 	14/305911	* 	 	 	6/16/2014	  

 Intellectual Property (Trademarks) 

 

	I.	Trademarks 

  

							
	 Registered Owner
	  	 Trademark
	  	 Registration
Number
	  	 Registration
Date

	 NCR Corporation
	  	NCR	  	148174	  	11/08/1921
	 NCR Corporation
	  	NCR	  	366404	  	04/11/1939
	 NCR Corporation
	  	NCR	  	368485	  	06/20/1939
	 NCR Corporation
	  	NCR PAPER	  	614432	  	10/18/1955
	 NCR Corporation
	  	NCR	  	1478461	  	03/01/1988
	 NCR Corporation
	  	GLOBALPM	  	1951383	  	01/23/1996
	 NCR Corporation
	  	GLOBALPM	  	1956218	  	02/13/1996
	 NCR Corporation
	  	DYNAKEY	  	2014022	  	11/05/1996
	 NCR Corporation
	  	GLOBALPM	  	2015010	  	11/12/1996
	 NCR Corporation
	  	NETKEY	  	20457608	  	03/18/1997
	 NCR Corporation
	  	IMAGEMARK	  	2243282	  	05/04/1999
	 NCR Corporation
	  	NETKEY	  	22496869	  	06/01/1999
	 NCR Corporation
	  	NCR & Design	  	2368954	  	07/18/2000
	 NCR Corporation
	  	NCR & Design	  	2391796	  	10/03/2000
	 NCR Corporation
	  	NCR & Design	  	2398182	  	10/24/2000
	 NCR Corporation
	  	APTRA	  	2724525	  	06/10/2003
	 NCR Corporation
	  	OPTICASH & Design	  	3008165	  	10/25/2005
	 NCR Corporation
	  	OPTIVAULT	  	3498952	  	09/09/2008
	 NCR Corporation
	  	NCR FASTLANE & Design	  	3525626	  	10/28/2008
	 NCR Corporation
	  	2 ST (Stylized)	  	3659466*	  	07/21/2009
	 NCR Corporation
	  	2ST TECHNOLOGY	  	3674573*	  	08/25/2009
	 NCR Corporation
	  	2 ST (Stylized)	  	3700427*	  	10/20/2009
	 NCR Corporation
	  	2ST TECHNOLOGY (Stylized)	  	3723851*	  	12/08/2009
	 NCR Corporation
	  	GOPIX	  	3726770	  	12/15/2009
	 NCR Corporation
	  	TRANSOFT & Design	  	3807548	  	06/22/2010
	 NCR Corporation
	  	NCR TOUCHPORT	  	3869764	  	11/02/2010
	 NCR Corporation
	  	NCR SELFSERV	  	3914658	  	02/01/2011
	 NCR Corporation
	  	EXPERIENCE A NEW WORLD OF INTERACTION	  	3926087	  	03/01/2011
	 NCR Corporation
	  	EXPERIENCE A NEW WORLD OF INTERACTION	  	3926088	  	03/01/2011
	 NCR Corporation
	  	EXPERIENCE A NEW WORLD OF INTERACTION	  	4056658	  	11/15/2011
	 NCR Corporation
	  	NCR @ YOUR SERVICE	  	4096173	  	02/07/2012
	 NCR Corporation
	  	NCR ENTERPRISE PREFERENCE MANAGER	  	4185678	  	08/07/2012
	 NCR Corporation
	  	COMPU-TOUCH	  	1648043	  	06/18/1991
	 NCR Corporation
	  	ORDERPOINT!	  	1957983	  	02/20/1996
	 NCR Corporation
	  	CORE-TECH	  	2200849	  	11/03/1998
	 NCR Corporation
	  	RADIANT SYSTEMS & Design	  	2293886	  	11/23/2019
	 NCR Corporation
	  	IT’S YOUR MONEY, KEEP IT THAT WAY	  	3744582	  	02/02/2010
	 NCR Corporation
	  	ALOHA RESTAURANT GUIDE	  	3749174	  	02/16/2010
	 NCR Corporation
	  	ALOHA PAYMENT GUARD	  	3763145	  	03/23/2010

  

	8 	The Company shall use its commercially reasonable efforts to file a release with respect to the security interest held by MMV Financial Inc. dated 1/19/2007 and recorded at Reel/Frame 3528/0379 within a reasonable
amount of time after the Effective Date. 

	9 	The Company shall use its commercially reasonable efforts to file a release with respect to the security interest held by MMV Financial Inc. dated 1/19/2007 and recorded at Reel/Frame 3528/0379 within a reasonable
amount of time after the Effective Date. 

  
 55 

							
	 Registered Owner
	  	 Trademark
	  	 Registration
Number
	  	 Registration
Date

	 NCR Corporation
	  	ALOHA INSIGHT	  	3993077	  	07/12/2011
	 NCR Corporation
	  	INFOAMERICA	  	2083095	  	07/29/1997
	 NCR Corporation
	  	NCR SERVICE & Design	  	0750700	  	06/04/1963
	 NCR Corporation
	  	ALOHA (Stylized)	  	2144355	  	03/17/1998
	 Radiant Systems, Inc.10
	  	HEAT AT LIGHT SPEED	  	2319009	  	02/15/2000
	 NCR Corporation
	  	MENULINK	  	2279136	  	09/21/1999
	 NCR Corporation
	  	ALOHA	  	4547734	  	06/10/2014
	 NCR Corporation
	  	PACESETTER	  	4635683	  	11/11/2014
	 NCR Corporation
	  	NCR	  	4458847	  	12/31/2013
	 NCR Corporation
	  	EVERYDAY MADE EASIER	  	4756477	  	06/16/2015
	 NCR Corporation
	  	NCR REALSCAN	  	4458638	  	12/31/2013
	 NCR Corporation
	  	NCR STICKY MEDIA	  	4502403	  	03/25/2014
	 NCR Corporation
	  	NCR SILVER	  	4502371	  	03/25/2014
	 NCR Corporation
	  	SPRINT FOR CANCER	  	4034020	  	10/04/2011
	 Digital Insight Corporation
	  	DIGITAL INSIGHT & Design	  	4879270	  	01-05-2016
	 Digital Insight Corporation
	  	FINANCEWORKS	  	357316611	  	02-10-2009
	 Digital Insight Corporation
	  	DIGITAL INSIGHT	  	261186612	  	08-27-2002
	 Digital Insight Corporation
	  	Circle Design	  	263794013	  	10-22-2002
	 Digital Insight Corporation
	  	DIGITAL INSIGHT	  	285612914	  	06-22-2004
	 Digital Insight Corporation
	  	DIGITAL INSIGHT & Design	  	4879270	  	01-05-2016

 II. Trademark Applications 
  

							
	 Registered Owner
	  	 Trademark
	  	Application
Number	 	Application
Date
	 NCR Corporation
	  	NCR SECURE	  	86418244	 	10/08/2014
	 NCR Corporation
	  	NCR SILVER CONCIERGE	  	86681962	 	07/02/2015
	 NCR Corporation
	  	NCR IMPRESSIONS SOLUTIONS	  	86554606	 	03/05/2015
	 NCR Corporation
	  	FRACTALS	  	86358525	 	08/06/2014
	 NCR Corporation
	  	ALARIC	  	86358859	 	08/06/2014
	 NCR Corporation
	  	IMPRESSIONS SOLUTIONS	  	86554736*	 	03/05/2015

  

	10 	All items listed as record-owned by Radiant Systems Inc. on this Schedule 7(B) are beneficially owned by NCR Corporation. 

	11 	The Company shall use its commercially reasonable efforts to file a release with respect to the security interests held by Jefferies Finance, LLC dated 8/1/2013 and recorded at Reel Frame 5084/0641 and 5084/0662,
respectively, within a reasonable amount of time after the Effective Date. 

	12 	See FN 11 above. 

	13 	See FN 11 above. 

	14 	See FN 11 above. 

  
 56 

							
	 Registered Owner
	  	 Trademark
	  	Application
Number	 	Application
Date
	 NCR Corporation
	  	NCR IMPRESSIONS SOLUTIONS	  	86533036	 	02/12/2015
	 NCR Corporation
	  	IMPRESSIONS SOLUTIONS	  	86533057*	 	02/12/2015
	 NCR Corporation
	  	NCR DATAGUARD	  	86510933	 	01/22/2015
	 NCR Corporation
	  	NCR SILVER REGISTER	  	86590417	 	04/08/2015
	 NCR Corporation
	  	KALPANA	  	86590579	 	04/08/2015
	 NCR Corporation
	  	WE MAKE THE EVERYDAY EASIER	  	86806498	 	11/02/2015

  
 57 

 Intellectual Property (Copyrights) 

I. Copyrights 
  

					
	 Registered Owner
	  	 Title
	  	Registration No.
			
	 NCR Corporation
	  	NCR Cobol 74 instructor manual : v. 1 [-2], course no. 484100.	  	TX0000014888
			
	 NCR Corporation
	  	Software engineering : a course / prepared by Tilak Agerwala, Jay Misra, Ed Thompson.	  	TX0000014889
			
	 NCR Corporation
	  	NCR Cobol 74 programming self-instruction course : v. 1 [-4, handbook & monitor guide].	  	TX0000025246
			
	 NCR Corporation
	  	CI-MEGIMOS Cobol : course no. 329075 / prepared by Customer and Support Education Sugar Camp.	  	TX0000065446
			
	 NCR Corporation
	  	Wholesale distribution : approach on taking the surprise out of the income statement.	  	TX0000091283
			
	 NCR Corporation
	  	NCR wholesale distribution, R O I presentation.	  	TX0000092243
			
	 NCR Corporation
	  	Wholesale distribution : presentation on comparing your prospect with the industry.	  	TX0000092815
			
	 NCR Corporation
	  	Yak! Yak! Yak! / Ira Hayes.	  	TX0000097230
			
	 NCR Corporation
	  	NCR scholars : student manual.	  	TX0000099036
			
	 NCR Corporation
	  	Distribution internship education program.	  	TX0000101191
			
	 NCR Corporation
	  	Introduction to the construction industry : student manual, EP-9631.	  	TX0000101196
			
	 NCR Corporation
	  	Concept of hospital pharmacy operations.	  	TX0000101197
			
	 NCR Corporation
	  	NCR executive E D P seminar—notebook.	  	TX0000101370
			
	 NCR Corporation
	  	NCRIMOS Cobol pocket reference.	  	TX0000101911
			
	 NCR Corporation
	  	NCRIMOS Cobol student text.	  	TX0000101912
			
	 NCR Corporation
	  	NCRI-8100 application benefits manual series : I-8150 general ledger student manual.	  	TX0000107071
			
	 NCR Corporation
	  	Structured programming skills : student manual, stock no. EP-9605, course no. 316005.	  	TX0000107072
			
	 NCR Corporation
	  	NCR applied systems implementation reference manual, N C R century scholars II, report generator.	  	TX0000113113
			
	 NCR Corporation
	  	NCR basic electronics course with experiments / prepared by Technical Education Department, Marketing Education and Publications Division, the National Cash Register Company.	  	TX0000113595
			
	 NCR Corporation
	  	NCR Century Cobol 68, N C R Imos, Cobol language comparison.	  	TX0000117760
			
	 NCR Corporation
	  	NCR Century 8200 N C R IMOS Cobol language comparison.	  	TX0000118787
			
	 NCR Corporation
	  	NCR IMOS N C R VRX Cobol language comparison.	  	TX0000118788
			
	 NCR Corporation
	  	NCR VRX Cobol pocket reference.	  	TX0000119447
			
	 NCR Corporation
	  	NCR VRX COBOL student text.	  	TX0000131412
			
	 NCR Corporation
	  	I-8150 accounts receivable : student manual.	  	TX0000136290
			
	 NCR Corporation
	  	CI-MEG IMOS Cobol : course no. 329075 : CI-MEG IMOSIII/IMOS Cobol : course guide / prepared by Customer and Support Education, Sugar Camp.	  	TX0000136292
			
	 NCR Corporation
	  	NCR fundamental English dictionary.	  	TX0000143699
			
	 NCR Corporation
	  	Cobol 74 : student workbook for N C R IMOS Cobol.	  	TX0000168904
			
	 NCR Corporation
	  	NCR introduction to analytical flowcharting : EP-9833.	  	TX0000168905
			
	 NCR Corporation
	  	Hot’n’ juicy story of Wendy’s point-of-sale system.	  	TX0000178622
			
	 NCR Corporation
	  	Survey guide and analysis key for hospital pharmacy.	  	TX0000190055
			
	 NCR Corporation
	  	NCR 8100 problem solving techniques : course guide.	  	TX0000192080
			
	 NCR Corporation
	  	8100 operating software : course guide : course no. 326105.	  	TX0000196260
			
	 NCR Corporation
	  	NCS operations, student manual : course no. 367905.	  	TX0000206236

							
	 Registered Owner
	  	 Title
	  	Registration No.	 
	 NCR Corporation
	  	Managing sequences : the basis of business data processing.	  	 	TX0000213808	  
			
	 NCR Corporation
	  	NCR VRX OLPD for the N C R VRX Cobol user.	  	 	TX0000214279	  
			
	 NCR Corporation
	  	Guide to the internal control and audit of the N C R I-8150 interactive direct processing general accounting systems / compiled and edited by Paul A. Tulenko.	  	 	TX0000224238	  
			
	 NCR Corporation
	  	NCR century Cobol 74 : pocket reference.	  	 	TX0000231835	  
			
	 NCR Corporation
	  	NCR century Cobol 74 : student text.	  	 	TX0000231836	  
			
	 NCR Corporation
	  	NCR century Cobol 74 : accelerated course : student workbook.	  	 	TX0000234779	  
			
	 NCR Corporation
	  	NCR century Cobol 68—N C R century Cobol 74, Cobol language comparison.	  	 	TX0000234780	  
			
	 NCR Corporation
	  	NCR IMOS Cobol, N C R century Cobol 74, Cobol language comparison.	  	 	TX0000236859	  
			
	 NCR Corporation
	  	Reducing checker errors.	  	 	TX0000259788	  
			
	 NCR Corporation
	  	NCR Century Cobol 74, N C R VRX Cobol language comparison.	  	 	TX0000259937	  
			
	 NCR Corporation
	  	Introduction to interactive Cobol programming : instructor manual : course no. 364105.	  	 	TX0000261454	  
			
	 NCR Corporation
	  	Bagging : a self-instruction program with “score-yourself” quiz / [editing Cliff Smith].	  	 	TX0000266580	  
			
	 NCR Corporation
	  	Price marking : a self-instruction program with “score-yourself” quiz/ [editing Clifton Smith].	  	 	TX0000266581	  
			
	 NCR Corporation
	  	Customer courtesy : a self-instruction program with “score-yourself” quiz / [editing Cliff Smith].	  	 	TX0000266582	  
			
	 NCR Corporation
	  	Grocery stocking : a self-instruction program with “score-yourself” quiz / Clifton L. Smith.	  	 	TX0000266583	  
			
	 NCR Corporation
	  	Introduction to interactive Cobol programming : student materials, N C R course no. 364105, EP 9685.	  	 	TX0000274142	  
			
	 NCR Corporation
	  	NCR IMOS Cobol : pocket reference.	  	 	TX0000279138	  
			
	 NCR Corporation
	  	Checkout security : a self-instruction program with “score-yourself” quiz.	  	 	TX0000279139	  
			
	 NCR Corporation
	  	Grocery safety : a self-instruction program with “score-yourself” quiz.	  	 	TX0000279140	  
			
	 NCR Corporation
	  	Telecommunications concepts : student manual.	  	 	TX0000279141	  
			
	 NCR Corporation
	  	NCR century 8200 N C R IMOS Cobol language comparison.	  	 	TX0000279142	  
			
	 NCR Corporation
	  	NCR Century Cobol 68, N C R IMOS, Cobol language comparison.	  	 	TX0000282692	  
			
	 NCR Corporation
	  	NCR IMOS Cobol student text.	  	 	TX0000293622	  
			
	 NCR Corporation
	  	NCR VRX Cobol accelerated course student workbook.	  	 	TX0000331102	  
			
	 NCR Corporation
	  	NCR structured Cobol student manual : course number 379105.	  	 	TX0000331103	  
			
	 NCR Corporation
	  	NCR IMOS Cobol accelerated course student workbook.	  	 	TX0000331104	  
			
	 NCR Corporation
	  	Cobol 74 : student workbook for N C R IMOS Cobol.	  	 	TX0000392037	  
			
	 NCR Corporation
	  	NCR Century Cobol 74 accelerated course : student workbook.	  	 	TX0000392603	  
			
	 NCR Corporation
	  	Cobol 74 : student workbook for N C R VRX Cobol.	  	 	TX0000401567	  
			
	 NCR Corporation
	  	Cobol transaction management executive instructor manual.	  	 	TX0000402073	  
			
	 NCR Corporation
	  	Cobol transaction management executive student manual addendum.	  	 	TX0000402074	  
			
	 NCR Corporation
	  	POD : MICR entry applied system : course number 387435.	  	 	TX0000403824	  
			
	 NCR Corporation
	  	Cobol 74 student workbook for N C R century Cobol 74.	  	 	TX0000403825	  
			
	 NCR Corporation
	  	Basic systems analysis skills : student manual : course no. 490000.	  	 	TX0000446131	  
			
	 NCR Corporation
	  	EDP concepts self instruction course : student manual.	  	 	TX0000464228	  
			
	 NCR Corporation
	  	NCR basic systems analysis skills : instructor information : course no. 490000.	  	 	TX0000465740	  
			
	 NCR Corporation
	  	EDP concepts self instruction course : monitor guide.	  	 	TX0000472153	  
			
	 NCR Corporation
	  	Central information file-reference : self study guide : course number 394432.	  	 	TX0000479304	  
			
	 NCR Corporation
	  	NCR VRX structure analysis : student manual : pt. 1[-2]	  	 	TX0000499272	  

							
	 Registered Owner
	  	 Title
	  	Registration No.	 
			
	 NCR Corporation
	  	NCR programming project management course : customer & support education, corporate education : course no. 804505.	  	 	TX0000519978	  
			
	 NCR Corporation
	  	Structured design : course no. 378105 / prepared by Customer and Support Education Sugar Camp.	  	 	TX0000534356	  
			
	 NCR Corporation
	  	Status III payroll self-instruction administrator : study guide.	  	 	TX0000570916	  
			
	 NCR Corporation
	  	VRX operating system utilization : student manual.	  	 	TX0000580999	  
			
	 NCR Corporation
	  	Status III payroll self-instruction operator’s : study guide.	  	 	TX0000582372	  
			
	 NCR Corporation
	  	VRX operations handbook.	  	 	TX0000586614	  
			
	 NCR Corporation
	  	Status III general ledger : self-instruction operator’s study guide : course no. W13422.	  	 	TX0000601576	  
			
	 NCR Corporation
	  	Status III accounts payable : self-instruction operator’s study guide.	  	 	TX0000614007	  
			
	 NCR Corporation
	  	NCR VRX operations : student manual.	  	 	TX0000614008	  
			
	 NCR Corporation
	  	IMOS III student materials.	  	 	TX0000614009	  
			
	 NCR Corporation
	  	VRX problem solving techniques : student manual : pt. 2.	  	 	TX0000614010	  
			
	 NCR Corporation
	  	Status III general ledger : self-instruction administrator’s study guide.	  	 	TX0000616825	  
			
	 NCR Corporation
	  	VRX problem solving techniques : student manual, pt. 1.	  	 	TX0000616826	  
			
	 NCR Corporation
	  	VRX problem solving techniques : student manual, pt. 3.	  	 	TX0000616827	  
			
	 NCR Corporation
	  	Status III accounts payable : self-instruction administrator’s study guide : course no. W16422.	  	 	TX0000620863	  
			
	 NCR Corporation
	  	NCRL programming student manual.	  	 	TX0000632331	  
			
	 NCR Corporation
	  	Status III accounts receivable self-instruction administrator study guide.	  	 	TX0000632332	  
			
	 NCR Corporation
	  	NCR century to VRX migration : student manual, EP-9304.	  	 	TX0000636075	  
			
	 NCR Corporation
	  	NCR IMOS Cobol student text.	  	 	TX0000714606	  
			
	 NCR Corporation
	  	NCR IMOS Cobol : pocket reference.	  	 	TX0000728971	  
			
	 NCR Corporation
	  	Accelerated NEATVS : student manual : course no. 381105.	  	 	TX0000753573	  
			
	 NCR Corporation
	  	Basic for the N C R 2950 cassette system : pt. I[-II] : student manual.	  	 	TX0000796488	  
			
	 NCR Corporation
	  	Century 8200 IMOS student manual.	  	 	TX0000798541	  
			
	 NCR Corporation
	  	Introduction to interactive Cobol programming : student manual, N C R course no. 364105.	  	 	TX0000801888	  
			
	 NCR Corporation
	  	NCR IRX Cobol user manual.	  	 	TX0000841654	  
			
	 NCR Corporation
	  	NCR IMOS Cobol user manual.	  	 	TX0000907243	  
			
	 NCR Corporation
	  	NCR IRX Cobol handbook.	  	 	TX0000916565	  
			
	 NCR Corporation
	  	NCR IMOS Cobol handbook.	  	 	TX0000916566	  
			
	 NCR Corporation
	  	D009-0024 NCR-DMS/reporter.	  	 	TX0001235187	  
			
	 NCR Corporation
	  	Handbook of bar coding systems / Harry E. Burke.	  	 	TX0001547735	  
			
	 NCR Comten, Inc.15
	  	NTO3 : Network terminal option 3 : release 1E, general information.	  	 	TX0002244311	  
			
	 NCR Comten, Inc.
	  	NTO3 : Network terminal option 3 : release 1E, general information.	  	 	TX0002244312	  
			
	 NCR Comten, Inc.
	  	NTO2 : Network terminal option 2 : release 1.0, general information.	  	 	TX0002244313	  
			
	 NCR Comten, Inc.
	  	NTO1, network terminal option 1 : release 1.0, general information.	  	 	TX0002244314	  
			
	 NCR Comten, Inc.
	  	X.25-1 : X.25-1 interface to packet switched data networks 1 : release 6E, general information.	  	 	TX0002244315	  
			
	 NCR Comten, Inc.
	  	X.25-1 : X.25 interface to public data networks 1 : release 5E.0, general information.	  	 	TX0002244316	  
			
	 NCR Comten, Inc.
	  	X.25-1 : X.25 interface to public data networks 1 : release 4.0, general information.	  	 	TX0002244317	  
			
	 NCR Comten, Inc.
	  	NTO2 : Network terminal option 2 : release 2E, general information.	  	 	TX0002244318	  
			
	 NCR Comten, Inc.
	  	ACF/NCP V4.0, advanced communications function/network control program : version 4.0.	  	 	TX0002244319	  
			
	 NCR Comten, Inc.
	  	ACF/NCP3, advanced communications function/network control program 3 : version 1.0.	  	 	TX0002244320	  

  

	15 	 All items listed as record-owned by NCR Comten, Inc. on this Schedule 7(C) are beneficially owned by NCR Corporation.

							
	 Registered Owner
	  	 Title
	  	Registration No.	 
			
	 NCR Comten, Inc.
	  	ACF/NCP V2, advanced communications function/network control program 3 : version 2, release 1E, general information.	  	 	TX0002244321	  
			
	 NCR Comten, Inc.
	  	CLSS1, Comten language support system : release 1.0 : general information.	  	 	TX0002244322	  
			
	 NCR Comten, Inc.
	  	ACF/NCP V2, advanced communications function/network control program 2.1 : release 1.0, general information.	  	 	TX0002244323	  
			
	 NCR Comten, Inc.
	  	ACF/NCP2, advanced communications function/network control program 2 : release 1.0, general information.	  	 	TX0002244324	  
			
	 NCR Comten, Inc.
	  	CLSS1, Comten language support systems 1 : release 2.0, general information.	  	 	TX0002244325	  
			
	 NCR Comten, Inc.
	  	CLSS1, Comten language support system 1 : release 2.0, general information.	  	 	TX0002244326	  
			
	 NCR Comten, Inc.
	  	CLSS1, Comten language support system 1 : release 3.0, general information.	  	 	TX0002244327	  
			
	 NCR Comten, Inc.
	  	X.25-1 : X.25 interface to public data networks 1 : release 4.0, general information.	  	 	TX0002274856	  
			
	 NCR Comten, Inc.
	  	ACF/NCP3 : Advanced communications function/network control program 3, release 2E, general information.	  	 	TX0002274857	  
			
	 NCR Comten, Inc.
	  	ACF/NCP : Advanced communications function/network control program 3, release 1, general information.	  	 	TX0002274858	  
			
	 NCR Corporation
	  	Pride.	  	 	TX0002321219	  
			
	 NCR Comten, Inc.
	  	PEP, partitioned emulation processing : general information.	  	 	TX0002372971	  
			
	 NCR Comten, Inc.
	  	PEP: operator summary book.	  	 	TX0002447558	  
			
	 NCR Corporation
	  	SCSI : understanding the small computer system interface / NCR Corporation.	  	 	TX0002751492	  
			
	 NCR Corporation
	  	Comten ACF/NCP V5.3 : advanced communications function/network control program : analyst reference manual.	  	 	TX0003483884	  
			
	 NCR Corporation
	  	ACF/NCP V5.3 general information manual.	  	 	TX0003487707	  
			
	 NCR Corporation
	  	Comten ACF/NCP V5.3 : ACF/NCP V5.3 generation differences from ACF/NCP V5.2 self study SI-226-A.	  	 	TX0003487821	  
			
	 NCR Corporation
	  	ACF/NCP V5.3 product generation manual D2-936-A.	  	 	TX0003487822	  
			
	 NCR Corporation
	  	Transforming the enterprise through Cooperation : an object-oriented solution / Dan Shafer, David A. Taylor.	  	 	TX0003592964	  
			
	 NCR Corporation
	  	IBM component broker : programming reference 1.3.	  	 	TX0004889800	  
			
	 NCR Corporation
	  	Pocket guide to products, services & capabilities.	  	 	TX0005094092	  
			
	 NCR Corporation
	  	NCR 7780 item processing workstation on-site repair manual : bks. 1& 2.	  	 	TX0005870887	  
			
	 NCR Corporation
	  	Value factor : how global leaders use information for growth and competitive edge / Mark Hurd and Lars Nyberg.	  	 	TX0005958841	  
			
	 NCR Corporation
	  	NCR 56XX/personas automated teller machines field service information : service aids mini-manual.	  	 	TX0006008530	  
			
	 NCR Corporation
	  	S4i : version 02.00.00.	  	 	TX0006086483	  
			
	 NCR Corporation
	  	Platform for Windows NT—Ulysses.	  	 	TX0006086484	  
			
	 NCR Corporation
	  	S4i : version 05.02.05.	  	 	TX0006086485	  
			
	 NCR Corporation
	  	Service master use procedure : P U B 1.	  	 	TXu000006169	  
			
	 NCR Corporation
	  	Service master V07Q0 disk : v. 1.	  	 	TXu000008778	  
			
	 NCR Corporation
	  	Fido/Rover.	  	 	TXu000009491	  
			
	 NCR Corporation
	  	MCSII/MT-2 digital cassette adapter master processor.	  	 	TXu000010335	  
			
	 NCR Corporation
	  	MCSII/MT-2 digital cassette adapter read processor.	  	 	TXu000010336	  
			
	 NCR Corporation
	  	Service Master VO7Q0.	  	 	TXu000011156	  
			
	 NCR Corporation
	  	Cassette tape speed compensating read routine.	  	 	TXu000011157	  
			
	 NCR Corporation
	  	Fido/Rover use procedure.	  	 	TXu000011710	  

					
	 Registered Owner
	  	 Title
	  	Registration No.
	 NCR Corporation
	  	Field mandatory effectivity break patches.	  	TXu000011711
			
	 NCR Corporation
	  	Fido/Rover V18Q8.	  	TXu000011712
			
	 NCR Corporation
	  	Interactive site configurator.	  	TXu000011713
			
	 NCR Corporation
	  	Implementation specification DPS group practice accounts receivable : F1709-1.	  	TXu000011714
			
	 NCR Corporation
	  	Recipe F-spec : [no.] F-1712-1.	  	TXu000011715
			
	 NCR Corporation
	  	Implementation specification IDPS installation process : April 1978 : F1721-1.	  	TXu000011716
			
	 NCR Corporation
	  	General systems universal modules : [no.] F-1722-1.	  	TXu000011717
			
	 NCR Corporation
	  	Implementation specification DPS interactive budgetary control system : F1708-1.	  	TXu000011718
			
	 NCR Corporation
	  	Implementation specification DPS accounts payable.	  	TXu000011720
			
	 NCR Corporation
	  	Applied systems implementation reference manual : N C R Century on-line C I F system : rel. C1.	  	TXu000011721
			
	 NCR Corporation
	  	NCR applied systems implementation reference manual : N C R Century, C I F series, release 1.	  	TXu000011722
			
	 NCR Corporation
	  	NCR installation manual for 7750 automated reconciliation and trace (A R T) system : effective with A. R. T. release 1.0, basic interface and A. R. T. release 2.0, C B I S interface.	  	TXu000011796
			
	 NCR Corporation
	  	NCR installation manual for 7750 system statistics (STS)	  	TXu000013221
			
	 NCR Corporation
	  	Implementation specification DPS accounts receivable : DPSAR001: May 1978.	  	TXu000013222
			
	 NCR Corporation
	  	Implementation specification IDPS MFG/WLS system control : F1715-1 / [prepared by DPS CI-ASD Team]	  	TXu000013735
			
	 NCR Corporation
	  	Implementation specification IDPS product definition : F1713-1 / [prepared by DPS CI-ASD Team]	  	TXu000013736
			
	 NCR Corporation
	  	Implementation specification IDPS inventory management: F1714-1/ [prepared by DPS CI-ASD Team]	  	TXu000013737
			
	 NCR Corporation
	  	Implementation specification DPS general ledger : DPSGL001 : F1705-1.	  	TXu000013738
			
	 NCR Corporation
	  	Implementation specification DPS status payroll : DPSPY001 : F1718-1.	  	TXu000013739
			
	 NCR Corporation
	  	Flexible disc dump IRS3VO5QOC.	  	TXu000014492
			
	 NCR Corporation
	  	Flexible disc dump IVS1VO9Q1A.	  	TXu000014493
			
	 NCR Corporation
	  	MV TW3 coach 1 V03Q0 disk.	  	TXu000015708
			
	 NCR Corporation
	  	MV VRT VO4QO disk.	  	TXu000017333
			
	 NCR Corporation
	  	Implementation specification : I M C S II system architecture : F1723-1 : [v. 1]	  	TXu000017334
			
	 NCR Corporation
	  	DPS-interactive industrial distribution system (I I D S) : [F1716-1] / prepared by D P S CI-ASD team.	  	TXu000017335
			
	 NCR Corporation
	  	I-8130 processing system.	  	TXu000018184
			
	 NCR Corporation
	  	I-8130 accounts receivable system.	  	TXu000018185
			
	 NCR Corporation
	  	VRX2/4.2.1 indexed sequential CAM (1CAM) (4.2(S) CAM supplement) : functional specification / prepared by W. Y. Lee.	  	TXu000018186
			
	 NCR Corporation
	  	DPS-interactive industrial distribution system (I I D S)	  	TXu000018187
			
	 NCR Corporation
	  	Implementation specification, I M C S II bill of material.	  	TXu000018188
			
	 NCR Corporation
	  	Implementation specification, I M C S II inventory control.	  	TXu000018189
			
	 NCR Corporation
	  	VRX 4/3.2 monitor : functional specification.	  	TXu000018190
			
	 NCR Corporation
	  	VRX asynchronous processing : v. 3.7, FS & DR.	  	TXu000018191
			
	 NCR Corporation
	  	VRX 4/0 index to functional specifications : functional specification, DRD no. 10, March 1, 1979 / prepared by W. Merchant.	  	TXu000018517
			
	 NCR Corporation
	  	VRX 1/2.3 NEAT3/NEATVS : FS & DR, DRD no. 10, July 1, 1976,production.	  	TXu000018518

					
	 Registered Owner
	  	 Title
	  	Registration No.
	 NCR Corporation
	  	VRX 5/3.6 loader : functional specification, DRD no. 10, October 2, 1978, design / prepared by M. Trax.	  	TXu000018519
			
	 NCR Corporation
	  	VRX 6/5.1 communications in-service diagnostics : functional specification, DRD no. 10, October 2, 1978, design / prepared by T. Campbell.	  	TXu000018520
			
	 NCR Corporation
	  	VRX 3/1.0 operating system overview, parts I and II : FS & DR, DRD no. 10, May 15, 1978, production / prepared by J. Angelo, J. Farver.	  	TXu000018521
			
	 NCR Corporation
	  	VRX 4/6.1 initialization : functional specification, DRD no. 10, January 1, 1979, production / prepared by C. Sidaris.	  	TXu000018522
			
	 NCR Corporation
	  	Implementation specification : IMCS II routing, February 1979.	  	TXu000018523
			
	 NCR Corporation
	  	Implementation specification : IMCS II material requirements planning, February 1979.	  	TXu000018524
			
	 NCR Corporation
	  	VRX 5/4.4 file management : functional specification / prepared byMower.	  	TXu000018525
			
	 NCR Corporation
	  	IMCS order processing system / author, International C I/M E G Applied Systems Development.	  	TXu000018526
			
	 NCR Corporation
	  	I-8130 I/O control system / author, C I/M E G Applied-Software Development.	  	TXu000018527
			
	 NCR Corporation
	  	I-8130 inventory control system / author, C I/M E G Applied Software.	  	TXu000018528
			
	 NCR Corporation
	  	MCSII/MT-2 digital cassette adapter write processor / by N C R Corporation.	  	TXu000019123
			
	 NCR Corporation
	  	VRX 5/3.18 transaction processing support features.	  	TXu000019124
			
	 NCR Corporation
	  	VRX 5/2.1 Cobol compiler functional specification : no. 10, February 1, 1979 / prepared by D. Schricker.	  	TXu000019754
			
	 NCR Corporation
	  	Flexible disc dump : ITW1VO5QOA.	  	TXu000020458
			
	 NCR Corporation
	  	VRX 4/4.2 criterion access method (CAM) : functional specification, DRD no. 10, level—production / prepared by J. McFarling.	  	TXu000020459
			
	 NCR Corporation
	  	VRX peripheral switch, volume 3.16 (release 3) : functional specification, DRD no. 10, level—production / prepared by Pat Shanahan.	  	TXu000020460
			
	 NCR Corporation
	  	VRX 7/3.19 system performance monitor : functional specification, DRD no. 10, level—design / prepared by J. Darling.	  	TXu000020461
			
	 NCR Corporation
	  	VRX 6/3.20 disk drivers : functional specification, DRD no. 10, level—design / prepared by J. Hooten, R. Johnson.	  	TXu000020462
			
	 NCR Corporation
	  	VRX 3/3.3 operator communications : functional specification, DRD no. 10, level—production / prepared by D. Hergert.	  	TXu000020463
			
	 NCR Corporation
	  	VRX virtual storage, volume 6.5 : FS & DR, DRD no. 10, level— production / prepared by A. J. McCrocklin.	  	TXu000020464
			
	 NCR Corporation
	  	C. VRX on-line program development, volume 6.8 (release 4) : functional specification, DRD no. 10, level—design / prepared by P.Robinson.	  	TXu000020465
			
	 NCR Corporation
	  	Proof of deposit (POD 1.2) : specification.	  	TXu000020466
			
	 NCR Corporation
	  	I-8130 sales analysis : implementation specification.	  	TXu000020467
			
	 NCR Corporation
	  	VRX 7/2.2 Fortran compiler : functional specification, DRD no. 10, level—design / prepared by T. C. Chao.	  	TXu000020468
			
	 NCR Corporation
	  	IMCS II system architecture : implementation specification / prepared by Roberta Nicely.	  	TXu000020469
			
	 NCR Corporation
	  	VRX 5/6.7 Cobol library facility : functional specification / prepared by G. Zupan.	  	TXu000021264
			
	 NCR Corporation
	  	I-8130 general ledger system.	  	TXu000021265
			
	 NCR Corporation
	  	TW1 VO5QO Coach 1A.	  	TXu000021266
			
	 NCR Corporation
	  	ITW1VO5QOC.	  	TXu000021267

					
	 Registered Owner
	  	 Title
	  	Registration No.
	 NCR Corporation
	  	Implementation specification I-8130 inter application communication (IAC)	  	TXu000021268
			
	 NCR Corporation
	  	VRX 4/5.0 telecommunications software : functional specification.	  	TXu000021269
			
	 NCR Corporation
	  	Implementation specification I-8130 I-O control.	  	TXu000021270
			
	 NCR Corporation
	  	Implementation specification IDPS order processing.	  	TXu000021271
			
	 NCR Corporation
	  	Implementation specification I-8130 accounts payable.	  	TXu000022513
			
	 NCR Corporation
	  	Implementation specification I-8130 order processing.	  	TXu000022514
			
	 NCR Corporation
	  	Implementation specification I-8130 accounts receivable.	  	TXu000022515
			
	 NCR Corporation
	  	Implementation specification I-8130 inventory control.	  	TXu000022516
			
	 NCR Corporation
	  	I-8130 accounts payable system.	  	TXu000022517
			
	 NCR Corporation
	  	Implementation specification I-8130 general ledger.	  	TXu000022518
			
	 NCR Corporation
	  	Implementation specification DPS group practice accounts receivable.	  	TXu000022519
			
	 NCR Corporation
	  	Implementation specification, DPS general ledger interface system : DPSGL002, March 1978.	  	TXu000022667
			
	 NCR Corporation
	  	Mission material requirements planning subsystem.	  	TXu000022996
			
	 NCR Corporation
	  	Mission bill of material subsystem.	  	TXu000022997
			
	 NCR Corporation
	  	Implementation specification : DPS accounts receivable DPSAR001.	  	TXu000022998
			
	 NCR Corporation
	  	NCR medics (8163-0501-0000) : program IPR010S 02/001.	  	TXu000023723
			
	 NCR Corporation
	  	NCR specification : Purchase order management system : January 1979.	  	TXu000023724
			
	 NCR Corporation
	  	8400 IMOS Cobol system : functional specification and design requirements.	  	TXu000024126
			
	 NCR Corporation
	  	Mission—I M S : V3.0.	  	TXu000024350
			
	 NCR Corporation
	  	Stores I & D A R E : software.	  	TXu000024351
			
	 NCR Corporation
	  	Stores I & D A R E : constructor.	  	TXu000024352
			
	 NCR Corporation
	  	Mission routing subsystem.	  	TXu000024353
			
	 NCR Corporation
	  	8071-0313 IWDS/IGAS accounts receivable, 8071-0315 IWDS/IGAS accounts payable, 8071-0316 IWDS/IGAS general ledger.	  	TXu000024354
			
	 NCR Corporation
	  	NCR 2160 maintain (8287-0106-0000 & 8287-0107-0000).	  	TXu000024355
			
	 NCR Corporation
	  	I-8130 sales analysis system.	  	TXu000024356
			
	 NCR Corporation
	  	Administrator’s instructions for the N C R technical writer’s test / prepared by Carl L. Thornton, Ted Brusaw.	  	TXu000024357
			
	 NCR Corporation
	  	Writing exercises.	  	TXu000024358
			
	 NCR Corporation
	  	8400 IRX magnetic tape initializer : change sheet, functional specification.	  	TXu000024359
			
	 NCR Corporation
	  	8304-0101 accounts payable (S. C.).	  	TXu000024360
			
	 NCR Corporation
	  	8304-0101 accounts payable (O. C.).	  	TXu000024361
			
	 NCR Corporation
	  	8304-0301 general ledger (O. C.).	  	TXu000024362
			
	 NCR Corporation
	  	8304-0301 general ledger (interface S. C.).	  	TXu000024363
			
	 NCR Corporation
	  	MV VS2 V01Q0 firmware two-sided flexible disk.	  	TXu000024364
			
	 NCR Corporation
	  	MV RRFD V02Q0 testware flexible disk.	  	TXu000024365
			
	 NCR Corporation
	  	8304-0201 accounts receivable (S. C.).	  	TXu000024366
			
	 NCR Corporation
	  	8304-0301 general ledger (S. C.).	  	TXu000024367
			
	 NCR Corporation
	  	8304-0201 accounts receivable (O. C.).	  	TXu000024368
			
	 NCR Corporation
	  	MV TW3 V04Q0 coach 2 testware flexible disk.	  	TXu000024369
			
	 NCR Corporation
	  	Service master V08Q0 disk.	  	TXu000024370
			
	 NCR Corporation
	  	8304-0401 payroll (S. C.) : text editor version 04.01.02.	  	TXu000024849
			
	 NCR Corporation
	  	8400 formatted memory dump to disc utility : release 1.3, functional specification : specification 0070000366.	  	TXu000024850
			
	 NCR Corporation
	  	8400 IRX text editor : release 1.2 : functional specification and design requirements : specification no. 007-0000356A.	  	TXu000024851
			
	 NCR Corporation
	  	IRX software development support : functional specification and design requirements : specification no. 007-0000143.	  	TXu000024852
			
	 NCR Corporation
	  	8400 IRX data capture utility : functional specification and design requirements : specification no. 007-0000139.	  	TXu000024853

							
	 Registered Owner
	  	 Title
	  	Registration No.	 
	 NCR Corporation
	  	Functional specification for 8400 IRX magnetic tape initializer : no. 904-0000002.	  	 	TXu000024854	  
			
	 NCR Corporation
	  	8400 IRX operating system : release 1.3 : functional specification [no.] SN 0070000362A.	  	 	TXu000024855	  
			
	 NCR Corporation
	  	8400 IRX run time Cobol system : functional specification.	  	 	TXu000024856	  
			
	 NCR Corporation
	  	8060-0601 IMOS I operating system & utilities IMOS I : release(S/O C.)	  	 	TXu000024857	  
			
	 NCR Corporation
	  	8400 IRX disc utilities : release 1.03, functional specification : [no.] 0070000361.	  	 	TXu000024858	  
			
	 NCR Corporation
	  	Mission cost subsystem (8219-1307-0000)	  	 	TXu000024859	  
			
	 NCR Corporation
	  	Functional specification for 8400 SWL virtual machine functional specification : [no.] SN9040000005 / prepared by E. P. Donnelly.	  	 	TXu000024860	  
			
	 NCR Corporation
	  	Functional specification for IRX concurrent peripheral diagnostics : [no.] SN904-0000014 / prepared by R. E. Latus.	  	 	TXu000024861	  
			
	 NCR Corporation
	  	MV VS3 VO1QO disk.	  	 	TXu000024862	  
			
	 NCR Corporation
	  	NCRL:a dialect of Pascal for system programming.	  	 	TXu000024863	  
			
	 NCR Corporation
	  	8060-0701 IMOS III operating system IMOS III : release 04.00.00 (S/O C.)	  	 	TXu000024864	  
			
	 NCR Corporation
	  	I-8400 IS3 low level systems test (LLST)	  	 	TXu000024865	  
			
	 NCR Corporation
	  	8210-2001 8400 IRX utilities (S/O C.)	  	 	TXu000024866	  
			
	 NCR Corporation
	  	8210-2000 8400 IRX (S/O C.)	  	 	TXu000024867	  
			
	 NCR Corporation
	  	8210-2002 8400 IRX Cobol ‘74 compiler (S/O C.)	  	 	TXu000024868	  
			
	 NCR Corporation
	  	IMOS 8400 sort : functional specification and design requirements.	  	 	TXu000024869	  
			
	 NCR Corporation
	  	Implementation specification DPS Interactive budgetary control system, IBCS : [no.] F-1708-2.	  	 	TXu000026063	  
			
	 NCR Corporation
	  	Implementation specification 8150 screen realign utility.	  	 	TXu000026188	  
			
	 NCR Corporation
	  	Implementation specification I-8130 general accounting.	  	 	TXu000026189	  
			
	 NCR Corporation
	  	8060-0602 IMOS I Cobol “74” compiler : Cobol release 0 (S/O C.)	  	 	TXu000026190	  
			
	 NCR Corporation
	  	8400 IRX compile time Cobol system functional specification.	  	 	TXu000026191	  
			
	 NCR Corporation
	  	Implementation specification I-8250 interactive stores inventory control (ISICS)	  	 	TXu000026192	  
			
	 NCR Corporation
	  	Interactive budgetary control system (8315-0101-0000) / author, I B C S Team.	  	 	TXu000026193	  
			
	 NCR Corporation
	  	Implementation specification 8250 IMCS order processing.	  	 	TXu000026194	  
			
	 NCR Corporation
	  	Implementation specification I-8150 feedgrain position farm co-op.	  	 	TXu000026195	  
			
	 NCR Corporation
	  	Implementation specification I-8250 Cobol listing generator.	  	 	TXu000026196	  
			
	 NCR Corporation
	  	8060-0703 IMOS III Cobol “74” compiler : Cobol release 4 (S/O C.)	  	 	TXu000026197	  
			
	 NCR Corporation
	  	Implementation specification I-8130 radio TV billing.	  	 	TXu000026198	  
			
	 NCR Corporation
	  	Implementation specification I-8150 report reformatter.	  	 	TXu000026199	  
			
	 NCR Corporation
	  	Implementation specification report generator.	  	 	TXu000026200	  
			
	 NCR Corporation
	  	Functional specification for IRX concurrent peripheral diagnostics / prepared by R. E. Latus.	  	 	TXu000026201	  
			
	 NCR Corporation
	  	8300-0203 I-8150 IDPS Cobol “74” compiler : Cobol release 4 (S/O C.)	  	 	TXu000026202	  
			
	 NCR Corporation
	  	8300-0202 I-8150 system management utilities : release 4 (S/O C.)	  	 	TXu000026203	  
			
	 NCR Corporation
	  	Implementation specification I-8250 Rite wholesale distribution system.	  	 	TXu000026204	  
			
	 NCR Corporation
	  	Implementation specification 8100 route settlement/beverage distribution.	  	 	TXu000026205	  
			
	 NCR Corporation
	  	Implementation specification I-8250 language processor.	  	 	TXu000026206	  
			
	 NCR Corporation
	  	Applied systems implementation reference manual, N C R I-8150, interactive hospital management system.	  	 	TXu000026233	  
			
	 NCR Corporation
	  	Cobol program : FAC580 01.	  	 	TXu000028965	  
			
	 NCR Corporation
	  	Mission MMS V3.0	  	 	TXu000028966	  
			
	 NCR Corporation
	  	8300-0201 I-8150 interactive direct processing system : IDPS/LF release 04.08.20 / author, David Perkins.	  	 	TXu000028967	  

					
	 Registered Owner
	  	 Title
	  	Registration No.
			
	 NCR Corporation
	  	8400 IRX compile time Cobol system functional specification.	  	TXu000028968
			
	 NCR Corporation
	  	8060-0704 IMOS III remote batch communications : IMOS III release 04.00.00.	  	TXu000028969
			
	 NCR Corporation
	  	Functional specification for 8400 IRX disc utilities : release 1.03 / prepared by W. S. Nidzrik, Wally Niizleko.	  	TXu000028970
			
	 NCR Corporation
	  	8400 IRX run time Cobol system functional specification.	  	TXu000028971
			
	 NCR Corporation
	  	8060-0702 IMOS III utilities : IMOS III release 04.00.02.	  	TXu000028972
			
	 NCR Corporation
	  	Implementation specification I-8250 utility billing.	  	TXu000028973
			
	 NCR Corporation
	  	Implementation specification I 8150 interactive utility management system.	  	TXu000028974
			
	 NCR Corporation
	  	Functional specification for 8400 interpretive Basic / prepared by F. Allan Goodman.	  	TXu000028975
			
	 NCR Corporation
	  	8163-0503 N C R medics ATD.	  	TXu000028976
			
	 NCR Corporation
	  	8221-0701 order processing and sales analysis 8221-0702 inventory (IWDS/IRX)	  	TXu000028977
			
	 NCR Corporation
	  	MV TW3 V04Q0 coach 1 flexible disk testware.	  	TXu000028978
			
	 NCR Corporation
	  	8071-0314 IWDS/IGAS payroll.	  	TXu000028979
			
	 NCR Corporation
	  	8311-0201 order processing, 8311-0101 sales analysis.	  	TXu000028980
			
	 NCR Corporation
	  	8071-0301 IWDS order procg./sales analysis, 8071-0302 inventory control.	  	TXu000028981
			
	 NCR Corporation
	  	MV VS2 V01Q0 (S.C.)	  	TXu000031417
			
	 NCR Corporation
	  	MV TW3 V04Q0 coach 1 and coach 2 (S.C.)	  	TXu000031418
			
	 NCR Corporation
	  	MV VS3 V01Q0 (S.C.)	  	TXu000031419
			
	 NCR Corporation
	  	Service master V08Q0 (S.C.)	  	TXu000031420
			
	 NCR Corporation
	  	8214-1201 IGAS II—accounts receivable-I, 8214-1202 IGAS II— accounts payable-I, 8214-1203 IGAS II—general ledger-I, Interactive general accounting system.	  	TXu000031421
			
	 NCR Corporation
	  	8214-1204 IGAS II—payroll I / author, N C R Corporation.	  	TXu000031422
			
	 NCR Corporation
	  	C-2140-7201, 7207, 7212, 7214 & 7215 general purpose ECR (S.C.)	  	TXu000031423
			
	 NCR Corporation
	  	8210-0908 network definition language processor O/C.	  	TXu000031424
			
	 NCR Corporation
	  	8210-0908 network definition language processor S/C.	  	TXu000031425
			
	 NCR Corporation
	  	8210-0904 COBUG VRX O/C.	  	TXu000032040
			
	 NCR Corporation
	  	8210-0902 operating system VRX-S/C.	  	TXu000032041
			
	 NCR Corporation
	  	AK-2140-K206-0000 integrated communications concentrator OPR S/O C.	  	TXu000032042
			
	 NCR Corporation
	  	AK-2140-K228-0000 common carrier communication OPF phase II S/O C.	  	TXu000032043
			
	 NCR Corporation
	  	8210-0912 CAM/VRX utilities S/O C.	  	TXu000032044
			
	 NCR Corporation
	  	8210-1501 NCS Cobol “74” compiler S/O C.	  	TXu000032045
			
	 NCR Corporation
	  	8210-0905 NEAT/VS compiler VRX S/O C.	  	TXu000032046
			
	 NCR Corporation
	  	AK-2140-K207-0000 auto scale OPF S/O C.	  	TXu000032296
			
	 NCR Corporation
	  	8210-0909 VRX online program development O/C.	  	TXu000032297
			
	 NCR Corporation
	  	8210-0909 VRX online program development S/C.	  	TXu000032298
			
	 NCR Corporation
	  	8210-0903 VRX Cobol ‘74’ compiler O/C.	  	TXu000032299
			
	 NCR Corporation
	  	8210-2001 8400 IRX utilities software S/O C.	  	TXu000032768
			
	 NCR Corporation
	  	IRX firmware (IS3VO5QO) S/O C.	  	TXu000032769
			
	 NCR Corporation
	  	IRX firmware (IS3VO6QO) S/O C.	  	TXu000032770
			
	 NCR Corporation
	  	8210-2002 8400 IRX Cobol “74” compiler software S/O C.	  	TXu000032771
			
	 NCR Corporation
	  	8210-2000 8400 IRX software S/O C.	  	TXu000032772
			
	 NCR Corporation
	  	AK-2140-K204-0000 common carrier communications OPF phase I S/O C.	  	TXu000032773
			
	 NCR Corporation
	  	8210-0903 VRX Cobol “74” compiler S/C.	  	TXu000032774

					
	 Registered Owner
	  	 Title
	  	Registration No.
			
	 NCR Corporation
	  	Stores level IV S/O C 8199-0101.	  	TXu000032775
			
	 NCR Corporation
	  	8219-1402 IMCS II inventory control S/O C.	  	TXu000032776
			
	 NCR Corporation
	  	8219-1405 IMCS II work-in-process S/O C.	  	TXu000032777
			
	 NCR Corporation
	  	8390-0104 I-8130 wholesale banking general ledger S/C.	  	TXu000032778
			
	 NCR Corporation
	  	8219-1401 IMCS II bill of material S/O C.	  	TXu000032779
			
	 NCR Corporation
	  	8287-0106 & 8287-0107 N C R 2160 maintain S/C.	  	TXu000032780
			
	 NCR Corporation
	  	8219-1404 IMCS II routing S/O C.	  	TXu000032781
			
	 NCR Corporation
	  	VRX5/3.1 job specifications : functional specification : DRD no. 10 / Engineering & Manufacturing Division [N C R Corporation] ; prepared by G. Maattanen.	  	TXu000033539
			
	 NCR Corporation
	  	IMOS III extended Basic : IMOS III release 04.01.00 : product ID, 8060-1204-0000.	  	TXu000033540
			
	 NCR Corporation
	  	8155-2201-5 century, 8215-2201-5 criterion C I F (central information file) : series C, release 2, S/O C.	  	TXu000033541
			
	 NCR Corporation
	  	8155-2301 century, 8215-2301 criterion FCS on-line C I F : series C, release 2, S/O C.	  	TXu000033542
			
	 NCR Corporation
	  	8155-2206 & 8215-2206 A T F (automatic transfer of funds) : series C, release 2, S/O C.	  	TXu000033543
			
	 NCR Corporation
	  	AK-2140-K205-0000 in-house communications OPF S/O C.	  	TXu000033544
			
	 NCR Corporation
	  	821901403 IMCS II material requirements planning S/O C.	  	TXu000033545
			
	 NCR Corporation
	  	8219-1406 IMCS II capacity planning S/O C : N C R-IMOS Cobol compilation : version 04.03.04.	  	TXu000033546
			
	 NCR Corporation
	  	8219-1407 IMCS II order processing S/O C : N C R-IMOS Cobol compilation : version 04.03.04.	  	TXu000033547
			
	 NCR Corporation
	  	8300-0108-0000 I-8130 IDPS operating system, issue 5 AMB- SFOPSY 0504-00 S/O C.	  	TXu000033682
			
	 NCR Corporation
	  	Interactive site configurator : N C R field engineering bulletin.	  	TXu000033683
			
	 NCR Corporation
	  	8210-0905 NEAT/VS compiler VRX S/C.	  	TXu000033684
			
	 NCR Corporation
	  	AID-DA1DDM0100 (S/O C), MCS intercoupler driver.	  	TXu000033685
			
	 NCR Corporation
	  	VS1 V10Q0.	  	TXu000034359
			
	 NCR Corporation
	  	MV TW3 coach 2 V03Q0 disk.	  	TXu000034360
			
	 NCR Corporation
	  	VRX6/5.0 telecommunications software : functional specification, DRD no. 10, May 1, 1979 / prepared by S. Kensil.	  	TXu000034361
			
	 NCR Corporation
	  	BU 2140-7507-1001 international phase I, level C release S/O C.	  	TXu000034518
			
	 NCR Corporation
	  	BU 2140-2001-1090, 2140-2101, 06, 18-1090 U. S. S/O C.	  	TXu000034519
			
	 NCR Corporation
	  	BU 2140-7001-1090 & BU 2140-7005-1090 phase I S/O C.	  	TXu000034520
			
	 NCR Corporation
	  	BU 2140-7201, 14 & 15-1090 7000 phase III U. S. S/O C.	  	TXu000034521
			
	 NCR Corporation
	  	BU 2140-1502-1090 & BU 2140-1519-1090 model 1500 F/W, S/O C.	  	TXu000034522
			
	 NCR Corporation
	  	BU 2140-2509-1001 & 4301 non-integrated MPB international S/O C.	  	TXu000034523
			
	 NCR Corporation
	  	BU 2140-7115-1090 Glidden Paints SCER S/O C.	  	TXu000034524
			
	 NCR Corporation
	  	BU 2140-2101-R003 Skag Drug SCER S/O C.	  	TXu000034525
			
	 NCR Corporation
	  	AK 2140-K227 “Data Capture” phase II S/O C.	  	TXu000034526
			
	 NCR Corporation
	  	BU 2140-7001-R002 model 7000 Peoples Drug S/O C.	  	TXu000034527
			
	 NCR Corporation
	  	AK 2140-P701-0000 1500 series NLU S/O C.	  	TXu000034528
			
	 NCR Corporation
	  	8156-0201, 2, 3, 5 & 7, 8216-0201, 2, 3, 5 & 7 Class (loans andsavings system) series B, release 1, S/O C / N C R Corporation.	  	TXu000035877
			
	 NCR Corporation
	  	8156-0208 & 8216-0208 Laser/Atos (Loans & savings executive routine) release 3, O/C / N C R Corporation.	  	TXu000035878
			
	 NCR Corporation
	  	8155-2101 & 8215-2101 Factsystem I for the V R X operating system, release 1, S/O C / N C R Corporation.	  	TXu000035879
			
	 NCR Corporation
	  	8156-0204 & 8216-0204 Tops-terminal operating system release 5, O/C / N C R Corporation.	  	TXu000035880
			
	 NCR Corporation
	  	Service master use procedure.	  	TXu000035881

					
	 Registered Owner
	  	 Title
	  	Registration No.
	 NCR Corporation
	  	8290-0101 SW, GP checkout 32CL 2095801191.	  	TXu000035882
			
	 NCR Corporation
	  	AMB-SFDIAG0500-00 I-8130 system diagnostics, release 5, S/O C.	  	TXu000035883
			
	 NCR Corporation
	  	8210-2002 8400 IRX Cobol ‘74’ compiler software S/O C (rel. 2)	  	TXu000038274
			
	 NCR Corporation
	  	8210-2000 8400 IRX software S/O C (rel. 2)	  	TXu000038277
			
	 NCR Corporation
	  	IRX firmware (IS3VO7QO) S/O C (rel. 2)	  	TXu000038278
			
	 NCR Corporation
	  	8210-2001 8400 IRX utilities software S/O C (rel. 2)	  	TXu000038279
			
	 NCR Corporation
	  	7500 configurable communications systems, S/O C.	  	TXu000038280
			
	 NCR Corporation
	  	VRX Tran-Quest BOA-TRNQST0100-00 S/O C.	  	TXu000038281
			
	 NCR Corporation
	  	8215-2003 VIPS batch statistical subsystem S/O C.	  	TXu000038282
			
	 NCR Corporation
	  	8071-0202 SPIRIT V (82XX) S/O C.	  	TXu000038283
			
	 NCR Corporation
	  	SWING, BAB-SWING 100-00, S/O C.	  	TXu000038284
			
	 NCR Corporation
	  	Bar restaurant release 1.0 (AKAFSBR10010000) S.C.	  	TXu000038285
			
	 NCR Corporation
	  	8210-2202 VRX TRAN-PRO S/O C.	  	TXu000038286
			
	 NCR Corporation
	  	8210-2201 TRAN-PRO S/O C.	  	TXu000038287
			
	 NCR Corporation
	  	8290-0150 SW, GP data capture, 2595801291.	  	TXu000038288
			
	 NCR Corporation
	  	Punch-card site configurator.	  	TXu000038289
			
	 NCR Corporation
	  	8290-0130 SW, GP checkout 8CL 118DT, 2095801491.	  	TXu000038290
			
	 NCR Corporation
	  	8290-0140 SW, data center D/C 2595801191.	  	TXu000038291
			
	 NCR Corporation
	  	8290-0120 SW, post sel; chg post 2095801391.	  	TXu000038292
			
	 NCR Corporation
	  	8290-0110 SW, GP checkout 2095801291.	  	TXu000038293
			
	 NCR Corporation
	  	BU-2140-2106-R001 volume shoes, S/O C.	  	TXu000038294
			
	 NCR Corporation
	  	8155-2002 VIPS real time cash letter S/O C.	  	TXu000038295
			
	 NCR Corporation
	  	Stores I & Dare—constructor : 8289-0102-0000 & 8290-0203-0000, S/O C.	  	TXu000040338
			
	 NCR Corporation
	  	BG 9024-G001 MINI-VIPS subroutine S/O C.	  	TXu000040339
			
	 NCR Corporation
	  	8060-0502 and 8185-0308 multi-leaving remote job entry workstation S/O C.	  	TXu000040340
			
	 NCR Corporation
	  	8155-2006 on-line fine sort/exception item pull S/O C.	  	TXu000040341
			
	 NCR Corporation
	  	8067-0302 MINI VIPS concurrent reject reentry & balancing S/O C.	  	TXu000040342
			
	 NCR Corporation
	  	8067-0301 exception item handler (Cobol) S/O C.	  	TXu000040343
			
	 NCR Corporation
	  	8067-0204 IMOS Cobol stash builder S/O C.	  	TXu000040344
			
	 NCR Corporation
	  	8067-0203 high performance cash letter S/O C.	  	TXu000040345
			
	 NCR Corporation
	  	8067-0202 IMOS Cobol cash letter S/O C.	  	TXu000040346
			
	 NCR Corporation
	  	MV VS3 V02Q0 O/C.	  	TXu000040347
			
	 NCR Corporation
	  	MV VS2 V02Q1 O/C.	  	TXu000040348
			
	 NCR Corporation
	  	MV VS1 V11Q0 O/C.	  	TXu000040349
			
	 NCR Corporation
	  	CKA-SPIMS 0300 S/O C.	  	TXu000040350
			
	 NCR Corporation
	  	IP3 V01Q0 6780 MICR reader-sorter, virtual level S/C.	  	TXu000040351
			
	 NCR Corporation
	  	8210-0908 VRX network description language processor O/C.	  	TXu000042670
			
	 NCR Corporation
	  	8210-0912 VRX CAM/VRX utilities O/C.	  	TXu000042671
			
	 NCR Corporation
	  	8210-0909 VRX on-line program development S/C.	  	TXu000042672
			
	 NCR Corporation
	  	8210-0905 VRX NEAT/VS compiler O/C.	  	TXu000042673
			
	 NCR Corporation
	  	8210-0905 VRX NEAT/VS compiler S/C.	  	TXu000042674
			
	 NCR Corporation
	  	8210-0902 VRX operating system S/C (includes 8210-0910 & 0911)	  	TXu000042675
			
	 NCR Corporation
	  	8210-1501 century NCS COBOL 74 compiler O/C.	  	TXu000042676
			
	 NCR Corporation
	  	8210-0908 VRX network description language processor S/C.	  	TXu000042677
			
	 NCR Corporation
	  	8210-0903 VRX COBOL compiler O/C.	  	TXu000042678
			
	 NCR Corporation
	  	8210-0907 VRX terminal communications processor O/C.	  	TXu000042679
			
	 NCR Corporation
	  	8210-0902 VRX operating system O/C (includes 8210-0910 & 0911)	  	TXu000042680
			
	 NCR Corporation
	  	8210-0912 VRX CAM/VRX utilities S/C.	  	TXu000042681
			
	 NCR Corporation
	  	8210-0903 VRX COBOL compiler S/C.	  	TXu000042682
			
	 NCR Corporation
	  	8210-1501 century NCS COBOL 74 compiler S/C.	  	TXu000042683
			
	 NCR Corporation
	  	8210-0909 VRX on-line program development O/C.	  	TXu000042684

					
	 Registered Owner
	  	 Title
	  	Registration No.
	 NCR Corporation
	  	IP3 V01Q0 6780 MICR reader-sorter, primitive level S/C.	  	TXu000042685
			
	 NCR Corporation
	  	MV VS3 V02Q0 S/C.	  	TXu000042686
			
	 NCR Corporation
	  	MV VS2 V02Q1 S/C.	  	TXu000042687
			
	 NCR Corporation
	  	MV VS2 V02Q0 S/C.	  	TXu000042688
			
	 NCR Corporation
	  	MV VS1 V11Q0 S/C.	  	TXu000042689
			
	 NCR Corporation
	  	IP3 VO1QO 6780 MICR reader-sorter O/C.	  	TXu000042690
			
	 NCR Corporation
	  	MV VS2 VO2QO O/C.	  	TXu000042691
			
	 NCR Corporation
	  	MV VRT VO5QO O/C.	  	TXu000042692
			
	 NCR Corporation
	  	8185-0403 7750-CIRS-BTOT S/O C.	  	TXu000042693
			
	 NCR Corporation
	  	8300-0110/8300-0410 I-8130/8140 SF 299-interpreter/I-8140 SFE299-interpreter AMH-299SIMO101 S/C.	  	TXu000042694
			
	 NCR Corporation
	  	8300-0110/8300-0410 I-8130/8140 SF 299-interpreter/I-8140 SFE299-interpreter AMH-299SIMO101 O/C.	  	TXu000042695
			
	 NCR Corporation
	  	Fast food release 2.0 (AKAFSFF2X010000) S.C.	  	TXu000042696
			
	 NCR Corporation
	  	8155-2001 concurrent reject-reentry and balancing S/O C.	  	TXu000042697
			
	 NCR Corporation
	  	8270-0901 tranmaster S/O/C.	  	TXu000044696
			
	 NCR Corporation
	  	Implementation specification, I-8150 language processor : November 1978.	  	TXu000046382
			
	 NCR Corporation
	  	8071-0610 (IMOS III) 8221-0610 (IRX) status III payroll S/O C /author, N C R Corporation.	  	TXu000046587
			
	 NCR Corporation
	  	8150-2701, 8210-0140, 8400/8500 N-mode recom (DLC)-century/8300 N-mode recom (DLC) S/O C / author, Retail Applied Systems.	  	TXu000046588
			
	 NCR Corporation
	  	Century intercoupler I/O driver S/O C.	  	TXu000046589
			
	 NCR Corporation
	  	8390-0102 IBS—fixed accounts suite S/O C.	  	TXu000046590
			
	 NCR Corporation
	  	MV VS2 V03Q0 firmware O/C.	  	TXu000047054
			
	 NCR Corporation
	  	8390-0101 IBS current accounts suite S/O C.	  	TXu000047055
			
	 NCR Corporation
	  	BU 2140-7101, 7114 & 7115-1090 model 7000 phase II domestic S/O C.	  	TXu000049497
			
	 NCR Corporation
	  	BU-2140-7616-1000 international, phase 2, level C, S/O C.	  	TXu000049498
			
	 NCR Corporation
	  	BU 2140-2101-1090 Sears SCER S/O C.	  	TXu000049499
			
	 NCR Corporation
	  	MV VS3 VO3QO firmware S/C.	  	TXu000049987
			
	 NCR Corporation
	  	Foreign/domestic keycode listings—C7500—release 9 S/O C.	  	TXu000049988
			
	 NCR Corporation
	  	IRX firmware (IS3VO8QO) S/O C (release 3)	  	TXu000049989
			
	 NCR Corporation
	  	MV VS2 VO3QO firmware S/C.	  	TXu000049990
			
	 NCR Corporation
	  	AME-FIDTP0411-00 C-4504 printer firmware S/O C.	  	TXu000049991
			
	 NCR Corporation
	  	8304-0101 status II accounts payable S/O/C.	  	TXu000049992
			
	 NCR Corporation
	  	8315-0211 interactive utility management system S/O C.	  	TXu000049993
			
	 NCR Corporation
	  	8159-1310, 8219-1310 mission capacity requirements planning S/O C.	  	TXu000049994
			
	 NCR Corporation
	  	C1780 terminal control software S/O C.	  	TXu000049995
			
	 NCR Corporation
	  	8159-1309, 8219-1309 Mission order processing system S/O C.	  	TXu000049996
			
	 NCR Corporation
	  	MV VS3 VO3QO firmware O/C.	  	TXu000049997
			
	 NCR Corporation
	  	MV RS1 V13QO firmware O/C.	  	TXu000049998
			
	 NCR Corporation
	  	MV RS1 V13QO firmware S/C.	  	TXu000051760
			
	 NCR Corporation
	  	8390-0114 IBS general ledger S/C.	  	TXu000051761
			
	 NCR Corporation
	  	8390-0113 IBS fixed accounts S/C.	  	TXu000051762
			
	 NCR Corporation
	  	Item processing control system S/O C.	  	TXu000051763
			
	 NCR Corporation
	  	8270-0701, 8275-0401-2-3-4-5 & 6, financial terminal management system S/C.	  	TXu000051764
			
	 NCR Corporation
	  	8065-0401 WBIS general ledger S/O C.	  	TXu000051765
			
	 NCR Corporation
	  	C7500 disk based media conversion (I.E.C. D3.5) S/O C.	  	TXu000052809
			
	 NCR Corporation
	  	C7900 keyboard controller chip (ITF-1D) S/O C.	  	TXu000052810
			
	 NCR Corporation
	  	C7900 keyboard controller ROMs (ITF-1P model III) S/O C.	  	TXu000052811
			
	 NCR Corporation
	  	C7500 cassette based media conversion I.E.C. C5.5 S/O C.	  	TXu000052812

					
	 Registered Owner
	  	 Title
	  	Registration No.
	 NCR Corporation
	  	C7900 character and keyboard controller ROMs (ITF-1A) S/O C.	  	TXu000052813
			
	 NCR Corporation
	  	C7900 international keyboard controller ROM (ITF-1A Ph. III) S/O C.	  	TXu000052814
			
	 NCR Corporation
	  	8290-0153 general purpose data capture 40/40 S/O C.	  	TXu000052815
			
	 NCR Corporation
	  	8290-0160 2 drawer bar system S/O C.	  	TXu000052816
			
	 NCR Corporation
	  	8290-0157 general purpose, D/C, MA, 40/40 S/O C.	  	TXu000052817
			
	 NCR Corporation
	  	8290-0119 general purpose checkout, MA, NLU, two tax, S/O C.	  	TXu000052818
			
	 NCR Corporation
	  	8290-0118 general purpose checkout, MA, NLU, S/O C.	  	TXu000052819
			
	 NCR Corporation
	  	8290-0115 general purpose checkout, MA, two tax, S/O C.	  	TXu000052820
			
	 NCR Corporation
	  	8290-0163 general purpose D/C, MA, dist. 40/40 S/O C.	  	TXu000052821
			
	 NCR Corporation
	  	8290-0164 fast food S/O C.	  	TXu000052822
			
	 NCR Corporation
	  	8290-0161 hotel/motel S/O C.	  	TXu000052823
			
	 NCR Corporation
	  	8290-0111 general purpose checkout, two tax S/O C.	  	TXu000052824
			
	 NCR Corporation
	  	8290-0124 post select charge posting, MA S/O C.	  	TXu000052825
			
	 NCR Corporation
	  	8290-0114 general purpose checkout, MA, S/O C.	  	TXu000052826
			
	 NCR Corporation
	  	8290-0143 data center D/C, 40/40 S/O C.	  	TXu000052827
			
	 NCR Corporation
	  	8290-0108 general purpose checkout, 32 clerks, MA, 40/40 S/O C.	  	TXu000052828
			
	 NCR Corporation
	  	8290-0147 data center D/C, MA, 40/40, S/O C.	  	TXu000052829
			
	 NCR Corporation
	  	8290-0104 general purpose checkout, 32 clerks, 40/40, S/O C.	  	TXu000052830
			
	 NCR Corporation
	  	8290-0162 general purpose checkout, MA, NLU, 40/40, S/O C.	  	TXu000052831
			
	 NCR Corporation
	  	8290-0117 general purpose checkout, MA, 40/40, S/O C.	  	TXu000052832
			
	 NCR Corporation
	  	8290-0127 post select, charge posting, MA, 40/40, S/O C.	  	TXu000052833
			
	 NCR Corporation
	  	8290-0113 general purpose checkout, 40/40, S/O C.	  	TXu000052834
			
	 NCR Corporation
	  	8290-0123 post select charge posting, 40/40, S/O C.	  	TXu000052835
			
	 NCR Corporation
	  	8290-0133 general purpose checkout, 8 clerks, 118DT, 40/40, S/O C.	  	TXu000052836
			
	 NCR Corporation
	  	8290-0165 waiter model, S/O C.	  	TXu000052837
			
	 NCR Corporation
	  	8290-0102 general purpose checkout, 32 CLK, two tax, S/O C.	  	TXu000052838
			
	 NCR Corporation
	  	8067-0701 automated teller machine systems, S/C.	  	TXu000052839
			
	 NCR Corporation
	  	NCR universal tax code file S/C.	  	TXu000052840
			
	 NCR Corporation
	  	8390-0114 IBS general ledger O/C.	  	TXu000052841
			
	 NCR Corporation
	  	8270-0701, 8275-0401-2-3-4-5 & 6 financial terminal management system, S/C rel. 2.	  	TXu000052842
			
	 NCR Corporation
	  	8390-0111 IBS current accounts, S/C.	  	TXu000052843
			
	 NCR Corporation
	  	8390-0111 IBS current accounts, O/C.	  	TXu000052844
			
	 NCR Corporation
	  	8390-0113 IBS fixed accounts, O/C.	  	TXu000052845
			
	 NCR Corporation
	  	7750 CIRS-CRECT S/C.	  	TXu000053864
			
	 NCR Corporation
	  	8159-1308 Mission work in process S/C.	  	TXu000053865
			
	 NCR Corporation
	  	8290-0121 post select charge posting, two tax S/O C.	  	TXu000053866
			
	 NCR Corporation
	  	8290-0125 post select charge posting, MA, two tax S/O C.	  	TXu000053867
			
	 NCR Corporation
	  	8290-0105 general purpose checkout, 32 CLK, MA, S/O C.	  	TXu000053868
			
	 NCR Corporation
	  	8290-0137 checkout, 8 clerks, 118DT, MA, 40/40 S/O C.	  	TXu000053869
			
	 NCR Corporation
	  	8290-0155 general purpose data capture, MA, two tax, S/O C.	  	TXu000053870
			
	 NCR Corporation
	  	8290-0106 general purpose checkout 32 CLK, MA, two tax, S/O C.	  	TXu000053871
			
	 NCR Corporation
	  	8290-0131 general purpose checkout 8 CLK, 118DT, two tax S/O C.	  	TXu000053872
			
	 NCR Corporation
	  	8313-0101 interactive group practice management system S/O C.	  	TXu000053873
			
	 NCR Corporation
	  	8290-0144 data center/data capture, MA, S/O C.	  	TXu000053874
			
	 NCR Corporation
	  	8290-0141 data center/data capture, two tax, S/O C.	  	TXu000053875
			
	 NCR Corporation
	  	8290-0158 general purpose data capture, MA, Dist, S/O C.	  	TXu000053876
			
	 NCR Corporation
	  	8290-0154 general purpose data capture, MA, S/O C.	  	TXu000053877
			
	 NCR Corporation
	  	8290-0151 general purpose data capture, two tax, S/O C.	  	TXu000053878
			
	 NCR Corporation
	  	8290-0134 general purpose checkout, 8 CLK, 118DT, MA, S/O C.	  	TXu000053879
			
	 NCR Corporation
	  	8290-0135 general purpose checkout, 8 CLK, 118DT, MA, two tax, S/O C.	  	TXu000053880
			
	 NCR Corporation
	  	8290-0159 general purpose data capture, MA, Dist, two tax, S/O C.	  	TXu000053881

					
	 Registered Owner
	  	 Title
	  	Registration No.
	 NCR Corporation
	  	8290-0145 data center/data capture, MA, two tax, S/O C.	  	TXu000054318
			
	 NCR Corporation
	  	C7500 cassette data entry (I. E. C. C5.5, ER00194) S/O C.	  	TXu000054319
			
	 NCR Corporation
	  	C7500 boot and initialization ROM’s (ER00201, 2 & 3) S/O C.	  	TXu000054320
			
	 NCR Corporation
	  	8313-0301 interactive hospital management system S/O C.	  	TXu000054321
			
	 NCR Corporation
	  	8071-0609, 8221-0609 Status III general ledger S/O C.	  	TXu000054322
			
	 NCR Corporation
	  	8071-0607, 8221-0607 Status III accounts receivable S/O C.	  	TXu000054323
			
	 NCR Corporation
	  	8210-0905 VRX NEAT/VS compiler O/C.	  	TXu000057641
			
	 NCR Corporation
	  	C6410 international language firmware EPROMs (DR26074) S/O C.	  	TXu000057642
			
	 NCR Corporation
	  	8210-0401 VRX Fortran compiler O/C.	  	TXu000057643
			
	 NCR Corporation
	  	8210-0922 VRX TAM S/C.	  	TXu000057644
			
	 NCR Corporation
	  	8210-0909 VRX on-line program development S/C.	  	TXu000057645
			
	 NCR Corporation
	  	8210-0401 VRX Fortran compiler S/C.	  	TXu000057646
			
	 NCR Corporation
	  	8210-0905 VRX NEAT/VS compiler S/C.	  	TXu000057647
			
	 NCR Corporation
	  	8210-0902 VRX operating system O/C.	  	TXu000057648
			
	 NCR Corporation
	  	8210-0902 VRX operating system S/C.	  	TXu000057649
			
	 NCR Corporation
	  	8210-0918 VRX system performance monitor S/C.	  	TXu000057650
			
	 NCR Corporation
	  	8210-0903 VRX Cobol compiler O/C.	  	TXu000057651
			
	 NCR Corporation
	  	8210-0908 VRX network description language processor O/C.	  	TXu000057652
			
	 NCR Corporation
	  	8210-0904 VRX COBUG S/C.	  	TXu000057653
			
	 NCR Corporation
	  	8210-0908 VRX network description language processor S/C.	  	TXu000057654
			
	 NCR Corporation
	  	8210-0907 VRX terminal communications processor O/C.	  	TXu000057655
			
	 NCR Corporation
	  	8229-0504 purchase order management module S/O C.	  	TXu000057656
			
	 NCR Corporation
	  	8210-0909 VRX on-line program development O/C.	  	TXu000057657
			
	 NCR Corporation
	  	8287-0301, 2, 3 & 4—255/726 front end applications S/O C.	  	TXu000057658
			
	 NCR Corporation
	  	8229-0501 MARS-BASE module S/O C.	  	TXu000057659
			
	 NCR Corporation
	  	8155-2004 VIPS microfilm archival retrieval S/O C.	  	TXu000057660
			
	 NCR Corporation
	  	IMOS/IRX level II installation process S/O C.	  	TXu000057661
			
	 NCR Corporation
	  	8219-1603 MISSION cost S/O C.	  	TXu000057662
			
	 NCR Corporation
	  	8210-2202 VRX TRAN-PRO, release 2, O/C.	  	TXu000057663
			
	 NCR Corporation
	  	8219-1602 MISSION, release 1, bill of material S/O C.	  	TXu000057664
			
	 NCR Corporation
	  	Level I installation process S/O C.	  	TXu000057665
			
	 NCR Corporation
	  	8219-1604 mission routing S/OC.	  	TXu000058565
			
	 NCR Corporation
	  	8071-0608 (IMOS III) & 8221-0608 (IRX) status III accounts payable S/O C.	  	TXu000059297
			
	 NCR Corporation
	  	C7900 model II keyboard controller ROMs (model O) (DR25339) S/O C.	  	TXu000060867
			
	 NCR Corporation
	  	G340-0301 mission inventory management system S/O C.	  	TXu000060868
			
	 NCR Corporation
	  	G340-0501 mission material requirements planning S/O C.	  	TXu000060869
			
	 NCR Corporation
	  	G340-0401 mission material management system S/O C.	  	TXu000060870
			
	 NCR Corporation
	  	8223-0801, 2, 3, 4, 5 & 7 interactive hospital information system S/O C (IHIS)	  	TXu000060871
			
	 NCR Corporation
	  	Master production scheduling S/O C.	  	TXu000060872
			
	 NCR Corporation
	  	8075-0201 interactive financial management system S/O C.	  	TXu000060873
			
	 NCR Corporation
	  	8071-0601 & 2, 8221-0601 & 2, item S/O C.	  	TXu000060874
			
	 NCR Corporation
	  	8210-0903 VRX Cobol Compiler S/C.	  	TXu000061758
			
	 NCR Corporation
	  	8275-0401 financial terminal management system rel. 2.01 S/O C.	  	TXu000061759
			
	 NCR Corporation
	  	G307-0301 IIBS current accounts O/C.	  	TXu000061760
			
	 NCR Corporation
	  	G307-0301 IIBS current accounts S/C.	  	TXu000061761
			
	 NCR Corporation
	  	G307-0201 IIBS reconciliation S/C.	  	TXu000061762
			
	 NCR Corporation
	  	G307-0101 IIBS general ledger O/C.	  	TXu000061763
			
	 NCR Corporation
	  	G307-0101 IIBS general ledger S/C.	  	TXu000061764
			
	 NCR Corporation
	  	G307-0401 IIBS customer liability/bank borrowing O/C.	  	TXu000061765
			
	 NCR Corporation
	  	G307-0401 IIBS customer liability/bank borrowing S/C.	  	TXu000061766

					
	 Registered Owner
	  	 Title
	  	Registration No.
			
	 NCR Corporation
	  	8071-0610 (IMOS III/V) & 8221-0610 (IRX) status III payroll S/O C.	  	TXu000061767
			
	 NCR Corporation
	  	8210-2001 8400 IRX utilities software S/O C, rel. 3.	  	TXu000063308
			
	 NCR Corporation
	  	8210-2002 8400 IRX Cobol ‘74’ compiler software S/O C, rel. 3.	  	TXu000063309
			
	 NCR Corporation
	  	8210-2000 8400 IRX software S/O C, rel. 3.	  	TXu000063310
			
	 NCR Corporation
	  	8300-0108, I-8130/8140 IDPS operating system, issue 6, S/O C.	  	TXu000063311
			
	 NCR Corporation
	  	8300-0110/0410 I-8130/8140 SF 299-interpreter/I-8140 SFE 299-interpreter S/C AMH-299SIM0201.	  	TXu000063312
			
	 NCR Corporation
	  	8300-0108 IDPS-SFE operating system + utilities, issue 1, S/O C.	  	TXu000063313
			
	 NCR Corporation
	  	8300-0110/0410 I-8130/8140 SF 299-interpreter/I-8140 SFE 299-interpreter AMH-299SIM0102 O/C.	  	TXu000063314
			
	 NCR Corporation
	  	8300-0110/0410 I-8130/8140 SF 299-interpreter/I-8140 SFE 299-interpreter O/C AMH-299SIM0201.	  	TXu000063315
			
	 NCR Corporation
	  	8300-0110/0410 I-8130/8140 SF 299-interpreter/I-8140 SFE 299-interpreter S/C AMH-299SIM0102.	  	TXu000063316
			
	 NCR Corporation
	  	G306-0101 WBIS general ledger S/O C, rel. 2 / author, Robert J. Leach.	  	TXu000063317
			
	 NCR Corporation
	  	G306-0301 WBIS foreign exchange S/O C / author, Maurice Seal.	  	TXu000063318
			
	 NCR Corporation
	  	TW3 VO5QO coach 1 & coach 2 S/C.	  	TXu000064874
			
	 NCR Corporation
	  	G307-0402 IIBS customer liability/bank borrowing O/C.	  	TXu000064875
			
	 NCR Corporation
	  	G307-402 IIBS customer liability/bank borrowing S/C.	  	TXu000064876
			
	 NCR Corporation
	  	TW3 V05Q0 coach I testware flexible disc O/C.	  	TXu000064877
			
	 NCR Corporation
	  	TW3 V05Q0 coach 2 testware flexible disc O/C.	  	TXu000064878
			
	 NCR Corporation
	  	5330 issue 1.0 S/O C.	  	TXu000067200
			
	 NCR Corporation
	  	8276-0501 & 2, 8276-0601 & 2, thrift C/D system/M2 rel. 2.01 S/O C.	  	TXu000067627
			
	 NCR Corporation
	  	7900 model 1, phase 3 international character generator (DR25380) S/O C.	  	TXu000068946
			
	 NCR Corporation
	  	7900 model 4, domestic firmware (DR25469) S/O C.	  	TXu000068947
			
	 NCR Corporation
	  	D002-0003 VRX Cobol compiler (release 8) S/C.	  	TXu000070990
			
	 NCR Corporation
	  	D002-0015 VRX network definition language processor (NDLP) (release 8) O/C.	  	TXu000070991
			
	 NCR Corporation
	  	G2G1-0901 order processing system S/O C.	  	TXu000070992
			
	 NCR Corporation
	  	G2G1-1001 capacity requirements planning S/O C.	  	TXu000070993
			
	 NCR Corporation
	  	G306-0201 WBIS current and advance accounts S/O C.	  	TXu000070994
			
	 NCR Corporation
	  	8289-010 STORES I software S/O C.	  	TXu000072111
			
	 NCR Corporation
	  	8071-0610 (IMOS III) & 8221-0610 (IRX) STATUS III payroll (rel.2.2) S/O C.	  	TXu000072112
			
	 NCR Corporation
	  	2-drawer charge poster M/A 2195400101 (CW D104-1202) S/O C.	  	TXu000072113
			
	 NCR Corporation
	  	D002-0015 VRX network definition language processor (NDLP) (rel. 8) S.C.	  	TXu000072114
			
	 NCR Corporation
	  	D303-0101 (IMOS III) & D303-0102 (IRX) customizer S/O C.	  	TXu000072115
			
	 NCR Corporation
	  	8289-0102 stores I constructor S/O C.	  	TXu000072343
			
	 NCR Corporation
	  	D002-0004 VRX Fortran 77 compiler (rel. 8) O/C.	  	TXu000072346
			
	 NCR Corporation
	  	D002-0003 VRX Cobol compiler (release 8) O/C.	  	TXu000073630
			
	 NCR Corporation
	  	D002-0027 VRX system performance measurement (SPM) (release 8) S/C.	  	TXu000073631
			
	 NCR Corporation
	  	8067-0701 automated teller machines system release 2.00.06 S/O C.	  	TXu000073632
			
	 NCR Corporation
	  	8216-0209 Criterion, 8156-0209 Century, loan closing and tracking (release 1.1) S/O C.	  	TXu000073635
			
	 NCR Corporation
	  	Shoe store system M/A 2695801701 (CW D104-1102) S/O C.	  	TXu000073636
			
	 NCR Corporation
	  	8071-0608 (IMOS III) & 8221-0608 (IRX) status III accounts payable (release 2) S/O C.	  	TXu000073637
			
	 NCR Corporation
	  	2-drawer charge poster 2095400301 (CW D104-1201) S/O C.	  	TXu000073638
			
	 NCR Corporation
	  	Data center STARCOM 2595401101 (CW D104-0407) S/O C.	  	TXu000073821
			
	 NCR Corporation
	  	Shoe store system 2595801701 (CW D104-1101) S/O C.	  	TXu000073822

					
	 Registered Owner
	  	 Title
	  	Registration No.
			
	 NCR Corporation
	  	General purpose data capture G/L 2695400101 (CW D104-0408) S/O C.	  	TXu000073823
			
	 NCR Corporation
	  	Pre-select charge poster M/A 2195400201 (CW D104-0208) S/O C.	  	TXu000073824
			
	 NCR Corporation
	  	2140-1600-110 expanded grocery checkout (CW D104-1802) S/O C.	  	TXu000073825
			
	 NCR Corporation
	  	Pre-select charge poster 2095401101 (CW D104-0207) S/O C.	  	TXu000073826
			
	 NCR Corporation
	  	2140-1600-100 grocery checkout (CW D104-1801) S/O C.	  	TXu000073827
			
	 NCR Corporation
	  	D002-0005 VRX operating system (rel. 8) S/C.	  	TXu000075144
			
	 NCR Corporation
	  	D002-0009 VRX module library facility (rel. 8) S/C.	  	TXu000075145
			
	 NCR Corporation
	  	C7500 Royal Bank of Canada configurable communications (DR211) S/O C.	  	TXu000075146
			
	 NCR Corporation
	  	BU 2140-3002 & 3019-1090 model 3000 stand-alone phase I S/O C.	  	TXu000075370
			
	 NCR Corporation
	  	8156-0211 (Century) 8216-0211 (Criterion) CLASS N.O.W.accounts, series B : release 1, S/O C.	  	TXu000075371
			
	 NCR Corporation
	  	8071-0609, 8221-0609 Status III general ledger release 1.1 S/O C.	  	TXu000075712
			
	 NCR Corporation
	  	C7900 model III domestic firmware (in-house) (DR25388) S/O C.	  	TXu000075811
			
	 NCR Corporation
	  	7900 model III Katakana firmware (DR25489) S/O C.	  	TXu000075812
			
	 NCR Corporation
	  	5330 issue 1.1 S/O C.	  	TXu000076310
			
	 NCR Corporation
	  	C7900 model IV domestic firmware (DR25503) S/O C.	  	TXu000076888
			
	 NCR Corporation
	  	GOJ8-0902 (IMOS V), GOJ8-0901 (IRX) : IHIS admit form S/O C.	  	TXu000076889
			
	 NCR Corporation
	  	CW 8060-1202 IMOS V issue 1.04 utilities S/OC.	  	TXu000078387
			
	 NCR Corporation
	  	CW 8060-1208 IMOS V issue 1.04 remote batch subsystem S/OC.	  	TXu000078388
			
	 NCR Corporation
	  	CW 8060-1201 IMOS V issue 1.04 operating system S/OC.	  	TXu000078389
			
	 NCR Corporation
	  	CW 8060-1207 IMOS V issue 1.04 Cobol S/OC.	  	TXu000078390
			
	 NCR Corporation
	  	G2G1-1101 master production scheduling VRX mission S/O C.	  	TXu000078722
			
	 NCR Corporation
	  	8071-0602 (IMOS III) 8221-0602 (IRX) ITEM inventory 3.0 S/O C.	  	TXu000078723
			
	 NCR Corporation
	  	8071-0601 (IMOS III) 8221-0601 (IRX) ITEM order processing 3.0 S/O C.	  	TXu000078724
			
	 NCR Corporation
	  	8071-0603 (IMOS III) 8221-0603 (IRX) ITEM sales analysis 3.0 S/O C.	  	TXu000078725
			
	 NCR Corporation
	  	8071-0606 (IMOS III) 8221-0606 (IRX) ITEM purchase orders 3.0 S/O C.	  	TXu000078726
			
	 NCR Corporation
	  	8071-0604 (IMOS III) 8221-0604 (IRX) ITEM sales history 3.0 S/O C.	  	TXu000078727
			
	 NCR Corporation
	  	8071-0605 (IMOS III) 8221-0605 (IRX) ITEM sales commission 3.0 S/O C.	  	TXu000078728
			
	 NCR Corporation
	  	D206-0103 recom I S/O C rel. 2.	  	TXu000087553
			
	 NCR Corporation
	  	C7900 model 1 phase 1 & 2 international keyboard controller (DR25390) S/O C.	  	TXu000089477
			
	 NCR Corporation
	  	C7900 model III Arabic/Farsi firmware (DR25397) S/O C.	  	TXu000089478
			
	 NCR Corporation
	  	CW 8060-1208 IMOS V issue 2.00.07 remote batch subsystem S/O C.	  	TXu000089479
			
	 NCR Corporation
	  	CW 8060-1201 IMOS V issue 2.00.07 operating system S/O C.	  	TXu000089480
			
	 NCR Corporation
	  	CW 8060-1202 IMOS V issue 2.00.07 utilities S/O C.	  	TXu000089481
			
	 NCR Corporation
	  	DBS/IRX 1.00.09 S/C.	  	TXu000089482
			
	 NCR Corporation
	  	CW 8060-1207 IMOS V issue 2.00l07 Cobol S/O C.	  	TXu000089483
			
	 NCR Corporation
	  	G1C1-0501 interactive consolidated loans system (ICLS) S/O C.	  	TXu000089484
			
	 NCR Corporation
	  	D307-001 EZ-key S/O C.	  	TXu000089485
			
	 NCR Corporation
	  	BCN-PARCITOl0l PARSITC.FR Calma Tool S/O C.	  	TXu000089486
			
	 NCR Corporation
	  	D009-0004 IMOS V TRAN-PRO S/O C.	  	TXu000089532
			
	 NCR Corporation
	  	C7900 model I phase III international keyboards (DR25498) S/O C.	  	TXu000090665
			
	 NCR Corporation
	  	8071-0610 (IMOS III) 8221-0610 (IRX) STATUS III payroll S/O C(rel. 3) / author, N C R Corporation.	  	TXu000096464
			
	 NCR Corporation
	  	G4C2-0201-4 & 301 Universal Financial System Core Service rel. 1 S/O C.	  	TXu000096465
			
	 NCR Corporation
	  	G307-0401 & 2 IIBS customer liability and bank borrowing S/O C.	  	TXu000096466
			
	 NCR Corporation
	  	G307-0201 & 2 IIBS reconciliation S/O C.	  	TXu000096467

					
	 Registered Owner
	  	 Title
	  	Registration No.
			
	 NCR Corporation
	  	G307-0201 & 2 IIBS current accounts S/O C.	  	TXu000096468
			
	 NCR Corporation
	  	IRX firmware (IS1V02Q0/19050) S/C.	  	TXu000103049
			
	 NCR Corporation
	  	D002-0042 VRX NCR on-line text editor (NOTE) S/C : (rel. 9)	  	TXu000106106
			
	 NCR Corporation
	  	IRX firmware (IS3V09Q0/19040) S/C.	  	TXu000106107
			
	 NCR Corporation
	  	DBS/IRX 2.00.00 S/C.	  	TXu000106108
			
	 NCR Corporation
	  	D002-0002 VRX NEAT/VS compiler : (rel. 8) S/C.	  	TXu000106109
			
	 NCR Corporation
	  	C7900 model III Katakana firmware (DR25566) S/O C.	  	TXu000106110
			
	 NCR Corporation
	  	Stores I-4 software (G1P9-0005) S/O C.	  	TXu000106111
			
	 NCR Corporation
	  	8210-2000 8400 IRX software S/O C : (rel. 4)	  	TXu000106112
			
	 NCR Corporation
	  	D002-0027 VRX system performance measurement (SPM) S/C : (rel. 9)	  	TXu000106113
			
	 NCR Corporation
	  	IRX firmware (IS1V01Q0/19050) S/C.	  	TXu000106114
			
	 NCR Corporation
	  	D002-0018 VRX CAM/VRX utilities S/C : (rel. 9)	  	TXu000106115
			
	 NCR Corporation
	  	C7900 model III serial printer firmware (02 DR25413) S/O C.	  	TXu000106116
			
	 NCR Corporation
	  	C7500 cassette diagnostics (DR00239) S/O C.	  	TXu000106117
			
	 NCR Corporation
	  	C7500 disk diagnostics package (DR00240) S/O C.	  	TXu000106118
			
	 NCR Corporation
	  	Stores I-4 constructor (G1P9-0006) S/O C.	  	TXu000106119
			
	 NCR Corporation
	  	AMB-DPS DIA 0100-00, I-9010 diagnostic : (rel. 1) S/O C.	  	TXu000106120
			
	 NCR Corporation
	  	2140-7300 vocational application data capture model number 2 S/O C.	  	TXu000106121
			
	 NCR Corporation
	  	2140-7300 vocational application data capture model number 1 S/O C.	  	TXu000106122
			
	 NCR Corporation
	  	AMD-SFOPSY 07 04-09 IDPS/SF O.S. + utilities : rel. 7, S/O C.	  	TXu000106123
			
	 NCR Corporation
	  	AMD-SFOPSY 08 04-07 IDPS/SF O.S. + utilities : rel. 8, S/O C.	  	TXu000106124
			
	 NCR Corporation
	  	AMB-SFDIAG0700 IDPS/SF system diagnostics : rel. 7, S/O C.	  	TXu000106125
			
	 NCR Corporation
	  	D002-0004 VRX Fortran 77 compiler : (rel. 8) S/C.	  	TXu000106126
			
	 NCR Corporation
	  	D002-0002 VRX NEAT/VS compiler O/C : (rel. 9)	  	TXu000106127
			
	 NCR Corporation
	  	D002-0001 VRX operating system S/C : (rel. 9)	  	TXu000106128
			
	 NCR Corporation
	  	AMB-SFDIAGO600 IDPS/SF system diagnostics : rel. 6, S/O C.	  	TXu000106129
			
	 NCR Corporation
	  	MV TW1 V06Q0 coach 1, 1A & 2 flexible disk : S/C [& O/C]	  	TXu000106130
			
	 NCR Corporation
	  	D009-0012 NCR-DMS resource directory S/O C.	  	TXu000106131
			
	 NCR Corporation
	  	D009-0013 N C R-DMS data manager S/O C.	  	TXu000106132
			
	 NCR Corporation
	  	G307-0101 & 0102 IIBS general ledger S/O C.	  	TXu000106133
			
	 NCR Corporation
	  	Microcode volume VS2 V04Q0 flexible disk : S/C [& O/C]	  	TXu000106134
			
	 NCR Corporation
	  	Microcode volume RS1 V13Q1 flexible disk : S/C [& O/C]	  	TXu000106135
			
	 NCR Corporation
	  	Microcode volume VS3 V03Q1 flexible disk : S/C [& O/C]	  	TXu000106136
			
	 NCR Corporation
	  	Microcode volume VS1 V11Q1 flexible disk : S/C [& O/C]	  	TXu000106137
			
	 NCR Corporation
	  	Microcode volume RS3 V05Q1 flexible disk : S/C [& O/C]	  	TXu000106138
			
	 NCR Corporation
	  	Microcode volume VS6 V01Q0 quad density flexible disk : S/C [& O/C]	  	TXu000106139
			
	 NCR Corporation
	  	Medics-2950 ATD : Medics-2950 S/O C.	  	TXu000106140
			
	 NCR Corporation
	  	D009-0017 N C R-query tran-pro option.	  	TXu000108076
			
	 NCR Corporation
	  	D307-0002 EZ-key tran-pro option.	  	TXu000108077
			
	 NCR Corporation
	  	D009-0007 VRX tran-pro 7900 DLC terminal support.	  	TXu000108078
			
	 NCR Corporation
	  	D009-0018 N C R-query.	  	TXu000108079
			
	 NCR Corporation
	  	D009-0005 logical transaction recovery for CAM.	  	TXu000108080
			
	 NCR Corporation
	  	D009-0006 logical transaction recovery for Total.	  	TXu000108081
			
	 NCR Corporation
	  	D009-0009 VRX tran-pro III.	  	TXu000108082
			
	 NCR Corporation
	  	MV TW3 V06Q0 coach 1 & coach 2 flexible disks.	  	TXu000108083
			
	 NCR Corporation
	  	MV QSM V02Q0 flexible disk.	  	TXu000108084
			
	 NCR Corporation
	  	8071-0607, 8221-0607 status III accounts receivable.	  	TXu000108085
			
	 NCR Corporation
	  	8071-0601, 2, 3, 4, 5 & 6 (IMOS III), 8221-0601, 2, 3, 4, 5 & 6(IRX) item 4.0	  	TXu000108086
			
	 NCR Corporation
	  	8229-0501 MARS-BASE module : rel. 3 O/C.	  	TXu000108993
			
	 NCR Corporation
	  	C6410 international language firmware : (DR26187) S/O C.	  	TXu000108994
			
	 NCR Corporation
	  	C7900 model II international keyboards (DR25512) S/O C.	  	TXu000108995

					
	 Registered Owner
	  	 Title
	  	Registration No.
	 NCR Corporation
	  	C7900 model III domestic firmware (DR25517) S/O C.	  	TXu000108996
			
	 NCR Corporation
	  	D002-0042 VRX NCR on-line test editors.	  	TXu000108997
			
	 NCR Corporation
	  	D002-0040 VRX file catalog.	  	TXu000108998
			
	 NCR Corporation
	  	D002-0038 VRX IVS nucleus software.	  	TXu000108999
			
	 NCR Corporation
	  	8155-2301 & 2 century : 8215-2301 & 2 criterion CIF online series C : rel. 3.	  	TXu000109000
			
	 NCR Corporation
	  	G2G1-1101 VRX mission purchasing/receiving.	  	TXu000109001
			
	 NCR Corporation
	  	D002-0043 VRX interactive debug system.	  	TXu000109002
			
	 NCR Corporation
	  	D002-0041 VRX interactive utilities.	  	TXu000109003
			
	 NCR Corporation
	  	8276-0501 & 2 : 8276-0601 & 2 thrift C/D system/M2 : release3.00.02 S/O C.	  	TXu000109005
			
	 NCR Corporation
	  	D002-0015 VRX network definition language processor (NDLP) S/C (rel. 9)	  	TXu000109599
			
	 NCR Corporation
	  	D002-0009 VRX module library facility S/C (rel. 9)	  	TXu000109600
			
	 NCR Corporation
	  	VRX IVS user profile facility : D002-0039.	  	TXu000112405
			
	 NCR Corporation
	  	8155-2201-7, G2C2-1201 century, 8215-2201-7, G2C2-1201criterion CIF (central information file) : ser. C, rel. 3.	  	TXu000112406
			
	 NCR Corporation
	  	AMH, plug+play system : release 1.	  	TXu000112407
			
	 NCR Corporation
	  	GIE5-0004 4K ATMS-ASG : title, FAAPSER001.	  	TXu000112408
			
	 NCR Corporation
	  	MV VS3 V03Q2 flexible disk.	  	TXu000112409
			
	 NCR Corporation
	  	G3MO-0101 & 0201 2126 PLU maintenance package.	  	TXu000112410
			
	 NCR Corporation
	  	G1C1-0502 IIBS foreign exchange.	  	TXu000112411
			
	 NCR Corporation
	  	G4C2-0302 exception processing & reporting.	  	TXu000112412
			
	 NCR Corporation
	  	D401-0001 IPSS base software.	  	TXu000112413
			
	 NCR Corporation
	  	MV VS6 V02Q0 flexible disk.	  	TXu000113119
			
	 NCR Corporation
	  	D206-0201 IMOS III BDC I-RECOM : rel. 2.	  	TXu000113120
			
	 NCR Corporation
	  	MV TW1 V06Q1 coach 1 and 1A flexible disk.	  	TXu000113121
			
	 NCR Corporation
	  	G078-0103 (IMOS) & 8223-0801 (IRX) IHIS : rel. 2.	  	TXu000113122
			
	 NCR Corporation
	  	D201-0009 N-mode recom DLC : rel. 3.	  	TXu000114047
			
	 NCR Corporation
	  	8199-0101 stores : level IV, rel. 3.	  	TXu000114051
			
	 NCR Corporation
	  	G3MO-0101 & 0201 2126 PLU maintenance package : rel. 1.1.	  	TXu000114052
			
	 NCR Corporation
	  	021-0094907 BC-OPF firmware.	  	TXu000114918
			
	 NCR Corporation
	  	G124-0101 IUMS (IMOS V) 1.0.	  	TXu000114920
			
	 NCR Corporation
	  	8075-0701 IUMS (IMOS II)	  	TXu000116120
			
	 NCR Corporation
	  	D009-0016 VRX TRAN-PRO EL.	  	TXu000117170
			
	 NCR Corporation
	  	GOE7-0004 high speed reject reentry system, release 1.	  	TXu000117171
			
	 NCR Corporation
	  	NCR internal library system.	  	TXu000118407
			
	 NCR Corporation
	  	MV VS2 V05Q0 flexible disk.	  	TXu000118408
			
	 NCR Corporation
	  	BCO-TDLN 50100 TDLNIF 1.0 (CYBER 175)	  	TXu000119866
			
	 NCR Corporation
	  	8210-2000 & 2001 IRX software & utilities : (rel. 5)	  	TXu000121019
			
	 NCR Corporation
	  	8155-2004 century, 8215-2004 criterion VIPS MARS.	  	TXu000124650
			
	 NCR Corporation
	  	8155-2003 & 8215-2003 VIPS batch statistical : rel. 2.	  	TXu000128481
			
	 NCR Corporation
	  	D600-0001, 5, 8, 9, 10, 11, 12 ITX software : rel 1.	  	TXu000128482
			
	 NCR Corporation
	  	8215-2005 VIPS multipass balancing/missing & free : rel. 1.01.	  	TXu000128483
			
	 NCR Corporation
	  	G1G2-1301 IMCS II material requirements planning : rel. 4.1.	  	TXu000131900
			
	 NCR Corporation
	  	G1G2-1901 IMCS II sales analysis.	  	TXu000131901
			
	 NCR Corporation
	  	G1G2-1501 IMCS II work in process : rel. 4.1.	  	TXu000131902
			
	 NCR Corporation
	  	G1G2-1601 IMCS II capacity : rel. 4.1.	  	TXu000131903
			
	 NCR Corporation
	  	G1G2-2201 IMCS II accounting interface.	  	TXu000131904
			
	 NCR Corporation
	  	G1G2-1801 IMCS II purchasing/receiving.	  	TXu000131905
			
	 NCR Corporation
	  	BCO-VITA 60200 VITA 2.0 (CYBER 176) / program written by David McSweeney ; program rev. by David McSweeney, Alan Harbutz.	  	TXu000131915
			
	 NCR Corporation
	  	BCO-GDSC 40100 GDS22CIF (CALMA) / Robert Toller.	  	TXu000131917

					
	 Registered Owner
	  	 Title
	  	Registration No.
	 NCR Corporation
	  	D004-0050 IMOS V SDM.	  	TXu000131918
			
	 NCR Corporation
	  	BCO-VITA 50200 VITA (CYBER 175) / program written by David McSweeney ; program rev. by David McSweeney, Alan Harbutz.	  	TXu000131919
			
	 NCR Corporation
	  	G1G2-2301 IMCS II batch input.	  	TXu000131921
			
	 NCR Corporation
	  	G2H1-0701 V-accounting—accounts receivable.	  	TXu000141374
			
	 NCR Corporation
	  	AKAFSBR00040200 2160 food service : rel. 4.2.	  	TXu000141427
			
	 NCR Corporation
	  	D002-0009 VRX module library facility, V09 plus 4&5 rel.	  	TXu000141454
			
	 NCR Corporation
	  	D002-0018 VRX utilities, V09 plus 4&5 rel.	  	TXu000141455
			
	 NCR Corporation
	  	G1G2-1701 IMCS II order processing.	  	TXu000141457
			
	 NCR Corporation
	  	MV VS1 V12Q0 flexible disk.	  	TXu000141458
			
	 NCR Corporation
	  	GOE7-0001 T8259 front end processor rel. 1.01.	  	TXu000141459
			
	 NCR Corporation
	  	G1G2-1401 IMCS II routing.	  	TXu000141460
			
	 NCR Corporation
	  	G1G2-1201 IMCS II inventory control.	  	TXu000141461
			
	 NCR Corporation
	  	G1G2-1101 IMCS II bill of material.	  	TXu000141462
			
	 NCR Corporation
	  	D002-0064 VRX IVS nucleus software (32 users) V09 plus 4&5 rel.	  	TXu000141463
			
	 NCR Corporation
	  	D002-0002 VRX NEATVS compiler, V09 PLUS 4 & 5 rel. : object code.	  	TXu000141478
			
	 NCR Corporation
	  	D002-0063 VRX IVS nucleus software (28 users) V09 PLUS 4 & 5 rel. : source code.	  	TXu000141494
			
	 NCR Corporation
	  	NCR 2126 grand master.	  	TXu000141495
			
	 NCR Corporation
	  	D101-0053 1810 development O/S with BPDM IH-DLC communications (secondary) & 1810 exerciser : source code.	  	TXu000141497
			
	 NCR Corporation
	  	Source record update software.	  	TXu000142869
			
	 NCR Corporation
	  	D101-0050 1810 O/S with Basic, generalized Pars communication & 1810 exerciser.	  	TXu000144515
			
	 NCR Corporation
	  	G1C1-0401 IIBS customer liability/bank borrowings.	  	TXu000144522
			
	 NCR Corporation
	  	G1C1-0301 IIBS current accounts.	  	TXu000144529
			
	 NCR Corporation
	  	D101-0052 1810 development O/S with BPDM generalized Pars communication and 1810 exerciser.	  	TXu000144530
			
	 NCR Corporation
	  	D101-0051 1810 O/S with Basic, IH-DLC communications (secondary) & 1810 exerciser.	  	TXu000144531
			
	 NCR Corporation
	  	D004-0034 IMOS III SDM.	  	TXu000144533
			
	 NCR Corporation
	  	8073-0301-2-3, 1301 IHIS : with & without A/R retail, in & out patient processing : rel. 7.	  	TXu000144534
			
	 NCR Corporation
	  	G0C8-0100 IIBS/ISIS interface.	  	TXu000144535
			
	 NCR Corporation
	  	G1C1-0201 IIBS reconciliation.	  	TXu000144536
			
	 NCR Corporation
	  	G2H1-0910 V-accounting—responsibility accounting.	  	TXu000144539
			
	 NCR Corporation
	  	G2H1-0601 V-accounting—accounts payable.	  	TXu000144541
			
	 NCR Corporation
	  	G1G2-2301 IMCS II batch input, rel. 5.	  	TXu000144544
			
	 NCR Corporation
	  	D002-0084 VRX spool file access V09 plus 4 & 5 rel.	  	TXu000144545
			
	 NCR Corporation
	  	D002-0057 VRX IVS nucleus software (4 users) V09 plus 4 & 5 rel.	  	TXu000144546
			
	 NCR Corporation
	  	D002-0067 VRX IVS nucleus software (44 users) V09 plus 4 & 5 rel.	  	TXu000144547
			
	 NCR Corporation
	  	D002-0042 VRX NCR on-line text editors, V09 plus 4 & 5 rel.	  	TXu000144548
			
	 NCR Corporation
	  	D002-0061 VRX IVS nucleus software (20 users) V09 plus 4 & 5 rel.	  	TXu000144549
			
	 NCR Corporation
	  	D002-0058 VRX IVS nucleus software (8 users) V09 plus 4 & 5 rel.	  	TXu000144550
			
	 NCR Corporation
	  	D002-0062 VRX IVS nucleus software (24 users) V09 plus 4 & 5 rel.	  	TXu000144551
			
	 NCR Corporation
	  	D002-0060 VRX IVS nucleus software (16 users) V09 plus 4 & 5 rel.	  	TXu000144552
			
	 NCR Corporation
	  	G1G2-1701 IMCS II order processing, rel. 5.	  	TXu000144553
			
	 NCR Corporation
	  	G1G2-1201 IMCS II inventory control, rel. 5.	  	TXu000144554
			
	 NCR Corporation
	  	G1G2-2201 IMCS II accounting interface, rel. 6.	  	TXu000144555
			
	 NCR Corporation
	  	G1G2-1701 IMCS II order processing, rel. 6.	  	TXu000144556
			
	 NCR Corporation
	  	G1G2-1301 IMCS II material requirements planning, rel. 5.	  	TXu000144557
			
	 NCR Corporation
	  	G1G2-1101 IMCS II bill of material, rel. 6.	  	TXu000144558

					
	 Registered Owner
	  	 Title
	  	Registration No.
	 NCR Corporation
	  	D006-0072 decision-NET Apple-DOS.	  	TXu000144559
			
	 NCR Corporation
	  	D006-0068 decision-NET PC-DOS.	  	TXu000144560
			
	 NCR Corporation
	  	D002-0027 VRX system performance measurement V09 plus 4 & 5 rel.	  	TXu000144561
			
	 NCR Corporation
	  	D002-0006 VRX COBUG, V09 plus 4 & 5 rel.	  	TXu000144566
			
	 NCR Corporation
	  	D002-0001 VRX operating system, V09 PLUS 4&5 rel.	  	TXu000144576
			
	 NCR Corporation
	  	D002-0015 VRX network description language processor, V09 PLUS 4&5 rel.	  	TXu000144577
			
	 NCR Corporation
	  	G1P8-0501 STORES level IV : rel. 4.	  	TXu000144582
			
	 NCR Corporation
	  	G1G2-1101 IMCS bill of material.	  	TXu000144583
			
	 NCR Corporation
	  	G1G2-1601 IMCS II capacity : rel. 6.	  	TXu000144584
			
	 NCR Corporation
	  	G1G2-2001 IMCS II master production schedule, rel. 6.	  	TXu000144585
			
	 NCR Corporation
	  	G1G2-1301 IMCS II materials requirements planning, rel. 6.	  	TXu000144586
			
	 NCR Corporation
	  	G1G2-1501 IMCS II work in process, rel. 6.	  	TXu000144587
			
	 NCR Corporation
	  	G1G2-2301 IMCS II batch input, rel. 6.	  	TXu000144588
			
	 NCR Corporation
	  	G1G2-1901 IMCS II sales analysis, rel. 6.	  	TXu000144589
			
	 NCR Corporation
	  	G2M2-0103, 0203, 0303, 0403, 1101, G2M6-0001, G2M9-0001interactive checkout system : rel. 6.	  	TXu000145323
			
	 NCR Corporation
	  	G1G2-1801 IMCS II purchasing/receiving : rel. 6.	  	TXu000145330
			
	 NCR Corporation
	  	D400-0001&2 integrated S.W.I.F.T. interface system (ISIS)	  	TXu000145335
			
	 NCR Corporation
	  	G3E6-0001 VRX proof of deposit, rel. 1.01.	  	TXu000145354
			
	 NCR Corporation
	  	MV SM V09Q0 flexible disk.	  	TXu000145357
			
	 NCR Corporation
	  	G1G2-2201 IMCS II accounting interface, rel. 5.	  	TXu000145364
			
	 NCR Corporation
	  	D002-0059 VRX IVS nucleus software (12 users) V09 plus 4 & 5 rel.	  	TXu000145374
			
	 NCR Corporation
	  	MV VS2 V06Q1 flexible disk.	  	TXu000145377
			
	 NCR Corporation
	  	G2H1 0801 V-accounting-general ledger.	  	TXu000145379
			
	 NCR Corporation
	  	NCR 8400 IRX Cobol compilation : version 5.00.49.	  	TXu000145385
			
	 NCR Corporation
	  	G2M2-0101, 0201, 0301, & 0401 interactive checkout system : rel. 4.3.5.	  	TXu000145387
			
	 NCR Corporation
	  	G1G2-1401 IMCS II routing : rel. 5.	  	TXu000145427
			
	 NCR Corporation
	  	D002-0068 VRX IVS nucleus software (45+ users) V09 PLUS : 4 & 5 rel..	  	TXu000145428
			
	 NCR Corporation
	  	D002-0083 VRX operational support facility V09 PLUS : 4 & 5 rel.	  	TXu000145429
			
	 NCR Corporation
	  	D002-0065 VRX IVS nucleus software (36 users) V09 PLUS : 4 & 5 rel.	  	TXu000145430
			
	 NCR Corporation
	  	D002-0066 VRX IVS nucleus software (40 users) V09 PLUS : 4 & 5 rel.	  	TXu000145431
			
	 NCR Corporation
	  	D002-0041 VRX interactive utilities, V09 PLUS : 4 & 5 rel.	  	TXu000145432
			
	 NCR Corporation
	  	G1G2-1401 IMCS II routing : rel. 6.	  	TXu000148058
			
	 NCR Corporation
	  	D002-0043 VRX interactive debug system, V09 plus 4 & 5 release.	  	TXu000148060
			
	 NCR Corporation
	  	G1G2-1601 IMCS II capacity : rel. 5.	  	TXu000148068
			
	 NCR Corporation
	  	G1G2-1901 IMCS II sales analysis : rel. 5.	  	TXu000148069
			
	 NCR Corporation
	  	G1G2-2001 IMCS II master production schedule : rel. 5.	  	TXu000148070
			
	 NCR Corporation
	  	G1G2-1501 IMCS II work in process : rel. 5.	  	TXu000148071
			
	 NCR Corporation
	  	G1G2-1801 IMCS II purchasing/receiving : rel. 5.	  	TXu000148072
			
	 NCR Corporation
	  	TOGO-0101 interactive job cost system.	  	TXu000148076
			
	 NCR Corporation
	  	D307-0004 N C R-DMS/data entry TRAN-PRO option.	  	TXu000148077
			
	 NCR Corporation
	  	MV VS6 V03Q0 flexible disk.	  	TXu000148078
			
	 NCR Corporation
	  	D307-0003 N C R-DMS/data entry.	  	TXu000148079
			
	 NCR Corporation
	  	G2M2-0102, 0202, 0302, 0402 interactive checkout system, rel. 5.1.	  	TXu000148417
			
	 NCR Corporation
	  	G1G2-1201 IMCS II inventory control, release 6.	  	TXu000149498
			
	 NCR Corporation
	  	TOCO-0207 CRT reject re-entry & balancing, rel. 2.	  	TXu000152640
			
	 NCR Corporation
	  	TOBO-0210 (IMOS) TOBO-0110 (IRX) status III payroll, rel. 4.0.	  	TXu000153651

					
	 Registered Owner
	  	 Title
	  	Registration No.
	 NCR Corporation
	  	TOBO-0211 (IMOS) TOBO-0111 (IRX) status III labordistribution/workman’s compensation, ver 3.10.	  	TXu000153656
			
	 NCR Corporation
	  	D204-0025 ATM/E customisation [sic] software	  	TXu000164061
			
	 NCR Corporation
	  	G1C1 0501 IIBS foreign exchange.	  	TXu000167601
			
	 NCR Corporation
	  	GOE7-0003-0000 FEP on line fine sort/cycle sort/EIP initial base/point, release 1.02.	  	TXu000169610
			
	 NCR Corporation
	  	CW-TOJO-0401 (IMOS V) CW-TOJO 0501 (IRX/ITX) MRA/DRGmedical records abstracting and diagnosis related group system, release 1.00.	  	TXu000169629
			
	 NCR Corporation
	  	8275-0401 financial terminal management system, release 3.00.	  	TXu000169630
			
	 NCR Corporation
	  	BCO-TDLN 80100 TDLNIF (N C R 8585)	  	TXu000170205
			
	 NCR Corporation
	  	BCO-VITA 80200 VITA 2.0 (N C R 8585)	  	TXu000170206
			
	 NCR Corporation
	  	TOCO-0205 VIPS MARS : rel. 2.00.	  	TXu000172554
			
	 NCR Corporation
	  	TOCO-0202 VIPS daily fine sort/CS/EIP : rel. 1.00.	  	TXu000172555
			
	 NCR Corporation
	  	TOLO-0101 (IMOS II), release 3, TOLO-0102 (IMOS V), TOLO-0201 (IRX/ITX), release 2, interactive financial management system.	  	TXu000172557
			
	 NCR Corporation
	  	TOCO-0300 VRX scrub : rel. 1.00.	  	TXu000172558
			
	 NCR Corporation
	  	T0J0-0201 (IMOS) T0J0-0301 (IRX/ITX) IHIS, patient A/R withdetail and without detail and admit form, release 4.0.	  	TXu000180624
			
	 NCR Corporation
	  	NCR-DMS/reporter : D009-0024.	  	TXu000199358
			
	 NCR Corporation
	  	8071-0601 (IMOS V) 8221-0601 (IRX/ITX) : item 5.0	  	TXu000200889
			
	 NCR Corporation
	  	TW6 V01Q0 firmware flexible disk.	  	TXu000206893
			
	 NCR Corporation
	  	CW D004-008-1000 IMOS V issue 03.00.03 operating system.	  	TXu000209729
			
	 NCR Corporation
	  	CW D004-008-1000 IMOS V issue 03.00.03 utilities.	  	TXu000209730
			
	 NCR Corporation
	  	CW 8060-1207 IMOS V issue 03.00.03 Cobol.	  	TXu000209736
			
	 NCR Corporation
	  	G1C1-0701 IIBS documentary letters of credit.	  	TXu000211126
			
	 NCR Corporation
	  	G1C1-0101 IIBS general ledger.	  	TXu000212003
			
	 NCR Corporation
	  	Programmable ATM system (PAS), AIP-DNVISD0200-00 : release 2.00.00.	  	TXu000212009
			
	 NCR Corporation
	  	BCO-VITA 60300 VITA 3.0 (CYBER 176)	  	TXu000215119
			
	 NCR Corporation
	  	BCO-VITA 80300 VITA 3.0 (NCR 8585)	  	TXu000215120
			
	 NCR Corporation
	  	DBS/IRX 2.02.01.	  	TXu000222747
			
	 NCR Corporation
	  	ITX DBS 1.01.01.	  	TXu000223811
			
	 NCR Corporation
	  	TOJO-0604 MRA/DRG medical records abstracting and diagnosis related group system, rel. 1.00.	  	TXu000226645
			
	 NCR Corporation
	  	TOBO-0209 (IMOS), TOBO-0109 (IRX), status III general ledger : rel. 2.0.	  	TXu000226646
			
	 NCR Corporation
	  	G5B8-0101 ITX SNA/RJE.	  	TXu000226743
			
	 NCR Corporation
	  	D002-0015 VRX network description language processor, V11 base, V11 plus 1 release.	  	TXu000233785
			
	 NCR Corporation
	  	D002-0001 VRX operating system, V11 base, V11 plus 1 release.	  	TXu000234741
			
	 NCR Corporation
	  	D002-0099 VRX IVS interactive basic interpreter.	  	TXu000234742
			
	 NCR Corporation
	  	D002-0024 VRX Basic compiler.	  	TXu000234937
			
	 NCR Corporation
	  	MV VS8 V01Q0 firmware flexible disk.	  	TXu000235281
			
	 NCR Corporation
	  	CW D004-0008-1000 IMOS V : issue 04.00.01 operating system.	  	TXu000236075
			
	 NCR Corporation
	  	CW D004-0008-1000 IMOS V : issue 04.00.01 utilities.	  	TXu000236076
			
	 NCR Corporation
	  	CW 8060-1207 IMOS V : issue 04.00.01 Cobol.	  	TXu000236077
			
	 NCR Corporation
	  	CW D004-0011 IMOS V : issue 04.00.01 remote batch system.	  	TXu000236078
			
	 NCR Corporation
	  	TOBO-0304 IGAS general ledger : rel. 1.00.	  	TXu000238565
			
	 NCR Corporation
	  	SPECS (system problem/enhancement control system) course no. 2 : on-line history review.	  	TXu000250010
			
	 NCR Corporation
	  	MV VS2 V07Q0 firmware flexible disk.	  	TXu000250292
			
	 NCR Corporation
	  	SPECS (system problem/enhancement control system) : course no. 3, TTY (teletype) call review.	  	TXu000251355

					
	 Registered Owner
	  	 Title
	  	Registration No.
	 NCR Corporation
	  	SPECS (system problem/enhancement control system : course no. 4, Message services.	  	TXu000251622
			
	 NCR Corporation
	  	SPECS (system problem/enhancement control system) : course no. 5, TTY (teletype) : call review, rel. 2.	  	TXu000252647
			
	 NCR Corporation
	  	SPECS (system problem/enhancement control system) : course no. 6.	  	TXu000253686
			
	 NCR Corporation
	  	1810 airline application development tools.	  	TXu000253957
			
	 NCR Corporation
	  	CE2ANTO.	  	TXu000255467
			
	 NCR Corporation
	  	DOCNCC.	  	TXu000255468
			
	 NCR Corporation
	  	TOBO-0303 IGAS accounts payable, rel. 1.00.	  	TXu000255472
			
	 NCR Corporation
	  	Network control program (NCP 3.0)	  	TXu000255712
			
	 NCR Corporation
	  	QSM VO3QO service master disk.	  	TXu000255912
			
	 NCR Corporation
	  	NCP packet switching interface (NPSI)	  	TXu000256191
			
	 NCR Corporation
	  	BCO-VITA 70320 VITA 3.0 (VAX 11/780)	  	TXu000256581
			
	 NCR Corporation
	  	D002-0003 VRX Cobol 74 compiler.	  	TXu000259249
			
	 NCR Corporation
	  	D600-0001 ITX operating system, rel. 2.0.	  	TXu000259415
			
	 NCR Corporation
	  	Comten language support system CLSS1 release 2.	  	TXu000260176
			
	 NCR Corporation
	  	SPECS (system problem/enhancement control system) : course no. 1, event processing.	  	TXu000261903
			
	 NCR Corporation
	  	[Comten language support system CLSS1 : release 3]	  	TXu000262248
			
	 NCR Corporation
	  	Network terminal option NT02 release 2E.	  	TXu000265581
			
	 NCR Corporation
	  	ITX DBS 2.00.04.	  	TXu000271619
			
	 NCR Corporation
	  	D600-0001 ITX operating system, rel. 2.01.	  	TXu000278671
			
	 NCR Comten, Inc.
	  	ACF/NCP3 : Advanced communications function/network control program 3 : release 1.0, system programmer reference.	  	TXu000280396
			
	 NCR Corporation
	  	TOBO-0301, IGAS payroll, rel. 1.00 / author, N C R Corporation.	  	TXu000287090
			
	 NCR Corporation
	  	TOHO-0107 (IMOS V), TOHO-0207 (IRX), ALPHA LOOKUP, rel. 1.0.	  	TXu000290180
			
	 NCR Corporation
	  	T-serve.	  	TXu000295772
			
	 NCR Corporation
	  	TOLO-0301 interactive financial management system : rel. 1.00.	  	TXu000298003
			
	 NCR Corporation
	  	D002-0041 VRX interactive utilities, V11 base, V11 plus 1 release.	  	TXu000309437
			
	 NCR Corporation
	  	D002-0027 VRX system performance measurement, V11 base, V11 plus 1 release.	  	TXu000309438
			
	 NCR Corporation
	  	TOEO-0202, mini-VIPS online, fine sort, rel. 2.00.	  	TXu000311516
			
	 NCR Corporation
	  	D002-0099, IVS basic 30.	  	TXu000311794
			
	 NCR Corporation
	  	G2C3-0014-00SC, 7770-3101 station reformat.	  	TXu000312669
			
	 NCR Corporation
	  	D002-0043 VRX interactive debug system, V11 plus 1 release.	  	TXu000313021
			
	 NCR Corporation
	  	D002-0080, RBS net—small to medium upgrade, V11 plus 1 rel.	  	TXu000313022
			
	 NCR Corporation
	  	D002-0078, RBS net—medium, V11 plus 1 rel.	  	TXu000313023
			
	 NCR Corporation
	  	D002-0077, RBS net—small, V11 plus 1 rel.	  	TXu000313024
			
	 NCR Corporation
	  	D002-0077, RBS net—large, V11 plus 1 rel.	  	TXu000313025
			
	 NCR Corporation
	  	G100-0039 333 cell library.	  	TXu000313671
			
	 NCR Corporation
	  	D002-0096, software remote analysis, VII plus 1 rel.	  	TXu000314168
			
	 NCR Corporation
	  	D002-0082, NCS-TC/VRX-TAM conversion tool, VII plus 1 rel.	  	TXu000314169
			
	 NCR Corporation
	  	D002-0081, RBS NET—medium to large upgrade, VII plus 1 rel.	  	TXu000314170
			
	 NCR Corporation
	  	D002-0097, extended user profile activity, VII plus 1 rel.	  	TXu000314171
			
	 NCR Corporation
	  	D300-0002, criterion diagnostics, VII plus 1 rel.	  	TXu000314172
			
	 NCR Corporation
	  	D002-0084, spool file access, VII plus 1 rel.	  	TXu000314173
			
	 NCR Corporation
	  	G2C3-0013-OOSC, 7770-3400 reformat (TOWER) : release 1.00.00.	  	TXu000316903
			
	 NCR Comten, Inc.
	  	X.25-1 X.25 interface to packet switched data networks 1 : release 6E : analyst reference manual.	  	TXu000321888
			
	 NCR Comten, Inc.
	  	NT02 network terminal option 2 : release 1/1E : analyst reference manual.	  	TXu000321889
			
	 NCR Corporation
	  	D002-0057 IVS nucleus, V11 plus 1 rel.	  	TXu000323364

					
	 Registered Owner
	  	 Title
	  	Registration No.
	 NCR Corporation
	  	D002-0059 IVS nucleus (12 users) V11 plus 1 rel.	  	TXu000323365
			
	 NCR Corporation
	  	D002-0060 IVS nucleus (16 users) V11 plus 1 rel.	  	TXu000323366
			
	 NCR Comten, Inc.
	  	NT01 network terminal option 1, product programmer reference.	  	TXu000323541
			
	 NCR Comten, Inc.
	  	ACF/NCP V4.0 advanced communications function/network control program version 4.0 : analyst reference manual.	  	TXu000324865
			
	 NCR Comten, Inc.
	  	ACF/NCP V2 advanced communications function/network control program, version 2, release 1E : analyst reference manual.	  	TXu000324869
			
	 NCR Corporation
	  	AJA-DINTVD100-00 IPAS application system.	  	TXu000325009
			
	 NCR Corporation
	  	BCO-VITA 70400 VITA 4.0 (VAX 11/780).	  	TXu000325842
			
	 NCR Comten, Inc.
	  	ACF/NCP2 : release 1.0 : operator summary book.	  	TXu000325963
			
	 NCR Comten, Inc.
	  	ACF/NCP3 : release 1.0 : operator summary book.	  	TXu000325964
			
	 NCR Corporation
	  	D002-0067 IVS nucleus (44 users), V11 plus 1 rel.	  	TXu000325985
			
	 NCR Comten, Inc.
	  	NTO1 : Network terminal option 1 : release 1.0 : product programmer reference.	  	TXu000327366
			
	 NCR Corporation
	  	AJA-DIPASD0100-00 interactive programmable application system, tools.	  	TXu000328168
			
	 NCR Corporation
	  	D002-0065 IVS nucleus (36 users), VII PLUS : 1 rel.	  	TXu000329693
			
	 NCR Corporation
	  	D300-0002 VRX criterion diagnostics, V11 plus 1 (addendum)	  	TXu000330156
			
	 NCR Corporation
	  	D002-0081 VRX RBS NET medium to large upgrade, V11 plus 1 (addendum)	  	TXu000330239
			
	 NCR Corporation
	  	D002-0079 VRX RBS NET large, V11 plus 1 (addendum)	  	TXu000330240
			
	 NCR Corporation
	  	D002-0077 VRX RBS NET small, V11 plus 1 (addendum)	  	TXu000330241
			
	 NCR Corporation
	  	D002-0078 VRX RBS NET medium, V11 plus 1 (addendum)	  	TXu000330242
			
	 NCR Corporation
	  	D002-0080 VRX RBS NET small to medium upgrade, V11 plus 1 (addendum)	  	TXu000330243
			
	 NCR Corporation
	  	TOEO-0200, mini-vips MICR entry, rel. 2.00.	  	TXu000330256
			
	 NCR Corporation
	  	D002-0057 VRX IVS nucleus : V11 plus 2.	  	TXu000330818
			
	 NCR Corporation
	  	D002-0084 VRX spool file access.	  	TXu000330819
			
	 NCR Corporation
	  	D002-0122 6480 LPS utility package : V11 plus 2.	  	TXu000331507
			
	 NCR Corporation
	  	TOBO-0302 IGAS accounts receivable : rel. 1.00.	  	TXu000332496
			
	 NCR Corporation
	  	VRX NCRL 28.	  	TXu000332680
			
	 NCR Corporation
	  	D002-0110 VRX telecommunications—Kanji, VII plus 2.	  	TXu000332829
			
	 NCR Corporation
	  	D002-0112 VRX note—Kanji, VII plus 2.	  	TXu000332831
			
	 NCR Corporation
	  	D002-0115 VRX SNA PU TYPE 2 base, V11 plus 2.	  	TXu000332835
			
	 NCR Corporation
	  	G100-0396, 7052/stores application editor.	  	TXu000332850
			
	 NCR Corporation
	  	TOJO-0601 IHIS with detail, TOJO-0602 IHIS without detail, and TOJO-0603 admit form : rel. 1.00.	  	TXu000332859
			
	 NCR Corporation
	  	TOBO-0212 (IMOS) TOBO-0112 (IRX) status III financial report writer : rel. 1.0.	  	TXu000332860
			
	 NCR Corporation
	  	ChoiceMaker.	  	TXu000332982
			
	 NCR Comten, Inc.
	  	ACF/NCP3 advanced communications function/network control program 3 : releases 1 and 1E, analyst reference manual.	  	TXu000334983
			
	 NCR Comten, Inc.
	  	NTO2 network terminal option 2 : release 2E, analyst reference manual.	  	TXu000334984
			
	 NCR Comten, Inc.
	  	NTO3 network terminal option 3 : release 1E, analyst reference manual.	  	TXu000334985
			
	 NCR Comten, Inc.
	  	ACF/NCP3 advanced communications function/network control program 3 : release 2E, analyst reference manual.	  	TXu000334986
			
	 NCR Corporation
	  	UTAK starcom software, rel. 02.01.	  	TXu000335353
			
	 NCR Corporation
	  	D002-0001 VRX operating system, V11 plus 2.	  	TXu000335362
			
	 NCR Comten, Inc.
	  	ACF/NCP V2 advanced communications function/network control program, version 2, release 1E operator reference.	  	TXu000335641
			
	 NCR Comten, Inc.
	  	ACF/NCP3, advanced communcations function/network control program 3, release 2E operator reference.	  	TXu000335753
			
	 NCR Comten, Inc.
	  	CLSS1, Comten language support system 1 : release 1.0 : user guide.	  	TXu000336303

					
	 Registered Owner
	  	 Title
	  	Registration No.
	 NCR Comten, Inc.
	  	CLSS1, Comten language support system 1 : release 3.0 : user guide.	  	TXu000336304
			
	 NCR Corporation
	  	D600-0001 ITX operating system, rel. 2.02.	  	TXu000336538
			
	 NCR Corporation
	  	2020, 223-68100-300, 223-68101-301, release 1.2, 2.2.	  	TXu000336940
			
	 NCR Comten, Inc.
	  	ACF/NCP3 : Advanced communications function/network control program 3, release 1.0 : operator reference.	  	TXu000338198
			
	 NCR Comten, Inc.
	  	ACF/NCP3 advanced communications function/network control program 3 : release 1E, operator reference.	  	TXu000338300
			
	 NCR Comten, Inc.
	  	ACF/NCP2 advanced communications function/network control program 2 : release 1.0, operator reference.	  	TXu000338301
			
	 NCR Comten, Inc.
	  	ACF/NCP2.1 advanced communications function/network control program 2.1 : release 1.0, operator reference.	  	TXu000338302
			
	 NCR Comten, Inc.
	  	ACF/NCP V2 advanced communications function/network control program version 2 : product generation.	  	TXu000338341
			
	 NCR Corporation
	  	D900-1043 SW, NCRCOMM.	  	TXu000338650
			
	 NCR Comten, Inc.
	  	X.25-1, X.25 interface to packet switched data networks 1, release 5E/6E : product programmer reference.	  	TXu000339090
			
	 NCR Comten, Inc.
	  	X.25-1, X.25 interface to packet switched data networks 1, release 5E/6E : product programmer reference.	  	TXu000339091
			
	 NCR Comten, Inc.
	  	NTO2, network terminal option 2, releases 1.0 and 1E : program logic.	  	TXu000339092
			
	 NCR Comten, Inc.
	  	NTO2, network terminal option 2, release 2E : product generation.	  	TXu000339093
			
	 NCR Comten, Inc.
	  	X.25-1, X.25 interface to packet switched data networks 1, release 6E : operator reference.	  	TXu000339094
			
	 NCR Comten, Inc.
	  	X.25-1, X.25 interface to packet switched data networks 1, release 6E : operator reference.	  	TXu000339095
			
	 NCR Comten, Inc.
	  	NTO1, network terminal option 1, release 1.0 : product programmer reference.	  	TXu000339096
			
	 NCR Comten, Inc.
	  	NTO1, network terminal option 1, release 1.0 : program logic.	  	TXu000339097
			
	 NCR Comten, Inc.
	  	NTO3, network terminal option 3, release 1E : product generation.	  	TXu000339098
			
	 NCR Comten, Inc.
	  	NCP, network control program : 3600 system control software, release 62.0 : program logic.	  	TXu000339099
			
	 NCR Comten, Inc.
	  	ACF/NCP3, advanced communications function network control program 3, release 1E : system programmer reference.	  	TXu000339100
			
	 NCR Comten, Inc.
	  	ACF/NCP3, advanced communications function network control program 3, release 1.0 : system programmer reference.	  	TXu000339101
			
	 NCR Comten, Inc.
	  	ACF/NCP V4.0, advanced communications function network control program, version 4.0 : operator reference.	  	TXu000339102
			
	 NCR Comten, Inc.
	  	ACF/NCP3 advanced communications function/network control program 3 : system programmer reference.	  	TXu000339103
			
	 NCR Comten, Inc.
	  	ACF/NCP3 advanced communications function/network control program 3 : program logic.	  	TXu000339104
			
	 NCR Comten, Inc.
	  	ACF/NCP2.1 advanced communications function/network control program 2.1 : program logic.	  	TXu000339105
			
	 NCR Comten, Inc.
	  	ACF/NCP3 advanced communications function/network control program 3 : operator reference.	  	TXu000339106
			
	 NCR Comten, Inc.
	  	ACF/NCP2.1 advanced communications function/network control program 2.1 : program logic.	  	TXu000339107
			
	 NCR Corporation
	  	NCR interactv-2.	  	TXu000341082
			
	 NCR Comten, Inc.
	  	CLSS1, Comten language support system 1, release 2.0 : user guide.	  	TXu000343183
			
	 NCR Corporation
	  	[NCR/Mednet nursing care system 2.0.0]	  	TXu000343994
			
	 NCR Corporation
	  	D002-0058 IVS nucleus (8 users), V11 plus 1 rel.	  	TXu000344319
			
	 NCR Corporation
	  	D002-0066 IVS nucleus (40 users), V11 plus 1 rel.	  	TXu000344320
			
	 NCR Corporation
	  	D002-0062 IVS nucleus (24 users), V11 plus 1 rel.	  	TXu000344321
			
	 NCR Corporation
	  	D002-0061 IVS nucleus (20 users), V11 plus 1 rel.	  	TXu000344322

					
	 Registered Owner
	  	 Title
	  	Registration No.
	 NCR Corporation
	  	D002-0063 IVS nucleus (28 users), V11 plus 1 rel.	  	TXu000344323
			
	 NCR Corporation
	  	D002-0042 N C R on-line text editors, V11 plus 1 release.	  	TXu000344324
			
	 NCR Corporation
	  	D002-0064 IVS nucleus (32 users), V11 plus 1 rel.	  	TXu000344325
			
	 NCR Corporation
	  	D002-0068 IVS nucleus (45+ users), V11 plus 1 rel.	  	TXu000344326
			
	 NCR Comten, Inc.
	  	PEP, partitioned emulation processing : system programmer reference.	  	TXu000344770
			
	 NCR Comten, Inc.
	  	PEP, partitioned emulation processing : operator reference.	  	TXu000344771
			
	 NCR Comten, Inc.
	  	ACF/NCP2.1, advanced communications function/network control program 2.1 : system programmer reference.	  	TXu000344772
			
	 NCR Comten, Inc.
	  	X.25-1, X.25 interface to public data networks 1 : product programmer reference.	  	TXu000344773
			
	 NCR Corporation
	  	Crime record information system (CRIMS) single and multiple jurisdiction, rel. 1.00.	  	TXu000347104
			
	 NCR Comten, Inc.
	  	X.25-1, X.25 interface to public data networks 1, release 4.0, operator reference.	  	TXu000353960
			
	 NCR Comten, Inc.
	  	NT02 network terminal option 2, release 1.0, product programmer reference.	  	TXu000353961
			
	 NCR Comten, Inc.
	  	CLSS1 Comten language support system 1, release 2.0 : user guide.	  	TXu000353962
			
	 NCR Comten, Inc.
	  	ACF/NCP V4.0 advanced communications function/network control program, version 4.0, product generation.	  	TXu000353963
			
	 NCR Comten, Inc.
	  	ACF/NCP3 advanced communications function/network control program 3, release 2E, product generation.	  	TXu000353964
			
	 NCR Corporation
	  	ACF/NCP V5.2.	  	TXu000472596
			
	 NCR Corporation
	  	ClSS1 R3.	  	TXu000472597
			
	 NCR Corporation
	  	ACF/NCP V4.2.	  	TXu000483706
			
	 NCR Corporation
	  	X.25-1 R6E.	  	TXu000483707
			
	 NCR Corporation
	  	NTO2 R2E.	  	TXu000483708
			
	 NCR Corporation
	  	ACF/NCP V4.0.	  	TXu000483709
			
	 NCR Corporation
	  	CLSS1 R4.	  	TXu000483710
			
	 NCR Corporation
	  	ACF/NCP V5.1.	  	TXu000483713
			
	 NCR Corporation
	  	NTOE R1E.	  	TXu000490222
			
	 NCR Corporation
	  	ASCII2BIG(BUFF,BINT)	  	TXu000506111
			
	 NCR Corporation
	  	G10001953—tower-check II sorts.	  	TXu000506113
			
	 NCR Corporation
	  	G100-1951 tower-check II reject reentry and balancing (RR&B)	  	TXu000506799
			
	 NCR Corporation
	  	G100-1950 tower-check II capture.	  	TXu000507288
			
	 NCR Corporation
	  	NCR 9800 operating system training course.	  	TXu000507671
			
	 NCR Corporation
	  	G100-1952 tower-check II cash letter / author, USDPG/IPSD.	  	TXu000508271
			
	 NCR Corporation
	  	G100-1702 tower-check reformat to host.	  	TXu000508970
			
	 NCR Corporation
	  	G100-CK3K check 3000 release.	  	TXu000508979
			
	 NCR Corporation
	  	G100-1704 tower-check reject reentry and balancing.	  	TXu000508980
			
	 NCR Corporation
	  	G100-1703 tower-check reformat.	  	TXu000509422
			
	 NCR Corporation
	  	G100-1705 tower-check cash letter, 32/600.	  	TXu000512165
			
	 NCR Corporation
	  	VS8 V04Q0 firmware disk.	  	TXu000512168
			
	 NCR Corporation
	  	VS6 V06Q0 firmware disk.	  	TXu000512169
			
	 NCR Corporation
	  	G2P9-0068 7000/ACS 1 base application release 01.50.01.	  	TXu000512313
			
	 NCR Corporation
	  	5036 product translation system.	  	TXu000519068
			
	 NCR Corporation
	  	ACF/NCP v5.3 : Advanced communications function/network control program.	  	TXu000556189
			
	 NCR Corporation
	  	NCR video bios.	  	TXu000597044
			
	 NCR Corporation
	  	Top end : release 2.05.	  	TXu000842966
			
	 NCR Corporation
	  	A006-0060-0000, A006-0061-0000, A006-1063-0000, A006-1064-0000 NCR direct connect plus (NDC+)	  	TXu000957866
			
	 NCR Corporation
	  	APTRA XFS software.	  	TXu001008350
			
	 NCR Corporation
	  	[WiseIP diagnostics software : G625-0021]	  	TXu001065666

					
	 Registered Owner
	  	 Title
	  	Registration No.
	 NCR Corporation
	  	Startup.c.	  	TXu001130892
			
	 NCR Corporation
	  	NCR 56XX/personas automated teller machines.	  	TXu001166298
			
	 NCR Corporation
	  	G522-0099 7780 FE diagnostics.	  	TXu001209271
			
	 Radiant Systems, Inc.16
	  	Software for mapping display of Thai characters on hand-held scanners.	  	TX0004633891
			
	 Radiant Systems, Inc.
	  	TransMan32.	  	TX0005783914
			
	 Radiant Systems, Inc.
	  	API-server systems.	  	TX0005783915
			
	 Radiant Systems, Inc.
	  	WinPOS box office and concession POS.	  	TX0005783916
			
	 Radiant Systems, Inc.
	  	Teleticketing IVR.	  	TX0005783917
			
	 Radiant Systems, Inc.
	  	HVACMan.	  	TX0005783918
			
	 Radiant Systems, Inc.
	  	OfficeMan.	  	TX0005783919
			
	 Radiant Systems, Inc.
	  	E Kiosk.	  	TX0005783920
			
	 Radiant Systems, Inc.
	  	Aloha Table Service Software (v6.4.28)	  	TX0007738084
			
	 Radiant Systems, Inc.
	  	Aloha Table Service (v6.4) Manager Guide.	  	TX0007738201
			
	 Radiant Systems, Inc.
	  	Software for mapping display of Thai characters on computer screens.	  	TXu000878333
			
	 Radiant Systems, Inc.
	  	Lighthouse : version 4.2.	  	TXu000955670
			
	 NCR Corporation
	  	I.C. semiconductor chip pin-plot	  	VAu000004819
			
	 NCR Corporation
	  	I.C. semiconductor chip pen plot.	  	VAu000006739
			
	 NCR Corporation
	  	I.C. semiconductor chip pen plot (MED-80 keyboard display chip, P/N 006-1022170)	  	VAu000009383
			
	 NCR Corporation
	  	I.C. semiconductor chip pen plot (MED-80 WAROM, 2048x8, NO I/O ports P/N 006-1022028)	  	VAu000009384
			
	 NCR Corporation
	  	I.C. semiconductor chip pen plot (UPC frame control LSI, P/N 006- 1002920)	  	VAu000009385
			
	 NCR Corporation
	  	256K CMOS ROM.	  	MW0000000142
			
	 NCR Corporation
	  	Archive.	  	MW0000001589
			
	 NCR Corporation
	  	Arkansas.	  	MW0000001590
			
	 NCR Corporation
	  	California.	  	MW0000001591
			
	 NCR Corporation
	  	Chip 006-1062783.	  	MW0000001376
			
	 NCR Corporation
	  	Communication controller MOS LSI chip.	  	MW0000000962
			
	 NCR Corporation
	  	El Paso.	  	MW0000000581
			
	 NCR Corporation
	  	Fort Collins.	  	MW0000002232
			
	 NCR Corporation
	  	GAPP.	  	MW0000001592
			
	 NCR Corporation
	  	NCR/32-020 extended arithmetic chip (EAC)	  	MW0000001584
			
	 NCR Corporation
	  	NCR 5380 SCSI interface chip.	  	MW0000001377
			
	 NCR Corporation
	  	NCR 5385E SCSI protocol controller.	  	MW0000001378
			
	 NCR Corporation
	  	NCR 7250 CRT controller.	  	MW0000000580

  

	16 	All items listed as record-owned by Radiant Systems Inc. on this Schedule 7(C) are beneficially owned by NCR Corporation. 

					
	 Registered Owner
	  	 Title
	  	Registration No.
	 NCR Corporation
	  	NCR45CM16 single port multiplier.	  	MW0000000538
			
	 NCR Corporation
	  	Oshkosh.	  	MW0000000579
			
	 NCR Corporation
	  	Oxford.	  	MW0000000578
			
	 NCR Corporation
	  	Rochester.	  	MW0000000539
			
	 NCR Corporation
	  	South Dakota.	  	MW0000002233
			
	 NCR Corporation
	  	Tennessee.	  	MW0000002231
			
	 NCR Corporation
	  	Texas.	  	MW0000002230
			
	 NCR Corporation
	  	Urbana.	  	MW0000000577
			
	 NCR Corporation
	  	Standard cell library test chip, WO27-71.	  	MW0000001996
			
	 NCR Corporation
	  	Bit serial multiplier 74HCT784.	  	MW0000002716
			
	 NCR Corporation
	  	Marie Curie DRAM controller.	  	MW0000002765
			
	 NCR Corporation
	  	NCR 53C80 SCSI chip.	  	MW0000002766
			
	 NCR Corporation
	  	NCR4SCF8 FIR filter chip.	  	MW0000003011
			
	 NCR Corporation
	  	Quad bit serial multiplier 74HCT784X4.	  	MW0000003019
			
	 NCR Corporation
	  	Smart switch IC.	  	MW0000003048
			
	 NCR Corporation
	  	85C20 error correcting code.	  	MW0000003562
			
	 NCR Corporation
	  	Champ JWA5.	  	MW0000003914
			
	 NCR Corporation
	  	CMAC JWA4.	  	MW0000003881
			
	 NCR Corporation
	  	DIF JWA2.	  	MW0000003845
			
	 NCR Corporation
	  	GENOA-CGMA2D.	  	MW0000004162
			
	 NCR Corporation
	  	Miscana.	  	MW0000003613
			
	 NCR Corporation
	  	OPIREF.	  	MW0000003704
			
	 NCR Corporation
	  	SDC JWA1.	  	MW0000003561
			
	 NCR Corporation
	  	NAPA.	  	MW0000004330
			
	 NCR Corporation
	  	NCR 53C90.	  	MW0000004543
			
	 NCR Corporation
	  	Base set for high density gate array.	  	MW0000006029
			
	 NCR Corporation
	  	NCR 92C03.	  	MW0000007960
			
	 NCR Corporation
	  	NCR 92C105.	  	MW0000007959
			
	 NCR Corporation
	  	NCR 92C110.	  	MW0000007961
			
	 Radiant Systems, Inc.
	  	Image 9745.	  	VA0001876548
			
	 NCR Corporation
	  	10 commandments of selling. By John McGregor Wilson.	  	RE0000124207
			
	 NCR Corporation
	  	Aptitude test E 50 for electronic data processing programmers. By the National Cash Register Company.	  	RE0000259456
			
	 NCR Corporation
	  	Aptitude test E 51 for electronic data processing programmers. By the National Cash Register Company.	  	RE0000259455
			
	 NCR Corporation
	  	Aptitude test E 51 (revised) for electronic data processing programmers. By the National Cash Register Company.	  	RE0000259454
			
	 NCR Corporation
	  	Art of listening. By John McGregor Wilson.	  	RE0000124205
			
	 NCR Corporation
	  	Bank terminology.	  	RE0000124203
			
	 NCR Corporation
	  	Credits and collections.	  	RE0000124204
			
	 NCR Corporation
	  	Discretion wears the cloak of silence. By John McGregor Wilson.	  	RE0000124202
			
	 NCR Corporation
	  	Fear. By John McGregor Wilson, Jr.	  	RE0000089395
			
	 NCR Corporation
	  	How to generate self-motivation. By John McGregor Wilson.	  	RE0000124206
			
	 NCR Corporation
	  	Introduction to Teradata : version 1.1 : student guide.	  	TX0006057027
			
	 NCR Corporation
	  	Magic wheel. By Jerry Fairbanks, Inc.	  	RE0000089393
			
	 NCR Corporation
	  	Mechanical explanation book on class 2000 bank posting machine, size AK-2188 (63-UP)	  	RE0000033537
			
	 NCR Corporation
	  	Mechanical instruction book for model II-EN adding machine (automatic credit balance)	  	RE0000033542
			
	 NCR Corporation
	  	MediKiosk Software.	  	TXu001619149
			
	 NCR Corporation
	  	National accounting machine, class 31, features-functions and mechanical explanation.	  	RE0000033536

					
	 Registered Owner
	  	 Title
	  	Registration No.
	 NCR Corporation
	  	National accounting machine, class 31, features-functions and mechanical explanation. Vol. 2, supplements.	  	RE0000033543
			
	 NCR Corporation
	  	Open systems interconnection—an overview / produced by N C R Audio Visual Production & Services for Omnicom, Inc.	  	PA0000333549
			
	 NCR Corporation
	  	Open systems interconnection / produced by N C R Audio Visual Production & Services for Omnicom, Inc.	  	PA0000333572
			
	 NCR Corporation
	  	Overseas C. R. D. sales training course, chapter XXV, retail accounting, part I.	  	RE0000033538
			
	 NCR Corporation
	  	Overseas C. R. D. sales training course, chapter XXV, retail accounting, part II.	  	RE0000033539
			
	 NCR Corporation
	  	Overseas C. R. D. sales training course, chapter XXV, retail accounting, part III.	  	RE0000033540
			
	 NCR Corporation
	  	Overseas C. R. D. sales training course, chapter XXV, retail accounting, part IV.	  	RE0000033541
			
	 NCR Corporation
	  	Study of machine accounting methods. By The National Cash Register Company.	  	RE0000089394
			
	 Digital Insight Corporation
	  	Finance works	  	TX689928417
			
	 NCR CORPORATION
	  	Aloha QUICK SERVICE SOFTWARE (v. 14.2)	  	TX0008164622

 II. Exclusive Copyright Licenses (where a Loan Party is a licensee) 

None. 
  

 

	17 	The Company shall use its commercially reasonable efforts to file a release with respect to the security interests held by Jefferies Finance, LLC dated 8/1/2013 and recorded at V3631D647 P1-5 and V3631D646 P1-5,
respectively, within a reasonable amount of time after the Effective Date. 

 Schedule VII to the 

Collateral Agreement 
 COMMERCIAL
TORT CLAIMS 
 The following patent lawsuit brought by NCR Corporation: 

NCR Corporation v. Documotion Research, Inc., Civil Action No. 1:14-cv-00395; action under the patent laws of the United States for infringement of U.S.
Patent Nos. 7,588,811; 7,820,264; 8,537,184; & 8,711,190.18 
  

 

	18 	Subject to Master Acquisition Agreement dated as of January 6, 2016, by and among the Company, Receiptco LLC and Receiptco (UK), Ltd., and the Intellectual Property Agreement dated as of January 6, 2016, by
and between the Company and Receiptco LLC. 

 Schedule VIII to the 

Collateral Agreement 
 LOCATIONS
FOR CHATTEL PAPER AND RECORDS 
 Physical Locations 

3097 Satellite Boulevard 
 Duluth, GA 30096 

3095 Satellite Boulevard 
 Duluth, GA 30096 

Additional (hard copy and backup tape) backup services provided by: 

Recall Corporation 
 One Recall Center 

180 Technology Parkway 
 Norcross, GA 30092 

Electronic Storage 
 Business Operations Center (BOC) 

Electronic Order Jacket (EOJ) 
 Web Ordering Tool (WOT) 

Invoice Engine 
 Maintained from offices at: 

3095 Satellite Boulevard 
 Duluth, GA 30096 

Legal Electronic Contract Management System (ECMS) 

Maintained from offices at: 
 3097 Satellite Boulevard 

Duluth, GA 30096 
 Additional electronic storage provided by:

 Datamatics Global Services Limited 

 Exhibit I to the 

Collateral Agreement 

SUPPLEMENT NO.             dated as of [    ]
(this “Supplement”), to the Amended and Restated Guarantee and Collateral Agreement, dated as of August 22, 2011, as amended and restated as of January 6, 2014, as further amended and restated as of March 31, 2016
(the “Collateral Agreement”), among NCR CORPORATION, a Maryland corporation (the “Company”), the Foreign Borrowers from time to time party thereto, the Subsidiary Loan Parties from time to time party thereto and
JPMORGAN CHASE BANK, N.A., a national banking association (“JPMCB”), as Administrative Agent (in such capacity, the “Administrative Agent”). 

A. Reference is made to the Credit Agreement dated as of August 22, 2011, as amended and restated as of July 25, 2013, as further
amended and restated as of March 31, 2016 (as amended, supplemented or otherwise modified from time to time, the “Credit Agreement”), among the Company, the Foreign Borrowers from time to time party thereto, the lenders from
time to time party thereto and JPMCB, as Administrative Agent. 
 B. Capitalized terms used herein and not otherwise defined herein shall
have the meanings assigned to such terms in the Credit Agreement and the Collateral Agreement. 
 C. The Grantors have entered into the
Collateral Agreement in order to induce the Lenders to make Loans and the Issuing Banks to issue Letters of Credit. Section 8.13 of the Collateral Agreement provides that additional Subsidiaries of the Company may become Subsidiary Loan Parties
under the Collateral Agreement by execution and delivery of an instrument in the form of this Supplement. The undersigned (the “New Subsidiary”) is executing this Supplement in accordance with the requirements of the Credit
Agreement to become a Subsidiary Loan Party under the Collateral Agreement in order to induce the Lenders to make additional Loans and the Issuing Bank to issue additional Letters of Credit and as consideration for Loans previously made and Letters
of Credit previously issued. 
 Accordingly, the Administrative Agent and the New Subsidiary agree as follows: 

SECTION 1. In accordance with Section 8.13 of the Collateral Agreement, the New Subsidiary by its signature below becomes a Subsidiary
Loan Party, Grantor and Guarantor under the Collateral Agreement with the same force and effect as if originally named therein as a Subsidiary Loan Party, Grantor and Guarantor and the New Subsidiary hereby (a) agrees to all the terms and
provisions of the Collateral Agreement applicable to it as a Subsidiary Loan Party, Grantor and Guarantor thereunder and (b) represents and warrants that the representations and warranties made by it as a Grantor and Guarantor thereunder are
true and correct on and as of the date hereof. In 

 
furtherance of the foregoing, the New Subsidiary, as security for the payment and performance, as the case may be, in full of the Obligations, and subject to the last sentence of
Section 4.01(a) of the Collateral Agreement, does hereby create and grant to the Administrative Agent, its successors and assigns, for the benefit of the Secured Parties a security interest in all right, title and interest in and to the
Collateral now owned or hereafter acquired by the New Subsidiary. Each reference to a “Guarantor” or “Grantor” in the Collateral Agreement shall be deemed to include the New Subsidiary. The Collateral Agreement is hereby
incorporated herein by reference. 
 SECTION 2. The New Subsidiary represents and warrants to the Administrative Agent and the other Secured
Parties that this Supplement has been duly authorized, executed and delivered by it and constitutes its legal, valid and binding obligation, enforceable against it in accordance with its terms. The New Subsidiary hereby irrevocably authorizes the
Administrative Agent (or its designee) at any time and from time to time to file in any relevant jurisdiction any financing statements (including fixture filings) with respect to the Article 9 Collateral or any part thereof and amendments
thereto that (i) indicate the Collateral as “all assets, whether now owned or hereafter acquired” of the New Subsidiary or words of similar effect or of a lesser scope or with greater detail and (ii) contain
the information required by Article 9 of the Uniform Commercial Code of each applicable jurisdiction for the filing of any financing statement or amendment, including (A) whether the New Subsidiary is an organization, the type of organization
and any organizational identification number issued to the New Subsidiary and (B) in the case of a financing statement filed as a fixture filing or covering Article 9 Collateral constituting minerals or the like to be extracted or timber
to be cut, a sufficient description of the real property to which such Article 9 Collateral relates. The New Subsidiary agrees to provide the information required for any such filing to the Administrative Agent promptly upon request. The
Administrative Agent (or its designee) is further authorized by the New Subsidiary to file with the United States Patent and Trademark Office or the United States Copyright Office (or any successor office or any similar office in any other country)
such documents as may be necessary or advisable for the purpose of perfecting, confirming, continuing, enforcing or protecting the Security Interest granted by the New Subsidiary, without the signature of the New Subsidiary, and naming the New
Subsidiary as debtor and the Administrative Agent as secured party; provided that notwithstanding anything to the contrary in any of the Loan Documents, the New Subsidiary shall not have any obligation to perfect any Security Interest or
lien, or record any notice thereof, in any Article 9 Collateral consisting of Intellectual Property in any jurisdiction other than the United States. 

SECTION 3. This Supplement may be executed in counterparts (and by different parties hereto on different counterparts), each of which shall
constitute an original, but all of which when taken together shall constitute a single contract. This Supplement shall become effective when the Administrative Agent shall have received a counterpart of this Supplement that bears the signature of
the New Subsidiary and the Administrative Agent has executed a counterpart hereof. Delivery of an executed signature page to this Supplement by facsimile or other electronic imaging shall be effective as delivery of a manually signed counterpart of
this Supplement. 

  
 2 

 SECTION 4. The New Subsidiary hereby represents and warrants that (a) set forth on
Schedule I attached hereto is a schedule with the true and correct legal name of the New Subsidiary, its jurisdiction of formation and the location of its chief executive office, (b) set forth on Schedule II attached hereto is a true
and correct schedule of all the Pledged Equity Interests of the New Subsidiary, (c) set forth on Schedule III attached hereto is a true and correct schedule of all the Pledged Debt Securities owned by such New Subsidiary, (d) set
forth on Schedule IV attached hereto is a true and complete list (in all material respects) of (i) all Patents that have been granted by the United States Patent and Trademark Office and for which published United States applications are
pending, (ii) all Copyrights that have been registered with the United States Copyright Office, (iii) all Trademarks that have been registered with the United States Patent and Trademark Office and for which United States registration
applications are pending and (iv) all exclusive Copyright Licenses under which such Grantor is a licensee and that, in the case of clauses (i), (ii) and (iii) are owned by the New Subsidiary, in each case truly and completely
specifying the name of the registered owner, title or mark, registration or application number, and (except with respect to Copyrights) registration date (if already registered) or application date and, with respect to any exclusive Licenses, the
licensee, the licensor and date of license agreement and (e) set forth on Schedule V attached hereto is a true and correct schedule of each Commercial Tort Claim that is not an Excluded Asset, including a summary description of such claim.

 SECTION 5. Except as expressly supplemented hereby, the Collateral Agreement shall remain in full force and effect. 

SECTION 6. THIS SUPPLEMENT SHALL BE GOVERNED BY, AND CONSTRUED IN ACCORDANCE WITH, THE LAWS OF THE STATE OF NEW YORK. 

SECTION 7. In case any one or more of the provisions contained in this Supplement should be held invalid, illegal or unenforceable in any
respect, the validity, legality and enforceability of the remaining provisions contained herein and in the Collateral Agreement shall not in any way be affected or impaired thereby (it being understood that the invalidity of a particular provision
in a particular jurisdiction shall not in and of itself affect the validity of such provision in any other jurisdiction). The parties hereto shall endeavor in good-faith negotiations to replace the invalid, illegal or unenforceable provisions with
valid provisions the economic effect of which comes as close as possible to that of the invalid, illegal or unenforceable provisions. 

SECTION 8. All communications and notices hereunder shall be in writing and given as provided in Section 8.01 of the Collateral
Agreement. 
 IN WITNESS WHEREOF, the New Subsidiary and the Administrative Agent have duly executed this Supplement to the Collateral
Agreement as of the day and year first above written. 
 [NAME OF NEW SUBSIDIARY], 

  
 3 

 
			
	by	 	  

		 	Name:
		 	Title:

  

			
	 JPMORGAN CHASE BANK, N.A.,
 as
Administrative Agent

		
	by	 	  

		 	Name:
		 	Title:

  
 4 

 Schedule I 

to Supplement No.     to the 

Collateral Agreement 
 NEW
SUBSIDIARY INFORMATION 
  

					
	 Name
	  	 Jurisdiction of Formation
	  	 Chief Executive Office

 Schedule II 

to Supplement No.     to the 

Collateral Agreement 
 PLEDGED
EQUITY INTERESTS 
  

									
	 Issuer
	  	 Number of

Certificate
	  	 Registered

Owner
	  	 Number and

Class of
 Equity Interests
	  	 Percentage

of Equity Interests

 Schedule III 

to Supplement No.     to the 

Collateral Agreement 
 PLEDGED DEBT
SECURITIES 
  

							
	 Issuer
	  	 Principal Amount
	  	 Date of Note
	  	 Maturity Date

 Schedule IV 

to Supplement No.     to the 

Collateral Agreement 
 INTELLECTUAL
PROPERTY 

 Schedule V 

to Supplement No.     to the 

Collateral Agreement 
 COMMERCIAL
TORT CLAIMS 

 Exhibit II-A to the 

Collateral Agreement 

[FORM OF] PATENT SECURITY AGREEMENT dated as of [            ],
20[     ] (this “Agreement”), among NCR CORPORATION, a Maryland corporation (the “Company”), each subsidiary of the Company party hereto and JPMorgan Chase Bank, N.A. (“JPMCB”),
as Administrative Agent. 
 Reference is made to (a) the Credit Agreement dated as of August 22, 2011, as amended and restated as
of July 25, 2013, as further amended and restated as of March 31, 2016 (as amended, supplemented or otherwise modified from time to time, the “Credit Agreement”), among the Company, the Foreign Borrowers from time to time
party thereto, the lenders from time to time party thereto and JPMCB, as Administrative Agent and (b) the Amended and Restated Guarantee and Collateral Agreement dated as of August 11, 2011, as amended and restated as of January 6,
2014, as further amended and restated as of March 31, 2016 (as amended, supplemented or otherwise modified from time to time, the “Collateral Agreement”), among the Company, the Foreign Borrowers party thereto, the subsidiaries
of the Company from time to time party thereto and JPMCB, as Administrative Agent. The Lenders and the Issuing Banks have agreed to extend credit to the Company subject to the terms and conditions set forth in the Credit Agreement. The obligations
of the Lenders and the Issuing Banks to extend such credit are conditioned upon, among other things, the execution and delivery of this Agreement. The subsidiaries of the Company party hereto (other than the Company) are Affiliates of the Company,
have derived and will derive substantial benefits from the extension of credit to the Company pursuant to the Credit Agreement and are willing to execute and deliver this Agreement in order to induce the Lenders and the Issuing Banks to extend such
credit. Accordingly, the parties hereto agree as follows: 
 SECTION 1. Terms. Each capitalized term used but not otherwise defined
herein shall have the meaning specified in the Credit Agreement or the Collateral Agreement, as applicable. The rules of construction specified in Section 1.03 of the Credit Agreement also apply to this Agreement, mutatis
mutandis. 
 SECTION 2. Grant of Security Interest. As security for the payment or performance, as the case may be, in
full of the Obligations, each Grantor hereby (1) reaffirms the security interest granted pursuant to Section 4.01 of the Existing Guarantee and Collateral Agreement and (2) grants to the Administrative Agent, its successors and
assigns, for the benefit of the Secured Parties, a security interest in all right, title and interest in, to and under any and all of the following assets now owned or at any time hereafter acquired by such Grantor or in, to or under which such
Grantor now has or at any time hereafter may acquire any right, title or interest (collectively, the “Patent Collateral”): 

(a) all letters patent of the United States of America or the equivalent thereof in any other country, all registrations and recordings
thereof and all applications for letters patent of the United States of America or the equivalent thereof in any other country or any political subdivision thereof, including registrations, recordings and

 
pending applications in the United States Patent and Trademark Office or any similar offices in any other country or any political subdivision thereof, including any of the foregoing listed on
Schedule I, and (b) all reissues, continuations, divisionals, continuations-in-part, reexaminations, supplemental examinations, inter partes reviews, renewals, adjustments or extensions thereof, and the inventions disclosed
or claimed therein, including the right to make, have made, use, sell offer to sell, import or export the inventions disclosed or claimed therein. Notwithstanding anything herein to the contrary, if any Grantor and the Administrative Agent shall
agree that any asset included in the “Patent Collateral” is an Excluded Asset, the security interest granted under this Section 2 shall thereafter not attach to, and the term “Patent Collateral” shall not include, such
Excluded Asset; provided that the security interest shall immediately attach to, and the Patent Collateral shall immediately include, any such asset (or portion thereof) upon such asset (or such portion) ceasing to be an Excluded
Asset. 
 SECTION 3. Collateral Agreement. The security interests granted to the Administrative Agent herein are granted in
furtherance, and not in limitation of, the security interests granted to the Administrative Agent pursuant to the Collateral Agreement. Each Grantor hereby acknowledges and affirms that the rights and remedies of the Administrative Agent with
respect to the Patent Collateral are more fully set forth in the Collateral Agreement, the terms and provisions of which are hereby incorporated herein by reference as if fully set forth herein. In the event of any conflict between the terms of this
Agreement and the Collateral Agreement, the terms of the Collateral Agreement shall govern. 
 SECTION 4. Counterparts. This
Agreement may be executed in counterparts (and by different parties hereto on different counterparts), each of which shall constitute an original, but all of which when taken together shall constitute a single contract. Delivery of an executed
counterpart of a signature page of this Agreement by facsimile or other electronic imaging shall be effective as delivery of a manually executed counterpart of this Agreement. 

[Signature Pages Follow] 

  
 2 

 IN WITNESS WHEREOF, the parties hereto have duly executed this Agreement as of the day and year
first above written. 
  

			
	NCR CORPORATION,
		
	by	 	  

		 	Name:
		 	Title:

  

			
	[OTHER GRANTORS],
		
	by	 	  

		 	Name:
		 	Title:

  

			
	JPMORGAN CHASE BANK, N.A., as Administrative Agent,
		
	by	 	  

		 	Name:
		 	Title:

 SCHEDULE I 

Patents Owned by [Name of Grantor] 

U.S. Patent Registrations 
  

					
	 Type
	  	Registration No.	  	Expiration Date
		  		  	

 U.S. Patent Applications 
  

					
	 Type
	  	Application No.	  	Expiration Date
		  		  	

 Exhibit II-B to the 

Collateral Agreement 

[FORM OF] TRADEMARK SECURITY AGREEMENT dated as of
[            ], 20[ ] (this “Agreement”), among NCR CORPORATION, a Maryland corporation (the “Company”), each subsidiary of the Company party hereto and
JPMorgan Chase Bank, N.A. (“JPMCB”), as Administrative Agent. 
 Reference is made to (a) the Credit Agreement dated
as of August 22, 2011, as amended and restated as of July 25, 2013, as further amended and restated as of March 31, 2016 (as amended, supplemented or otherwise modified from time to time, the “Credit Agreement”),
among the Company, the Foreign Borrowers from time to time party thereto, the lenders from time to time party thereto and JPMCB, as Administrative Agent and (b) the Amended and Restated Guarantee and Collateral Agreement dated as of
August 11, 2011, as amended and restated as of January 6, 2014, as further amended and restated as of March 31, 2016 (as amended, supplemented or otherwise modified from time to time, the “Collateral Agreement”),
among the Company, the Foreign Borrowers party thereto, the subsidiaries of the Company from time to time party thereto and JPMCB, as Administrative Agent. The Lenders and the Issuing Banks have agreed to extend credit to the Company subject to the
terms and conditions set forth in the Credit Agreement. The obligations of the Lenders and the Issuing Banks to extend such credit are conditioned upon, among other things, the execution and delivery of this Agreement. The subsidiaries of the
Company party hereto (other than the Company) are Affiliates of the Company, have derived and will derive substantial benefits from the extension of credit to the Company pursuant to the Credit Agreement and are willing to execute and deliver this
Agreement in order to induce the Lenders and the Issuing Banks to extend such credit. Accordingly, the parties hereto agree as follows: 

SECTION 1. Terms. Each capitalized term used but not otherwise defined herein shall have the meaning specified in the Credit Agreement
or the Collateral Agreement, as applicable. The rules of construction specified in Section 1.03 of the Credit Agreement also apply to this Agreement, mutatis mutandis. 

SECTION 2. Grant of Security Interest. As security for the payment or performance, as the case may be, in full of the Obligations, each
Grantor hereby (1) reaffirms the security interest granted pursuant to Section 4.01 of the Existing Guarantee and Collateral Agreement and (2) grants to the Administrative Agent, its successors and assigns, for the benefit of the
Secured Parties, a security interest in all right, title and interest in, to and under any and all of the following assets now owned or at any time hereafter acquired by such Grantor or in, to or under which such Grantor now has or at any time
hereafter may acquire any right, title or interest (collectively, the “Trademark Collateral”): 
 (a) all trademarks,
service marks, trade names, corporate names, company names, business names, fictitious business names, trade styles, trade dress, logos, domain names, other source or business identifiers, designs and general intangibles of like nature,

 
all registrations and recordings thereof, and all registration and recording applications filed in connection therewith, including registrations and registration applications in the United States
Patent and Trademark Office or any similar office in any State of the United States of America or any other country or any political subdivision thereof, all extensions or renewals thereof, and all common law rights related thereto, including any of
the foregoing listed on Schedule I, (b) all goodwill associated therewith or symbolized thereby and (c) all other assets, rights and interests that uniquely reflect or embody such goodwill. Notwithstanding anything herein to the
contrary, if any Grantor and the Administrative Agent shall agree that any asset included in the “Trademark Collateral” is an Excluded Asset, the security interest granted under this Section 2 shall thereafter not attach to, and the
term “Trademark Collateral” shall not include, such Excluded Asset; provided that the security interest shall immediately attach to, and the Trademark Collateral shall immediately include, any such asset (or portion thereof) upon
such asset (or such portion) ceasing to be an Excluded Asset. 
 SECTION 3. Collateral Agreement. The security interests granted to
the Administrative Agent herein are granted in furtherance, and not in limitation of, the security interests granted to the Administrative Agent pursuant to the Collateral Agreement. Each Grantor hereby acknowledges and affirms that the rights and
remedies of the Administrative Agent with respect to the Trademark Collateral are more fully set forth in the Collateral Agreement, the terms and provisions of which are hereby incorporated herein by reference as if fully set forth herein. In the
event of any conflict between the terms of this Agreement and the Collateral Agreement, the terms of the Collateral Agreement shall govern. 

SECTION 4. Counterparts. This Agreement may be executed in counterparts (and by different parties hereto on different counterparts),
each of which shall constitute an original, but all of which when taken together shall constitute a single contract. Delivery of an executed counterpart of a signature page of this Agreement by facsimile or other electronic imaging shall be
effective as delivery of a manually executed counterpart of this Agreement. 
 [Signature Pages Follow] 

  
 2 

 IN WITNESS WHEREOF, the parties hereto have duly executed this Agreement as of the day and year
first above written. 
  

			
	NCR CORPORATION,
		
	by	 	  

		 	Name:
		 	Title:

  

			
	[OTHER GRANTORS],
		
	by	 	  

		 	Name:
		 	Title:

  

			
	JPMORGAN CHASE BANK, N.A., as Administrative Agent,
		
	by	 	  

		 	Name:
		 	Title:

 SCHEDULE I 

Trademarks/Trade Names Owned by [Name of Grantor] 

U.S. Trademark Registrations 
  

									
	 	  	 Mark
	  	 Registration No.
	  	 Expiration Date
	  	 
		  		  		  		  	

 U.S. Trademark Applications 
  

									
	 	  	 Mark
	  	 Application No.
	  	 Filing Date
	  	 
		  		  		  		  	

 State Trademark Registrations 
  

							
	 State
	  	 Mark
	  	 Registration No.
	  	 Expiration Date

		  		  		  	

 Exhibit II-C to the 

Collateral Agreement 

[FORM OF] COPYRIGHT SECURITY AGREEMENT dated as of
[            ], 20[ ] (this “Agreement”), among NCR CORPORATION, a Maryland corporation (the “Company”), each subsidiary of the Company party hereto and
JPMorgan Chase Bank, N.A. (“JPMCB”), as Administrative Agent. 
 Reference is made to (a) the Credit Agreement dated
as of August 22, 2011, as amended and restated as of July 25, 2013, as further amended and restated as of March 31, 2016 (as amended, supplemented or otherwise modified from time to time, the “Credit Agreement”),
among the Company, the Foreign Borrowers from time to time party thereto, the lenders from time to time party thereto and JPMCB, as Administrative Agent and (b) the Amended and Restated Guarantee and Collateral Agreement dated as of
August 11, 2011, as amended and restated as of January 6, 2014, as further amended and restated as of March 31, 2016 (as amended, supplemented or otherwise modified from time to time, the “Collateral Agreement”),
among the Company, the Foreign Borrowers party thereto, the subsidiaries of the Company from time to time party thereto and JPMCB, as Administrative Agent. The Lenders and the Issuing Banks have agreed to extend credit to the Company subject to the
terms and conditions set forth in the Credit Agreement. The obligations of the Lenders and the Issuing Banks to extend such credit are conditioned upon, among other things, the execution and delivery of this Agreement. The subsidiaries of the
Company party hereto (other than the Company) are Affiliates of the Company, have derived and will derive substantial benefits from the extension of credit to the Company pursuant to the Credit Agreement and are willing to execute and deliver this
Agreement in order to induce the Lenders and the Issuing Banks to extend such credit. Accordingly, the parties hereto agree as follows: 

SECTION 1. Terms. Each capitalized term used but not otherwise defined herein shall have the meaning specified in the Credit Agreement
or the Collateral Agreement, as applicable. The rules of construction specified in Section 1.03 of the Credit Agreement also apply to this Agreement, mutatis mutandis. 

SECTION 2. Grant of Security Interest. As security for the payment or performance, as the case may be, in full of the Obligations, each
Grantor hereby (1) reaffirms the security interest granted pursuant to Section 4.01 of the Existing Guarantee and Collateral Agreement and (2) grants to the Administrative Agent, its successors and assigns, for the benefit of the
Secured Parties, a security interest in all right, title and interest in, to and under any and all of the following assets now owned or at any time hereafter acquired by such Grantor or in, to or under which such Grantor now has or at any time
hereafter may acquire any right, title or interest (collectively, the “Copyright Collateral”): 

 (i) (a) all copyright rights in any work subject to the copyright laws of
the United States of America or any other country or any political subdivision thereof, whether as author, assignee, transferee or otherwise, (b) all registrations and applications for registration of any such copyright in the United States of
America or any other country, including, registrations, recordings, supplemental registrations, pending applications for registration, and renewals in the United States Copyright Office (or any similar office in any other country or any political
subdivision thereof), including any of the foregoing listed in Schedule I and (c) any other adjacent or other rights related or appurtenant to the foregoing, including moral rights; and 

(ii) all Copyright Licenses under which such Grantor is granted an exclusive license to any registered United States Copyright,
including those listed on Schedule I. 
 Notwithstanding anything herein to the contrary, if any Grantor and the Administrative Agent shall agree that any
asset included in the “Copyright Collateral” is an Excluded Asset, the security interest granted under this Section 2 shall thereafter not attach to, and the term “Copyright Collateral” shall not include, such Excluded
Asset; provided that the security interest shall immediately attach to, and the Copyright Collateral shall immediately include, any such asset (or portion thereof) upon such asset (or such portion) ceasing to be an Excluded Asset. 

SECTION 3. Collateral Agreement. The security interests granted to the Administrative Agent herein are granted in furtherance, and not
in limitation of, the security interests granted to the Administrative Agent pursuant to the Collateral Agreement. Each Grantor hereby acknowledges and affirms that the rights and remedies of the Administrative Agent with respect to the Copyright
Collateral are more fully set forth in the Collateral Agreement, the terms and provisions of which are hereby incorporated herein by reference as if fully set forth herein. In the event of any conflict between the terms of this Agreement and the
Collateral Agreement, the terms of the Collateral Agreement shall govern. 
 SECTION 4. Counterparts. This Agreement may be executed
in counterparts (and by different parties hereto on different counterparts), each of which shall constitute an original, but all of which when taken together shall constitute a single contract. Delivery of an executed counterpart of a signature page
of this Agreement by facsimile or other electronic imaging shall be effective as delivery of a manually executed counterpart of this Agreement. 

[Signature Pages Follow] 

  
 2 

 IN WITNESS WHEREOF, the parties hereto have duly executed this Agreement as of the day and year
first above written. 
  

			
	NCR CORPORATION,
		
	by	 	  

		 	Name:
		 	Title:

  

			
	[OTHER GRANTORS],
		
	by	 	  

		 	Name:
		 	Title:

  

			
	JPMORGAN CHASE BANK, N.A., as Administrative Agent,
		
	by	 	  

		 	Name:
		 	Title:

 SCHEDULE I 

Copyrights 
  

							
	 Registered Owner
	  	 Title
	  	 Copyright Number
	  	 Expiration Date

		  		  		  	

 Copyright Applications 
  

							
	 Registered Owner
	  	 Title
	  	 Application Number
	  	 Filing Date

		  		  		  	

 Exclusive Copyright Licenses 
  

									
	 Licensee
	  	 Licensor
	  	 Title
	  	 Copyright Number
	  	 Expiration Date

		  		  		  		  	

 EXHIBIT II-D to the 

Collateral Agreement 
  

 
 [FORM OF] 

PLEDGE AGREEMENT 
 dated as of

 [            ], 20[     ], 

among 
 NCR CORPORATION, 

THE SUBSIDIARIES OF NCR CORPORATION 

IDENTIFIED HEREIN 
 and 

JPMORGAN CHASE BANK, N.A., 
 as
Administrative Agent 
  
  

 

 TABLE OF CONTENTS 
  

					
	ARTICLE I	  	 	 
		
	Definitions	  			
	 SECTION 1.01. Defined Terms
	  	 	1	  
	 SECTION 1.02. Other Defined Terms
	  	 	1	  
		
	ARTICLE II	  			
		
	Pledge of Equity Interests	  			
	 SECTION 2.01. Pledge
	  	 	5	  
	 SECTION 2.02. Delivery of the Collateral
	  	 	6	  
	 SECTION 2.03. Representations and Warranties
	  	 	6	  
	 SECTION 2.04. Certification of Limited Liability Company and Limited Partnership Interests
	  	 	7	  
	 SECTION 2.05. Registration in Nominee Name; Denominations
	  	 	8	  
	 SECTION 2.06. Voting Rights; Dividends and Interest
	  	 	8	  
		
	ARTICLE III	  			
		
	Remedies	  			
	 SECTION 3.01. Remedies Upon Default
	  	 	10	  
	 SECTION 3.02. Application of Proceeds
	  	 	12	  
	 SECTION 3.03. Securities Act
	  	 	13	  
	 SECTION 3.04. Registration
	  	 	14	  
		
	ARTICLE IV	  			
		
	Miscellaneous	  			
	 SECTION 4.01. Notices
	  	 	15	  
	 SECTION 4.02. Waivers; Amendment
	  	 	15	  
	 SECTION 4.03. Administrative Agent’s Fees and Expenses; Indemnification
	  	 	16	  
	 SECTION 4.04. Survival
	  	 	16	  
	 SECTION 4.05. Counterparts; Effectiveness, Successors and Assignment
	  	 	17	  
	 SECTION 4.06. Severability
	  	 	17	  
	 SECTION 4.07. Right of Set-Off
	  	 	17	  
	 SECTION 4.08. Governing Law; Jurisdiction; Consent to Service of Process
	  	 	18	  
	 SECTION 4.09. WAIVER OF JURY TRIAL
	  	 	19	  
	 SECTION 4.10. Headings
	  	 	19	  
	 SECTION 4.11. Security Interest Absolute
	  	 	19	  
	 SECTION 4.12. Termination or Release
	  	 	19	  

					
	 SECTION 4.13. Additional Subsidiaries
	  	 	20	  
	 SECTION 4.14. Administrative Agent Appointed Attorney-in-Fact
	  	 	20	  
	 SECTION 4.15. Limitation on Administrative Agent’s Responsibilities with Respect to Existing Notes Holders and other Exculpatory
Provisions
	  	 	21	  
	 SECTION 4.16. Parallel Debt
	  	 	22	  

			
	 Schedules
	  	
		
	 Schedule I
	  	Subsidiary Loan Parties
	 Schedule II
	  	Pledged Equity Interests
		
	 Exhibits
	  	
		
	 Exhibit I
	  	Form of Supplement

 PLEDGE AGREEMENT dated as of
[            ], 20[ ] (this “Agreement”), among NCR CORPORATION, the Subsidiaries from time to time party hereto and JPMORGAN CHASE BANK, N.A.
(“JPMCB”), as Administrative Agent. 
 Reference is made to the Credit Agreement dated as of August 22, 2011, as
amended and restated as of July 25, 2013, as further amended and restated as of March 31, 2016 (and as amended, restated, supplemented or otherwise modified from time to time, the “Credit Agreement”), among NCR
CORPORATION, a Maryland Corporation (the “Company”), the Foreign Borrowers from time to time party thereto, the lenders from time to time party thereto and JPMCB, as Administrative Agent. The Lenders and the Issuing Banks have
agreed to extend credit to the Borrowers subject to the terms and conditions set forth in the Credit Agreement. The obligations of the Lenders and the Issuing Banks to extend such credit are conditioned upon, among other things, the execution and
delivery of this Agreement. The Grantors (other than the Company) are Affiliates of the Company, will derive substantial benefits from the extension of credit to the Borrowers pursuant to the Credit Agreement and are willing to execute and deliver
this Agreement in order to induce the Lenders and the Issuing Banks to extend such credit. In connection with the granting of a security interest in the Collateral to secure the Credit Agreement Obligations, the Grantors are required by
Section 3.6(a) of the Existing Notes Indenture to grant an equal and ratable security interest in the Collateral to secure the Existing Notes Obligations. Accordingly, the parties hereto agree as follows: 

ARTICLE IX 

Definitions 

SECTION 9.01. Defined Terms. (a) Each capitalized term used but not defined herein shall have the meaning assigned thereto in the
Credit Agreement or the Collateral Agreement, as applicable; provided that each term defined in the New York UCC (as defined herein) and not defined in this Agreement shall have the meaning in the New York UCC. The term “instrument”
shall have the meaning specified in Article 9 of the New York UCC. 
 (b) The rules of construction specified in Section 1.03 of
the Credit Agreement also apply to this Agreement, mutatis mutandis. 
 SECTION 9.02. Other Defined Terms. As used in this
Agreement, the following terms have the meanings specified below: 
 “Agreement” has the meaning assigned to such term in
the preamble hereto. 
 “Cash Management Services” has the meaning set forth in the Collateral Agreement. 

“Collateral” has the meaning assigned to such term in Section 2.01. 

 “Collateral Agreement” means the Amended and Restated Guarantee and Collateral
Agreement among the Company, the Foreign Borrowers party thereto, the subsidiaries of the Company from time to time party thereto and the Administrative Agent, as amended and restated as of the Effective Date, together with all supplements thereto.

 “Company” has the meaning assigned to such term in the recitals hereto. 

“Consolidated Net Tangible Assets” means the Net Tangible Assets of the Company and its Subsidiaries consolidated in
accordance with GAAP and as provided in the definition of Net Tangible Assets. In determining Consolidated Net Tangible Assets, minority interests in unconsolidated subsidiaries shall be included. 

“Credit Agreement” has the meaning assigned to such term in the recitals hereto. 

“Credit Agreement Obligations” means (a) all the Loan Document Obligations, (b) all the Secured Cash Management
Obligations, (c) all the Secured Hedge Obligations, (d) all the Secured Performance Support Obligations and (e) all the Guarantee Obligations; provided that the term “Obligations” when used in reference to any
Subsidiary that is a Guarantor or a Grantor, shall not include any Excluded Swap Obligation of such Subsidiary. 
 “Credit Agreement
Secured Parties” means (a) each Lender, (b) the Administrative Agent, (c) each Issuing Bank (d) each provider of Cash Management Services the obligations under which constitute Secured Cash Management Obligations,
(e) each counterparty to any Hedging Agreement the obligations under which constitute Secured Hedge Obligations, (f) each provider of a Performance Support Instrument the obligations under which constitute Secured Performance Support
Obligations, (g) the beneficiaries of each indemnification obligation undertaken by any Loan Party under any Loan Document and (h) the successors and assigns of each of the foregoing. 

“Excluded Equity Interests” has the meaning assigned to such term in Section 2.01. 

“Existing Notes” means the Company’s 9.49% Medium-Term Notes due 2020. 

“Existing Notes Holder” means each “Holder” (as defined in the Existing Notes Indenture). 

“Existing Notes Indenture” means the indenture dated November 1, 1988 between the Company and the Existing Notes
Trustee. 
 “Existing Notes Obligations” means the due and punctual payment by the Company of the principal and interest on
the Existing Notes, when and as due. 

  
 2 

 “Existing Notes Secured Parties” means the Existing Notes Holders and the
Existing Notes Trustee. 
 “Existing Notes Trustee” means State Street Bank and Trust Company, in its capacity as trustee
under the Existing Notes Indenture, and its successors and assigns. 
 “Federal Securities Laws” has the meaning assigned
to such term in Section 3.03. 
 “Grantors” means each Loan Party that directly holds or owns Equity Interests that
constitute Principal Property Collateral as identified on Scheduled II, including any Subsidiary that becomes a Grantor pursuant to the delivery of a Supplement in accordance with Section 4.13. 

“Guarantee Obligations” means the due and punctual performance of all obligations of the Grantors under or pursuant to
Article II of the Collateral Agreement (including monetary obligations incurred during the pendency of any bankruptcy, insolvency, receivership, examinership or other similar proceeding, regardless of whether allowed or allowable in such
proceeding). 
 “Loan Document Obligations” has the meaning set forth in the Collateral Agreement. 

“Net Tangible Assets”, as used in reference to the assets of any corporation, means the total amount of assets of such
corporation, both real and personal (exclusive of licenses, patents, patent applications, copyrights, trademarks, trade names, good will, experimental or organizational expense and other like intangibles, treasury stock and unamortized discount and
expense) less the sum of 
 (a) all reserves for depletion, depreciation, obsolescence and/or amortization of its properties (other than
those excluded as hereinabove provided) as shown by the books of such corporation (other than general contingency reserves, reserves representing mere appropriations of surplus and reserves to the extent related to intangible assets which have been
excluded in calculating Net Tangible Assets as above provided), and 
 (b) all indebtedness and other current liabilities of such corporation
other than (i) funded indebtedness, (ii) deferred income taxes, (iii) reserves which have been deducted pursuant to the preceding clause (a), (iv) general contingency reserves and reserves representing mere appropriations of
surplus and (v) liabilities to the extent related to intangible assets which have been excluded in calculating Net Tangible Assets as above provided. 

“New York UCC” means the Uniform Commercial Code as from time to time in effect in the State of New York. 

“Obligations” means (a) all the Credit Agreement Obligations and (b) all the Existing Notes Obligations. 

  
 3 

 “Parallel Debt” has the meaning assigned to such term in Section 4.16. 

“Perfection Certificate” means the Perfection Certificate dated the Effective Date delivered by the Company to the
Administrative Agent pursuant to Section 4.01(g) of the Credit Agreement. 
 “Pledged Equity Interests” has the
meaning assigned to such term in Section 2.01. 
 “Pledged Securities” means any stock certificates, unit
certificates, limited liability membership certificates or other certificated securities now or hereafter included in the Collateral, including all certificates, instruments or other documents representing or evidencing any Collateral. 

“Principal Party” has the meaning assigned to such term in Section 4.16. 

“Principal Property” means, as of any date, any building, structure or other facility together with the land upon which it is
erected and fixtures comprising a part thereof, used primarily for manufacturing, processing or production, in each case located in the United States, and owned or leased or to be owned or leased by the Company or any Subsidiary, in each case the
net book value of which as of such date exceeds 2% of Consolidated Net Tangible Assets, as shown on the audited consolidated balance sheet contained in the latest annual report to shareholders of the Company, other than any such land, building,
structure or other facility or portion thereof which, in the opinion of the Board of Directors, is not of material importance to the business conducted by the Company and its Subsidiaries, considered as one enterprise. 

“Principal Property Collateral” means the capital stock of any Subsidiary that owns Principal Property. 

“Principal Obligations” has the meaning assigned to such term in Section 4.16. 

“Secured Cash Management Obligations” has the meaning set forth in the Collateral Agreement. 

“Secured Hedge Obligations” has the meaning set forth in the Collateral Agreement. 

“Secured Parties” means (a) the Credit Agreement Secured Parties and (b) the Existing Notes Secured Parties. 

“Subsidiary Loan Parties” means (a) the entities identified on Schedule I and (b) each other entity that
becomes a party to this Agreement after the Effective Date, in each case other than those that have been released pursuant to Section 3.12. 

  
 4 

 “Supplement” means an instrument in the form of Exhibit I hereto, or any other
form approved by the Administrative Agent, and in each case reasonably satisfactory to the Administrative Agent. 
 ARTICLE X 

Pledge of Equity Interests 

SECTION 10.01. Pledge. As security for the payment or performance, as the case may be, in full of the Obligations, each Grantor hereby
assigns and pledges to the Administrative Agent, its successors and assigns, for the benefit of the Secured Parties, and hereby grants to the Administrative Agent, its successors and assigns, for the benefit of the Secured Parties, a security
interest in, all of such Grantor’s right, title and interest in, to and under (a)(i) the shares of capital stock and other Equity Interests now owned or at any time hereafter acquired by such Grantor that are and for so long as they are
Principal Property Collateral and (ii) all certificates and any other instruments representing all such Equity Interests (collectively, the “Pledged Equity Interests”); provided that the Pledged Equity Interests shall
not include (A) ) 66 2⁄3% or more of the issued and outstanding voting Equity Interests of any CFC; (B) any Equity Interests if, to the extent, and
for so long as, the grant of a Lien thereon to secure the Obligations is prohibited by any Requirements of Law (other than to the extent that any such prohibition would be rendered ineffective pursuant to the New York UCC or any other applicable
Requirements of Law); provided that such Equity Interest shall cease to be an Excluded Equity Interest at such time as such prohibition ceases to be in effect; (C) Equity Interests in any Person other than wholly owned Subsidiaries to
the extent, and for so long as, not permitted by the terms of such Subsidiary’s organizational or joint venture documents; provided that such Equity Interest shall cease to be an Excluded Equity Interest at such time as such prohibition
ceases to be in effect; (D) Equity Interests of NCR (Middle East) Limited so long as, and only to the extent that, the pledge of such Equity Interests would result in a change of control default under the existing contract to which NCR (Middle
East) Limited is a party on the Effective Date, as disclosed to the Administrative Agent; provided that such Equity Interest shall cease to be an Excluded Equity Interest at such time as such prohibition ceases to be in effect or (E) any
Equity Interest if, to the extent, and for so long as, the Administrative Agent and the Company shall have agreed in writing to treat such Equity Interest as an Excluded Equity Interest on account of the cost of pledging such Equity Interest
hereunder (taking into account any adverse tax consequences to the Company and the Subsidiaries (including the imposition of withholding or other material taxes)) being excessive in view of the benefits to be obtained by the Lenders therefrom (the
Equity Interests excluded pursuant to clauses (A) through (E) above being referred to as the “Excluded Equity Interests”); (b) all other property that may be delivered to and held by the Administrative Agent pursuant
to the terms of this Section 2.01 and Section 2.02; (c) subject to Section 2.06, all dividends, cash, instruments and other property from time to time received, receivable or otherwise distributed in respect of, in exchange for
or upon the conversion of, and all other Proceeds received in respect of, the securities referred to in clause (a) above; (d) subject to Section 2.06, all rights and privileges of such Grantor with respect to the securities and other
property referred to in clauses (a), (b) and (c) above; and (e) all Proceeds of any of the foregoing (the items referred to in clauses (a) through (e) above being collectively referred to as the
“Collateral”). 

  
 5 

 SECTION 10.02. Delivery of the Collateral. (a) Each Grantor agrees to deliver or
cause to be delivered to the Administrative Agent any and all Pledged Securities (i) on the date hereof, in the case of any such Pledged Securities owned by such Grantor on the date hereof, and (ii) promptly after the acquisition thereof
(and, in any event, as required under the Credit Agreement), in the case of any such Pledged Securities acquired by such Grantor after the date hereof. 

(b) Upon delivery to the Administrative Agent, (i) any Pledged Securities shall be accompanied by undated stock powers duly executed by
the applicable Grantor in blank or other undated instruments of transfer satisfactory to the Administrative Agent and by such other instruments and documents as the Administrative Agent may reasonably request and (ii) all other property
comprising part of the Collateral shall be accompanied by undated proper instruments of assignment duly executed by the applicable Grantor in blank and such other instruments or documents as the Administrative Agent may reasonably request. Each
delivery of Pledged Securities shall be accompanied by a schedule describing such securities, which schedule shall be deemed attached to, and shall supplement, Schedule II and be made a part hereof; provided that failure to provide any
such schedule hereto shall not affect the validity of such pledge of such Pledged Securities. 
 SECTION 10.03. Representations and
Warranties. The Grantors jointly and severally represent and warrant to the Administrative Agent, for the benefit of the Secured Parties, that: 

(a) Schedule II sets forth, as of the Effective Date, a true and complete list, with respect to each Grantor, of all the
Pledged Equity Interests owned by such Grantor and the percentage of the issued and outstanding units of each class of the Equity Interests of the issuer thereof represented by the Pledged Equity Interests owned by such Grantor; 

(b) the Pledged Equity Interests have been duly and validly authorized and issued by the issuers thereof and are fully paid and
nonassessable; 
 (c) except for the security interests granted hereunder and under any other Loan Documents, each of the
Grantors (i) is and, subject to any transfers, dispositions or other transactions made in compliance with the Credit Agreement, will continue to be the direct owner, beneficially and of record, of the Pledged Securities indicated on Schedule II
as owned by such Grantor, (ii) holds the same free and clear of all Liens, other than Liens permitted pursuant to Section 6.02 of the Credit Agreement and transfers, dispositions or other transactions made in compliance with the Credit
Agreement, (iii) will make no further assignment, pledge, hypothecation or transfer of, or create or permit to exist any security interest in or other Lien on, the Collateral, other than Liens permitted pursuant to Section 6.02 of the
Credit Agreement and transfers, dispositions or other 

  
 6 

 
transactions made in compliance with the Credit Agreement, and (iv) will defend its title or interest thereto or therein against any and all Liens (other than the Liens created by this
Agreement and the other Loan Documents and Liens permitted pursuant to Section 6.02 of the Credit Agreement and transfers, dispositions and other transactions made in compliance with the Credit Agreement), however arising, of all Persons
whomsoever; 
 (d) except for restrictions and limitations imposed by the Loan Documents or securities laws generally, the
Collateral is and will continue to be freely transferable and assignable and none of the Collateral is or will be subject to any option, right of first refusal, shareholders agreement, charter, by-law or other organizational document provisions or
contractual restriction of any nature that might prohibit, impair, delay or otherwise adversely affect the pledge of such Collateral hereunder, the sale or disposition thereof pursuant hereto or the exercise by the Administrative Agent of rights and
remedies hereunder; 
 (e) each of the Grantors has the power and authority to pledge the Collateral pledged by it hereunder
in the manner hereby done or contemplated; 
 (f) no consent or approval of any Governmental Authority, any securities
exchange or any other Person was or is necessary to the validity of the pledge effected hereby (other than such as have been obtained and are in full force and effect); 

(g) by virtue of the execution and delivery by the Grantors of this Agreement, when any Pledged Securities are delivered to the
Administrative Agent in accordance with this Agreement, all actions necessary or desirable for the Administrative Agent to obtain a legal, valid and perfected lien upon and security interest in such Pledged Securities, free of any adverse claims,
under the New York UCC to the extent such lien and security interest may be created and perfected under the New York UCC, as security for the payment and performance of the Obligations, will have been duly taken; and 

(h) subject to applicable local law in the case of any Equity Interests in any CFC, the pledge effected hereby is effective to
vest in the Administrative Agent, for the benefit of the Secured Parties, the rights of the Administrative Agent in the Collateral as set forth herein. 

SECTION 10.04. Certification of Limited Liability Company and Limited Partnership Interests. Each Grantor acknowledges and agrees that
(a) to the extent each interest in any limited liability company or limited partnership controlled now or in the future by such Grantor and pledged hereunder is a “security” within the meaning of Article 8 of the Uniform Commercial
Code and is governed by Article 8 of the Uniform Commercial Code, such interest shall be certificated and (b) each such interest shall at all times hereafter continue to be such a security and represented by such certificate. Each Grantor
further acknowledges and agrees that with respect to any interest in any limited liability company or limited partnership controlled now or in the future by such Grantor 

  
 7 

 
and pledged hereunder that is not a “security” within the meaning of Article 8 of the Uniform Commercial Code, such Grantor shall at no time elect to treat any such interest as a
“security” within the meaning of Article 8 of the Uniform Commercial Code, nor shall such interest be represented by a certificate, unless such Grantor provides prior written notification (or such other notice as the Administrative Agent
may agree) to the Administrative Agent of such election and such interest is thereafter represented by a certificate that is promptly delivered to the Administrative Agent pursuant to the terms hereof. Notwithstanding the foregoing provisions of
this Section 2.04, with the consent of the Administrative Agent, an interest in a limited liability company or limited partnership owned by a Grantor, may cease to be a “security” within the meaning of Article 8 of the Uniform
Commercial Code or be governed by Article 8 of the Uniform Commercial Code, so long as any certificates evidencing such interests (unless canceled) are delivered to or remain in the possession of the Administrative Agent. 

SECTION 10.05. Registration in Nominee Name; Denominations. Upon the occurrence and during the continuance of an Event of Default, the
Administrative Agent, on behalf of the Secured Parties, shall have the right (in its sole and absolute discretion) to hold the Pledged Securities in its own name as pledgee, in the name of its nominee (as pledgee or as sub-agent) or in the name of
the applicable Grantor, endorsed or assigned in blank or in favor of the Administrative Agent. Upon the occurrence and during the continuance of an Event of Default, each Grantor will promptly give to the Administrative Agent copies of any notices
or other communications received by it with respect to Pledged Securities registered in the name of such Grantor. The Administrative Agent shall at all times have the right to exchange the certificates representing Pledged Securities for
certificates of smaller or larger denominations for any purpose consistent with this Agreement. 
 SECTION 10.06. Voting Rights;
Dividends and Interest. (a) Unless and until an Event of Default shall have occurred and be continuing and the Administrative Agent shall have notified the Grantors that their rights under this Section 2.06 are being suspended: 

(i) each Grantor shall be entitled to exercise any and all voting and/or other consensual rights and powers inuring to an owner
of Collateral or any part thereof for any purpose consistent with the terms of this Agreement and the other Loan Documents, provided that such rights and powers shall not be exercised in any manner that could reasonably be expected to
materially and adversely affect the rights inuring to a holder of any Collateral or the rights and remedies of any of the Administrative Agent or any Secured Party under this Agreement, any other Loan Document or of the Existing Notes Trustee or any
Existing Notes Holder under the Existing Notes Indenture or the ability of the Secured Parties to exercise the same; 
 (ii)
the Administrative Agent shall execute and deliver to each Grantor, or cause to be executed and delivered to such Grantor, all such proxies, powers of attorney and other instruments as such Grantor may reasonably request for the purpose of enabling
such Grantor to exercise the voting and/or consensual rights and powers it is entitled to exercise pursuant to paragraph (a)(i) of this Section; and 

  
 8 

 (iii) each Grantor shall be entitled to receive and retain any and all dividends
and other distributions paid on or distributed in respect of the Collateral, but only to the extent that such dividends and other distributions are permitted by, and otherwise paid or distributed in accordance with, the terms and conditions of the
Credit Agreement, the other Loan Documents and applicable laws, provided that any noncash dividends or other distributions that would constitute Pledged Equity Interests, whether resulting from a subdivision, combination or reclassification
of the outstanding Equity Interests in the issuer of any Pledged Securities or received in exchange for Pledged Securities or any part thereof, or in redemption thereof, or as a result of any merger, consolidation, acquisition or other exchange of
assets to which such issuer may be a party or otherwise, shall be and become part of the Collateral and, if received by any Grantor, and required to be delivered to the Administrative Agent hereunder, shall be held in trust for the benefit of the
Administrative Agent and the other Secured Parties and shall be forthwith delivered to the Administrative Agent in the same form as so received (unless a different form is consented to by the Administrative Agent) (with any necessary endorsements,
stock powers or other instruments of transfer). 
 (b) Upon the occurrence and during the continuance of an Event of Default, after the
Administrative Agent shall have notified the Grantors of the suspension of their rights under paragraph (a)(iii) of this Section, then all rights of any Grantor to dividends or other distributions that such Grantor is authorized to receive pursuant
to paragraph (a)(iii) of this Section, shall cease, and all such rights shall thereupon become vested in the Administrative Agent, which shall have the sole and exclusive right and authority to receive and retain such dividends or other
distributions. All dividends or other distributions received by any Grantor contrary to the provisions of this Section shall be held in trust for the benefit of the Administrative Agent and the other Secured Parties, shall be segregated from any
property or funds of such Grantor not constituting Collateral and shall be forthwith delivered to the Administrative Agent upon demand in the same form as so received (with any necessary endorsements, stock powers or other instruments of transfer).
Any and all money and other property paid over to or received by the Administrative Agent pursuant to the provisions of this paragraph (b) shall be retained by the Administrative Agent in an account to be established by the Administrative Agent
upon receipt of such money or other property, shall be held as security for the payment and performance of the Obligations and shall be applied in accordance with the provisions of Section 3.02. After all Events of Default cease to exist
(whether as a result of being cured or waived or otherwise), the Administrative Agent shall promptly repay to each Grantor (without interest) all dividends or other distributions that such Grantor would otherwise be permitted to retain pursuant to
the terms of paragraph (a)(iii) of this Section and that remain in such account. 

  
 9 

 (c) Upon the occurrence and during the continuance of an Event of Default, after the
Administrative Agent shall have notified the Grantors of the suspension of their rights under paragraph (a)(i) of this Section 2.06, then all rights of any Grantor to exercise the voting and consensual rights and powers it is entitled to
exercise pursuant to paragraph (a)(i) of this Section 2.06, and the obligations of the Administrative Agent under paragraph (a)(ii) of this Section 2.06, shall cease, and all such rights shall thereupon become vested in the
Administrative Agent, which shall have the sole and exclusive right and authority to exercise such voting and consensual rights and powers, provided that, unless otherwise directed by the Required Lenders, the Administrative Agent shall have
the right from time to time following and during the continuance of an Event of Default to permit the Grantors to exercise such rights. After all Events of Default cease to exist (whether as a result of being cured or waived or otherwise), all
rights vested in the Administrative Agent pursuant to this paragraph (c) shall cease, and the Grantors shall have the exclusive right to exercise the voting and consensual rights and powers they would otherwise be entitled to exercise pursuant
to paragraph (a)(i) of this Section 2.06. 
 (d) Any notice given by the Administrative Agent to the Grantors suspending their rights
under paragraph (a) of this Section 2.06 (i) may be given by telephone if promptly confirmed in writing, (ii) may be given with respect to one or more of the Grantors at the same or different times and (iii) may suspend the
rights of the Grantors under paragraph (a)(i) or paragraph (a)(iii) in part without suspending all such rights (as specified by the Administrative Agent in its sole and absolute discretion) and without waiving or otherwise affecting the
Administrative Agent’s right to give additional notices from time to time suspending other rights so long as an Event of Default has occurred and is continuing. 

ARTICLE XI 

Remedies 
 SECTION
11.01. Remedies Upon Default. Upon the occurrence and during the continuance of an Event of Default, each Grantor agrees , at the Administrative Agent’s request, to assemble all or part of the Collateral and make it available to the
Administrative Agent at places which the Administrative Agent shall reasonably select, whether at such Grantor’s premises or elsewhere to the Administrative Agent or any Person designated by the Administrative Agent and it is agreed that the
Administrative Agent shall have the right to exercise remedies in accordance with Article VII of the Credit Agreement and in connection therewith to take any of or all the following actions at the same or different times: with or without legal
process and with or without prior notice or demand for performance, to exercise any and all rights afforded to a secured party under the Uniform Commercial Code or other applicable law. Each Grantor agrees that the Administrative Agent shall have
the right, subject to the mandatory requirements of applicable law and the notice requirements described below, and subject to any applicable notice requirements described in Article VII of the Credit Agreement, to sell or otherwise dispose of all
or any part of the Collateral at a public or private sale or any securities exchange, for cash, upon credit or for future delivery as the Administrative Agent shall deem appropriate. The Administrative Agent shall be authorized at any such sale of
securities (if it deems it advisable to do so) to restrict the 

  
 10 

 
prospective bidders or purchasers to Persons who will represent and agree that they are purchasing the Collateral for their own account for investment and not with a view to the distribution or
sale thereof, and upon consummation of any such sale the Administrative Agent shall have the right to assign, transfer and deliver to the purchaser or purchasers thereof the Collateral so sold. Each such purchaser at any sale of Collateral shall
hold the property sold absolutely free from any claim or right on the part of any Grantor, and each Grantor hereby waives (to the extent permitted by law) all rights of redemption, stay and appraisal that such Grantor now has or may at any time in
the future have under any rule of law or statute now existing or hereafter enacted, in connection with any exercise of remedies by the Administrative Agent or the Secured Parties in respect of the Collateral. 

The Administrative Agent shall give the applicable Grantors no less than 10 days’ prior written notice (which each Grantor agrees is
reasonable notice within the meaning of Section 9-611 of the New York UCC or its equivalent in other jurisdictions) of the Administrative Agent’s intention to make any sale of Collateral. Such
notice, in the case of a public sale, shall state the time and place for such sale and, in the case of a sale on a securities exchange, shall state the exchange at which such sale is to be made and the day on which the Collateral or portion thereof,
will first be offered for sale at such exchange. Any such public sale shall be held at such time or times within ordinary business hours and at such place or places as the Administrative Agent may fix and state in the notice (if any) of such sale.
At any such sale, the Collateral, or portion thereof, to be sold may be sold in one lot as an entirety or in separate parcels, as the Administrative Agent may (in its sole and absolute discretion) determine. The Administrative Agent shall not be
obligated to make any sale of any Collateral if it shall determine not to do so, regardless of the fact that notice of sale of such Collateral shall have been given. The Administrative Agent may, without notice or publication, adjourn any public or
private sale or cause the same to be adjourned from time to time by announcement at the time and place fixed for sale, and such sale may, without further notice (except any notice required by law), be made at the time and place to which the same was
so adjourned. In case any sale of all or any part of the Collateral is made on credit or for future delivery, the Collateral so sold may be retained by the Administrative Agent until the sale price is paid by the purchaser or purchasers thereof, but
none of the Administrative Agent or the other Secured Parties shall incur any liability in case any such purchaser or purchasers shall fail to take up and pay for the Collateral so sold and, in case of any such failure, such Collateral may be sold
again upon like notice. In the event of a foreclosure by the Administrative Agent on any of the Collateral pursuant to a public or private sale or other disposition, the Administrative Agent or any Lender may be the purchaser of any or all of such
Collateral at any such sale or other disposition, and the Administrative Agent, at the direction of the Required Lenders, as agent for and representative of the Secured Parties (but not any Lender or Lenders in its or their respective individual
capacities unless the Required Lenders shall otherwise agree in writing) shall be entitled, for the purpose of bidding and making settlement or payment of the purchase price for all or any portion of the Collateral sold at any such public sale, to
use and apply any of the Loan Document Obligations as a credit on account of the purchase price for any Collateral payable by the Administrative Agent on behalf of the Secured Parties at such sale or other disposition. For purposes hereof, a written
agreement to purchase the Collateral or any portion thereof shall be treated as a sale thereof; the Administrative Agent shall be free to carry out such 

  
 11 

 
sale pursuant to such agreement and no Grantor shall be entitled to the return of the Collateral or any portion thereof subject thereto, notwithstanding the fact that after the Administrative
Agent shall have entered into such an agreement all Events of Default shall have been remedied and the Obligations paid in full, but any such proceeds shall be paid over to the Grantors to the extent required by Section 3.02. As an alternative
to exercising the power of sale herein conferred upon it, the Administrative Agent may proceed by a suit or suits at law or in equity to foreclose this Agreement and to sell the Collateral or any portion thereof pursuant to a judgment or decree of a
court or courts having competent jurisdiction or pursuant to a proceeding by a court-appointed receiver. Each Grantor hereby waives any claims against the Administrative Agent arising by reason of the fact
that the price at which any Collateral may have been sold at such a private sale was less than the price which might have been obtained at a public sale, even if the Administrative Agent accepts the first offer received and does not offer such
Collateral to more than one offeree, and agrees that notwithstanding that a private sale of Collateral may result in a lower sale price than a public sale, such lower sale price will not, in and of itself, affect the commercially reasonableness of
such sale for purposes of Section 9-610(b) of the Uniform Commercial Code. 

SECTION 11.02. Application of Proceeds. (a) The Administrative Agent shall apply the proceeds of any collection or
sale of Collateral, including any Collateral consisting of cash, as follows: 
 FIRST, to the payment of all costs and
expenses incurred by the Administrative Agent in connection with such collection or sale or otherwise in connection with this Agreement, any other Loan Document or any of the Obligations, including all court costs and the reasonable fees and
expenses of its agents and legal counsel, the repayment of all advances made by the Administrative Agent hereunder or under any other Loan Document on behalf of any Grantor and any other reasonable costs or expenses incurred in connection with the
exercise of any right or remedy hereunder or under any other Loan Document; 
 SECOND, to the payment in full of the
Obligations (the amounts so applied to be distributed among the Secured Parties pro rata in accordance with the amounts of the Obligations owed to them on the date of any such distribution); and 

THIRD, to the Grantors, their successors or assigns, or as a court of competent jurisdiction may otherwise direct. 

The Administrative Agent shall have absolute discretion as to the time of application of any such proceeds, moneys or balances in accordance with this
Agreement. Upon any sale of Collateral by the Administrative Agent (including pursuant to a power of sale granted by statute or under a judicial proceeding), the receipt of the Administrative Agent or of the officer making the sale shall be a
sufficient discharge to the purchaser or purchasers of the Collateral so sold and such purchaser or purchasers shall not be obligated to see to the application of any part of the purchase money paid over to the

  
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Administrative Agent or such officer or be answerable in any way for the misapplication thereof. Notwithstanding the foregoing, the proceeds of any collection, sale, foreclosure or realization
upon any Collateral of any Grantor, including any collateral consisting of cash, shall not be applied to any Excluded Swap Obligation of such Grantor and shall instead be applied to other secured obligations. 

(b) If at any time any moneys collected or received by the Administrative Agent pursuant to this Agreement are distributable pursuant to
paragraph (a) above to the Existing Notes Trustee, and if the Existing Notes Trustee shall notify the Administrative Agent in writing that no provision is made under the Existing Notes Indenture for the application by the Existing Notes Trustee
of such moneys and that the Existing Notes Indenture does not effectively provide for the receipt and holding by the Existing Notes Trustee of such moneys pending the application thereof, then the Administrative Agent, after receipt of such
notification, shall at the direction of the Existing Notes Trustee, invest such amounts in Permitted Investments maturing within 90 days after they are acquired by the Administrative Agent or, in the absence of such direction, hold such moneys
uninvested and shall hold all such amounts so distributable and all such investments and the net proceeds thereof in trust solely for the Existing Notes Trustee (in its capacity as trustee) and for no other purpose until such time as the Existing
Notes Trustee shall request in writing the delivery thereof by the Administrative Agent for application pursuant to the Existing Notes Indenture. The Administrative Agent shall not be responsible for any diminution in funds resulting from any such
investment or any liquidation thereof prior to maturity. 
 (c) In making the determination and allocations required by this
Section 3.02, the Administrative Agent may conclusively rely upon information supplied by the Existing Notes Trustee as to the amounts of unpaid principal and interest and other amounts outstanding with respect to the Existing Notes
Obligations, and the Administrative Agent shall have no liability to any of the Secured Parties for actions taken in reliance on such information; provided that nothing in this sentence shall prevent any Grantor from contesting any amounts
claimed by any Secured Party in any information so supplied. All distributions made by the Administrative Agent pursuant to this Section 3.02 shall be (subject to any decree of any court of competent jurisdiction) final (absent manifest error),
and the Administrative Agent shall have no duty to inquire as to the application by the Existing Notes Trustee of any amounts distributed to it. 

SECTION 11.03. Securities Act. In view of the position of the Grantors in relation to the Collateral, or because of other current or
future circumstances, a question may arise under the Securities Act of 1933, as now or hereafter in effect, or any similar statute hereafter enacted analogous in purpose or effect (such Act and any such similar statute as from time to time in effect
being called the “Federal Securities Laws”) with respect to any disposition of the Collateral permitted hereunder. Each Grantor understands that compliance with the Federal Securities Laws might very strictly limit the course of
conduct of the Administrative Agent if the Administrative Agent were to attempt to dispose of all or any part of the Collateral, and might also limit the extent to which or the manner in which any subsequent transferee of any Collateral could
dispose of the same. Similarly, there may be other legal restrictions or limitations affecting the 

  
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Administrative Agent in any attempt to dispose of all or part of the Collateral under applicable “blue sky” or other state securities laws or similar laws analogous in purpose or
effect. Each Grantor recognizes that in light of such restrictions and limitations the Administrative Agent may, with respect to any sale of the Collateral, limit the purchasers to those who will agree, among other things, to acquire such Collateral
for their own account, for investment, and not with a view to the distribution or resale thereof. Each Grantor acknowledges and agrees that in light of such restrictions and limitations, the Administrative Agent, in its sole and absolute discretion,
(a) may proceed to make such a sale whether or not a registration statement for the purpose of registering such Pledged Collateral or part thereof shall have been filed under the Federal Securities Laws to the extent the Administrative Agent
has determined that such a registration is not required by any Requirement of Law and (b) may approach and negotiate with a limited number of potential purchasers (including a single potential purchaser) to effect such sale. Each Grantor
acknowledges and agrees that any such sale might result in prices and other terms less favorable to the seller than if such sale were a public sale without such restrictions. In the event of any such sale, none of the Administrative Agent or the
other Secured Parties shall incur any responsibility or liability for selling all or any part of the Collateral at a price that the Administrative Agent, in its sole and absolute discretion, may in good faith deem reasonable under the circumstances,
notwithstanding the possibility that a substantially higher price might have been realized if the sale were deferred until after registration as aforesaid or if more than a limited number of purchases (or a single purchaser) were approached. The
provisions of this Section 3.03 will apply notwithstanding the existence of a public or private market upon which the quotations or sales prices may exceed substantially the price at which the Administrative Agent sells. 

SECTION 11.04. Registration. Each Grantor agrees that, upon the occurrence and during the continuance of an Event of Default, if for
any reason the Administrative Agent desires to sell any of the Collateral at a public sale, it will, at any time and from time to time, upon the written request of the Administrative Agent, use its best efforts to take or to cause the issuer of such
Collateral to take such action and prepare, distribute and/or file such documents, as are required or advisable in the reasonable opinion of counsel for the Administrative Agent to permit the public sale of such Collateral. Each Grantor further
agrees to indemnify, defend and hold harmless the Administrative Agent, each other Secured Party, any underwriter and their respective affiliates and their respective officers, directors, affiliates and controlling persons from and against all loss,
liability, expense or claims (including the reasonable fees, disbursements and other charges of one counsel for all such persons, and, if necessary, one firm of local counsel in each appropriate jurisdiction (which may include a single special
counsel acting in multiple jurisdictions) (including the costs of investigation) that they may incur insofar as such loss, liability, expense or claim arises out of or is based upon any alleged untrue statement of a material fact by or on behalf of
a Grantor contained in any prospectus (or any amendment or supplement thereto) or in any notification or offering circular, or arises out of or is based upon any alleged omission by or on behalf of a Grantor to state a material fact required to be
stated therein or necessary to make the statements in any thereof not misleading. Each Grantor further agrees, upon such written request referred to above, to use its best efforts to qualify, file or register, or cause the issuer of such Collateral
to qualify, file or register, any of the Collateral under 

  
 14 

 
the “blue sky” or other securities laws of such states as may be requested by the Administrative Agent and keep effective, or cause to be kept effective, all such qualifications,
filings or registrations. Each Grantor will bear all costs and expenses of carrying out its obligations under this Section 3.04. Each Grantor acknowledges that there is no adequate remedy at law for failure by it to comply with the provisions
of this Section 3.04 and that such failure would not be adequately compensable in damages, and therefore agrees that its agreements contained in this Section 3.04 may be specifically enforced. 

ARTICLE XII 

Miscellaneous 

SECTION 12.01. Notices. All communications and notices hereunder shall (except as otherwise expressly permitted herein) be in writing
and given in the manner provided in Section 9.01 of the Credit Agreement or Section 11.4 of the Existing Notes Indenture, as applicable. All communications and notices hereunder to any Subsidiary Loan Party shall be given to it in care of
the Company in the manner provided in Section 9.01 of the Credit Agreement. 
 SECTION 12.02. Waivers; Amendment. (a) No
failure or delay by the Administrative Agent, any Issuing Bank or any Lender in exercising any right or power hereunder or under any other Loan Document shall operate as a waiver thereof, nor shall any single or partial exercise of any such right or
power, or any abandonment or discontinuance of steps to enforce such a right or power, preclude any other or further exercise thereof or the exercise of any other right or power. The rights and remedies of the Administrative Agent, the Issuing Banks
and the Lenders hereunder and under the other Loan Documents are cumulative and are not exclusive of any rights or remedies that they would otherwise have. No waiver of any provision of this Agreement or consent to any departure by any Loan Party
therefrom shall in any event be effective unless the same shall be permitted by paragraph (b) of this Section, and then such waiver or consent shall be effective only in the specific instance and for the purpose for which given. Without
limiting the generality of the foregoing, the execution and delivery of this Agreement, the making of a Loan or issuance of a Letter of Credit shall not be construed as a waiver of any Default, regardless of whether the Administrative Agent, any
Lender or any Issuing Bank may have had notice or knowledge of such Default at the time. No notice or demand on any Loan Party in any case shall entitle any Loan Party to any other or further notice or demand in similar or other circumstances. 

(b) Neither this Agreement nor any provision hereof may be waived, amended or modified except pursuant to an agreement or agreements in writing
entered into by the Administrative Agent and the Loan Party or Loan Parties with respect to which such waiver, amendment or modification is to apply, subject to any consent required in accordance with Section 9.02 of the Credit Agreement;
provided that the Administrative Agent may, without the consent of any Secured Party, consent to a departure by any Loan Party from any covenant of such Loan Party set forth herein to the extent such departure is consistent with the authority
of the Administrative Agent set 

  
 15 

 
forth in the definition of the term “Collateral and Guarantee Requirement” in the Credit Agreement; provided, further, that the requisite written consent of the Existing
Notes Holders or the Existing Notes Trustee under the Existing Notes Indenture shall be required with respect to any release, waiver, amendment or other modification of this Agreement that would materially and adversely affect the rights of the
Existing Notes Holders to equally and ratably share in the security provided for herein with respect to the Collateral. Except as set forth in this Section 4.02(b), neither the Existing Notes Holders nor the Existing Notes Trustee shall have
any rights to approve any release, waiver, amendment, modification, charge, discharge or termination with respect to this Agreement. 
 (c)
This Agreement shall be construed as a separate agreement with respect to each Loan Party and may be amended, modified, supplemented, waived or released with respect to any Loan Party without the approval of any other Loan Party and without
affecting the obligations of any other Loan Party hereunder. 
 SECTION 12.03. Administrative Agent’s Fees and Expenses;
Indemnification. (a) The Grantors jointly and severally agree to reimburse the Administrative Agent for its reasonable fees and expenses incurred hereunder as provided in Section 9.03 of the Credit Agreement; provided that each
reference therein to the “Company” shall be deemed to be a reference to the “Grantors.” 
 (b) The Grantors jointly and
severally agree to indemnify and hold harmless each Indemnitee as provided in Section 9.03 of the Credit Agreement; provided that each reference therein to the “Company” shall be deemed to be a reference to the
“Grantors.” 
 (c) Any amounts payable under this Section 4.03 shall be additional Credit Agreement Obligations secured hereby
and by the other Security Documents. The provisions of this Section shall survive and remain in full force and effect regardless of the termination of this Agreement or any other Loan Document, the consummation of the transactions contemplated
hereby or thereby, the repayment of any of the Obligations, the invalidity or unenforceability of any term or provision of this Agreement or any other Loan Document or any investigation made by or on behalf of the Administrative Agent or any other
Secured Party. 
 (d) All amounts due under this Section 4.03 shall be payable promptly after written demand therefore. 

SECTION 12.04. Survival. All covenants, agreements, representations and warranties made by the Loan Parties in this Agreement or any
other Loan Document and in the certificates or other instruments delivered in connection with or pursuant to this Agreement or any other Loan Document shall be considered to have been relied upon by the Administrative Agent, the Lenders, the Issuing
Banks and the other Secured Parties and shall survive the execution and delivery of the Loan Documents and the making of any Loans and issuance of any Letters of Credit, regardless of any investigation made by or on behalf of the Administrative
Agent, any Lender, any Issuing 

  
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Bank or any other Person and notwithstanding that the Administrative Agent, any Lender, any Issuing Bank or any other Person may have had notice or knowledge of any Default or incorrect
representation or warranty at the time any Loan Document is executed and delivered or any credit is extended under the Credit Agreement, and shall continue in full force and effect until such time as (a) all the Loan Document Obligations
(including LC Disbursements, if any, but excluding contingent obligations as to which no claim has been made) have been paid in full in cash, (b) all Commitments have terminated or expired and (c) the LC Exposure has been reduced to zero
(including as a result of obtaining the consent of the applicable Issuing Bank as described in Section 9.05 of the Credit Agreement) and the Issuing Banks have no further obligation to issue or amend Letters of Credit under the Credit
Agreement. 
 SECTION 12.05. Counterparts; Effectiveness, Successors and Assignment. This Agreement may be executed in counterparts,
(and by different parties hereto on different counterparts), each of which shall constitute an original but all of which when taken together shall constitute a single contract. This Agreement shall become effective as to any Loan Party when a
counterpart hereof executed on behalf of such Loan Party shall have been delivered to the Administrative Agent and a counterpart hereof shall have been executed on behalf of the Administrative Agent, and thereafter shall be binding upon such Loan
Party and the Administrative Agent and their respective successors and assigns, and shall inure to the benefit of such Loan Party, the Administrative Agent and the other Secured Parties and their respective successors and assigns, except that no
Loan Party may assign or otherwise transfer any of its rights or obligations hereunder or any interest herein or in the Collateral (and any attempted assignment or transfer by any Loan Party shall be null and void), except as expressly provided in
this Agreement or the Credit Agreement. Delivery of an executed counterpart of a signature page of this Agreement by facsimile or other electronic imaging shall be effective as delivery of a manually executed counterpart of this Agreement. 

SECTION 12.06. Severability. Any provision of this Agreement held to be invalid, illegal or unenforceable in any jurisdiction shall, as
to such jurisdiction, be ineffective to the extent of such invalidity, illegality or unenforceability without affecting the validity, legality and enforceability of the remaining provisions hereof; and the invalidity of a particular provision in a
particular jurisdiction shall not invalidate such provision in any other jurisdiction. The parties shall endeavor in good-faith negotiations to replace any invalid, illegal or unenforceable provisions with valid provisions the economic effect of
which comes as close as possible to that of such invalid, illegal or unenforceable provisions. 
 SECTION 12.07. Right of Set-Off. If
an Event of Default shall have occurred and be continuing, each Lender and Issuing Bank, and each Affiliate of any of the foregoing, is hereby authorized at any time and from time to time, to the fullest extent permitted by applicable law, to set
off and apply any and all deposits (general or special, time or demand, provisional or final), in whatever currency) or other amounts at any time held and other obligations (in whatever currency) at any time owing by such Lender or Issuing Bank, or
by such an Affiliate, to or for the credit or the account of any Loan Party 

  
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against any of and all the obligations then due of such Loan Party now or hereafter existing under this Agreement held by such Lender or Issuing Bank, irrespective of whether or not such Lender
or Issuing Bank shall have made any demand under this Agreement. The rights of each Lender and Issuing Bank, and each Affiliate of any of the foregoing, under this Section are in addition to other rights and remedies (including other rights of
setoff) that such Lender, Issuing Bank or Affiliate may have. 
 SECTION 12.08. Governing Law; Jurisdiction; Consent to Service of
Process. (a) This Agreement shall be construed in accordance with and governed by the law of the State of New York. 
 (b) Each of
the Loan Parties hereby irrevocably and unconditionally submits, for itself and its property, to the exclusive jurisdiction of the Supreme Court of the State of New York sitting in New York County and of the United States District Court of the
Southern District of New York, and any appellate court from any thereof, in any action or proceeding arising out of or relating to this Agreement or any other Loan Document, or for recognition or enforcement of any judgment, and each of the parties
hereto hereby irrevocably and unconditionally agrees that all claims in respect of any such action or proceeding shall be heard and determined in such New York State or, to the extent permitted by law, in such Federal court. Each of the Loan
Parties hereto agrees that a final judgment in any such action or proceeding shall be conclusive and may be enforced in other jurisdictions by suit on the judgment or in any other manner provided by law. Nothing in this Agreement or any other Loan
Document shall affect any right that the Administrative Agent, any Issuing Bank or any Lender may otherwise have to bring any action or proceeding relating to this Agreement or any other Loan Document against any Loan Party or any of its properties
in the courts of any jurisdiction. 
 (c) Each of the Loan Parties hereby irrevocably and unconditionally waives, to the fullest extent
permitted by law, any objection that it may now or hereafter have to the laying of venue of any suit, action or proceeding arising out of or relating to this Agreement or any other Loan Document in any court referred to in paragraph (b) of this
Section. Each of the Loan Parties hereto hereby irrevocably waives, to the fullest extent permitted by law, the defense of an inconvenient forum to the maintenance of such action or proceeding in any such court. 

(d) Each party hereto irrevocably consents to service of process in the manner provided for notices in Section 4.01. Nothing in this
Agreement or any other Loan Document will affect the right of any party to this Agreement to serve process in any other manner permitted by law. 

(e) Each Grantor hereby irrevocably designates, appoints and empowers the Company as its designee, appointee and agent to receive, accept and
acknowledge for and on its behalf, and in respect of its property, service of any and all legal process, summons, notices and documents that may be served in any such action or proceeding. 

  
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 SECTION 12.09. WAIVER OF JURY TRIAL. EACH PARTY HERETO HEREBY WAIVES, TO THE FULLEST EXTENT
PERMITTED BY APPLICABLE LAW, ANY RIGHT IT MAY HAVE TO A TRIAL BY JURY IN ANY LEGAL PROCEEDING DIRECTLY OR INDIRECTLY ARISING OUT OF OR RELATING TO THIS AGREEMENT, ANY OTHER LOAN DOCUMENT OR THE TRANSACTIONS CONTEMPLATED HEREBY (WHETHER BASED ON
CONTRACT, TORT OR ANY OTHER THEORY). EACH PARTY HERETO (A) CERTIFIES THAT NO REPRESENTATIVE, AGENT OR ATTORNEY OF ANY OTHER PARTY HAS REPRESENTED, EXPRESSLY OR OTHERWISE, THAT SUCH OTHER PARTY WOULD NOT, IN THE EVENT OF LITIGATION, SEEK TO
ENFORCE THE FOREGOING WAIVER AND (B) ACKNOWLEDGES THAT IT AND THE OTHER PARTIES HERETO HAVE BEEN INDUCED TO ENTER INTO THIS AGREEMENT BY, AMONG OTHER THINGS, THE MUTUAL WAIVERS AND CERTIFICATIONS IN THIS SECTION 4.09. 

SECTION 12.10. Headings. Article and Section headings and the Table of Contents used herein are for convenience of reference only, are
not part of this Agreement and shall not affect the construction of, or be taken into consideration in interpreting, this Agreement. 

SECTION 12.11. Security Interest Absolute. All rights of the Administrative Agent hereunder, the grant of the security interest in the
Collateral and all obligations of each Loan Party hereunder shall be absolute and unconditional irrespective of (a) any lack of validity or enforceability of the Credit Agreement, any other Loan Document, the Existing Notes Indenture, any
agreement with respect to any of the Obligations or any other agreement or instrument relating to any of the foregoing, (b) any change in the time, manner or place of payment of, or in any other term of, all or any of the Obligations, or any
other amendment to or waiver of, or any consent to any departure from, the Credit Agreement, any other Loan Document, the Existing Notes Indenture, any agreement with respect to any of the Obligations or any other agreement or instrument relating to
any of the foregoing, (c) any exchange, release or non-perfection of any Lien on other collateral securing, or any release or amendment to or waiver of, or any consent to any departure from, any guarantee of, all or any of the Obligations, or
(d) any other circumstance that might otherwise constitute a defense available to, or a discharge of, any Grantor in respect of the Obligations or this Agreement. 

SECTION 12.12. Termination or Release. (a) This Agreement and all security interests granted hereby shall terminate with respect
to all Obligations when (i) all the Loan Document Obligations (including all LC Disbursements, if any, but excluding contingent obligations as to which no claim has been made) have been paid in full, (ii) all Commitments have terminated or
expired and (iii) the LC Exposure has been reduced to zero (including as a result of obtaining the consent of the applicable Issuing Bank as described in Section 9.05 of the Credit Agreement) and the Issuing Banks have no further
obligations to issue or amend Letters of Credit under the Credit Agreement. 
 (b) This Agreement and all security interests granted hereby
shall terminate with respect to the Existing Notes Trustee and the Existing Notes Holders when all Existing Notes Obligations have been paid in full. 

  
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 (c) All security interests granted hereby shall also terminate and be released with respect to a
Grantor or an asset at the time or times and in the manner set forth in Section 9.14 of the Credit Agreement. 
 (d) Upon any sale or
other transfer by any Grantor of any Collateral that is permitted under the Credit Agreement (other than a sale or other transfer to a Loan Party), or upon the effectiveness of any written consent to the release of the security interest granted
hereby in any Collateral pursuant to Section 9.02 of the Credit Agreement, the security interest in such Collateral shall be automatically released. 

(e) If at any time Pledged Equity Interests pledged under this Agreement no longer constitute Principal Property Collateral, then the Company
will promptly notify the Administrative Agent thereof and the security interests in such Collateral securing the Existing Notes Obligations shall be automatically released; provided that after such time the security interests in such
Collateral securing the Credit Agreement Obligations shall automatically, and without further action, be governed by, subject to the provisions of, and deemed held by the Administrative Agent under the Pledge and Guarantee Agreement. 

(f) In connection with any termination or release pursuant to paragraph (a), (b), (c) or (d) of this Section 4.12, the
Administrative Agent shall execute and deliver to any Grantor, at such Grantor’s expense, all documents that such Grantor shall reasonably request to evidence such termination or release. Any execution and delivery of documents pursuant to this
Section 4.12 shall be without recourse to or warranty by the Administrative Agent. 
 SECTION 12.13. Additional Subsidiaries.
Pursuant to the Credit Agreement, certain Subsidiaries not a party hereto on the Effective Date may or may be required to become Grantors after the Effective Date. Upon the execution and delivery by the Administrative Agent and any such Subsidiary
of a Supplement, any such Subsidiary shall become a Subsidiary Loan Party and a Grantor hereunder, with the same force and effect as if originally named as such herein. The execution and delivery of any Supplement shall not require the consent of
any other Loan Party. The rights and obligations of each Loan Party hereunder shall remain in full force and effect notwithstanding the addition of any new Subsidiary as a party to this Agreement. 

SECTION 12.14. Administrative Agent Appointed Attorney-in-Fact. Each Grantor hereby appoints the Administrative Agent the
attorney-in-fact of such Grantor for the purpose of carrying out the provisions of this Agreement and taking any action and executing any instrument that the Administrative Agent may deem necessary for the purpose of carrying out the provisions of
this Agreement and taking any action and executing any instrument that the Administrative Agent may deem necessary or advisable to accomplish the purposes hereof, which appointment is irrevocable and coupled with an interest. Without limiting the
generality of the foregoing, the Administrative Agent shall have the right, upon the occurrence and during the continuance of an Event of Default, with full power of substitution either in the Administrative Agent’s name or in the name of such
Grantor (a) to receive, endorse, 

  
 20 

 
assign and/or deliver any and all notes, acceptances, checks, drafts, money orders or other evidences of payment relating to the Collateral or any part thereof; (b) to demand, collect,
receive payment of, give receipt for and give discharges and releases of all or any of the Collateral; (c) to commence and prosecute any and all suits, actions or proceedings at law or in equity in any court of competent jurisdiction to collect
or otherwise realize on all or any of the Collateral or to enforce any rights in respect of any Collateral; (d) to settle, compromise, compound, adjust or defend any actions, suits or proceedings relating to all or any of the Collateral; and
(e) to use, sell, assign, transfer, pledge, make any agreement with respect to or otherwise deal with all or any of the Collateral, and to do all other acts and things necessary to carry out the purposes of this Agreement, as fully and
completely as though the Administrative Agent were the absolute owner of the Collateral for all purposes, provided that nothing herein contained shall be construed as requiring or obligating the Administrative Agent to make any commitment or
to make any inquiry as to the nature or sufficiency of any payment received by the Administrative Agent, or to present or file any claim or notice, or to take any action with respect to the Collateral or any part thereof or the moneys due or to
become due in respect thereof or any property covered thereby. The Administrative Agent and the other Secured Parties shall be accountable only for amounts actually received as a result of the exercise of the powers granted to them herein, and
neither they nor their officers, directors, employees or agents shall be responsible to any Grantor for any act or failure to act hereunder, except for their own gross negligence or wilful misconduct. 

SECTION 12.15. Limitation on Administrative Agent’s Responsibilities with Respect to Existing Notes Holders and other Exculpatory
Provisions. (a) The obligations of the Administrative Agent to the Existing Notes Holders and the Existing Notes Trustee hereunder shall be limited solely to (i) holding the Collateral for the ratable benefit of the Existing Notes
Holders and the Existing Notes Trustee for so long as (A) any Existing Notes Obligations remain outstanding and (B) any Existing Notes Obligations are secured by the Collateral, (ii) subject to the instructions of the Required
Lenders, enforcing the rights of the Existing Notes Holders in their capacities as Secured Parties in respect of Collateral and (iii) distributing any proceeds received by the Administrative Agent from the sale, collection or realization of the
Collateral to the Existing Notes Holders and the Existing Notes Trustee in respect of the Existing Notes Obligations in accordance with the terms of this Agreement. Neither the Existing Notes Holders nor the Existing Notes Trustee shall be entitled
to exercise (or direct the Administrative Agent to exercise) any rights or remedies hereunder with respect to the Existing Notes Obligations, including without limitation the right to receive any payments, enforce the security interest granted
hereunder, request any action, institute proceedings, give any instructions, make any election, make collections, sell or otherwise foreclose on any portion of the Collateral or to execute any amendment, supplement, or acknowledgment hereof. This
Agreement shall not create any liability of the Administrative Agent or the Credit Agreement Secured Parties to the Existing Notes Holders or to the Existing Notes Trustee by reason of actions taken with respect to the creation, perfection or
continuation of the security interest on the Collateral, actions with respect to the occurrence of an Event of Default, actions with respect to the foreclosure upon, sale, release, or depreciation of, or failure to realize upon, any of the
Collateral or action with respect to the collection of any claim for all or any part of the Existing Notes 

  
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Obligations from any guarantor or any other party or the valuation, use or protection of the Collateral. By acceptance of the benefits under this Agreement [and the other Security Documents]19, the Existing Notes Holders and the Existing Notes Trustee will be deemed to have acknowledged and agreed that the provisions of the preceding sentence are intended to induce the Lenders to permit
such Persons to be Secured Parties under this Agreement [and certain of the other Security Documents] and are being relied upon by the Lenders as consideration therefor. 

(b) The Administrative Agent shall not be required to ascertain or inquire as to the performance by the Company of the Existing Notes
Obligations. 
 (c) The Administrative Agent may execute any of the powers granted under this Agreement and perform any duty hereunder either
directly or by or through agents or attorneys-in-fact, and shall not be responsible for the gross negligence or wilful misconduct of any agents or attorneys-in-fact selected by it with reasonable care and without gross negligence or wilful
misconduct. 
 (d) The Administrative Agent shall not be deemed to have actual, constructive, direct or indirect notice or knowledge of the
occurrence of any Event of Default unless and until the Administrative Agent shall have received a notice of Event of Default or a notice from any Grantor, the Existing Notes Trustee or the Secured Parties to the Administrative Agent in its capacity
as Administrative Agent indicating that an Event of Default has occurred. The Administrative Agent shall have no obligation either prior to or after receiving such notice to inquire whether an Event of Default has, in fact, occurred and shall be
entitled to rely conclusively, and shall be fully protected in so relying, on any notice so furnished to it. 
 (e) Notwithstanding anything
to the contrary herein, nothing in this Agreement shall or shall be construed to (i) result in the security interests granted hereunder securing the Existing Notes Obligations less than equally or ratably with the Credit Agreement Obligations
pursuant to Section 3.06(a) of the Existing Notes Indenture to the extent required or (ii) modify or affect the rights of the Existing Notes Holders to receive the pro rata share specified in Section 3.02(a) of any proceeds of any
collection or sale of Collateral. 
 (f) The parties hereto agree that the Existing Notes Obligations and the Credit Agreement Obligations
are, and will be, equally and ratably secured with each other by the Liens on the Collateral, and that it is their intention to give full effect to the equal and ratable provision of Section 3.06(a) of the Existing Notes Indenture, as in effect
on the date hereof. 
 SECTION 12.16. Parallel Debt. (a) Notwithstanding any other provision of this Agreement, each of the
Company and each other Guarantor (each, a “Principal Party”) hereby irrevocably and unconditionally undertakes (such undertaking and the 

 

	19 	 Bracketed language to be removed if no foreign entities are “Principal Property” owners under the Existing Notes Indenture.

  
 22 

 
obligations and liabilities that are a result thereof being referred to as the “Parallel Debt” of such Principal Party) to pay to the Administrative Agent (in its personal
capacity and not in its capacity as agent) an amount equal to the aggregate amount payable by such Principal Party in respect of each and every payment obligation owed to each and every Secured Party under the Loan Documents and, to the extent
included in the Obligations, under any Hedging Agreement or arising out of or in connection with Cash Management Services or Performance Support Instruments provided by any Secured Party (the “Principal Obligations”) in accordance
with the terms and conditions of such Principal Obligations. The Parallel Debt of any Principal Party shall become due and payable as and when any Principal Obligation of such Principal Party becomes due and payable. 

(b) The Administrative Agent and each Principal Party agree and acknowledge that: 

(i) the Parallel Debt of each Principal Party constitutes an undertaking, obligation and liability of such Principal Party to
the Administrative Agent (in its personal capacity and not in its capacity as agent) that is separate and independent from, and without prejudice to, any Principal Obligation and represents the Administrative Agent’s own claim as a creditor in
its own right to receive payment of such Parallel Debt from such Principal Party (and for the avoidance of doubt, for purposes of Netherlands law, the Parallel Debt of each Principal Party constitutes independent claims (zelfstandige
vorderingen) of the Administrative Agent vis-à-vis each Principal Party); and 
 (ii) the security interest
created under the Loan Documents to secure the Parallel Debt is granted to the Administrative Agent in its capacity as sole creditor of the Parallel Debt and, for purposes of Netherlands law, each Principal Party and the Administrative Agent
acknowledge that the Administrative Agent acts in its own name and not as representative (vertegenwoordiger) of the Secured Parties or any of them. 

(c) The Administrative Agent and each Principal Party agree and acknowledge that: 

(i) the Parallel Debt of each Principal Party shall be decreased if and to the extent that the Principal Obligations of such
Principal Party have been paid or, in the case of guarantee obligations, discharged; 
 (ii) the Principal Obligations of
each Principal Party shall be decreased if and to the extent that the Parallel Debt of such Principal Party has been paid or, in the case of guarantee obligations, discharged; and 

(iii) the amount payable under the Parallel Debt of each Principal Party shall at no time exceed the amount payable under the
Principal Obligations of such Principal Party. 
 (d) Any amount received or recovered by the Administrative Agent in respect of any Parallel
Debt (including as a result of any enforcement proceedings) shall be applied in accordance with the terms of this Agreement and the other Security Documents. 

  
 23 

 (e) The Administrative Agent accepts the provisions of this clause 4.16 (Parallel Debt) on
behalf of the Secured Parties. 
 (f) The rights of the Secured Parties (other than the Administrative Agent) to receive payment of amounts
payable by each Principal Party under the Principal Obligations are several and are separate and independent from, and without prejudice to, the rights of the Administrative Agent to receive payment under this Section 4.16 and each Principal
Party’s obligations under this Section 4.16 toward the Administrative Agent constitutes a single and separate obligation from any other debt or obligation of each Principal Party under the Principal Obligations. 

[Signature Pages Follow] 

  
 24 

 IN WITNESS WHEREOF, the parties hereto have duly executed this Agreement as of the day and year
first above written. 
  

			
	NCR CORPORATION,
		
	by	 	
		 	  

		 	Name:
		 	Title:

  

			
	[OTHER SUBSIDIARY LOAN PARTIES],
		
	by	 	
		 	  

		 	Name:
		 	Title:

  

			
	JPMORGAN CHASE BANK, N.A., as
Administrative Agent,
		
	by	 	
		 	  

		 	Name:
		 	Title:

  
 25 

 Schedule I to the 

Pledge Agreement 
 SUBSIDIARY LOAN
PARTIES 

 Schedule II to the 

Pledge Agreement 
 EQUITY INTERESTS

  

									
	 Issuer
	  	 Number of

Certificate
	  	 Registered

Owner
	  	 Number and

Class of
 Equity Interest
	  	 Percentage

of Equity Interests

 Exhibit I to the 

Pledge Agreement 

SUPPLEMENT NO.             dated as of [    ]
(this “Supplement”), to the Pledge Agreement dated as of [            ], 20[    ] (the “Pledge Agreement”), among NCR CORPORATION, a Maryland
corporation (the “Company”), each subsidiary of the Company listed on Schedule I thereto (each such subsidiary individually a “Subsidiary Grantor” and, collectively, the “Subsidiary Grantors”; the
Subsidiary Grantors and the Company are referred to collectively herein as the “Grantors”) and JPMORGAN CHASE BANK, N.A., a national banking association (“JPMCB”), as Administrative Agent (in such capacity, the
“Administrative Agent”). 
 A. Reference is made to the Credit Agreement dated as of August 22, 2011, as amended and
restated as of July 25, 2013, as further amended and restated as of March 31, 2016 (as amended, supplemented or otherwise modified from time to time, the “Credit Agreement”), among NCR CORPORATION, a Maryland Corporation
(the “Company”), the Foreign Borrowers from time to time party thereto, the lenders from time to time party thereto and JPMCB, as Administrative Agent. 

B. Capitalized terms used herein and not otherwise defined herein shall have the meanings assigned to such terms in the Credit Agreement, the
Collateral Agreement and the Pledge Agreement, as applicable. 
 C. The Grantors have entered into the Pledge Agreement in order to induce
the Lenders to make Loans and the Issuing Bank to issue Letters of Credit. Section 4.13 of the Pledge Agreement provides that additional Subsidiaries of the Company may become Subsidiary Loan Parties under the Pledge Agreement by execution and
delivery of an instrument in the form of this Supplement. The undersigned (the “New Subsidiary”) is executing this Supplement in accordance with the requirements of the Credit Agreement to become a Subsidiary Loan Party under the
Pledge Agreement in order to induce the Lenders to make additional Loans and the Issuing Bank to issue additional Letters of Credit and as consideration for Loans previously made and Letters of Credit previously issued. 

Accordingly, the Administrative Agent and the New Subsidiary agree as follows: 

SECTION 1. In accordance with Section 4.13 of the Pledge Agreement, the New Subsidiary by its signature below becomes a Subsidiary Loan
Party and Grantor under the Pledge Agreement with the same force and effect as if originally named therein as a Subsidiary Loan Party and Grantor and the New Subsidiary hereby (a) agrees to all the terms and provisions of the Pledge Agreement
applicable to it as a Subsidiary Loan Party and Grantor thereunder and (b) represents and warrants that the representations and warranties made by it as a Grantor thereunder are true and correct on and as of the date hereof. In furtherance of
the foregoing, the New Subsidiary, as security for the payment and performance in full of the Obligations (as defined in the Pledge Agreement), does hereby create and grant to the Administrative Agent, its successors and assigns, for the

 
benefit of the Secured Parties a security interest in all right, title and interest in and to the Collateral (as defined in the Pledge Agreement) now owned or hereafter acquired by the New
Subsidiary. Each reference to a “Grantor” in the Pledge Agreement shall be deemed to include the New Subsidiary. The Pledge Agreement is hereby incorporated herein by reference. 

SECTION 2. The New Subsidiary represents and warrants to the Administrative Agent and the other Secured Parties that this Supplement has been
duly authorized, executed and delivered by it and constitutes its legal, valid and binding obligation, enforceable against it in accordance with its terms. 

SECTION 3. This Supplement may be executed in counterparts (and by different parties hereto on different counterparts), each of which shall
constitute an original, but all of which when taken together shall constitute a single contract. This Supplement shall become effective when the Administrative Agent shall have received a counterpart of this Supplement that bears the signature of
the New Subsidiary and the Administrative Agent has executed a counterpart hereof. Delivery of an executed signature page to this Supplement by facsimile or other electronic imaging shall be effective as delivery of a manually signed counterpart of
this Supplement. 
 SECTION 4. The New Subsidiary hereby represents and warrants that (a) set forth on Schedule I attached hereto
is a schedule with the true and correct legal name of the New Subsidiary, its jurisdiction of formation and the location of its chief executive office and (b) set forth on Schedule II attached hereto is a true and correct schedule of all
the Pledged Equity Interests of the New Subsidiary. 
 SECTION 5. Except as expressly supplemented hereby, the Pledge Agreement shall remain
in full force and effect. 
 SECTION 6. THIS SUPPLEMENT SHALL BE GOVERNED BY, AND CONSTRUED IN ACCORDANCE WITH, THE LAWS OF THE STATE OF
NEW YORK. 
 SECTION 7. In case any one or more of the provisions contained in this Supplement should be held invalid, illegal or
unenforceable in any respect, the validity, legality and enforceability of the remaining provisions contained herein and in the Pledge Agreement shall not in any way be affected or impaired thereby (it being understood that the invalidity of a
particular provision in a particular jurisdiction shall not in and of itself affect the validity of such provision in any other jurisdiction). The parties hereto shall endeavor in good-faith negotiations to replace the invalid, illegal or
unenforceable provisions with valid provisions the economic effect of which comes as close as possible to that of the invalid, illegal or unenforceable provisions. 

SECTION 8. All communications and notices hereunder shall be in writing and given as provided in Section 4.01 of the Pledge Agreement.

  
 2 

 IN WITNESS WHEREOF, the New Subsidiary and the Administrative Agent have duly executed this
Supplement to the Pledge Agreement as of the day and year first above written. 
  

			
	[NAME OF NEW SUBSIDIARY],
		
	by	 	
		 	  

		 	Name:
		 	Title:

  

			
	 JPMORGAN CHASE BANK, N.A.,

as Administrative Agent

		
	by	 	
		 	  

		 	Name:
		 	Title:

  
 3 

 Schedule I 

to Supplement No.      to the 

Pledge Agreement 
 NEW SUBSIDIARY
INFORMATION 
  

					
	 Name
	  	 Jurisdiction of Formation
	  	 Chief Executive Office

 PLEDGED SECURITIES 

Equity Interests 
  

									
	 Issuer
	  	 Number of

Certificate
	  	 Registered

Owner
	  	 Number and

Class of
 Equity Interests
	  	 Percentage

of Equity InterestsEX-4.2

 Exhibit 4.2 

OCCIDENTAL PETROLEUM CORPORATION 

Officers’ Certificate 

Pursuant to Section 201 and Section 301 of the Indenture, dated as of August 18, 2011 (the
“Indenture”), between Occidental Petroleum Corporation, a Delaware corporation (the “Company”), and The Bank of New York Mellon Trust Company, N.A., as trustee (the “Trustee”), the terms
of the following three series of Securities to be issued pursuant to the Indenture are as follows: 
 1. Authorization.
The establishment of three new series of Securities of the Company has been approved and authorized in accordance with the provisions of the Indenture pursuant to resolutions adopted by the Board of Directors of the Company on October 11,
2012. 
 2. Compliance with Covenants and Conditions Precedent. All covenants and conditions precedent provided for in
the Indenture relating to the establishment of such series of Securities have been complied with. 
 3. Terms. The
terms of the series of Securities established pursuant to this Officers’ Certificate shall be as follows: 
 (i) Title. The
titles of the series of Securities are as follows: 
 (1) the “2.600% Senior Notes due 2022” (the “2022
Notes”); 
 (2) the “3.400% Senior Notes due 2026” (the “2026 Notes”); and

 (3) the “4.400% Senior Notes due 2046” (the “2046 Notes” and, together with the 2022
Notes and the 2026 Notes, the “Notes”). 
 (ii) Initial Aggregate Principal Amount. The initial aggregate
principal amount of Notes of each series which may be authenticated and delivered pursuant to the Indenture (except for Notes of such series authenticated and delivered upon registration of transfer of or in exchange for, or in lieu of, other Notes
of such series pursuant to Sections 304, 305, 306, 906 and 1107 of the Indenture) is as follows: 
 (1) in the case of the
2022 Notes, $400,000,000; 
 (2) in the case of the 2026 Notes, $1,150,000,000; and 

(3) in the case of the 2046 Notes, $1,200,000,000. 

(iii) Registered Securities in Book-Entry Form. The Notes of each series shall be issued in the form of Registered Securities without
coupons. The Notes of each series will be issued in book-entry form (“Book-Entry Notes”) and represented by one or more definitive global Notes (the “Global Notes”). The initial Depositary with respect
to the Global Notes will be The Depository Trust Company. Book-Entry Notes of any series will not be exchangeable for Notes of such series in definitive form (“Definitive Notes”) except as provided in Section 305 of the
Indenture. 

 (iv) Persons to Whom Interest Payable. Interest payable on any Interest Payment
Date (as defined below) with respect to a Note of any series will be paid to the Person in whose name such Note (or one or more Predecessor Securities) is registered at the close of business on the Regular Record Date for the Notes of such series
(whether or not a Business Day) with respect to such Interest Payment Date. 
 (v) Stated Maturity. The principal
amount of the Notes of each series will be payable on the respective dates set forth below, subject to earlier redemption as set forth in paragraph (viii) below: 

(1) in the case of the 2022 Notes, April 15, 2022. 

(2) in the case of the 2026 Notes, April 15, 2026; and 

(3) in the case of the 2046 Notes, April 15, 2046. 

(vi) Rate of Interest; Interest Payment Dates; Regular Record Dates; Accrual of Interest. The 2022 Notes will bear interest at
the rate of 2.600% per annum. The 2026 Notes will bear interest at the rate of 3.400% per annum. The 2046 Notes will bear interest at the rate of 4.400% per annum. Interest on the Notes will be payable semi-annually in arrears on
April 15 and October 15 of each year (each, an “Interest Payment Date”), commencing on October 15, 2016. The Regular Record Date for the Notes shall be the April 1 or October 1 (whether or not a Business
Day), as the case may be, immediately preceding the applicable Interest Payment Date. 
 The Notes of each series will bear interest
from and including April 4, 2016 or from and including the most recent Interest Payment Date to or for which interest has been paid or duly provided until the principal thereof is paid or made available for payment. Interest payments on the
Notes of each series shall be the amount of interest accrued from and including the most recent Interest Payment Date for such series for which interest has been paid or duly provided (or from and including April 4, 2016 if no interest has been
paid or duly provided with respect to the Notes of such series), to but excluding the next succeeding Interest Payment Date for such series (or other day on which such payment of interest on the Notes of such series is due). Interest on the Notes of
each series will be calculated on the basis of a 360-day year comprised of twelve 30-day months. 
 (vii) Place of Payment; Registration
of Transfer and Exchange; Notices to Company. Payment of the principal of and interest on the Notes of each series will be made at the Corporate Trust Office of the Trustee in the Borough of Manhattan, The City of New York, or at the office or
agency of the Trustee maintained for that purpose in the Borough of Manhattan, The City of New York, or at any other office or agency designated by the Company for such purpose; provided that, at the option of the Company, payment of interest
due on any Interest Payment Date may be made by check mailed to the address of the Person entitled thereto as such address shall appear in the Security Register or by wire transfer of immediately available funds if appropriate wire transfer
instructions have been received in writing by the Trustee not 

  
 2 

 
less than 15 days prior to the applicable Interest Payment Date. The Notes of each series may be presented for exchange and registration of transfer at the Corporate Trust Office of the Trustee
in the Borough of Manhattan, The City of New York, or at the office or agency of the Trustee maintained for that purpose in the Borough of Manhattan, The City of New York or at the office of any transfer agent hereafter designated by the Company for
such purpose. Notices and demands to or upon the Company in respect of the Notes of any series and the Indenture may be mailed by regular mail, sent by overnight courier, delivered, e-mailed or faxed to Occidental Petroleum Corporation, 5 Greenway
Plaza, Suite 110, Houston, Texas 77046, Attention: Treasurer, Fax No.: 713-366-5552, e-mail: ben_figlock@oxy.com with a copy to the General Counsel, Fax No.: 713-985-1620, e-mail: marcia_e._backus@oxy.com and the Chief Financial
Officer, Fax No. 713-985-1716, e-mail: Chris_Stavros@oxy.com, or, in each case, at any other address, fax number or e-mail address previously furnished by the Company by notice to the Trustee for itself and for the benefit of the
Holders. 
 (viii) Redemption. The Notes of each series are not entitled to any mandatory redemption or sinking fund payments.
However, the Notes of each series are redeemable, in whole at any time or in part from time to time, at the option of the Company on the terms and subject to the conditions set forth in the form of certificate evidencing the Notes of such series
attached hereto as Exhibit A, in the case of the 2022 Notes, as Exhibit B, in the case of the 2026 Notes, and Exhibit C, in the case of the 2046 Notes, and in the Indenture. 

(ix) Denominations. The Notes of each series are issuable in denominations of $2,000 and integral multiples of $1,000 in excess
thereof. 
 (x) Security Register; Paying Agent. The Security Register for the Notes of each series will be initially
maintained at the Corporate Trust Office of the Trustee in the Borough of Manhattan, The City of New York or at the office of any transfer agent hereafter designated by the Company for such purpose. The Company hereby appoints the Trustee as the
initial Securities Registrar, transfer agent and Paying Agent for the Notes of each series. 
 (xi) Further Issues. The
Company may, from time to time, without notice to or the consent of the Holders of the Notes of any series, reopen the Notes of such series and issue additional Notes of such series. 

(xii) Form. The certificates evidencing the Notes of each series will be in substantially the form set forth in Exhibit A,
in the case of the 2022 Notes, Exhibit B, in the case of the 2026 Notes, and Exhibit C, in the case of the 2046 Notes, each attached hereto; provided that if Definitive Notes of any series are issued in exchange for
interests in Global Notes of such series, then the legend appearing on the first page and the “Schedule of Exchanges of Interests in the Global Note” appearing on the last page (and all references thereto) of the certificate evidencing the
Notes of such series attached hereto as Exhibit A, in the case of the 2022 Notes, Exhibit B, in the case of the 2026 Notes, and Exhibit C, in the case of the 2046 Notes, shall be removed from the Definitive Notes
of such series. The Notes of each series shall have such other terms and provisions as are set forth in the form of certificate evidencing the Notes of such series attached hereto as Exhibit A, in the case of the 2022 Notes,
Exhibit B, in the case of the 2026 Notes, and Exhibit C, in the case of the 2046 Notes, all of which terms and provisions are incorporated by reference in and made a part of this Officers’ Certificate as if set forth in
full herein. 

  
 3 

 (xiii) FATCA. In order for the Trustee to comply with FATCA, the Company agrees
(i) to use commercially reasonable efforts to provide to the Trustee sufficient information about transactions (including any modification to the terms of such transactions) relating to the Notes that is reasonably requested by the Trustee so
the Trustee can determine whether it has tax related obligations under FATCA, and (ii) that the Trustee shall be entitled to make any withholding or deduction from payments under the Indenture to the extent necessary to comply with FATCA, and
the Trustee shall have no liability for such withholding or deduction in accordance with FATCA. The terms of this section (xiii) shall survive the termination of the Indenture. For purposes of this section (xiii), “FATCA” means
Sections 1471 through 1474 of the Internal Revenue Code of 1986, as amended (the “Code”), any current or future regulations or official interpretations thereof, any agreement entered into pursuant to Section 1471(b) of the Code, and
any fiscal or regulatory legislation, rules or practices adopted pursuant to any intergovernmental agreement entered into in connection with the implementation of such Sections of the Code. 

Terms (whether or not capitalized) that are defined in the Indenture and not otherwise defined herein have the meanings specified in the
Indenture. 
 Each of the undersigned, for himself or herself, states, as an officer of the Company, not in his or her individual capacity,
that he or she has read and is familiar with the provisions of Article Two of the Indenture relating to the establishment of the form of certificate representing a series of Securities thereunder and Article Three of the Indenture
relating to the establishment of a series of Securities thereunder and, in each case, the definitions therein relating thereto; that the statements made in this certificate are based upon an examination of the Notes of each series, upon an
examination of and familiarity with Articles Two and Three of the Indenture and such definitions, upon his or her general knowledge of and familiarity with the affairs of the Company and its acts and proceedings and upon the
performance of his or her duties as an officer of the Company; that, in his or her opinion, he or she has made such examination or investigation as is necessary to enable him or her to express an informed opinion as to whether or not the covenants
and conditions referred to above have been complied with; and that in his or her opinion, with respect to the foregoing, the covenants and conditions provided for in the Indenture relating to the establishment of the Notes of each series as a series
of Securities under the Indenture, and the Trustee’s authentication of such Notes, have been complied with. 
 [signature page
follows] 

  
 4 

 IN WITNESS WHEREOF, the undersigned have hereunto signed this certificate on behalf of the
Company as of this 4th day of April, 2016. 
  

			
	OCCIDENTAL PETROLEUM CORPORATION
		
	By:	 	 /s/ Bernard F. Figlock, III

	Name:	 	Bernard F. Figlock, III
	Title:	 	Vice President and Treasurer
		
	By:	 	 /s/ Nicole E. Clark

	Name:	 	Nicole E. Clark
	Title:	 	Assistant Secretary

  
 Signature Page to
Officers’ Certificate 

 Exhibit A 

Form of Certificate Evidencing the 2.600% Senior Notes due 2022 

[see attached] 

 UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK
CORPORATION (“DTC”), TO ISSUER OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED
REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL
INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. 
 OCCIDENTAL PETROLEUM CORPORATION 

2.600% SENIOR NOTE DUE 2022 
  

			
	NO.             -	 	        PRINCIPAL AMOUNT:
		 	        U.S.$
		
		 	        CUSIP: 674599CK9
		 	        ISIN: US674599CK94
		 	        COMMON CODE: 138989097
		
	ORIGINAL ISSUE DATE:	 	April 4, 2016
		
	MATURITY DATE:	 	April 15, 2022
		
	INTEREST RATE:	 	2.600% per annum
		
	INTEREST PAYMENT DATES:        	 	April 15 and October 15, commencing October 15, 2016
		
	REGULAR RECORD DATES:	 	April 1 and October 1
		
	REDEMPTION DATE/PRICE:	 	See Further Provisions Set Forth Herein

 OCCIDENTAL PETROLEUM CORPORATION, a corporation duly organized and existing under the laws of the State
of Delaware (herein referred to as the “Company,” which term includes any successor under the Indenture hereinafter referred to), for value received, hereby promises to pay
to                     , or registered assigns, the lesser of (i) the Principal Amount specified above and (ii) the Principal Amount set
forth on the Schedule of Exchanges of Interests in the Global Note attached hereto on the Maturity Date specified above (unless and to the extent earlier redeemed prior to such Maturity Date) and to pay interest thereon from April 4, 2016
or from the most recent Interest Payment Date to which interest has been paid or duly provided for, semi-annually in arrears on April 15 and October 15 in each year, commencing on October 15, 2016, at the rate per annum specified
above, until the principal hereof is paid or made available for payment. Interest on this Note will be computed on the basis of a 360-day year comprised of twelve 30-day months. Interest payments for this Note will include interest accrued to but
excluding each Interest Payment Date. The interest so payable, and punctually paid or duly provided for, on any Interest Payment Date will, as provided in the Indenture, be paid to the Person in whose name this Note (or one or more Predecessor
Securities) is registered  

 
at the close of business on the Regular Record Date, which shall be the April 1 or October 1 (whether or not a Business Day), as the case may be, immediately preceding such Interest
Payment Date. If any Interest Payment Date or Maturity with respect to this Note falls on a day that is not a Business Day, the payment due on such Interest Payment Date or Maturity will be made on the next succeeding Business Day with the same
force and effect as if made on such Interest Payment Date or Maturity, and no interest shall accrue on the amount so payable for the period from and after such Interest Payment Date or Maturity, as the case may be, until such following Business Day.
Except as otherwise provided in the Indenture, any Defaulted Interest will forthwith cease to be payable to the Holder on the Regular Record Date with respect to such Interest Payment Date by virtue of having been such Holder and may either
(1) be paid to the Person in whose name this Note (or one or more Predecessor Securities) is registered at the close of business on a Special Record Date for the payment of such Defaulted Interest to be fixed by the Trustee (as defined below),
notice of which will be given to Holders of Notes not less than 10 days prior to such Special Record Date, or (2) be paid at any time in any other lawful manner not inconsistent with the requirements of any securities exchange on which the
Notes may be listed, and upon such notice as may be required by such exchange, all as more fully provided in the Indenture. Payment of the principal of and interest on this Note will be made at the Corporate Trust Office of the Trustee in the
Borough of Manhattan, The City of New York, or at the office or agency of the Trustee maintained for that purpose in the Borough of Manhattan, The City of New York, or at any other office or agency designated by the Company for such purpose, in such
coin or currency of the United States of America as at the time of payment is legal tender for payment of public and private debts; provided that, at the option of the Company, payment of interest due on any Interest Payment Date may be made
by check mailed to the address of the Person entitled thereto as such address shall appear in the Security Register or by wire transfer of immediately available funds if appropriate wire transfer instructions have been received in writing by the
Trustee not less than 15 days prior to the applicable Interest Payment Date. 
 Reference is hereby made to the further provisions of this
Note set forth below, which further provisions shall for all purposes have the same effect as if set forth at this place. 
 Unless the
certificate of authentication hereon has been executed by the Trustee or its duly appointed co-authenticating agent by manual signature, this Note shall not be entitled to any benefit under the Indenture or be valid or obligatory for any purpose.

 [signature page follows] 

  
 2 

 IN WITNESS WHEREOF, OCCIDENTAL PETROLEUM CORPORATION has caused this Note to be signed by the
signature or facsimile signature of its Chairman of the Board, its President, a Vice President, its Treasurer or an Assistant Treasurer and attested by its Secretary or an Assistant Secretary by his or her signature or a facsimile thereof. 

Dated: 
  

			
	OCCIDENTAL PETROLEUM CORPORATION
		
	By:	 	  

	Name:	 	
	Title:	 	

  

			
	 Attest:
	 	
	
	  

	 Name:
	 	
	 Title:
	 	

  
 Signature Page to Note

 TRUSTEE’S CERTIFICATE OF AUTHENTICATION 

This is one of the Securities of the series designated therein referred to in the within-mentioned Indenture. 

Dated: 
 The Bank of New York Mellon Trust Company, N.A., as
Trustee 
  

			
	By:	 	  

		 	Authorized Signatory

 This Note is one of a duly authorized issue of securities (herein called the
“Securities”) of the Company, issued and to be issued pursuant to the Indenture. This Note is one of a series designated by the Company as its 2.600% Senior Notes due 2022 (the “Notes”), limited in initial aggregate
principal amount to $400,000,000. The Indenture does not limit the aggregate principal amount of the Securities. 
 The
Company issued this Note pursuant to an Indenture, dated as of August 18, 2011 (herein called the “Indenture” which term, for the purpose of this Note, shall include the Officers’ Certificate dated April 4, 2016,
delivered pursuant to Sections 201 and 301 of the Indenture), between the Company and The Bank of New York Mellon Trust Company, N.A., as trustee (herein called the “Trustee,” which term includes any successor trustee under the
Indenture), to which Indenture and all indentures supplemental thereto reference is hereby made for a statement of the respective rights, limitations of rights, duties and immunities thereunder of the Company, the Trustee and Holders of the Notes
and of the terms upon which the Notes are, and are to be, authenticated and delivered. 
 The Notes are issuable as Registered
Securities, without coupons, in denominations of $2,000 and any amount in excess thereof which is an integral multiple of $1,000. As provided in the Indenture and subject to certain limitations therein set forth, the Notes are exchangeable for a
like aggregate principal amount of Notes of like tenor of any authorized denomination, as requested by the Holder surrendering the same, upon surrender of the Note or Notes to be exchanged at any office or agency described below where Notes may be
presented for registration of transfer. 
 The Company may, from time to time, without notice to or the consent of the Holders of the Notes,
reopen this series of Notes and issue additional Notes. 
 The Notes are redeemable, in whole at any time or in part from time to time prior
to March 15, 2022, at the option of the Company at a Redemption Price equal to the greater of (i) 100% of the principal amount of the Notes to be redeemed and (ii) the sum of the present values of the remaining scheduled payments of
principal and interest on the Notes to be redeemed through March 15, 2022 (not including any portion of such payments of interest accrued to, but not including, the Redemption Date) discounted to the Redemption Date on a semi-annual basis
(assuming a 360-day year comprised of twelve 30-day months) at the Treasury Rate (as defined herein) plus 20 basis points plus, in each case, accrued and unpaid interest on the principal amount of the Notes being redeemed to, but not including, the
Redemption Date. On and after March 15, 2022, the Notes are redeemable, in whole at any time or in part from time to time, at the option of the Company at a Redemption Price equal to 100% of the principal amount of the Notes to be redeemed,
plus accrued and unpaid interest on the principal amount of the Notes being redeemed to, but not including, the Redemption Date. Notwithstanding the foregoing, installments of interest whose Stated Maturity is on or prior to the relevant Redemption
Date shall be payable to the Holders of the Notes, or one or more Predecessor Securities, of record at the close of business on the relevant Regular Record Dates according to their terms and the provisions of the Indenture. 

“Treasury Rate” means with respect to any Redemption Date, the rate per annum equal to: 

	 	•	 	the yield, under the heading that represents the average for the immediately preceding week, appearing in the most recently published statistical release designated “H.15(519)” or any successor publication
which is published weekly by the Board of Governors of the Federal Reserve System and which establishes yields on actively traded United States Treasury securities adjusted to constant maturity under the caption “Treasury Constant
Maturities,” for the maturity corresponding to the Comparable Treasury Issue; provided that if no maturity is within three months before or after the remaining term of the Notes (assuming, for that purpose, that such Notes matured on
March 15, 2022), yields for the two published maturities most closely corresponding to the Comparable Treasury Issue will be determined and the Treasury Rate will be interpolated or extrapolated from those yields on a straight-line basis
rounding to the nearest month; or 

  

	 	•	 	if that release, or any successor release, is not published during the week preceding the calculation date or does not contain such yields, the rate per year equal to the semiannual equivalent yield to maturity of the
Comparable Treasury Issue, calculated using a price for the Comparable Treasury Issue (expressed as a percentage of its principal amount) equal to the Comparable Treasury Price for that Redemption Date. 

The Treasury Rate will be calculated at 5:00 p.m. (New York City time) on the third Business Day preceding the Redemption Date by the
Quotation Agent. 
 “Comparable Treasury Issue” means, with respect to any Redemption Date, the United States
Treasury security selected by the Quotation Agent that would be utilized, at the time of selection and in accordance with customary financial practice, in pricing new issues of corporate debt securities of comparable maturity to the remaining term
of the Notes (assuming, for this purpose, that the Notes matured on March 15, 2022). 
 “Comparable Treasury
Price” means, with respect to any Redemption Date, (i) the average of the Reference Treasury Dealer Quotations for such Redemption Date, after excluding the highest and lowest Reference Treasury Dealer Quotations, or (ii) if the
Quotation Agent obtains fewer than three Reference Treasury Dealer Quotations, the average of all such Reference Treasury Dealer Quotations, such average in any case to be determined by the Quotation Agent, or (iii) if only one Reference
Treasury Dealer Quotation is received, such Reference Treasury Dealer Quotation. 
 “Quotation Agent” means,
with respect to any Redemption Date, the Reference Treasury Dealer appointed by the Company. 
 “Reference Treasury
Dealer” means, with respect to any Redemption Date, (i) Citigroup Global Markets Inc., J.P. Morgan Securities LLC and Merrill Lynch, Pierce, Fenner & Smith Incorporated (or their respective affiliates which are primary U.S.
Government securities dealers) and their respective successors; provided, however, that if any of them shall cease to be a primary U.S. Government securities dealer in the United States of America (a
“Primary Treasury Dealer”), the Company shall substitute for it another Primary Treasury Dealer, and (ii) any other Primary Treasury Dealer or Dealers selected by the Company. 

  
 2 

 “Reference Treasury Dealer Quotations” means, with respect to each
Reference Treasury Dealer and any Redemption Date, the average, as determined by the Quotation Agent, of the bid and asked prices for the Comparable Treasury Issue (expressed in each case as a percentage of its principal amount) quoted in writing to
the Quotation Agent by such Reference Treasury Dealer at 5:00 p.m. (New York City time) on the third Business Day in The City of New York preceding such Redemption Date. 

Notice of any redemption will be sent at least 30 days but not more than 60 days before the Redemption Date to each Holder of the Notes to be
redeemed, all as more fully provided in the Indenture. Unless the Company defaults in payment of the Redemption Price (or any accrued and unpaid interest on the Notes or portions thereof to be redeemed), on and after the Redemption Date interest
will cease to accrue on the Notes or portions thereof called for redemption. If less than all of the Notes are to be redeemed, the Notes (or portions thereof) to be redeemed shall be selected by the Trustee by such method as the Trustee shall deem
fair and appropriate, all as more fully provided in the Indenture. 
 All notices of redemption shall state the Redemption Date, the
Redemption Price, if fewer than all the Outstanding Notes are to be redeemed, the identification (and, in the case of partial redemption, the principal amounts) of the particular Notes to be redeemed, that on the Redemption Date the Redemption Price
will become due and payable upon each Note, or portion thereof, to be redeemed, together with accrued and unpaid interest thereon, that interest on each Note, or portion thereof, called for redemption will cease to accrue on the Redemption Date and
the place or places where Notes may be surrendered for redemption. 
 In the event of redemption of this Note in part only, a new Note or
Notes of like tenor in aggregate principal amount equal to and in exchange for the unredeemed portion of the principal amount hereof will be issued in authorized denominations in the name of the Holder hereof upon surrender hereof. 

For all purposes of this Note and the Indenture, unless the context otherwise requires, all provisions relating to the redemption by the
Company of this Note shall relate, in the case that this Note is redeemed, or to be redeemed, by the Company only in part, to that portion of the principal amount of this Note that has been, or is to be, redeemed. 

If an Event of Default with respect to Notes shall occur and be continuing, the principal of and accrued interest on the Notes may be declared
due and payable in the manner and with the effect provided in the Indenture. 
 The Indenture permits, in certain circumstances therein
specified, the amendment thereof without the consent of the Holders of the Securities. The Indenture also permits, with certain exceptions as therein provided, the amendment thereof and the modification of the rights and obligations under the
Indenture of the Company and the rights of Holders of the Securities of each series to be affected under the Indenture at any time by the Company and the Trustee with the consent of the Holders of a majority in aggregate principal amount of the
Securities at the time Outstanding of each series to be affected. The Indenture also contains provisions permitting the Holders of a majority in aggregate principal amount of the Securities of each series at the time Outstanding, on behalf of the
Holders of all the Securities of such series, to waive 

  
 3 

 
compliance by the Company with certain provisions of the Indenture and certain past defaults under the Indenture and their consequences. Any such consent or waiver by the Holder of this Note
shall be conclusive and binding upon such Holder and upon all future Holders of this Note and of any Note issued upon the registration of transfer hereof or in exchange herefor or in lieu hereof, whether or not notation of such consent or waiver is
made upon this Note. 
 No reference herein to the Indenture and no provision of this Note, subject to the provisions for satisfaction and
discharge in Article Four of the Indenture, shall alter or impair the obligation of the Company, which is absolute and unconditional, to pay the principal of and interest on this Note at the times, place and rate, and in the coin or currency, herein
prescribed. 
 The Indenture permits the Company, by irrevocably depositing cash or U.S. Government Obligations, in amounts and maturities
sufficient to pay and discharge at the Stated Maturity or Redemption Date, as the case may be, the entire indebtedness on all Outstanding Notes, with the Trustee in trust, solely for the benefit of the Holders of all Outstanding Notes, to defease
the Indenture with respect to the Notes (subject to specified exceptions), and, upon such deposit and satisfaction of the other conditions set forth in the Indenture, the Company shall be deemed to have paid and discharged its entire indebtedness on
the Notes. 
 As provided in the Indenture and subject to certain limitations therein set forth, the transfer of Notes is registrable in the
Security Register, upon surrender of a Note for registration of transfer at the Corporate Trust Office of the Trustee or at the office or agency of the Trustee maintained for such purpose in the Borough of Manhattan, The City of New York, or at such
other offices or agencies as the Company may designate, duly endorsed by, or accompanied by a written instrument of transfer in form satisfactory to the Company and the Security Registrar duly executed by, the Holder thereof or his attorney duly
authorized in writing, and thereupon one or more new Notes of like tenor, of authorized denominations and for the same aggregate principal amount, will be issued to the designated transferee or transferees. 

No service charge shall be made by the Company, the Trustee or the Security Registrar for any such registration of transfer or exchange, but
the Company may require payment of a sum sufficient to cover any tax or other governmental charge payable in connection therewith (other than exchanges pursuant to Sections 304, 305, 906 or 1107 of the Indenture not involving any transfer). 

Prior to due presentment of this Note for registration of transfer, the Company, the Trustee and any agent of the Company or the Trustee may
treat the Person in whose name this Note is registered as the owner hereof for all purposes, whether or not this Note be overdue, and neither the Company, the Trustee nor any such agent shall be affected by notice to the contrary. 

This Note shall be governed by and construed in accordance with the law of the State of New York (without regard to conflicts of laws
principles thereof). 
 Customary abbreviations may be used in the name of a Holder or an assignee, such as TEN COM (=tenants in common),
TEN ENT (=tenants by the entireties), JT TEN (=joint tenants with right of survivorship and not as tenants in common), CUST (=custodian), and U/G/M/A (=Uniform Gift to Minors Act). 

  
 4 

 All undefined terms (whether or not capitalized) used in this Note which are defined in the
Indenture shall have the meanings assigned to them in the Indenture. 

  
 5 

 ASSIGNMENT FORM 

To assign this Note, fill in the form below: 

(I) or (we) assign and transfer this Note to 
  

 
 (Insert assignee’s soc. sec. or
tax I.D. no.) 
  
  

 
  
  

 
  

 
 (Print or type assignee’s name,
address and zip code) 
 and irrevocably appoint
                                         
                                         
                                         
                                         
           
 to transfer this Note on the books of the Company. The agent may substitute another to act
for him. 
  
  

Date:
                                         
                    
  

			
	Your Signature:	 	  

		 	(Sign exactly as your name(s) appear(s) on the face of this Note)

 Signature Guarantee* 
  

 
  

	*	NOTICE: The signature must be guaranteed by an institution that is a member of one of the following recognized signature guarantee programs: (i) The Securities Transfer Agent Medallion Program (STAMP);
(ii) The New York Stock Exchange Medallion Program (MNSP); (iii) The Stock Exchange Medallion Program (SEMP); or (iv) such other guarantee program acceptable to the Trustee. 

  
 6 

 SCHEDULE OF EXCHANGES OF INTERESTS IN THE GLOBAL NOTE 

The initial outstanding principal amount of this Global Note is $            . The
following exchanges of an interest in this Global Note for an interest in another Global Note or for a Definitive Note, or exchanges of an interest in another Global Note or Definitive Notes for an interest in this Global Note, have been made: 

 

									
	 Date of Exchange
	  	Amount of
Decrease in
Principal Amount
of this Global
Note	  	Amount of
Increase in
Principal Amount
of this Global
Note	  	Principal Amount
of this Global
Note Following
Such Decrease
(or Increase)	  	Signature of
Authorized
Officer of
Trustee or
Security
Custodian
		  		  		  		  	

  
 7 

 Exhibit B 

Form of Certificate Evidencing the 3.400% Senior Notes due 2026 

[see attached] 

 UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK
CORPORATION (“DTC”), TO ISSUER OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED
REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL
INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. 
 OCCIDENTAL PETROLEUM CORPORATION 

3.400% SENIOR NOTE DUE 2026 
  

			
	NO.             -	 	        PRINCIPAL AMOUNT:
		 	        U.S.$
		
		 	        CUSIP: 674599CH6
		 	        ISIN: US674599CH65
		 	        COMMON CODE: 138988635
		
	ORIGINAL ISSUE DATE:	 	April 4, 2016
		
	MATURITY DATE:	 	April 15, 2026
		
	INTEREST RATE:	 	3.400% per annum
		
	INTEREST PAYMENT DATES:        	 	April 15 and October 15, commencing October 15, 2016
		
	REGULAR RECORD DATES:	 	April 1 and October 1
		
	REDEMPTION DATE/PRICE:	 	See Further Provisions Set Forth Herein

 OCCIDENTAL PETROLEUM CORPORATION, a corporation duly organized and existing under the laws of the State
of Delaware (herein referred to as the “Company,” which term includes any successor under the Indenture hereinafter referred to), for value received, hereby promises to pay
to                 , or registered assigns, the lesser of (i) the Principal Amount specified above and (ii) the Principal Amount set forth on the Schedule of
Exchanges of Interests in the Global Note attached hereto on the Maturity Date specified above (unless and to the extent earlier redeemed prior to such Maturity Date) and to pay interest thereon from April 4, 2016 or from the most recent
Interest Payment Date to which interest has been paid or duly provided for, semi-annually in arrears on April 15 and October 15 in each year, commencing on October 15, 2016, at the rate per annum specified above, until the principal
hereof is paid or made available for payment. Interest on this Note will be computed on the basis of a 360-day year comprised of twelve 30-day months. Interest payments for this Note will include interest accrued to but excluding each Interest
Payment Date. The interest so payable, and punctually paid or duly provided for, on any Interest Payment Date will, as provided in the Indenture, be paid to the Person in whose name this Note (or one or more Predecessor Securities) is registered 

 
at the close of business on the Regular Record Date, which shall be the April 1 or October 1 (whether or not a Business Day), as the case may be, immediately preceding such Interest
Payment Date. If any Interest Payment Date or Maturity with respect to this Note falls on a day that is not a Business Day, the payment due on such Interest Payment Date or Maturity will be made on the next succeeding Business Day with the same
force and effect as if made on such Interest Payment Date or Maturity, and no interest shall accrue on the amount so payable for the period from and after such Interest Payment Date or Maturity, as the case may be, until such following Business Day.
Except as otherwise provided in the Indenture, any Defaulted Interest will forthwith cease to be payable to the Holder on the Regular Record Date with respect to such Interest Payment Date by virtue of having been such Holder and may either
(1) be paid to the Person in whose name this Note (or one or more Predecessor Securities) is registered at the close of business on a Special Record Date for the payment of such Defaulted Interest to be fixed by the Trustee (as defined below),
notice of which will be given to Holders of Notes not less than 10 days prior to such Special Record Date, or (2) be paid at any time in any other lawful manner not inconsistent with the requirements of any securities exchange on which the
Notes may be listed, and upon such notice as may be required by such exchange, all as more fully provided in the Indenture. Payment of the principal of and interest on this Note will be made at the Corporate Trust Office of the Trustee in the
Borough of Manhattan, The City of New York, or at the office or agency of the Trustee maintained for that purpose in the Borough of Manhattan, The City of New York, or at any other office or agency designated by the Company for such purpose, in such
coin or currency of the United States of America as at the time of payment is legal tender for payment of public and private debts; provided that, at the option of the Company, payment of interest due on any Interest Payment Date may be made
by check mailed to the address of the Person entitled thereto as such address shall appear in the Security Register or by wire transfer of immediately available funds if appropriate wire transfer instructions have been received in writing by the
Trustee not less than 15 days prior to the applicable Interest Payment Date. 
 Reference is hereby made to the further provisions of
this Note set forth below, which further provisions shall for all purposes have the same effect as if set forth at this place. 
 Unless the
certificate of authentication hereon has been executed by the Trustee or its duly appointed co-authenticating agent by manual signature, this Note shall not be entitled to any benefit under the Indenture or be valid or obligatory for any purpose.

 [signature page follows] 

  
 2 

 IN WITNESS WHEREOF, OCCIDENTAL PETROLEUM CORPORATION has caused this Note to be signed by the
signature or facsimile signature of its Chairman of the Board, its President, a Vice President, its Treasurer or an Assistant Treasurer and attested by its Secretary or an Assistant Secretary by his or her signature or a facsimile thereof. 

Dated: 
  

			
	OCCIDENTAL PETROLEUM CORPORATION
		
	By:	 	  

	Name:	 	
	Title:	 	

  

			
	 Attest:
	 	
		
	By:	 	  

	 Name:
	 	
	 Title:
	 	

  
 Signature Page to Note

 TRUSTEE’S CERTIFICATE OF AUTHENTICATION 

This is one of the Securities of the series designated therein referred to in the within-mentioned Indenture. 

Dated: 
 The Bank of New York Mellon Trust Company, N.A., as
Trustee 
  

			
	By:	 	  

		 	Authorized Signatory

 This Note is one of a duly authorized issue of securities (herein called the
“Securities”) of the Company, issued and to be issued pursuant to the Indenture. This Note is one of a series designated by the Company as its 3.400% Senior Notes due 2026 (the “Notes”), limited in initial aggregate
principal amount to $1,150,000,000. The Indenture does not limit the aggregate principal amount of the Securities. 
 The
Company issued this Note pursuant to an Indenture, dated as of August 18, 2011 (herein called the “Indenture” which term, for the purpose of this Note, shall include the Officers’ Certificate dated April 4, 2016,
delivered pursuant to Sections 201 and 301 of the Indenture), between the Company and The Bank of New York Mellon Trust Company, N.A., as trustee (herein called the “Trustee,” which term includes any successor trustee under the
Indenture), to which Indenture and all indentures supplemental thereto reference is hereby made for a statement of the respective rights, limitations of rights, duties and immunities thereunder of the Company, the Trustee and Holders of the Notes
and of the terms upon which the Notes are, and are to be, authenticated and delivered. 
 The Notes are issuable as Registered
Securities, without coupons, in denominations of $2,000 and any amount in excess thereof which is an integral multiple of $1,000. As provided in the Indenture and subject to certain limitations therein set forth, the Notes are exchangeable for a
like aggregate principal amount of Notes of like tenor of any authorized denomination, as requested by the Holder surrendering the same, upon surrender of the Note or Notes to be exchanged at any office or agency described below where Notes may be
presented for registration of transfer. 
 The Company may, from time to time, without notice to or the consent of the Holders of the Notes,
reopen this series of Notes and issue additional Notes. 
 The Notes are redeemable, in whole at any time or in part from time to time prior
to January 15, 2026, at the option of the Company at a Redemption Price equal to the greater of (i) 100% of the principal amount of the Notes to be redeemed and (ii) the sum of the present values of the remaining scheduled payments of
principal and interest on the Notes to be redeemed through January 15, 2026 (not including any portion of such payments of interest accrued to, but not including, the Redemption Date) discounted to the Redemption Date on a semi-annual basis
(assuming a 360-day year comprised of twelve 30-day months) at the Treasury Rate (as defined herein) plus 25 basis points plus, in each case, accrued and unpaid interest on the principal amount of the Notes being redeemed to, but not including, the
Redemption Date. On and after January 15, 2026, the Notes are redeemable, in whole at any time or in part from time to time, at the option of the Company at a Redemption Price equal to 100% of the principal amount of the Notes to be redeemed,
plus accrued and unpaid interest on the principal amount of the Notes being redeemed to, but not including, the Redemption Date. Notwithstanding the foregoing, installments of interest whose Stated Maturity is on or prior to the relevant Redemption
Date shall be payable to the Holders of the Notes, or one or more Predecessor Securities, of record at the close of business on the relevant Regular Record Dates according to their terms and the provisions of the Indenture. 

“Treasury Rate” means with respect to any Redemption Date, the rate per annum equal to: 

	 	•	 	the yield, under the heading that represents the average for the immediately preceding week, appearing in the most recently published statistical release designated “H.15(519)” or any successor publication
which is published weekly by the Board of Governors of the Federal Reserve System and which establishes yields on actively traded United States Treasury securities adjusted to constant maturity under the caption “Treasury Constant
Maturities,” for the maturity corresponding to the Comparable Treasury Issue; provided that if no maturity is within three months before or after the remaining term of the Notes (assuming, for that purpose, that such Notes matured on
January 15, 2026), yields for the two published maturities most closely corresponding to the Comparable Treasury Issue will be determined and the Treasury Rate will be interpolated or extrapolated from those yields on a straight-line basis
rounding to the nearest month; or 

  

	 	•	 	if that release, or any successor release, is not published during the week preceding the calculation date or does not contain such yields, the rate per year equal to the semiannual equivalent yield to maturity of the
Comparable Treasury Issue, calculated using a price for the Comparable Treasury Issue (expressed as a percentage of its principal amount) equal to the Comparable Treasury Price for that Redemption Date. 

The Treasury Rate will be calculated at 5:00 p.m. (New York City time) on the third Business Day preceding the Redemption Date by the
Quotation Agent. 
 “Comparable Treasury Issue” means, with respect to any Redemption Date, the United States
Treasury security selected by the Quotation Agent that would be utilized, at the time of selection and in accordance with customary financial practice, in pricing new issues of corporate debt securities of comparable maturity to the remaining term
of the Notes (assuming, for this purpose, that the Notes matured on January 15, 2026). 
 “Comparable Treasury
Price” means, with respect to any Redemption Date, (i) the average of the Reference Treasury Dealer Quotations for such Redemption Date, after excluding the highest and lowest Reference Treasury Dealer Quotations, or (ii) if the
Quotation Agent obtains fewer than three Reference Treasury Dealer Quotations, the average of all such Reference Treasury Dealer Quotations, such average in any case to be determined by the Quotation Agent, or (iii) if only one Reference
Treasury Dealer Quotation is received, such Reference Treasury Dealer Quotation. 
 “Quotation Agent” means,
with respect to any Redemption Date, the Reference Treasury Dealer appointed by the Company. 
 “Reference Treasury
Dealer” means, with respect to any Redemption Date, (i) Citigroup Global Markets Inc., J.P. Morgan Securities LLC and Merrill Lynch, Pierce, Fenner & Smith Incorporated (or their respective affiliates which are primary U.S.
Government securities dealers) and their respective successors; provided, however, that if any of them shall cease to be a primary U.S. Government securities dealer in the United States of America (a
“Primary Treasury Dealer”), the Company shall substitute for it another Primary Treasury Dealer, and (ii) any other Primary Treasury Dealer or Dealers selected by the Company. 

  
 2 

 “Reference Treasury Dealer Quotations” means, with respect to each
Reference Treasury Dealer and any Redemption Date, the average, as determined by the Quotation Agent, of the bid and asked prices for the Comparable Treasury Issue (expressed in each case as a percentage of its principal amount) quoted in writing to
the Quotation Agent by such Reference Treasury Dealer at 5:00 p.m. (New York City time) on the third Business Day in The City of New York preceding such Redemption Date. 

Notice of any redemption will be sent at least 30 days but not more than 60 days before the Redemption Date to each Holder of the Notes to be
redeemed, all as more fully provided in the Indenture. Unless the Company defaults in payment of the Redemption Price (or any accrued and unpaid interest on the Notes or portions thereof to be redeemed), on and after the Redemption Date interest
will cease to accrue on the Notes or portions thereof called for redemption. If less than all of the Notes are to be redeemed, the Notes (or portions thereof) to be redeemed shall be selected by the Trustee by such method as the Trustee shall deem
fair and appropriate, all as more fully provided in the Indenture. 
 All notices of redemption shall state the Redemption Date, the
Redemption Price, if fewer than all the Outstanding Notes are to be redeemed, the identification (and, in the case of partial redemption, the principal amounts) of the particular Notes to be redeemed, that on the Redemption Date the Redemption Price
will become due and payable upon each Note, or portion thereof, to be redeemed, together with accrued and unpaid interest thereon, that interest on each Note, or portion thereof, called for redemption will cease to accrue on the Redemption Date and
the place or places where Notes may be surrendered for redemption. 
 In the event of redemption of this Note in part only, a new Note or
Notes of like tenor in aggregate principal amount equal to and in exchange for the unredeemed portion of the principal amount hereof will be issued in authorized denominations in the name of the Holder hereof upon surrender hereof. 

For all purposes of this Note and the Indenture, unless the context otherwise requires, all provisions relating to the redemption by the
Company of this Note shall relate, in the case that this Note is redeemed, or to be redeemed, by the Company only in part, to that portion of the principal amount of this Note that has been, or is to be, redeemed. 

If an Event of Default with respect to Notes shall occur and be continuing, the principal of and accrued interest on the Notes may be declared
due and payable in the manner and with the effect provided in the Indenture. 
 The Indenture permits, in certain circumstances therein
specified, the amendment thereof without the consent of the Holders of the Securities. The Indenture also permits, with certain exceptions as therein provided, the amendment thereof and the modification of the rights and obligations under the
Indenture of the Company and the rights of Holders of the Securities of each series to be affected under the Indenture at any time by the Company and the Trustee with the consent of the Holders of a majority in aggregate principal amount of the
Securities at the time Outstanding of each series to be affected. The Indenture also contains provisions permitting the Holders of a majority in aggregate principal amount of the Securities of each series at the time Outstanding, on behalf of the
Holders of all the Securities of such series, to waive 

  
 3 

 
compliance by the Company with certain provisions of the Indenture and certain past defaults under the Indenture and their consequences. Any such consent or waiver by the Holder of this Note
shall be conclusive and binding upon such Holder and upon all future Holders of this Note and of any Note issued upon the registration of transfer hereof or in exchange herefor or in lieu hereof, whether or not notation of such consent or waiver is
made upon this Note. 
 No reference herein to the Indenture and no provision of this Note, subject to the provisions for satisfaction and
discharge in Article Four of the Indenture, shall alter or impair the obligation of the Company, which is absolute and unconditional, to pay the principal of and interest on this Note at the times, place and rate, and in the coin or currency, herein
prescribed. 
 The Indenture permits the Company, by irrevocably depositing cash or U.S. Government Obligations, in amounts and maturities
sufficient to pay and discharge at the Stated Maturity or Redemption Date, as the case may be, the entire indebtedness on all Outstanding Notes, with the Trustee in trust, solely for the benefit of the Holders of all Outstanding Notes, to defease
the Indenture with respect to the Notes (subject to specified exceptions), and, upon such deposit and satisfaction of the other conditions set forth in the Indenture, the Company shall be deemed to have paid and discharged its entire indebtedness on
the Notes. 
 As provided in the Indenture and subject to certain limitations therein set forth, the transfer of Notes is registrable in the
Security Register, upon surrender of a Note for registration of transfer at the Corporate Trust Office of the Trustee or at the office or agency of the Trustee maintained for such purpose in the Borough of Manhattan, The City of New York, or at such
other offices or agencies as the Company may designate, duly endorsed by, or accompanied by a written instrument of transfer in form satisfactory to the Company and the Security Registrar duly executed by, the Holder thereof or his attorney duly
authorized in writing, and thereupon one or more new Notes of like tenor, of authorized denominations and for the same aggregate principal amount, will be issued to the designated transferee or transferees. 

No service charge shall be made by the Company, the Trustee or the Security Registrar for any such registration of transfer or exchange, but
the Company may require payment of a sum sufficient to cover any tax or other governmental charge payable in connection therewith (other than exchanges pursuant to Sections 304, 305, 906 or 1107 of the Indenture not involving any transfer). 

Prior to due presentment of this Note for registration of transfer, the Company, the Trustee and any agent of the Company or the Trustee may
treat the Person in whose name this Note is registered as the owner hereof for all purposes, whether or not this Note be overdue, and neither the Company, the Trustee nor any such agent shall be affected by notice to the contrary. 

This Note shall be governed by and construed in accordance with the law of the State of New York (without regard to conflicts of laws
principles thereof). 
 Customary abbreviations may be used in the name of a Holder or an assignee, such as TEN COM (=tenants in common),
TEN ENT (=tenants by the entireties), JT TEN (=joint tenants with right of survivorship and not as tenants in common), CUST (=custodian), and U/G/M/A (=Uniform Gift to Minors Act). 

  
 4 

 All undefined terms (whether or not capitalized) used in this Note which are defined in the
Indenture shall have the meanings assigned to them in the Indenture. 

  
 5 

 ASSIGNMENT FORM 

To assign this Note, fill in the form below: 

(I) or (we) assign and transfer this Note to 
  

 
 (Insert assignee’s soc. sec. or
tax I.D. no.) 
  
  

 
  
  

 
  

 
 (Print or type assignee’s name,
address and zip code) 
 and irrevocably appoint
                                         
                                         
                                         
                                         
           
 to transfer this Note on the books of the Company. The agent may substitute another to act
for him. 
  
  

Date:
                                         
                    
  

			
	Your Signature:	 	  

		 	(Sign exactly as your name(s) appear(s) on the face of this Note)

 Signature Guarantee* 
  

 
  

	*	NOTICE: The signature must be guaranteed by an institution that is a member of one of the following recognized signature guarantee programs: (i) The Securities Transfer Agent Medallion Program (STAMP);
(ii) The New York Stock Exchange Medallion Program (MNSP); (iii) The Stock Exchange Medallion Program (SEMP); or (iv) such other guarantee program acceptable to the Trustee. 

  
 6 

 SCHEDULE OF EXCHANGES OF INTERESTS IN THE GLOBAL NOTE 

The initial outstanding principal amount of this Global Note is $            . The
following exchanges of an interest in this Global Note for an interest in another Global Note or for a Definitive Note, or exchanges of an interest in another Global Note or Definitive Notes for an interest in this Global Note, have been made: 

 

									
	 Date of Exchange
	  	Amount of
Decrease in
Principal Amount
of this Global
Note	  	Amount of
Increase in
Principal Amount
of this Global
Note	  	Principal Amount
of this Global
Note Following
Such Decrease
(or Increase)	  	Signature of
Authorized
Officer of
Trustee or
Security
Custodian
		  		  		  		  	

  
 7 

 Exhibit C 

Form of Certificate Evidencing the 4.400% Senior Notes due 2046 

[see attached] 

 UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK
CORPORATION (“DTC”), TO ISSUER OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED
REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL
INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. 
 OCCIDENTAL PETROLEUM CORPORATION 

4.400% SENIOR NOTE DUE 2046 
  

			
	NO.             -	 	        PRINCIPAL AMOUNT:
		 	        U.S.$
		
		 	        CUSIP: 674599CJ2
		 	        ISIN: US674599CJ22
		 	        COMMON CODE: 138605027
		
	ORIGINAL ISSUE DATE:	 	April 4, 2016
		
	MATURITY DATE:	 	April 15, 2046
		
	INTEREST RATE:	 	4.400% per annum
		
	INTEREST PAYMENT DATES:        	 	April 15 and October 15, commencing October 15, 2016
		
	REGULAR RECORD DATES:	 	April 1 and October 1
		
	REDEMPTION DATE/PRICE:	 	See Further Provisions Set Forth Herein

 OCCIDENTAL PETROLEUM CORPORATION, a corporation duly organized and existing under the laws of the State of
Delaware (herein referred to as the “Company,” which term includes any successor under the Indenture hereinafter referred to), for value received, hereby promises to pay
to                     , or registered assigns, the lesser of (i) the Principal Amount specified above and (ii) the Principal Amount set
forth on the Schedule of Exchanges of Interests in the Global Note attached hereto on the Maturity Date specified above (unless and to the extent earlier redeemed prior to such Maturity Date) and to pay interest thereon from April 4, 2016
or from the most recent Interest Payment Date to which interest has been paid or duly provided for, semi-annually in arrears on April 15 and October 15 in each year, commencing on October 15, 2016, at the rate per annum specified
above, until the principal hereof is paid or made available for payment. Interest on this Note will be computed on the basis of a 360-day year comprised of twelve 30-day months. Interest payments for this Note will include interest accrued to but
excluding each Interest Payment Date. The interest so payable, and punctually paid or duly provided for, on any Interest Payment Date will, as provided in the Indenture, be paid to the Person in whose name this Note (or one or more Predecessor
Securities) is registered 

 
at the close of business on the Regular Record Date, which shall be the April 1 or October 1 (whether or not a Business Day), as the case may be, immediately preceding such Interest
Payment Date. If any Interest Payment Date or Maturity with respect to this Note falls on a day that is not a Business Day, the payment due on such Interest Payment Date or Maturity will be made on the next succeeding Business Day with the same
force and effect as if made on such Interest Payment Date or Maturity, and no interest shall accrue on the amount so payable for the period from and after such Interest Payment Date or Maturity, as the case may be, until such following Business Day.
Except as otherwise provided in the Indenture, any Defaulted Interest will forthwith cease to be payable to the Holder on the Regular Record Date with respect to such Interest Payment Date by virtue of having been such Holder and may either
(1) be paid to the Person in whose name this Note (or one or more Predecessor Securities) is registered at the close of business on a Special Record Date for the payment of such Defaulted Interest to be fixed by the Trustee (as defined below),
notice of which will be given to Holders of Notes not less than 10 days prior to such Special Record Date, or (2) be paid at any time in any other lawful manner not inconsistent with the requirements of any securities exchange on which the
Notes may be listed, and upon such notice as may be required by such exchange, all as more fully provided in the Indenture. Payment of the principal of and interest on this Note will be made at the Corporate Trust Office of the Trustee in the
Borough of Manhattan, The City of New York, or at the office or agency of the Trustee maintained for that purpose in the Borough of Manhattan, The City of New York, or at any other office or agency designated by the Company for such purpose, in such
coin or currency of the United States of America as at the time of payment is legal tender for payment of public and private debts; provided that, at the option of the Company, payment of interest due on any Interest Payment Date may
be made by check mailed to the address of the Person entitled thereto as such address shall appear in the Security Register or by wire transfer of immediately available funds if appropriate wire transfer instructions have been received in writing by
the Trustee not less than 15 days prior to the applicable Interest Payment Date. 
 Reference is hereby made to the further provisions of
this Note set forth below, which further provisions shall for all purposes have the same effect as if set forth at this place. 
 Unless the
certificate of authentication hereon has been executed by the Trustee or its duly appointed co-authenticating agent by manual signature, this Note shall not be entitled to any benefit under the Indenture or be valid or obligatory for any purpose.

 [signature page follows] 

  
 2 

 IN WITNESS WHEREOF, OCCIDENTAL PETROLEUM CORPORATION has caused this Note to be signed by the
signature or facsimile signature of its Chairman of the Board, its President, a Vice President, its Treasurer or an Assistant Treasurer and attested by its Secretary or an Assistant Secretary by his or her signature or a facsimile thereof. 

Dated: 
  

			
	OCCIDENTAL PETROLEUM CORPORATION
		
	By:	 	  

	Name:	 	
	Title:	 	

  

			
	 Attest:
	 	
		
	By:	 	  

	 Name:
	 	
	 Title:
	 	

  
 Signature Page to Note

 TRUSTEE’S CERTIFICATE OF AUTHENTICATION 

This is one of the Securities of the series designated therein referred to in the within-mentioned Indenture. 

Dated: 
 The Bank of New York Mellon Trust Company, N.A., as
Trustee 
  

			
	By:	 	  

		 	Authorized Signatory

 This Note is one of a duly authorized issue of securities (herein called the
“Securities”) of the Company, issued and to be issued pursuant to the Indenture. This Note is one of a series designated by the Company as its 4.400% Senior Notes due 2046 (the “Notes”), limited in initial aggregate
principal amount to $1,200,000,000. The Indenture does not limit the aggregate principal amount of the Securities. 
 The
Company issued this Note pursuant to an Indenture, dated as of August 18, 2011 (herein called the “Indenture” which term, for the purpose of this Note, shall include the Officers’ Certificate dated April 4, 2016,
delivered pursuant to Sections 201 and 301 of the Indenture), between the Company and The Bank of New York Mellon Trust Company, N.A., as trustee (herein called the “Trustee,” which term includes any successor trustee under the
Indenture), to which Indenture and all indentures supplemental thereto reference is hereby made for a statement of the respective rights, limitations of rights, duties and immunities thereunder of the Company, the Trustee and Holders of the Notes
and of the terms upon which the Notes are, and are to be, authenticated and delivered. 
 The Notes are issuable as Registered
Securities, without coupons, in denominations of $2,000 and any amount in excess thereof which is an integral multiple of $1,000. As provided in the Indenture and subject to certain limitations therein set forth, the Notes are exchangeable for a
like aggregate principal amount of Notes of like tenor of any authorized denomination, as requested by the Holder surrendering the same, upon surrender of the Note or Notes to be exchanged at any office or agency described below where Notes may be
presented for registration of transfer. 
 The Company may, from time to time, without notice to or the consent of the Holders of the Notes,
reopen this series of Notes and issue additional Notes. 
 The Notes are redeemable, in whole at any time or in part from time to time prior
to October 15, 2045, at the option of the Company at a Redemption Price equal to the greater of (i) 100% of the principal amount of the Notes to be redeemed and (ii) the sum of the present values of the remaining scheduled payments of
principal and interest on the Notes to be redeemed through October 15, 2045 (not including any portion of such payments of interest accrued to, but not including, the Redemption Date) discounted to the Redemption Date on a semi-annual basis
(assuming a 360-day year comprised of twelve 30-day months) at the Treasury Rate (as defined herein) plus 30 basis points plus, in each case, accrued and unpaid interest on the principal amount of the Notes being redeemed to, but not including, the
Redemption Date. On and after October 15, 2045, the Notes are redeemable, in whole at any time or in part from time to time, at the option of the Company at a Redemption Price equal to 100% of the principal amount of the Notes to be redeemed,
plus accrued and unpaid interest on the principal amount of the Notes being redeemed to, but not including, the Redemption Date. Notwithstanding the foregoing, installments of interest whose Stated Maturity is on or prior to the relevant Redemption
Date shall be payable to the Holders of the Notes, or one or more Predecessor Securities, of record at the close of business on the relevant Regular Record Dates according to their terms and the provisions of the Indenture. 

“Treasury Rate” means with respect to any Redemption Date, the rate per annum equal to: 

	 	•	 	the yield, under the heading that represents the average for the immediately preceding week, appearing in the most recently published statistical release designated “H.15(519)” or any successor publication
which is published weekly by the Board of Governors of the Federal Reserve System and which establishes yields on actively traded United States Treasury securities adjusted to constant maturity under the caption “Treasury Constant
Maturities,” for the maturity corresponding to the Comparable Treasury Issue; provided that if no maturity is within three months before or after the remaining term of the Notes (assuming, for that purpose, that such Notes matured on
October 15, 2045), yields for the two published maturities most closely corresponding to the Comparable Treasury Issue will be determined and the Treasury Rate will be interpolated or extrapolated from those yields on a straight-line basis
rounding to the nearest month; or 

  

	 	•	 	if that release, or any successor release, is not published during the week preceding the calculation date or does not contain such yields, the rate per year equal to the semiannual equivalent yield to maturity of the
Comparable Treasury Issue, calculated using a price for the Comparable Treasury Issue (expressed as a percentage of its principal amount) equal to the Comparable Treasury Price for that Redemption Date. 

The Treasury Rate will be calculated at 5:00 p.m. (New York City time) on the third Business Day preceding the Redemption Date by the
Quotation Agent. 
 “Comparable Treasury Issue” means, with respect to any Redemption Date, the United States
Treasury security selected by the Quotation Agent that would be utilized, at the time of selection and in accordance with customary financial practice, in pricing new issues of corporate debt securities of comparable maturity to the remaining term
of the Notes (assuming, for this purpose, that the Notes matured on October 15, 2045). 
 “Comparable Treasury
Price” means, with respect to any Redemption Date, (i) the average of the Reference Treasury Dealer Quotations for such Redemption Date, after excluding the highest and lowest Reference Treasury Dealer Quotations, or (ii) if the
Quotation Agent obtains fewer than three Reference Treasury Dealer Quotations, the average of all such Reference Treasury Dealer Quotations, such average in any case to be determined by the Quotation Agent, or (iii) if only one Reference
Treasury Dealer Quotation is received, such Reference Treasury Dealer Quotation. 
 “Quotation Agent” means,
with respect to any Redemption Date, the Reference Treasury Dealer appointed by the Company. 
 “Reference Treasury
Dealer” means, with respect to any Redemption Date, (i) Citigroup Global Markets Inc., J.P. Morgan Securities LLC and Merrill Lynch, Pierce, Fenner & Smith Incorporated (or their respective affiliates which are primary U.S.
Government securities dealers) and their respective successors; provided, however, that if any of them shall cease to be a primary U.S. Government securities dealer in the United States of America (a
“Primary Treasury Dealer”), the Company shall substitute for it another Primary Treasury Dealer, and (ii) any other Primary Treasury Dealer or Dealers selected by the Company. 

  
 2 

 “Reference Treasury Dealer Quotations” means, with respect to each
Reference Treasury Dealer and any Redemption Date, the average, as determined by the Quotation Agent, of the bid and asked prices for the Comparable Treasury Issue (expressed in each case as a percentage of its principal amount) quoted in writing to
the Quotation Agent by such Reference Treasury Dealer at 5:00 p.m. (New York City time) on the third Business Day in The City of New York preceding such Redemption Date. 

Notice of any redemption will be sent at least 30 days but not more than 60 days before the Redemption Date to each Holder of the Notes to be
redeemed, all as more fully provided in the Indenture. Unless the Company defaults in payment of the Redemption Price (or any accrued and unpaid interest on the Notes or portions thereof to be redeemed), on and after the Redemption Date interest
will cease to accrue on the Notes or portions thereof called for redemption. If less than all of the Notes are to be redeemed, the Notes (or portions thereof) to be redeemed shall be selected by the Trustee by such method as the Trustee shall deem
fair and appropriate, all as more fully provided in the Indenture. 
 All notices of redemption shall state the Redemption Date, the
Redemption Price, if fewer than all the Outstanding Notes are to be redeemed, the identification (and, in the case of partial redemption, the principal amounts) of the particular Notes to be redeemed, that on the Redemption Date the Redemption Price
will become due and payable upon each Note, or portion thereof, to be redeemed, together with accrued and unpaid interest thereon, that interest on each Note, or portion thereof, called for redemption will cease to accrue on the Redemption Date and
the place or places where Notes may be surrendered for redemption. 
 In the event of redemption of this Note in part only, a new Note or
Notes of like tenor in aggregate principal amount equal to and in exchange for the unredeemed portion of the principal amount hereof will be issued in authorized denominations in the name of the Holder hereof upon surrender hereof. 

For all purposes of this Note and the Indenture, unless the context otherwise requires, all provisions relating to the redemption by the
Company of this Note shall relate, in the case that this Note is redeemed, or to be redeemed, by the Company only in part, to that portion of the principal amount of this Note that has been, or is to be, redeemed. 

If an Event of Default with respect to Notes shall occur and be continuing, the principal of and accrued interest on the Notes may be declared
due and payable in the manner and with the effect provided in the Indenture. 
 The Indenture permits, in certain circumstances therein
specified, the amendment thereof without the consent of the Holders of the Securities. The Indenture also permits, with certain exceptions as therein provided, the amendment thereof and the modification of the rights and obligations under the
Indenture of the Company and the rights of Holders of the Securities of each series to be affected under the Indenture at any time by the Company and the Trustee with the consent of the Holders of a majority in aggregate principal amount of the
Securities at the time Outstanding of each series to be affected. The Indenture also contains provisions permitting the Holders of a majority in aggregate principal amount of the Securities of each series at the time Outstanding, on behalf of the
Holders of all the Securities of such series, to waive 

  
 3 

 
compliance by the Company with certain provisions of the Indenture and certain past defaults under the Indenture and their consequences. Any such consent or waiver by the Holder of this Note
shall be conclusive and binding upon such Holder and upon all future Holders of this Note and of any Note issued upon the registration of transfer hereof or in exchange herefor or in lieu hereof, whether or not notation of such consent or waiver is
made upon this Note. 
 No reference herein to the Indenture and no provision of this Note, subject to the provisions for satisfaction and
discharge in Article Four of the Indenture, shall alter or impair the obligation of the Company, which is absolute and unconditional, to pay the principal of and interest on this Note at the times, place and rate, and in the coin or currency, herein
prescribed. 
 The Indenture permits the Company, by irrevocably depositing cash or U.S. Government Obligations, in amounts and maturities
sufficient to pay and discharge at the Stated Maturity or Redemption Date, as the case may be, the entire indebtedness on all Outstanding Notes, with the Trustee in trust, solely for the benefit of the Holders of all Outstanding Notes, to defease
the Indenture with respect to the Notes (subject to specified exceptions), and, upon such deposit and satisfaction of the other conditions set forth in the Indenture, the Company shall be deemed to have paid and discharged its entire indebtedness on
the Notes. 
 As provided in the Indenture and subject to certain limitations therein set forth, the transfer of Notes is registrable in the
Security Register, upon surrender of a Note for registration of transfer at the Corporate Trust Office of the Trustee or at the office or agency of the Trustee maintained for such purpose in the Borough of Manhattan, The City of New York, or at such
other offices or agencies as the Company may designate, duly endorsed by, or accompanied by a written instrument of transfer in form satisfactory to the Company and the Security Registrar duly executed by, the Holder thereof or his attorney duly
authorized in writing, and thereupon one or more new Notes of like tenor, of authorized denominations and for the same aggregate principal amount, will be issued to the designated transferee or transferees. 

No service charge shall be made by the Company, the Trustee or the Security Registrar for any such registration of transfer or exchange, but
the Company may require payment of a sum sufficient to cover any tax or other governmental charge payable in connection therewith (other than exchanges pursuant to Sections 304, 305, 906 or 1107 of the Indenture not involving any transfer). 

Prior to due presentment of this Note for registration of transfer, the Company, the Trustee and any agent of the Company or the Trustee may
treat the Person in whose name this Note is registered as the owner hereof for all purposes, whether or not this Note be overdue, and neither the Company, the Trustee nor any such agent shall be affected by notice to the contrary. 

This Note shall be governed by and construed in accordance with the law of the State of New York (without regard to conflicts of laws
principles thereof). 
 Customary abbreviations may be used in the name of a Holder or an assignee, such as TEN COM (=tenants in common),
TEN ENT (=tenants by the entireties), JT TEN (=joint tenants with right of survivorship and not as tenants in common), CUST (=custodian), and U/G/M/A (=Uniform Gift to Minors Act). 

  
 4 

 All undefined terms (whether or not capitalized) used in this Note which are defined in the
Indenture shall have the meanings assigned to them in the Indenture. 

  
 5 

 ASSIGNMENT FORM 

To assign this Note, fill in the form below: 

(I) or (we) assign and transfer this Note to 
  

 
 (Insert assignee’s soc. sec. or
tax I.D. no.) 
  
  

 
  
  

 
  

 
 (Print or type assignee’s name,
address and zip code) 
 and irrevocably appoint
                                         
                                         
                                         
                                         
           
 to transfer this Note on the books of the Company. The agent may substitute another to act
for him. 
  
  

Date:
                                         
                    
  

			
	Your Signature:	 	  

		 	(Sign exactly as your name(s) appear(s) on the face of this Note)

 Signature Guarantee* 
  

 
  

	*	NOTICE: The signature must be guaranteed by an institution that is a member of one of the following recognized signature guarantee programs: (i) The Securities Transfer Agent Medallion Program (STAMP);
(ii) The New York Stock Exchange Medallion Program (MNSP); (iii) The Stock Exchange Medallion Program (SEMP); or (iv) such other guarantee program acceptable to the Trustee. 

  
 6 

 SCHEDULE OF EXCHANGES OF INTERESTS IN THE GLOBAL NOTE 

The initial outstanding principal amount of this Global Note is $            . The
following exchanges of an interest in this Global Note for an interest in another Global Note or for a Definitive Note, or exchanges of an interest in another Global Note or Definitive Notes for an interest in this Global Note, have been made: 

 

									
	 Date of Exchange
	  	Amount of
Decrease in
Principal Amount
of this Global
Note	  	Amount of
Increase in
Principal Amount
of this Global
Note	  	Principal Amount
of this Global
Note Following
Such Decrease
(or Increase)	  	Signature of
Authorized
Officer of
Trustee or
Security
Custodian
		  		  		  		  	

  
 7

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