Document:

First Amended and Restated Depositary Trust Agreement

 Exhibit 4.1 
 EXECUTION VERSION 
 BARCLAYS GLOBAL INVESTORS, N.A., 
 as Initial Sponsor 
 BARCLAYS GLOBAL INVESTORS
INTERNATIONAL INC, 
 as Sponsor 
 and 
 THE BANK OF NEW YORK, 
 as Trustee 
  

 First Amended and Restated Depositary Trust Agreement 
 iShares COMEX Gold Trust 
  

 Dated as of February 6, 2007

 TABLE OF CONTENTS 
  

					
	 	  	 	  	Page
	 FIRST AMENDED AND RESTATED DEPOSITARY TRUST AGREEMENT
	  	1
			
	 ARTICLE 1
	  	DEFINITIONS AND RULES OF CONSTRUCTION	  	1
			
	 Section 1.1.
	  	 Definitions
	  	1
			
	 Section 1.2.
	  	 Rules of Construction
	  	4
			
	 ARTICLE 2
	  	CREATION AND DECLARATION OF TRUSTS; FORM OF CERTIFICATES; DEPOSIT OF GOLD; DELIVERY, REGISTRATION OF TRANSFER AND SURRENDER OF SHARES	  	5
			
	 Section 2.1.
	  	 Creation and Declaration of Trust; Business of the Trust
	  	5
			
	 Section 2.2.
	  	 Form of Certificates; Book-Entry System; Transferability of Shares
	  	5
			
	 Section 2.3.
	  	 Deposit of Gold
	  	6
			
	 Section 2.4.
	  	 Delivery of Shares
	  	7
			
	 Section 2.5.
	  	 Registration and Registration of Transfer of Shares; Combination and Split-up of Certificates
	  	7
			
	 Section 2.6.
	  	 Surrender of Shares and Withdrawal of Trust Property
	  	8
			
	 Section 2.7.
	  	 Limitations on Delivery, Registration of Transfer and Surrender of Shares
	  	9
			
	 Section 2.8.
	  	 Lost Certificates, Etc.
	  	9
			
	 Section 2.9.
	  	 Cancellation and Destruction of Surrendered Certificates
	  	9
			
	 Section 2.10.
	  	 Splits and Reverse Splits of Shares
	  	9
			
	 ARTICLE 3
	  	CERTAIN OBLIGATIONS OF REGISTERED OWNERS OF SHARES	  	10
			
	 Section 3.1.
	  	 Liability of Registered Owner for Taxes and Other Governmental Charges
	  	10
			
	 Section 3.2.
	  	 Warranties on Deposit of Gold
	  	10
			
	 ARTICLE 4
	  	ADMINISTRATION OF THE TRUST	  	10
			
	 Section 4.1.
	  	 Evaluation of Gold
	  	10
			
	 Section 4.2.
	  	 Responsibility of the Trustee for Evaluations
	  	10
			
	 Section 4.3.
	  	 Trust Evaluation
	  	11
			
	 Section 4.4.
	  	 Cash Distributions
	  	11
			
	 Section 4.5.
	  	 Other Distributions
	  	11
			
	 Section 4.6.
	  	 Fixing of Record Date
	  	12
			
	 Section 4.7.
	  	 Payment of Expenses; Gold Sales
	  	12
			
	 Section 4.8.
	  	 Statements and Reports
	  	12
			
	 Section 4.9.
	  	 Further Provisions for Gold Sales
	  	13
			
	 Section 4.10.
	  	 Counsel
	  	13
			
	 Section 4.11.
	  	 Grantor Trust
	  	13

  

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 TABLE OF CONTENTS 
 (continued) 
  

					
	 	  	 	  	Page
	 ARTICLE 5
	  	THE TRUSTEE AND THE SPONSOR	  	13
			
	 Section 5.1.
	  	 Maintenance of Office and Transfer Books by the Trustee
	  	13
			
	 Section 5.2.
	  	 Prevention or Delay in Performance by the Sponsor or the Trustee
	  	14
			
	 Section 5.3.
	  	 Obligations of the Sponsor and the Trustee
	  	14
			
	 Section 5.4.
	  	 Resignation or Removal of the Trustee; Appointment of Successor Trustee
	  	15
			
	 Section 5.5.
	  	 The Custodian
	  	16
			
	 Section 5.6.
	  	 Indemnification
	  	16
			
	 Section 5.7.
	  	 Charges of Trustee
	  	18
			
	 Section 5.8.
	  	 Charges of Sponsor
	  	18
			
	 Section 5.9.
	  	 Retention of Trust Documents
	  	19
			
	 Section 5.10.
	  	 Federal Securities Law Filings
	  	19
			
	 Section 5.11.
	  	 Prospectus Delivery
	  	19
			
	 Section 5.12.
	  	 Discretionary Actions by Trustee; Consultation
	  	20
			
	 ARTICLE 6
	  	AMENDMENT AND TERMINATION	  	20
			
	 Section 6.1.
	  	 Amendment
	  	20
			
	 Section 6.2.
	  	 Termination
	  	20
			
	 ARTICLE 7
	  	MISCELLANEOUS	  	22
			
	 Section 7.1.
	  	 Counterparts
	  	22
			
	 Section 7.2.
	  	 Third-Party Beneficiaries
	  	22
			
	 Section 7.3.
	  	 Severability
	  	22
			
	 Section 7.4.
	  	 Registered Owners, Beneficial Owners and Depositors as Parties; Binding Effect
	  	22
			
	 Section 7.5.
	  	 Notices
	  	22
			
	 Section 7.6.
	  	 Agent for Service; Submission to Jurisdiction
	  	23
			
	 Section 7.7.
	  	 Governing Law
	  	23
			
	 Section 7.8.
	  	 Effective Date
	  	24
			
	 EXHIBIT A
	  	FORM OF CERTIFICATE EVIDENCING SHARES	  	

  

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 FIRST AMENDED AND RESTATED DEPOSITARY TRUST AGREEMENT 
 THIS FIRST AMENDED AND RESTATED DEPOSITARY TRUST AGREEMENT dated as of February 6, 2007, among BARCLAYS GLOBAL INVESTORS, N.A., a national banking
association, as the initial sponsor, BARCLAYS GLOBAL INVESTORS INTERNATIONAL INC., a Delaware corporation, as the sponsor, THE BANK OF NEW YORK, a New York banking corporation, as trustee, all Registered Owners and Beneficial Owners from time to
time of iShares COMEX Gold Trust Shares issued hereunder and all Depositors. 
 WITNESSETH: 
 WHEREAS the “iShares COMEX Gold Trust”, a trust governed by the laws of the State of New York, was created pursuant to the Depositary Trust
Agreement dated as of January 19, 2005 executed by the Initial Sponsor and the Trustee (the “Original Depositary Trust Agreement”); and 
 WHEREAS the Original Depositary Trust Agreement was amended on March 10, 2006 to address certain matters regarding to the Trust’s internal control over financial reporting; and 
 WHEREAS the parties hereto wish to amend and restate the Original Depositary Trust Agreement to substitute BARCLAYS GLOBAL INVESTORS INTERNATIONAL INC.
in lieu of BARCLAYS GLOBAL INVESTORS, N.A. as the sponsor of the Trust and to consolidate into one document the Original Depositary Trust Agreement and the amendment referred to above; 
 NOW, THEREFORE, in consideration of the premises and of the mutual agreements herein contained, the parties hereto hereby agree as follows: 

ARTICLE 1 
 DEFINITIONS AND RULES
OF CONSTRUCTION 
 Section 1.1. Definitions. Except as otherwise specified in this First Amended and Restated Depositary Trust
Agreement or as the context may otherwise require, the following terms have the respective meanings set forth below for all purposes of this First Amended and Restated Depositary Trust Agreement. 
 “Agreement” means this First Amended and Restated Depositary Trust Agreement, as amended or supplemented in accordance with its terms.

 “Authorized Participant” means a Person that, at the time of submitting a Purchase Order or a Redemption Order (i) is a
registered broker-dealer, (ii) is a DTC Participant or an Indirect Participant and (iii) has in effect a valid Authorized Participant Agreement. 
 “Authorized Participant Agreement” means an agreement among the Trustee, the Sponsor and an Authorized Participant that authorizes the Authorized Participant to submit Purchase Orders and Redemption Orders
under this Agreement. 
 “Basket” means 50,000 Shares, except that the Trustee, in consultation with the Sponsor, may from time to
time increase or decrease the number of Shares comprising a Basket. 

 “Basket Gold Amount” is the amount of Gold that must be deposited for issuance of one Basket or
that is deliverable upon Surrender of one Basket. The Basket Gold Amount will be determined as provided in Section 2.3(b). 
 “Beneficial Owner” means any Person owning a beneficial interest in any Shares. 
 “Business Day” means any day
other than (i) a Saturday or Sunday or (ii) a day on which the Exchange is not open for regular trading. 
 “Certificate”
means a certificate that is executed and delivered by the Trustee under this Agreement evidencing Shares. 
 “CFTC” means the
Commodity Futures Trading Commission or any successor governmental agency in the United States. 
 “COMEX” means Commodity
Exchange, Inc., a subsidiary of New York Mercantile Exchange, Inc. 
 “COMEX Relevant Price” means, as of any day, (i) such
day’s COMEX settlement price for the spot month gold futures contract; or (ii) such other price regularly announced by COMEX, with the approval of, or following regulatory notification to, the CFTC, as the Sponsor, in consultation with the
Trustee, may determine fairly represents the commercial value of Gold held by the Trust. 
 “COMEX Rules” means the rules of the
COMEX applicable to trading, delivery specifications, and settlement of gold futures contracts. 
 “Commission” means the
Securities and Exchange Commission of the United States or any successor governmental agency in the United States. 
 “Corporate Trust
Office” means the office of the Trustee at which its depositary receipt business is administered which, at the date of this Agreement, is located at 101 Barclay Street, New York, New York 10286. 
 “Custodian” means The Bank of Nova Scotia, as agent of the Trust for the purposes of this Agreement, and any substitute or additional Custodian
appointed by the Trustee as provided in Section 5.5. 
 “Deliver” means (a) when used with respect to Gold,
(i) physically delivering that Gold to, or making that Gold available for collection by, the Person entitled to the delivery at the specified location, (ii) obtaining evidence that ownership of that Gold has been transferred to, and the
Gold is being duly held by a custodian for the account of, the Person entitled to that delivery or (iii) obtaining an acknowledgement from a custodian of a credit of Gold on an Unallocated Basis to the account of the Person entitled to that
delivery and (b) when used with respect to Shares, either (i) one or more book-entry transfers of those Shares to an account or accounts at DTC designated by the Person entitled to such delivery for further credit as specified by that
Person or (ii) in the circumstances specified in Section 2.2(e), execution and delivery at the Corporate Trust Office of the Trustee of one or more Certificates evidencing those Shares. 
 “Depositor” means any Authorized Participant that deposits Gold into the Trust, either for its own account or on behalf of another Person that
is the owner or beneficial owner of that Gold. 
  

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 “DTC” means The Depository Trust Company, its nominees and their respective successors.

 “DTC Participant” means a Person that, pursuant to DTC’s governing documents, is entitled to deposit securities with DTC in
its capacity as a “participant”. 
 “Exchange” means the exchange or other securities market on which the Shares are
principally traded, as specified from time to time by the Sponsor. 
 “Exchange Act” means the United States Securities Exchange
Act of 1934, as amended. 
 “Fine Ounce” means an Ounce of 100% pure gold. The number of Fine Ounces in a gold bar may be
calculated by multiplying the gross weight in Ounces by the fineness, expressed as a fraction of the fine metal content in parts per 1000, in accordance with the COMEX Rules or the “good delivery” rules of the London Bullion Market
Association. 
 “Gold” means (a) gold that (i) would be eligible for delivery in settlement of a COMEX gold futures
contract in accordance with COMEX Rules or (ii) meets the requirements of “good delivery” under the rules of the London Bullion Market Association and (b) credit to an account on an Unallocated Basis representing the right to
receive gold that meets the requirements of clause (i) or (ii) of part (a) of this definition. 
 “Indirect
Participant” means a Person that, by clearing securities through, or maintaining a custodial relationship with, a DTC Participant, has access to the DTC clearing system. 
 “Initial Sponsor” means Barclays Global Investors, N.A., in its capacity as sponsor of the Trust from the date of the Original Depositary Trust
Agreement to the effective date of this Agreement. 
 “Internal Control Over Financial Reporting” has the meaning ascribed to such
term in Rules 13a-15(f) and 15d-15(f) adopted by the Commission under the Exchange Act. 
 “Net Asset Value” means the net value of
the Trust determined under Section 4.3. 
 “Net Asset Value per Share” means the value of a Share determined under
Section 4.3. 
 “Order Cutoff Time” means, with respect to any Business Day, (i) 4:00 p.m. (New York time) on such
Business Day or (ii) another time agreed to by the Sponsor and the Trustee and of which Registered Owners and all existing Authorized Participants have been notified by the Trustee. 
 “Order Date” means, with respect to a Purchase Order, the date specified in Section 2.3(a) and, with respect to a Redemption Order, the
date specified in Section 2.6(a). 
 “Original Depositary Trust Agreement” has the meaning ascribed to the term in the first
recital hereto. 
 “Ounce” means a troy ounce, equal to 1.0971428 ounces avoirdupois. 
 “Person” means any natural person or any limited liability company, corporation, partnership, joint venture, association, joint stock company,
trust, unincorporated organization or government or any agency or political subdivision thereof. 
 “Purchase Order” is defined in
Section 2.3. 
  

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 “Qualified Bank” means a bank, trust company, corporation or national banking association
organized and doing business under the laws of the United States or any State of the United States that is authorized under those laws to exercise corporate trust powers and that (i) is a DTC Participant or a participant in such other
securities depository as is then acting with respect to the Shares, (ii) unless counsel to the Sponsor, the appointment of which is acceptable to the Trustee, determines that the following requirement is not necessary for the exception under
Section 408(m) of the Internal Revenue Code of 1986, as amended (the “Code”), to apply, is a banking institution as defined in Section 408(n) of the Code and (iii) had, as of the date of its most recent annual financial
statements, an aggregate capital, surplus and undivided profits of at least $150,000,000. 
 “Redemption Order” is defined in
Section 2.6. 
 “Registered Owner” means the Person in whose name Shares are registered on the books of the Trustee maintained
for that purpose. 
 “Registrar” means any bank or trust company that is appointed to register Shares and transfers of Shares as
herein provided. 
 “Shares” means iShares COMEX Gold Trust Shares created under the Original Depositary Trust Agreement or this
Agreement, each representing a fractional undivided ownership interest in the net assets of the Trust, which interest shall equal a fraction, the numerator of which is 1 and the denominator of which is the total number of Shares outstanding.

 “Sponsor” means, from the date of the Original Depositary Trust Agreement to the effective date of this Agreement, the Initial
Sponsor; and beginning on the effective date of this Agreement, Barclays Global Investors International Inc., a Delaware corporation, or its successor. 
 “Surrender” means, when used with respect to Shares, (a) one or more book-entry transfers of Shares to the DTC account of the Trustee or (b) surrender to the Trustee at its Corporate Trust Office
of one or more Certificates evidencing Shares. 
 “Trust” means the iShares COMEX Gold Trust, the trust entity governed by this
Agreement. 
 “Trustee” means The Bank of New York, a New York banking corporation, in its capacity as trustee under the Original
Depositary Trust Agreement and this Agreement, or any successor as trustee under this Agreement. 
 “Trust Property” means the Gold
deposited under the Original Depositary Trust Agreement or this Agreement and any cash or other property that is received by the Trustee in respect of Trust Property and that is being held under this Agreement. 
 “Unallocated Basis” means that the Person in whose name Gold is so held is entitled to receive delivery of Gold standing to the credit of that
Person’s account, but that Person has no ownership interest in any particular Gold that the custodian maintaining that account owns or holds. 
 Section 1.2. Rules of Construction. Unless the context otherwise requires: 
 (i) a term has the meaning
assigned to it; 
 (ii) an accounting term not otherwise defined has the meaning assigned to it in accordance with generally
accepted accounting principles as in effect in the United States; 
  

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 (iii) “or” is not exclusive; 
 (iv) the words “herein”, “hereof”, “hereunder” and other words of similar import refer to this Agreement as
a whole and not to any particular Article, Section or other subdivision; 
 (v) “including” means including without
limitation; and 
 (vi) words in the singular include the plural and words in the plural include the singular. 
 ARTICLE 2 
 CREATION AND DECLARATION
OF TRUSTS; FORM OF CERTIFICATES; DEPOSIT OF 
 GOLD; DELIVERY, REGISTRATION OF TRANSFER AND SURRENDER OF SHARES 
 Section 2.1. Creation and Declaration of Trust; Business of the Trust. 
 (a) The Trustee acknowledges that it received an initial deposit of Gold under and in accordance with the Original Depositary Trust Agreement from
Barclays Capital Inc. The Trustee declares that it holds and will hold all Trust Property as trustee for the benefit of the Registered Owners for the purposes of, and subject to and limited by the terms and conditions set forth in, this Agreement.
The trust governed by this Agreement shall be known as the “iShares COMEX Gold Trust”. 
 (b) The Trust shall not engage in any
business or activities other than those authorized by this Agreement or incidental and necessary to carry out the duties and responsibilities set forth in this Agreement. Other than issuance of the Shares, the Trust shall not issue or sell any
certificates or other obligations or, except as provided in this Agreement, otherwise incur, assume or guarantee any indebtedness for money borrowed. 
 Section 2.2. Form of Certificates; Book-Entry System; Transferability of Shares. 
 (a) The
Certificates evidencing Shares shall be substantially in the form set forth in Exhibit A annexed to this Agreement, with appropriate insertions, modifications and omissions, as hereinafter provided. No Shares shall be entitled to any benefits
under this Agreement or be valid or obligatory for any purpose unless a Certificate evidencing those Shares has been executed by the Trustee by the manual or facsimile signature of a duly authorized signatory of the Trustee and, if a Registrar
(other than the Trustee) for the Shares shall have been appointed, countersigned by the manual signature of a duly authorized officer of the Registrar. The Trustee shall maintain books on which the registered ownership of each Share and transfers,
if any, of such registered ownership shall be recorded. Certificates evidencing Shares bearing the manual or facsimile signature of a duly authorized signatory of the Trustee and the manual signature of a duly authorized officer of the Registrar, if
applicable, who was, at the time such Certificates were executed, a proper signatory of the Trustee or Registrar, if applicable, shall bind the Trustee, notwithstanding that such signatory has ceased to hold such office prior to the delivery of such
Certificates. 
 (b) The Certificates may be endorsed with or have incorporated in the text thereof such legends or recitals or modifications
not inconsistent with the provisions of this Agreement as may be required by the Trustee or required to comply with any applicable law or regulations thereunder or with the rules and regulations of any securities exchange upon which Shares may be
listed or to conform with any usage with respect thereto, or to indicate any special limitations or restrictions to which the Shares evidenced by a particular Certificate are subject. 
  

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 (c) The Sponsor and the Trustee have applied to DTC for acceptance of the Shares in its book-entry
settlement system. Shares deposited with DTC shall be evidenced by one or more global Certificates which shall be registered in the name of Cede & Co., as nominee for DTC, and shall bear the following legend: 
 UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION (“DTC”), TO THE
AGENT AUTHORIZED BY THE ISSUER 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. 
 (d) So long as the Shares are eligible for book-entry settlement with DTC and such
settlement is available, unless otherwise required by law, notwithstanding the provisions of Sections 2.2(a) and (b), all Shares shall be evidenced by one or more global Certificates the Registered Owner of which is DTC or a nominee of DTC and
(i) no Beneficial Owner of Shares will be entitled to receive a separate Certificate evidencing those Shares, (ii) the interest of a Beneficial Owner in Shares represented by a global Certificate will be shown only on, and transfer of that
interest will be effected only through, records maintained by DTC or a DTC Participant or Indirect Participant through which the Beneficial Owner holds that interest and (iii) the rights of a Beneficial Owner with respect to Shares represented
by a global Certificate will be exercised only to the extent allowed by, and in compliance with, the arrangements in effect between such Beneficial Owner and DTC or the DTC Participant or Indirect Participant through which that Beneficial Owner
holds an interest in Shares. 
 (e) If, at any time when Shares are evidenced by a global Certificate, DTC ceases to make its book-entry
settlement system available for such Shares, the Trustee shall execute and deliver separate Certificates evidencing Shares to the DTC Participants entitled thereto, with such additions, deletions and modifications to this Agreement and to the form
of Certificate evidencing Shares as the Sponsor and the Trustee may agree. 
 (f) Title to a Certificate evidencing Shares (and to the Shares
evidenced thereby), when properly endorsed or accompanied by proper instruments of transfer, shall be transferable by delivery with the same effect as in the case of a negotiable instrument under the laws of New York; provided,
however, that the Trustee, notwithstanding any notice to the contrary, may treat the Registered Owner of Shares as the absolute owner thereof for the purpose of determining the person entitled to any distribution or to any notice provided for
in this Agreement and for all other purposes. 
 Section 2.3. Deposit of Gold. 
 (a) The issuance and Delivery of Shares will take place only in integral numbers of Baskets and in compliance with the provisions of this Agreement, as
supplemented by any procedures attached to an applicable Authorized Participant Agreement, to the extent those procedures are consistent with this Agreement. Authorized Participants wishing to acquire from the Trustee one or more Baskets must place

  

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an order with the Trustee (a “Purchase Order”) no later than 4:00 p.m. (New York time) on any Business Day. Purchase Orders received by the
Trustee prior to the Order Cutoff Time on a Business Day on which a COMEX Relevant Price is announced will have that Business Day as the Order Date. Purchase Orders received by the Trustee on or after the Order Cutoff Time on a Business Day, or on a
Business Day on which COMEX does not announce a COMEX Relevant Price, will have as their Order Date the next Business Day on which COMEX announces a COMEX Relevant Price. As consideration for each Basket acquired, Authorized Participants must
deposit with the Custodian the Basket Gold Amount determined by the Trustee on the Order Date of the corresponding Purchase Order. Gold must be Delivered to the Custodian in the form of Gold bars only, except that an amount of Gold not exceeding 430
Ounces may be Delivered to the Custodian on an Unallocated Basis. 
 (b) The Trustee shall determine the Basket Gold Amount for each Business
Day. The initial “Basket Gold Amount” was 5,000 Fine Ounces. After the initial deposit, the “Basket Gold Amount” shall be an amount of Gold equal to the result obtained by dividing the Net Asset Value per Basket on the date
on which the determination is being made by the price used by the Trustee to evaluate Gold held by the Trust on such date in compliance with Section 4.1. For purposes of this computation, “Net Asset Value per Basket” is the result
obtained by multiplying (x) the Net Asset Value per Share determined in compliance with Section 4.3, by (y) the number of Shares which constitute a Basket on the date on which the determination is being made. Fractions of a Fine Ounce
of Gold included in the Basket Gold Amount smaller than .001 Fine Ounce shall be disregarded. The Sponsor intends to publish, or may designate other persons to publish, for each Business Day, the Basket Gold Amount. 
 (c) If the Trust Property includes money or any property other than Gold, no deposits of Gold will be accepted until after a record date for distribution
of that money or property, or proceeds of that property, has passed. 
 (d) All deposited Gold shall be owned by the Trust and held for the
Trust by the Custodian. The Trustee shall require the Custodian to agree that the Custodian will use reasonable efforts to minimize the amount of Gold held for the Trust on an Unallocated Basis at all times and the Custodian must allocate ownership
of gold bars to the Trust such that no more than 430 Fine Ounces of Gold are held on an Unallocated Basis for the Trust at the end of each business day of the Custodian. Cash and any other assets of the Trust shall be held by the Trustee at
such place and in such manner as the Trustee shall determine. 
 Section 2.4. Delivery of Shares. Upon receipt by the Trustee of any
deposit in accordance with Section 2.3, together with a Purchase Order and the other documents required as above specified, if any, and a confirmation from the Custodian that the Gold Deposit Amount has been Delivered to the Custodian for each
Basket of Shares and the Custodian is holding that Gold for the account of the Trust, the Trustee, subject to the terms and conditions of this Agreement, shall Deliver to the Depositor the number of Baskets of Shares issuable in respect of such
deposit as requested in the corresponding Purchase Order, but only upon payment to the Trustee of the fees and expenses of the Trustee as provided in Section 5.7 and of all taxes and governmental charges and fees payable in connection with such
deposit, the transfer of the Gold and the issuance and Delivery of the Shares. 
 Section 2.5. Registration and Registration of Transfer
of Shares; Combination and Split-up of Certificates. 
 (a) The Trustee shall keep or cause to be kept a register of Registered Owners of
Shares and shall provide for the registration of Shares and the registration of transfers of Shares. 
  

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 (b) The Trustee, subject to the terms and conditions of this Agreement, shall register transfers of
ownership of Shares on its transfer books from time to time, upon any Surrender of a Certificate evidencing such Shares, by the Registered Owner in person or by a duly authorized attorney, properly endorsed or accompanied by proper instruments of
transfer, and duly stamped as may be required by the laws of the State of New York and of the United States of America. Thereupon the Trustee shall execute a new Certificate or Certificates evidencing such Shares, and deliver the same to or upon the
order of the Person entitled thereto. 
 (c) The Trustee, subject to the terms and conditions of this Agreement, shall, upon Surrender of a
Certificate or Certificates evidencing Shares for the purposes of effecting a split-up or combination of that Certificate or Certificates, execute and deliver one or more new Certificates evidencing those Shares. 
 (d) The Trustee may, with the written approval of the Sponsor (which approval shall not be unreasonably withheld), appoint one or more co-transfer agents
for the purpose of effecting registration of transfers of Shares and combinations and split-ups of Certificates at designated transfer offices on behalf of the Trustee. In carrying out its functions, a co-transfer agent may require evidence of
authority and compliance with applicable laws and other requirements by Registered Owners or Persons entitled to Shares and will be entitled to protection and indemnity to the same extent as the Trustee. 
 Section 2.6. Surrender of Shares and Withdrawal of Trust Property. 
 (a) Upon Surrender of any integral number of Baskets for the purpose of withdrawal of the amount of Trust Property represented thereby, and upon payment of the fee of the Trustee in connection with the Surrender of
Shares as provided in Section 5.7 and payment of all taxes and charges payable in connection with such Surrender and withdrawal of Trust Property, and subject to the terms and conditions of this Agreement, an Authorized Participant acting on
authority of the Registered Owner of those Shares will be entitled to Delivery, in accordance with the provisions of this Agreement, as supplemented by any procedures attached to an applicable Authorized Participant Agreement, to the extent those
procedures are consistent with this Agreement, of the amount of Trust Property at the time represented by such Baskets, including the Basket Gold Amounts corresponding to such Baskets on the applicable Order Date (determined as provided below).
Authorized Participants wishing to redeem one or more Baskets must place an order with the Trustee (a “Redemption Order”) no later than 4:00 p.m. (New York time) on any Business Day. Redemption Orders received by the Trustee prior to
the Order Cutoff Time on a Business Day on which a COMEX Relevant Price is announced will have that Business Day as the Order Date. Redemption Orders received by the Trustee on or after the Order Cutoff Time on any Business Day, or on a Business Day
on which COMEX does not announce a COMEX Relevant Price, will have as their Order Date the next Business Day on which COMEX announces a COMEX Relevant Price. Unless otherwise agreed to by the Custodian, Gold will be Delivered by the Custodian in the
form of Gold bars only, except that an amount of Gold not exceeding 430 Ounces may be Delivered by the Custodian on an Unallocated Basis. While a redeeming Authorized Participant will be entitled to express a preference as to the city where it
would like to have the Basket Gold Amount delivered, the Trustee, in consultation with the Custodian and taking into account the best interests of the Trust and the Registered Owners, will have final authority to decide where such Delivery will take
place. 
 (b) The Trustee may require that a Certificate evidencing Shares Surrendered for the purpose of withdrawal is properly endorsed in
blank or accompanied by proper instruments of transfer in blank. Upon a Surrender of an integral number of Baskets of Shares and satisfaction of all the conditions for withdrawal of Trust Property, the Trustee shall instruct the Custodian to
Deliver, at the Custodian’s office or at another location at which Trust Property is then being held, to or to the order of the Surrendering Authorized Participant the amount of Gold represented by the Surrendered Baskets of Shares and the
Trustee shall pay or deliver to or to the order of the Surrendering Authorized Participant the amount of 

  

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any other Trust Property represented by the Surrendered Baskets of Shares. Any Delivery of Gold other than at the office of the Custodian or a sub-custodian
designated by the Custodian will be at the expense and risk of the Authorized Participant. The Trustee will not be responsible to any Person if it is not practical for the Custodian to make Delivery of Gold in the city requested or if the Trustee
determines to effect Delivery in a city other than the city requested by the Surrendering Authorized Participant. The Trustee is not required to effect any physical movement of Gold from one custody location to another to meet any request by a
Surrendering Authorized Participant as to where Gold will be Delivered. 
 Section 2.7. Limitations on Delivery, Registration of Transfer
and Surrender of Shares. 
 (a) As a condition precedent to the Delivery, registration of transfer, split-up, combination or Surrender of
any Shares or withdrawal of any Trust Property, the Trustee or Registrar may require payment from the Depositor or the Authorized Participant Surrendering the Shares of a sum sufficient to reimburse it for any tax or other governmental charge and
any stock transfer or registration fee with respect thereto (including any such tax or charge and fee with respect to any securities being withdrawn) and payment of any applicable fees as herein provided, may require the production of proof
satisfactory to it as to the identity and genuineness of any signature and may also require compliance with any regulations the Trustee may establish consistent with the provisions of this Agreement, including, without limitation, this
Section 2.7. 
 (b) The Delivery of Shares against deposits of Gold and the registration of transfer of Shares may be suspended
generally, or refused with respect to particular requested Deliveries, during any period when the transfer books of the Trustee are closed or if any such action is deemed necessary or advisable by the Trustee or the Sponsor for any reason at any
time or from time to time. Except as otherwise provided elsewhere in this Agreement, the Surrender of Shares for purposes of withdrawing Trust Property may be suspended only (i) during any period in which regular trading on the Exchange or the
COMEX is suspended or restricted or one or both exchanges are closed (other than scheduled holiday or weekend closings), or (ii) during an emergency as a result of which Delivery, disposal or evaluation of Gold is not reasonably practicable.

 Section 2.8. Lost Certificates, Etc. The Trustee shall execute and deliver a new Certificate of like tenor in exchange and
substitution for a mutilated Certificate upon cancellation thereof, or in lieu of and in substitution for a destroyed, lost or stolen Certificate if the Registered Owner thereof has (a) filed with the Trustee (i) a request for such
execution and delivery before the Trustee has notice that the Shares evidenced by the Certificate have been acquired by a protected purchaser and (ii) a sufficient indemnity bond, and (b) satisfied any other reasonable requirements imposed
by the Trustee. 
 Section 2.9. Cancellation and Destruction of Surrendered Certificates. All Certificates Surrendered to the Trustee
shall be canceled by the Trustee. The Trustee is authorized to destroy certificates so canceled. 
 Section 2.10. Splits and Reverse
Splits of Shares. If requested in writing by the Sponsor, the Trustee shall effect a split or reverse split of the Shares as of a record date set by the Trustee in accordance with procedures determined by the Trustee. 
 The Trustee is not required to distribute any fraction of a Share in connection with a split or reverse split of the Shares. The Trustee may sell the
aggregated fractions of Shares that would otherwise be distributed in a split or reverse split of the Shares or the amount of Trust Property that would be represented by those Shares and distribute the net proceeds of those Shares or that Trust
Property to the Record Owners entitled to them. 
  

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 The amount of Trust Property represented by each Share and the Basket Gold Amount shall be adjusted as
appropriate as of the open of business on the Business Day following the record date for a split or reverse split of the Shares. 
 ARTICLE
3 
 CERTAIN OBLIGATIONS OF REGISTERED OWNERS OF SHARES 
 Section 3.1. Liability of Registered Owner for Taxes and Other Governmental Charges. If any tax or other governmental charge shall become payable
by the Trustee with respect to any transfer or redemption of Shares, such tax or other governmental charge shall be payable by the Registered Owner of such Shares to the Trustee. The Trustee shall refuse to effect any registration of transfer of
such Shares or any withdrawal of Trust Property represented by such Shares until such payment is made, and may withhold any distributions, or may sell for the account of the Registered Owner thereof Trust Property or Shares, and may apply such
distributions or the proceeds of any such sale in payment of such tax or other governmental charge, and the Registered Owner of such Shares shall remain liable for any deficiency. The Trustee shall distribute any net proceeds of a sale made under
the preceding sentence that remain, after payment of the tax or other governmental charge, to the Registered Owners entitled thereto as in the case of a distribution in cash. 
 Section 3.2. Warranties on Deposit of Gold. Every Person depositing Gold under this Agreement shall be deemed thereby to represent and warrant
that the Gold meets the requirements to be Gold and contains the required number of Fine Ounces, that the person making such deposit is duly authorized to do so and that at the time of delivery, the Gold is free and clear of any lien, pledge,
encumbrance, right, charge or claim (other than the rights created by this Agreement). All representations and warranties deemed made under this Section 3.3 shall survive the deposit of Gold, Delivery or Surrender of Shares or termination of
this Agreement. 
 ARTICLE 4 
 ADMINISTRATION OF THE TRUST 
 Section 4.1. Evaluation of Gold. As promptly as practicable after 4:00 p.m. (New
York time), on each Business Day, the Trustee shall determine the value of the Gold held or receivable by the Trust on the basis of the COMEX Relevant Price for that day. If the COMEX does not announce a COMEX Relevant Price on a Business Day, the
Trustee shall determine the value of the Gold held or receivable by the Trust for that day on the basis of the most recently announced COMEX Relevant Price. However, if the Trustee and the Sponsor determine that the price specified in the two
preceding sentences is inappropriate as a basis for evaluation, they shall identify an alternative basis for evaluation to be employed by the Trustee. Gold deliverable under a Purchase Order shall be included in the evaluation beginning on the Order
Date. Gold deliverable under a Redemption Order shall not be included in the evaluation on and after the Order Date. Neither the Trustee nor the Sponsor shall be liable to any Person for the determination that the most recently announced COMEX
Relevant Price is not appropriate as a basis for evaluation of the Gold held or receivable by the Trust or for any determination as to the alternative basis for evaluation, provided that such determination is made in good faith. If the Sponsor
determines that COMEX Relevant Price will have the meaning set forth in part (ii) of the definition of that term, the Trustee shall give notice to the Registered Owners, and the Trustee shall not apply the new definition of COMEX Relevant Price
until 60 days after the date of that notice. 
 Section 4.2. Responsibility of the Trustee for Evaluations. The Sponsor,
Depositors, Registered Owners and Beneficial Owners may rely on any evaluation or determination of any amount 
  

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 made by the Trustee, and the Sponsor shall have no responsibility for the accuracy thereof. The determinations made by
the Trustee under this Agreement shall be made in good faith upon the basis of, and the Trustee shall not be liable for any errors contained in, information reasonably available to it. The Trustee shall be under no liability to the Sponsor, or to
Depositors, Registered Owners or Beneficial Owners, for errors in judgment; provided, however, that this provision shall not protect the Trustee against any liability to which it would otherwise be subject by reason of negligence or
bad faith in the performance of its duties. 
 Section 4.3. Trust Evaluation. 
 As promptly as practicable after completion of the evaluation required under Section 4.1 on each Business Day, the Trustee shall subtract all
accrued fees (other than the fees computed by reference to the value of the Trust or its assets), expenses and other liabilities of the Trust from the total value of the deposited Gold determined by the Trustee pursuant to Section 4.1 and all
other assets of the Trust. The resulting figure is the “Adjusted Net Asset Value” of the Trust. All fees computed by reference to the value of the Trust or its assets shall be calculated on the Adjusted Net Asset Value. The Trustee shall
subtract from the Adjusted Net Asset Value the amount of accrued fees so computed and the resulting figure is the “Net Asset Value” of the Trust. The Trustee shall also divide the Net Asset Value of the Trust by the number of Shares
outstanding as of the close of business on the date of the evaluation then being made, which figure is the “Net Asset Value per Share.” All fees, expenses and other liabilities of the Trust that are or will be incurred or accrued through
the close of business on a Business Day shall be included in the calculations required by this Section 4.3 for that Business Day. Shares deliverable under a Purchase Order shall be considered to be outstanding for purposes of this
Section 4.3 beginning on the Order Date. Shares deliverable under a Redemption Order shall not be considered to be outstanding for purposes of this Section 4.3 on and after the Order Date. 
 Adjusted Net Asset Value, Net Asset Value and Net Asset Value per Share shall be computed in accordance with generally accepted accounting principles in
the United States. 
 Section 4.4. Cash Distributions. Whenever the Trustee distributes any cash, the Trustee shall distribute the
amount available for the distribution to the Registered Owners entitled thereto, in proportion to the number of Shares held by them respectively; provided, however, that in the event that the Trustee shall be required to withhold and
does withhold from such cash an amount on account of taxes, the amount distributed to the Registered Owners shall be reduced accordingly. The Trustee shall distribute only such amount, however, as can be distributed without attributing to any
Registered Owner a fraction of one cent. Any such fractional amounts shall be rounded to the nearest whole cent and so distributed to Registered Owners entitled thereto. 
 Section 4.5. Other Distributions. Whenever the Trustee receives any property in respect of Trust Property other than cash proceeds of a sale of Trust Property (including any claim that accrues in favor of the
Trust on account of any loss of deposited Gold or other Trust Property), the Trustee shall cause the securities or other property received by it to be distributed to the Registered Owners entitled thereto, in proportion to the number of Shares held
by them respectively, after deduction or upon payment of the expenses of the Trustee, in any manner that the Trustee may deem lawful, equitable and feasible for accomplishing such distribution; provided, however, that if in the opinion
of the Trustee such distribution cannot be made proportionately among the Registered Owners entitled thereto, or if for any other reason (including, but not limited to, any requirement that the Trustee withhold an amount on account of taxes or other
governmental charges or that securities must be registered under the Securities Act of 1933 in order to be distributed to Registered Owners) the Trustee deems such distribution not to be lawful and feasible, the Trustee shall adopt such method as it
deems lawful, equitable and feasible for the purpose of effecting such distribution, after deduction or upon payment of the expenses of the Trustee, including, but not 

  

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limited to, the public or private sale of the securities or property thus received, or any part thereof, and the net proceeds of any such sale shall be
distributed by the Trustee to the Registered Owners entitled thereto as in the case of a distribution received in cash. 
 Section 4.6.
Fixing of Record Date. Whenever any distribution will be made, or whenever the Trustee receives notice of any solicitation of proxies or consents from Registered Owners, or whenever for any reason there is split, reverse split or other change
in the outstanding Shares, or whenever the Trustee shall find it necessary or convenient in respect of any matter, the Trustee, in consultation with the Sponsor, shall fix a record date for the determination of the Registered Owners who shall be
(i) entitled to receive such distribution or the net proceeds of the sale thereof, (ii) entitled to give such proxies or consents in respect of any such solicitation or (iii) entitled to act in respect of any other matter for which
the record date was set. 
 Section 4.7. Payment of Expenses; Gold Sales. 
 (a) The following charges are or may be accrued and paid by the Trust: 
 (1) the service fee payable to the Sponsor as set forth in Section 5.8; 
 (2) expenses of the Trust not assumed by the Sponsor pursuant to Section 5.3(g); 
 (3) taxes and other governmental charges; 
 (4) expenses and costs of any extraordinary services performed by the Trustee or the Sponsor on behalf of the Trust or action taken by the Trustee or the Sponsor to protect the Trust or the interests of Registered
Owners; and 
 (5) indemnification of the Sponsor as provided in Section 5.6(d). 
 The Trustee shall, when directed by the Sponsor, and, in the absence of such direction, may, in its discretion, sell Gold in such quantity and at such
times, as may be necessary to permit payment of expenses under this Agreement. The Trustee is authorized to sell Gold at such times and in the smallest amounts required to permit payment of expenses as they come due, it being the intention to avoid
or minimize the Trust’s holdings of assets other than Gold. Neither the Trustee nor the Sponsor shall have any liability for loss or depreciation resulting from sales of Gold so made. The Trustee shall not be liable or responsible in any way
for depreciation or loss incurred by reason of any sale made pursuant to the Sponsor’s direction or otherwise in accordance with this Section. 
 (b) If at any time and from time to time, the Trustee and Sponsor determine that the amount of cash included in the Trust Property exceeds the anticipated expenses of the Trust during the following month, the Trustee shall distribute the
excess to the Registered Owners under Section 4.4. 
 Section 4.8. Statements and Reports. 
 (a) After the end of each fiscal year and within the time period required by applicable laws, rules and regulations, at the Sponsor’s expense, the
Trustee shall send to the Registered Owners at the end of such fiscal year, an annual report of the Trust containing financial statements that will be prepared by the Trustee and audited by independent accountants designated by the Sponsor and such
other information as may be required by such laws, rules and regulations or otherwise, or which the Sponsor determines shall be included. The Trustee may distribute the annual report by any means acceptable to the Registered Owners. 
  

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 (b) The Trustee shall provide the Sponsor with such certifications, supporting documents and other
evidence regarding the Internal Control Over Financial Reporting established and maintained by the Trust, and used by the Trustee in connection with its preparation of the financial statements of the Trust, as may be reasonably necessary in order to
enable the Sponsor to prepare and file or furnish to the Commission any certifications regarding such matters which may be required to be included with the Trust’s periodic reports under the Exchange Act. 
 Section 4.9. Further Provisions for Gold Sales. In addition to selling Gold in accordance with Section 4.7, the Trustee shall sell Gold
whenever any one or more of the following conditions exist: 
 (a) the Sponsor has notified the Trustee that such sale is required by
applicable law or regulation; or 
 (b) this Agreement has been terminated and the Trust Property is to be liquidated in accordance with
Section 6.2. 
 Unless otherwise directed by the Sponsor, when selling Gold the Trustee shall endeavor to place orders with dealers
(which may include the Custodian) through which it may reasonably expect to obtain a favorable price and good execution of orders. 
 The
Trustee and the Sponsor shall not be liable or responsible in any way for depreciation or loss incurred by reason of any sale made pursuant to this Section 4.9. 
 Section 4.10. Counsel. The Sponsor may from time to time employ counsel to act on behalf of the Trust and perform any legal services in connection with the Gold and the Trust, including any legal matters
relating to the possible disposition or acquisition of any Gold. The fees and expenses of such counsel shall be paid by the Sponsor. 
 Section 4.11. Grantor Trust. Nothing in this Agreement, any agreement with a Custodian, or otherwise, shall be construed to give the Trustee the power to vary the investment of the Beneficial Registered Owners within the meaning of
Section 301.7701-4(c) under the Internal Revenue Code of 1986, as amended (the “Code”) or any similar or successor provision of the regulations under the Code, nor shall the Sponsor give the Trustee any direction that would vary the
investment of the Beneficial Owners. However, the Trustee shall not be liable to any Person for any failure of the Trust to qualify as a grantor trust under the Code or any comparable provision of the laws of any State or other jurisdiction where
that treatment is sought, except that this sentence shall not limit the Trustee’s responsibility for the administration of the Trust in accordance with this Agreement. 
 ARTICLE 5 
 THE TRUSTEE AND THE SPONSOR 
 Section 5.1. Maintenance of Office and Transfer Books by the Trustee. 
 (a) Until termination of this Agreement in accordance with its terms, the Trustee shall maintain facilities for the execution and Delivery, registration,
registration of transfers and Surrender of Shares in accordance with the provisions of this Agreement. 
 (b) The Trustee shall keep books
for the registration of Shares and registration of transfers of Shares which at all reasonable times shall be open for inspection by the Registered Owners. 
  

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 (c) The Trustee may, and at the reasonable written request of the Sponsor shall, close the transfer books
at any time or from time to time if such action is deemed necessary or advisable in the reasonable judgment of the Trustee or the Sponsor. 
 (d) If any Shares are listed on one or more stock exchanges in the United States, the Trustee shall act as Registrar or, with the written approval of the Sponsor (which approval shall not be unreasonably withheld), appoint a registrar or
one or more co-registrars for registry of such Shares in accordance with any requirements of such exchange or exchanges. 
 Section 5.2.
Prevention or Delay in Performance by the Sponsor or the Trustee. Neither the Sponsor nor the Trustee nor any of their respective directors, employees, agents or affiliates shall incur any liability to any Registered Owner, Beneficial Owner
or Depositor if, by reason of any provision of any present or future law or regulation of the United States or any other country, or of any governmental or regulatory authority or stock exchange, or by reason of any act of God or war or terrorism or
other circumstances beyond its control, the Sponsor or the Trustee is prevented or forbidden from, or would be subject to any civil or criminal penalty on account of, or is delayed in, doing or performing any act or thing which by the terms of this
Agreement it is provided shall be done or performed and accordingly the Sponsor or the Trustee does not do that thing or does that thing at a later time than would otherwise be required. The Sponsor and the Trustee will not incur any liability to
any Registered Owner or Beneficial Owner or Depositor by reason of any non-performance or delay in the performance of any act or thing which by the terms of this Agreement it is provided may be done or performed, or by reason of any exercise of, or
failure to exercise, any discretion provided for in this Agreement. 
 Section 5.3. Obligations of the Sponsor and the Trustee.

 (a) Neither the Sponsor nor the Trustee assumes any obligation nor shall either of them be subject to any liability under this Agreement
to any Registered Owner or Beneficial Owner or Depositor (including, without limitation, liability with respect to the worth of the Trust Property), except that each of them agrees to perform its obligations specifically set forth in this Agreement
without negligence or bad faith. 
 (b) Neither the Sponsor nor the Trustee shall be under any obligation to prosecute any action, suit or
other proceeding in respect of any Trust Property or in respect of the Shares on behalf of a Registered Owner, Beneficial Owner, Depositor or other Person. 
 (c) Neither the Sponsor nor the Trustee shall be liable for any action or non-action by it in reliance upon the advice of or information from legal counsel, accountants, any Depositor, any Registered Owner or any
other person believed by it in good faith to be competent to give such advice or information. 
 (d) The Trustee shall not be liable for any
acts or omissions made by a successor Trustee whether in connection with a previous act or omission of the Trustee or in connection with any matter arising wholly after the resignation of the Trustee, provided that in connection with the issue out
of which such potential liability arises the Trustee performed its obligations without negligence or bad faith while it acted as Trustee. 
 (e) The Trustee and the Sponsor shall have no obligation to comply with any direction or instruction from any Registered Owner or Beneficial Owner or Depositor regarding Shares except to the extent specifically provided in this Agreement.

  

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 (f) The Trustee shall be a fiduciary under this Agreement; provided, however, that the
fiduciary duties and responsibilities and liabilities of the Trustee shall be limited by, and shall be only those specifically set forth in, this Agreement. 
 (g) The Sponsor shall be responsible for all organizational expenses of the Trust, and for the following administrative and marketing expenses of the Trust: the Trustee’s monthly fee, the Custodian’s fee,
listing fees of the Exchange, registration fees charged by the Commission, printing and mailing costs, audit fees and expenses and legal fees and expenses not in excess of $100,000 per year. 
 Section 5.4. Resignation or Removal of the Trustee; Appointment of Successor Trustee. 
 (a) The Trustee may at any time resign as Trustee hereunder by written notice of its election so to do, delivered to the Sponsor, and such resignation
shall take effect upon the appointment of a successor Trustee and its acceptance of such appointment as hereinafter provided. 
 (b) The
Sponsor may remove the Trustee in its discretion by written notice delivered to the Trustee in the manner provided in Section 7.5 at least 90 days prior to the fifth anniversary of the date of the Original Depositary Trust Agreement or,
thereafter, by written notice delivered to the Trustee at least 90 days prior to the last day of any subsequent three-year period. 
 (c) If at any time the Trustee 
 (i) ceases to be a Qualified Bank, 
 (ii) is in material breach of its obligations under this Agreement and fails to cure such breach within 30 days after receipt of
written notice from the Sponsor or Registered Owners acting on behalf of at least 25% of the outstanding Shares specifying such default and requiring the Trustee to cure such default, or 
 (iii) fails to consent to the implementation of an amendment to the Trust’s initial Internal Control Over Financial Reporting deemed
necessary by the Sponsor and, after consultations with the Sponsor, the Sponsor and the Trustee fail to resolve their differences regarding such proposed amendment, 
 the Sponsor, acting on behalf of the Registered Owners, may remove the Trustee by written notice delivered to the Trustee in the manner provided in Section 7.5, and such removal shall take effect upon the
appointment of a successor Trustee and its acceptance of such appointment as hereinafter provided. 
 (d) If the Trustee acting hereunder
resigns or is removed, the Sponsor, acting on behalf of the Registered Owners, shall use its reasonable efforts to appoint a successor Trustee, which shall be a Qualified Bank. Every successor Trustee shall execute and deliver to its predecessor and
to the Sponsor, acting on behalf of the Registered Owners, an instrument in writing accepting its appointment hereunder, and thereupon such successor Trustee, without any further act or deed, shall become fully vested with all the rights, powers,
duties and obligations of its predecessor; but such predecessor, nevertheless, upon payment of all sums due it and on the written request of the Sponsor, acting on behalf of the Registered Owners, shall execute and deliver an instrument transferring
to such successor all rights and powers of such predecessor hereunder, shall duly assign, transfer and deliver all right, title and interest in the Trust Property to such successor, and shall deliver to such successor a list of the Registered Owners
of all outstanding Shares. The Sponsor or any such successor Trustee shall promptly mail notice of the appointment of such successor Trustee to the Registered Owners. 
  

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 (e) Any corporation into which the Trustee may be merged, consolidated or converted in a transaction in
which the Trustee is not the surviving corporation shall be the successor of the Trustee without the execution or filing of any document or any further act. During the 90-day period following the effectiveness of a merger, consolidation or
conversion described in the preceding sentence, the Sponsor may, by written notice to the Trustee, remove the Trustee and designate a successor Trustee in compliance with the provisions of subsection (c) above. 
 Section 5.5. The Custodian. The Custodian will be subject at all times and in all respects to the directions of the Trustee and will be
responsible solely to it. Any Custodian may resign and be discharged from its duties by notice of such resignation delivered to the Trustee at least 60 days prior to the date on which such resignation is to become effective. If upon the
effectiveness of such resignation there would be no Custodian acting hereunder, the Trustee shall, promptly after receiving such notice, with the written approval of the Sponsor (which approval shall not be unreasonably withheld or delayed), appoint
a substitute custodian or custodians, each of which shall thereafter be a Custodian hereunder. Whenever the Trustee in its discretion determines that it is in the best interest of the Registered Owners to do so, it may with the written approval of
the Sponsor (which approval shall not be unreasonably withheld or delayed), appoint a substitute or additional custodian or custodians, which shall thereafter be one of the Custodians hereunder. After the date of this Agreement, the Trustee shall
not enter into or amend any custody agreement with a Custodian without the written approval of the Sponsor (which approval shall not be unreasonably withheld or delayed). Upon demand of the Trustee any Custodian shall deliver such of the Gold held
by it as are requested of it to any other Custodian or such substitute or additional custodian or custodians. Each such substitute or additional custodian shall deliver to the Trustee, forthwith upon its appointment, an acceptance of such
appointment satisfactory in form and substance to the Trustee. 
 Upon the appointment of any successor Trustee hereunder, each Custodian
then acting hereunder shall forthwith become, without any further act or writing, the agent hereunder of such successor Trustee and the appointment of such successor Trustee shall in no way impair the authority of each Custodian hereunder; but the
successor Trustee so appointed shall, nevertheless, on the written request of any Custodian, execute and deliver to such Custodian all such instruments as may be proper to give to such Custodian full and complete power and authority as agent
hereunder of such successor Trustee. 
 Section 5.6. Indemnification. 
 (a) The Sponsor shall indemnify the Trustee, its directors, employees and agents (the “Trustee Indemnified Persons”) against, and hold each of
them harmless from, any loss, liability, cost, expense or judgment (including, but not limited to, the reasonable fees and expenses of counsel) (collectively “Indemnified Amounts”) that is incurred by any of them and that arises out of or
is related to (i) any offer or sale by the Trust of Baskets of Shares under this Agreement, (ii) acts performed or omitted pursuant to the provisions of this Agreement, as the same may be amended, modified or supplemented from time to
time, (A) by a Trustee Indemnified Person or (B) by the Sponsor or (iii) any filings with or submissions to the Commission in connection with or with respect to the Shares (which by way of illustration and not by way of limitation,
include any registration statement and any amendments or supplements thereto filed with the Commission or any periodic reports or updates that may be filed under the Exchange Act, or any failure to make any filings with or submissions to the
Commission which are required to be made in connection with or with respect to the Shares), except that the Sponsor shall not have any obligations under this Section 5.6(a) to pay Indemnified Amounts incurred as a result of and attributable to
(x) the negligence or bad faith of, or material breach of the terms of this Agreement by, the Trustee, (y) written information furnished in writing by the Trustee to the Sponsor expressly for use in the registration statement, or any
amendment thereto, or periodic or other report filed with the Commission relating to the Shares that is not materially altered by the Sponsor or (z) any misrepresentations or omissions made by a Depositor (other than the Sponsor) in connection
with such Depositor’s offer and sale of Shares. 
  

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 (b) The Trustee shall indemnify the Sponsor, its directors, employees and agents against, and hold each
of them harmless from, any Indemnified Amounts (i) caused by the negligence or bad faith of the Trustee or (ii) arising out of any information furnished in writing to the Sponsor by the Trustee expressly for use in the registration
statement, or any amendment thereto or periodic or other report, filed with the Commission relating to the Shares that is not materially altered by the Sponsor. 
 (c) If the indemnification provided for in Section 5.6(a) or (b) is unavailable or insufficient to hold harmless the indemnified party under subsection (a) or (b) above, then the indemnifying party
shall contribute to the Indemnified Amounts referred to in subsection (a) or (b) above (i) in such proportion as is appropriate to reflect the relative benefits received by the Sponsor on the one hand and the Trustee on the other hand
from the offering of the Shares which are the subject of the action or (ii) if the allocation provided by clause (i) above is not permitted by applicable law, in such proportion as is appropriate to reflect not only the relative benefits
referred to in clause (i) above but also the relative fault of the Sponsor on the one hand and the Trustee on the other hand in connection with the action, statement or omission which resulted in such Indemnified Amount as well as any other
relevant equitable considerations. The relative fault shall be determined by reference to, among other things, whether any untrue or alleged untrue statement of a material fact or the omission or alleged omission to state a material fact from which
the action arises relates to information supplied by the Sponsor or the Trustee and the parties’ relative intent, knowledge, access to information and opportunity to correct or prevent such untrue statement or omission or the act or omission
from which the action arises. The amount of Indemnified Amounts referred to in the first sentence of this subsection (c) shall be deemed to include any legal or other expenses reasonably incurred by such indemnified party in connection with
investigating or defending any action or claim which is the subject of this subsection (c). 
 (d) The Sponsor and its shareholders,
directors, officers, employees, affiliates (as such term is defined under the Securities Act of 1933, as amended) and subsidiaries (each a “Sponsor Indemnified Party”) shall be indemnified from the Trust and held harmless against any loss,
liability or expense incurred without (1) negligence, bad faith, willful misconduct or willful malfeasance on the part of such Sponsor Indemnified Party arising out of or in connection with the performance of its obligations under this
Agreement or any actions taken in accordance with the provisions of this Agreement or (2) reckless disregard on the part of such Sponsor Indemnified Party of its obligations and duties under this Agreement. Such indemnity shall include payment
from the Trust of the costs and expenses incurred by such Sponsor Indemnified Party in defending itself against any claim or liability in its capacity as Sponsor. Any amounts payable to a Sponsor Indemnified Party under this Section 5.6(d) may
be payable in advance or shall be secured by a lien on the Trust. The Sponsor may, in its discretion, undertake any action which it may deem necessary or desirable in respect of this Agreement and the rights and duties of the parties hereto and the
interests of the Registered Owners and, in such event, the legal expenses and costs of any such actions shall be expenses and costs of the Trust and the Sponsor shall be entitled to be reimbursed therefor by the Trust. 
 (e) If an action, proceeding (including, but not limited to, any governmental investigation), claim or dispute (collectively, a “Proceeding”)
in respect of which indemnity may be sought by either party is brought or asserted against the other party, the party seeking indemnification (the “Indemnitee”) shall promptly (and in no event more than seven (7) days after receipt of
notice of such Proceeding) notify the party obligated to provide such indemnification (the “Indemnitor”) of such Proceeding. The failure of the Indemnitee to so notify the Indemnitor shall not impair the Indemnitee’s ability to seek
indemnification from the Indemnitor (but only for costs, expenses and liabilities incurred after such notice) unless such failure adversely affects the Indemnitor’s ability to adequately oppose or defend such 

  

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Proceeding. Upon receipt of such notice from the Indemnitee, the Indemnitor shall be entitled to participate in such Proceeding and, to the extent that it
shall so desire and provided no conflict of interest exists as specified in clause (i) below and there are no other defenses available to Indemnitee as specified in clause (iii) below, to assume the defense thereof with counsel reasonably
satisfactory to the Indemnitee (in which case all attorney’s fees and expenses shall be borne by the Indemnitor and the Indemnitor shall in good faith defend the Indemnitee). The Indemnitee shall have the right to employ separate counsel in any
such Proceeding and to participate in the defense thereof, but, in such case, no fees and expenses of such counsel shall be borne by the Indemnitor unless such fees and expenses are otherwise required to be indemnified under Section 5.06(a),
(b) or (d), as applicable, and (i) there is such a conflict of interest between the Indemnitor and the Indemnitee as would preclude, in compliance with the ethical rules in effect in the jurisdiction in which the Proceeding was brought,
one lawyer from representing both parties simultaneously, (ii) the Indemnitor fails, within the earlier of (x) twenty (20) days following receipt of notice of the Proceeding from the Indemnitee or (y) seven (7) days prior to
the date the first response or appearance is required to be made in such Proceeding, to assume the defense of such Proceeding with counsel reasonably satisfactory to the Indemnitee or (iii) there are legal defenses available to Indemnitee that
are different from or are in addition to those available to the Indemnitor. No compromise or settlement of such Proceeding may be effected by either party without the other party’s consent unless (m) there is no finding or admission of any
violation of law and no effect on any other claims that may be made against such other party and (n) the sole relief provided is monetary damages that are paid in full by the party seeking the settlement. Neither party shall have any liability
with respect to any compromise or settlement effected without its consent, which shall not be unreasonably withheld. The Indemnitor shall have no obligation to indemnify and hold harmless the Indemnitee from any loss, expense or liability incurred
by the Indemnitee as a result of a default judgment entered against the Indemnitee unless such judgment was entered after the Indemnitor agreed, in writing, to assume the defense of such Proceeding. 
 Section 5.7. Charges of Trustee. 
 (a) Each Depositor, and each person surrendering Shares for the purpose of withdrawing Trust Property, shall pay to the Trustee a fee of $1,000 or less per transaction for the Delivery of Shares pursuant to Section 2.4 and the
Surrender of Baskets of Shares pursuant to Section 2.6 or 6.2. 
 (b) The Trustee is entitled to receive from the Sponsor fees for its
services and reimbursement for its out-of-pocket expenses in accordance with written agreements between the Sponsor and the Trustee. 
 (c)
The Trustee is entitled to charge the Trust for all expenses and disbursements incurred by it under Section 5.12(a) or that are of the type described in Sections 4.7(a)(2) or (3) of this Agreement (including the fees and disbursements
of its legal counsel), except that the Trustee is not entitled to charge the Trust for (i) expenses and disbursements incurred by it prior to the commencement of trading of Shares on the Exchange and (ii) fees of agents for performing
services the Trustee is required to perform under this Agreement. 
 Section 5.8. Charges of Sponsor. 
 (a) The Sponsor is entitled to receive from the Trust, as an expense of the Trust, a fee for services that will accrue daily at an annualized rate of
0.40% of Adjusted Net Asset Value and will be payable monthly in arrears. 
 (b) The Sponsor is entitled to receive reimbursement from the
Trust for all expenses and disbursements incurred by it under the last sentence of Section 5.6(d) or that are of the type described in Sections 4.7(a)(2), (3) or (4) of this Agreement, except that the Sponsor is not entitled to
charge the Trust 

  

 - 18 - 

 
for (i) expenses and disbursements incurred by it prior to the commencement of trading of Shares on the Exchange and (ii) fees of agents for
performing services the Sponsor is required to perform under this Agreement. 
 Section 5.9. Retention of Trust Documents. The
Trustee is authorized to destroy those documents, records, bills and other data compiled during the term of this Agreement at the times permitted by the laws or regulations governing the Trustee, unless the Sponsor reasonably requests the Trustee in
writing to retain those items for a longer period. 
 Section 5.10. Federal Securities Law Filings. 
 (a) The Sponsor shall (i) prepare and file a registration statement with the Commission and take such action as is necessary from time to time to
qualify the Shares for offering and sale under the federal securities laws of the United States, including the preparation and filing of amendments and supplements to such registration statement, (ii) promptly notify the Trustee of any
amendment or supplement to the registration statement or prospectus, of any order preventing or suspending the use of any prospectus, of any request for the amending or supplementing of the registration statement or prospectus or if any event or
circumstance occurs which is known to the Sponsor as a result of which the registration statement or prospectus, as then amended or supplemented, would include an untrue statement of a material fact or omit to state any material fact necessary to
make the statements therein, in the light of the circumstances under which they were made, not misleading, (iii) provide the Trustee from time to time with copies, including copies in electronic form, of the prospectus, as amended and
supplemented, in such quantities as the Trustee may reasonably request and (iv) prepare and file any periodic reports or updates that may be required under the Exchange Act. The Trustee shall furnish to the Sponsor any information from the
records of the Trust that the Sponsor reasonably requests in writing that is needed to prepare any filing or submission that the Sponsor or the Trust is required to make under the federal securities laws of the United States. 
 (b) The Sponsor shall have all necessary and exclusive power and authority to (i) from time to time adopt, implement or amend such disclosure
controls and procedures as are necessary or desirable, in the Sponsor’s reasonable judgment, to ensure compliance with the disclosure and ongoing reporting obligations under any applicable securities laws; (ii) appoint and remove the
auditors of the Trust; and (iii) seek from the relevant securities or other regulatory authorities such relief, clarification or other action as the Sponsor shall deem necessary or desirable regarding the disclosure or financial reporting
obligations of the Trust. 
 (c) The policies and procedures comprising the Trust’s initial Internal Control Over Financial Reporting
have been adopted and copies thereof have been delivered to the appropriate officers of the Sponsor and the Trustee. Amendments to such initial Internal Control Over Financial Reporting may be proposed from time to time by the Sponsor, but such
amendments may not be adopted in connection with the preparation of the Trust’s financial statements without the Trustee’s consent (which consent will not be unreasonably withheld or delayed). 
 Section 5.11. Prospectus Delivery. The Trustee shall, if required by the federal securities laws of the United States, in any manner permitted by
such laws, deliver at the time of issuance of Shares, a copy of the relevant prospectus, as most recently furnished to the Trustee by the Sponsor, to each Depositor. 
  

 - 19 - 

 Section 5.12. Discretionary Actions by Trustee; Consultation. 
 (a) The Trustee may, in its discretion, undertake any action that it considers necessary or desirable to protect the Trust or the interests of the
Registered Owners. The expenses incurred by the Trustee in connection with taking any action under the preceding sentence (including the fees and disbursements of legal counsel) shall be expenses of the Trust, and the Trustee shall be entitled to be
reimbursed for those expenses by the Trust. 
 (b) The Trustee shall notify and consult with the Sponsor before undertaking any action under
subsection (a) above or if the Trustee becomes aware of any development or event that affects the administration of the Trust but is not contemplated or provided for in this Agreement. 
 (c) The Sponsor shall notify and consult with the Trustee before undertaking any action under the last sentence of Section 5.6(d) or if the Sponsor
becomes aware of any development or event that affects the administration of the Trust but is not contemplated or provided for in this Agreement. 
 ARTICLE 6 
 AMENDMENT AND TERMINATION 
 Section 6.1. Amendment. The Trustee and the Sponsor may amend any provisions of this Agreement without the consent of any Registered Owner. Any amendment that imposes or increases any fees or charges (other
than taxes and other governmental charges, registration fees or other such expenses), or that otherwise prejudices any substantial existing right of the Registered Owners will not become effective as to outstanding Shares until 30 days after notice
of such amendment is given to the Registered Owners. Every Registered Owner and Beneficial Owner, at the time any amendment so becomes effective, shall be deemed, by continuing to hold any Shares or an interest therein, to consent and agree to such
amendment and to be bound by this Agreement as amended thereby. In no event shall any amendment impair the right of the Registered Owner of Shares to Surrender Baskets of Shares and receive therefor the amount of Trust Property represented thereby,
except in order to comply with mandatory provisions of applicable law. 
 Section 6.2. Termination. 
 (a) The Trustee shall set a date on which this Agreement will terminate and mail notice of that termination to the Registered Owners at least
30 days prior to the date set for termination if any of the following occurs: 
 (i) The Trustee is notified that the
Shares are delisted from a national securities exchange and are not approved for listing on another national securities exchange within five business days of their delisting; 
 (ii) Registered Owners acting in respect of at least 75% of the outstanding Shares notify the Trustee that they elect to terminate the
Trust; 
 (iii) 60 days have elapsed since the Trustee notified the Sponsor of the Trustee’s election to resign and
a successor trustee has not been appointed and accepted its appointment as provided in Section 5.4; 
  

 - 20 - 

 (iv) the Commission determines that the Trust is an investment company under the
Investment Company Act of 1940, as amended, and the Trustee has actual knowledge of such Commission determination; 
 (v) the
aggregate market capitalization of the Trust, based on the closing price for the Shares, was less than $350 million for five consecutive trading days and the Trustee receives, within six months after the last of those trading days, notice from
the Sponsor of its decision to terminate the Trust; 
 (vi) the CFTC determines that the Trust is a commodity pool under the
Commodity Exchange Act of 1936, as amended, and the Trustee has actual knowledge of that determination; or 
 (vii) the Trust
fails to qualify for treatment, or ceases to be treated, for United States federal income tax purposes, as a grantor trust, and the Trustee receives notice from the Sponsor that the Sponsor determines that, because of that tax treatment or change in
tax treatment, termination of the Trust is advisable. 
 (b) If no event specified in subsection (a) above occurs first, the Trust shall
terminate on January 19, 2045, and the Trustee shall mail a notice of that impending termination to the Registered Owners at least 30 days before that anniversary. 
 (c) On and after the date of termination of this Agreement, the Registered Owner of Shares will, upon (i) Surrender of those Shares,
(ii) payment of the fee of the Trustee for the Surrender of Shares provided in Section 5.7, and (iii) payment of any applicable taxes or other governmental charges, be entitled to Delivery, to him or upon his order, of the amount of
Trust Property represented by those Shares. The Trustee shall not accept any deposits of Gold after the date of termination of this Agreement. If any Shares remain outstanding after the date of termination of this Agreement, the Trustee thereafter
shall discontinue the registration of transfers of Shares, shall not make any distributions to Registered Owners, and shall not give any further notices or perform any further acts under this Agreement, except that the Trustee shall continue to
collect distributions pertaining to Trust Property and hold the same uninvested and without liability for interest, pay the Trust’s expenses and sell Gold as necessary to meet those expenses and shall continue to deliver Trust Property,
together with any distributions received with respect thereto and the net proceeds of the sale of any other property, in exchange for Shares Surrendered to the Trustee (after deducting or upon payment of, in each case, the fee of the Trustee set
forth in 5.7 for the Surrender of Shares, any expenses for the account of the Registered Owner of such Shares in accordance with the terms and conditions of this Agreement, and any applicable taxes or other governmental charges). At any time after
the expiration of 90 days following the date of termination of this Agreement, the Trustee may sell the Trust Property then held under this Agreement and may thereafter hold uninvested the net proceeds of any such sale, together with any other
cash then held by it under this Agreement, unsegregated and without liability for interest, for the pro rata benefit of the Registered Owners of Shares that have not theretofore been Surrendered, such Registered Owners thereupon becoming general
creditors of the Trustee with respect to such net proceeds. After making such sale, the Trustee shall be discharged from all obligations under this Agreement, except to account for such net proceeds and other cash (after deducting, in each case, any
fees, expenses, taxes or other governmental charges payable by the Trust, the fee of the Trustee for the Surrender of Shares and any expenses for the account of the Registered Owner of such Shares in accordance with the terms and conditions of this
Agreement, and any applicable taxes or other governmental charges). Upon the termination of this Agreement, the Sponsor shall be discharged from all obligations under this Agreement except for its obligations to the Trustee under Section 5.6.
Sections 5.6, 5.7 and 5.8 shall survive termination of this Agreement. 
  

 - 21 - 

 ARTICLE 7 
 MISCELLANEOUS 
 Section 7.1. Counterparts. This Agreement may be executed in any number of
counterparts, each of which shall be deemed an original and all of such counterparts shall constitute one and the same instrument. Copies of this Agreement shall be filed with the Trustee and shall be open to inspection by any Registered Owner
during the Trustee’s business hours. 
 Section 7.2. Third-Party Beneficiaries. This Agreement is for the exclusive benefit of
the parties hereto, and shall not be deemed to give any legal or equitable right, remedy or claim whatsoever to any other person. 
 Section
7.3. Severability. In case any one or more of the provisions contained in this Agreement should be or become invalid, illegal or unenforceable in any respect, the validity, legality and enforceability of the remaining provisions of this
Agreement shall in no way be affected, prejudiced or disturbed thereby. 
 Section 7.4. Registered Owners, Beneficial Owners and
Depositors as Parties; Binding Effect. The Registered Owners, Beneficial Owners and Depositors from time to time shall be parties to this Agreement and shall be bound by all of the terms and conditions hereof by their acceptance of Shares or any
interest therein or by their depositing Gold, as the case may be. 
 Section 7.5. Notices. 
 (a) All notices given under this Agreement must be in writing. 
 (b) Any and all notices to be given to the Trustee or the Sponsor shall be deemed to have been duly given (i) when it is actually delivered by a messenger or recognized courier service, (ii) five days after
it is mailed by registered or certified mail, postage paid or (iii) when receipt of a facsimile transmission is acknowledged via a return receipt or receipt confirmation as requested by the original transmission, in each case to or at the
address set forth below: 
 To the Trustee: 
 THE BANK OF NEW YORK 
 101 Barclay Street, 22-W 
 New York, New York 10286 
 Attention: ADR
Administration 
 Facsimile: 212-571-3050 
 or
any other place to which the Trustee may have transferred its Corporate Trust Office with notice to the Sponsor. 
  

 - 22 - 

 To the Sponsor: 
 BARCLAYS GLOBAL INVESTORS INTERNATIONAL INC. 
 45 Fremont Street 
 San Francisco, California 94105 
 Attention:
BGI’s Product Management Team, Intermediary Investors and Exchange 
 Traded Products Department 
 Telephone: (415) 402-4671 
 Facsimile:
(415) 618-5097 
 with copy to: 
 BARCLAYS GLOBAL INVESTORS INTERNATIONAL INC. 
 45 Fremont Street 
 San Francisco, California 94105 
 Attention:
BGI’s Legal Department 
 Telephone: (415) 597-2860 
 Facsimile: (415) 597-2753 
 or any other place to which the Sponsor may have transferred its principal office with
notice to the Trustee. 
 (c) Any and all notices to be given to a Registered Owner shall be deemed to have been duly given (i) when
actually delivered by messenger or a recognized courier service, (ii) when mailed, postage prepaid or (iii) when sent by facsimile transmission confirmed by letter, in each case at or to the address of such Registered Owner as it appears
on the transfer books of the Trustee, or, if such Registered Owner shall have filed with the Trustee a written request that any notice or communication intended for such Registered Owner be delivered to some other address, at the address designated
in such request. 
 Section 7.6. Agent for Service; Submission to Jurisdiction. The Sponsor hereby (i) irrevocably designates and
appoints Barclays Bank PLC, New York Branch, General Counsel’s office, located at 200 Park Avenue, 4th Floor, New York, New York 10166, in the State of New York, as the Sponsor’s authorized agent upon which process may be served in
any suit or proceeding arising out of or relating to the Shares, the Trust Property or this Agreement, (ii) consents and submits to the jurisdiction of any state or federal court in The City of New York, State of New York, in which any such
suit or proceeding may be instituted, and (iii) agrees that service of process upon said authorized agent shall be deemed in every respect effective service of process upon the Sponsor in any such suit or proceeding. The Sponsor agrees to
deliver, upon the execution and delivery of this Agreement, a written acceptance by such agent of its appointment as such agent. The Sponsor further agrees to take any and all action, including the filing of any and all such documents and
instruments, as may be necessary to continue such designation and appointment in full force and effect for so long as any Shares remain outstanding or this Agreement remains in force. In the event the Sponsor fails to continue such designation and
appointment in full force and effect, the Sponsor hereby waives personal service of process upon it and consents that any such service of process may be made by certified or registered mail, return receipt requested, directed to the Sponsor at its
address last specified for notices hereunder, and service so made shall be deemed completed five (5) days after the same shall have been so mailed. 
 Section 7.7. Governing Law. This Agreement shall be interpreted under, and all rights and duties under this Agreement shall be governed by, the internal substantive laws (but not the choice of law rules) of the
State of New York. 
  

 - 23 - 

 Section 7.8. Effective Date. This Agreement shall become effective upon the effectiveness of the
registration statement under the Securities Act to be filed by the Sponsor with the Commission a soon as practicable after the date hereof. 
  

 - 24 - 

 IN WITNESS WHEREOF, the parties hereto have duly executed this First Amended and Restated Depositary
Trust Agreement as of the day and year first set forth above. 
  

					
	 BARCLAYS GLOBAL INVESTORS, N.A.
 as Initial Sponsor

		
	By:	 	/S/ MICHAEL LATHAM
		 	Name:	 	Michael Latham
		 	Title:	 	Chief Financial Officer
		 	
		
	By:	 	/S/ LEE KRANEFUSS
		 	Name:	 	Lee Kranefuss
		 	Title:	 	Managing Director
	
	 BARCLAYS GLOBAL INVESTORS INTERNATIONAL INC.
 as Sponsor

		
	By:	 	/S/ MICHAEL LATHAM
		 	Name:	 	Michael Latham
		 	Title:	 	Chief Financial Officer
		 	
		
	By:	 	/S/ LEE KRANEFUSS
		 	Name:	 	Lee Kranefuss
		 	Title:	 	Managing Director
	
	 THE BANK OF NEW YORK,
 as Trustee

		
	By:	 	/S/ EDWARD G. MCGANN
		 	Name:	 	Edward G. McGann
		 	Title:	 	Managing Director

  

 - 25 - 

 EXHIBIT A 
 [Form of Certificate] 
 THE SHARES EVIDENCED HEREBY REPRESENT RIGHTS WITH RESPECT TO UNDERLYING TRUST
PROPERTY (AS DEFINED IN THE DEPOSITARY TRUST AGREEMENT REFERRED TO HEREIN) HELD BY THE TRUST AND DO NOT EVIDENCE AN OBLIGATION OF, OR AN INTEREST IN, AND ARE NOT GUARANTEED BY THE SPONSOR OR THE TRUSTEE OR ANY OF THEIR RESPECTIVE AFFILIATES. NEITHER
THE SHARES NOR THE UNDERLYING TRUST PROPERTY ARE INSURED UNDER ANY AGREEMENT THAT DIRECTLY BENEFITS THE TRUST OR GUARANTEED BY ANY GOVERNMENTAL AGENCY OR ANY OTHER PERSON. 
 UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION (“DTC”), TO THE
AGENT AUTHORIZED BY THE ISSUER 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. 
  

 - 26 - 

 iSHARES COMEX GOLD TRUST SHARES 
 ISSUED BY 
 iSHARES COMEX GOLD TRUST 
 REPRESENTING 
 FRACTIONAL INTERESTS IN
DEPOSITED GOLD AND ANY OTHER TRUST PROPERTY 
 THE BANK OF NEW YORK, as Trustee 
  

			
	No.                    	  	* Shares

  
 CUSIP: ____________ 

THE BANK OF NEW YORK, as Trustee (hereinafter called the Trustee), hereby certifies that CEDE & CO., as nominee of the Depository Trust
Company, or registered assigns, IS THE OWNER OF * Shares issued by iShares COMEX Gold Trust, each representing a fractional undivided interest in the net assets of the Trust, as provided in the Agreement referred to below. At the time of delivery of
the Agreement, each 50,000 Shares represented an interest in 5,000 Fine Ounces of Gold that are deposited under the Agreement and held by the Custodian referred to in the Agreement. The amount of Gold in which each 50,000 Shares represents an
interest will decline over time as provided in the Agreement. The Trustee’s Corporate Trust Office is located at a different address than its principal executive office. Its Corporate Trust Office is located at 101 Barclay Street, New York, New
York 10286, and its principal executive office is located at One Wall Street, New York, New York 10286. 
 This Certificate is issued upon
the terms and conditions set forth in the First Amended and Restated Depositary Trust Agreement dated as of February 6, 2007 (the “Agreement”) among Barclays Global Investors, N.A., Barclays Global Investors International Inc. (herein
called the Sponsor), the Trustee, all Registered Owners and Beneficial Owners from time to time of Shares issued thereunder and all Depositors. By becoming a Registered Owner or Beneficial Owner, or by depositing Gold, a Person becomes a party to
the Agreement and is bound by all the terms and conditions of the Agreement. The Agreement sets forth the rights of Depositors and Registered Owners and the rights and duties of the Trustee and the Sponsor. Copies of the Agreement are on file at the
Trustee’s Corporate Trust Office in New York City. 
 The Agreement is hereby incorporated by reference into and made a part of this
Certificate as if set forth in full in this place. Capitalized terms not defined herein shall have the meanings set forth in the Agreement. 
 This Certificate shall not be entitled to any benefits under the Agreement or be valid or obligatory for any purpose unless it is executed by the Trustee by the manual or facsimile signature of a duly authorized signatory of the Trustee
and, if a Registrar (other than the Trustee) for the Shares shall have been appointed, countersigned by the manual signature of a duly authorized officer of the Registrar. 
  

							
	Dated:                    	 		 	THE BANK OF NEW YORK,
		 		 	 as Trustee

				
		 		 	By:	 	  

	 *
	 That number of Shares held at The Depository Trust Company at any given point in time.

  

 - 27 - 

 THE TRUSTEE’S CORPORATE TRUST OFFICE ADDRESS IS 
 101 BARCLAY STREET, NEW YORK, NEW YORK 10286 
  

 - 28 -Master Distribution Agreement

 Exhibit 10.1 
 ARAMARK 
 MASTER DISTRIBUTION AGREEMENT 
 BETWEEN 
 SYSCO CORPORATION

 AND 
 ARAMARK
FOOD AND SUPPORT SERVICES GROUP, INC. 

 TABLE OF CONTENTS 
  

					
	1.	 	SCOPE.	  	1
			
	2.	 	PRODUCT CATEGORIES.	  	2
			
	3.	 	SERVICE.	  	3
			
	4.	 	DELIVERY.	  	5
			
	5.	 	REPORTING.	  	6
			
	6.	 	ORDERING PROCEDURES.	  	8
			
	7.	 	TERMINATION.	  	9
			
	8.	 	CALCULATION OF COST.	  	9
			
	9.	 	PRICING AND MARGINS.	  	11
			
	10.	 	ALLOWANCES.	  	14
			
	11.	 	ARAMARK PROPRIETARY MERCHANDISE.	  	19
			
	12.	 	PAYMENT TERMS.	  	16
			
	13.	 	INVOICING.	  	16
			
	14.	 	AUDIT.	  	17
			
	15.	 	INSURANCE AND INDEMNITY.	  	18
			
	16.	 	PROCEDURES MANUAL.	  	19
			
	17.	 	MINORITY-OWNED AND WOMEN-OWNED SUPPLIERS.	  	19
			
	18.	 	COMPLIANCE WITH LAWS AND STANDARDS.	  	19
			
	19.	 	MISCELLANEOUS PROVISIONS.	  	20

  

 i 

			
	ATTACHMENTS:	 	EXHIBIT A - Products and Margins List
		 	EXHIBIT B - Primary Distributors List
		 	EXHIBIT C - Specialty Meat Items
		 	EXHIBIT D - SYSCO Performance Allowance
		 	EXHIBIT E - Product Excluded Produce Incentive Allowance
		 	EXHIBIT F - ARAMARK Form of Audit
		 	EXHIBIT G - SYSCO Minority and Women-Owned Suppliers
		 	EXHIBIT H - ARAMARK Food Safety Standards
		 	EXHIBIT I - SYSCO Raw Ground Beef & Veal Safety Standards

  

 ii 

 MASTER DISTRIBUTION AGREEMENT 
 THIS MASTER DISTRIBUTION AGREEMENT (this “Agreement”) is made as of November 25, 2006 (the “Effective Date”) by and between
ARAMARK FOOD AND SUPPORT SERVICES GROUP, INC. (“ARAMARK”) and SYSCO CORPORATION (“SYSCO”). 
 RECITALS: 

A. ARAMARK and SYSCO are parties to a certain Master Distribution Agreement dated as of February 1, 2002, as amended and extended (the
“Prior Agreement”). 
 B. Under the Prior Agreement, SYSCO provided distribution services to ARAMARK, its affiliates and
Components (hereinafter defined). 
 C. Based on the overall volume of purchases made by ARAMARK and its Components, and the business
opportunities presented to SYSCO, ARAMARK and SYSCO have agreed to modify the terms and conditions under which distribution services are provided to the Components (hereinafter defined), as hereinafter set forth. 
 AGREEMENT: 
 NOW, THEREFORE, in
consideration of the promises contained herein, and with intent to be legally bound, ARAMARK and SYSCO agree, effective as of the Effective Date, as follows: 
 1. SCOPE. 
 (a) Scope. Under this Agreement, SYSCO and its operating subsidiaries and other affiliates (the
“Operating Companies”) will distribute a full line of food service products, including without limitation, the products listed on Exhibit A, to service locations managed by ARAMARK and its affiliates and designated by ARAMARK
as participating in the SYSCO Distribution Program (the “Components”). SYSCO will cause the Operating Companies to perform in accordance with the terms and conditions of this Agreement. * 
 (b) Designation of Distributors. 
 (1) The Operating Companies set forth on Exhibit B are designated as Primary Distributors (hereinafter defined) under this Agreement. The term “Primary Distributor” shall mean any Operating Company designated
by ARAMARK as the primary, authorized distributor of food service products within the product categories set forth in Section 2(a) for certain Components. 
 (2) From time to time, ARAMARK may designate additional Operating Companies as Primary Distributors, with the consent of SYSCO, which will not be unreasonably withheld. 
  

	*	Material omitted and separately filed with the Commission under an application for confidential treatment. 

 (c) Primary Distributor Status. ARAMARK will grant SYSCO and all Primary Distributors, the
opportunity to supply, on a preferred (but not exclusive) basis, products in the categories in Section 2(a). As preferred distributors, SYSCO and the Primary Distributors will be the distributors designated by ARAMARK as the primary, authorized
distributors of such products to the Components. With respect to service locations which come under management by ARAMARK’s affiliates after the Effective Date, ARAMARK will in good faith consider designating those locations as Components under
this Agreement. However, ARAMARK makes no guarantee, warranty or other commitment that all food service locations managed by ARAMARK’s affiliates will purchase any products, or any minimum quantity of products from SYSCO or any Primary
Distributor or other Operating Company to the exclusion of any other vendor. * 
 (d) Operating Company Transitioning. To create more
efficient geographic boundaries for the Primary Distributors and Components, and therefore improve service levels, from time to time SYSCO may request and ARAMARK may agree, to transition one or more designated Components from being serviced by one
Operating Company to being serviced by another Operating Company. Such transition will be conditioned upon: (1) SYSCO’s * of products purchased from the new Operating Company will not exceed SYSCO’s * of products from the former
Operating Company, (2) the specified products available from the new Operating Company will be the same as the specified products available from the former Operating Company, and (3) the transitioned Components will be permitted to
participate fully by the new Operating Company in all food shows and similar promotions. SYSCO and ARAMARK will establish and apply a protocol for identifying Components to be transitioned and for ensuring that the conditions in (1), (2) and
(3) are met at and after the transition for 24 months. At the time of a transition related to a transition from one Operating Company to another, or in connection with an acquisition or other transaction, ARAMARK may request, and SYSCO will in
good faith consider, a * . 
 2. PRODUCT CATEGORIES. 
 (a) SYSCO will cause its Operating Companies to distribute a full line of food service products under this Agreement including without limitation, SYSCO brand products, products bearing national brands, and
other products selected by ARAMARK and meeting ARAMARK’s specifications, including without limitation, ARAMARK Proprietary Merchandise (defined in Section 11). The product categories are as follows: 
  

	 	(1)	Healthcare 

  

	 	(2)	Dairy (including eggs) 

  

	 	(3)	Meats 

  

	 	(3A)	Specialty Meats 

  

	 	(4)	Seafood 

  

	 	(5)	Poultry 

  

	 	(6)	Frozen (other than frozen Meats, Seafood and Poultry) 

  

	 	(7)	Canned and Dry 

  

	 	(8)	Paper & Disposables 

  

	*	Material omitted and separately filed with the Commission under an application for confidential treatment. 

	 	(9)	Chemicals & Janitorial 

  

	 	(10)	Supplies & Equipment 

  

	 	(11)	Produce 

  

	 	(12)	Beverage (including coffee and postmix products) 

 Exhibit A
identifies each product category, * . Products identified with a “W” under the heading “Calc Freq” on Exhibit A are priced weekly, and are hereinafter referred to as “Market Commodity Products”.
Products identified with a “U” or with a “T” under such heading on Exhibit A are priced monthly, or based on the date of last receipt, respectively, in accordance with Sections 8 and 9 of this Agreement. 

(b) Unless otherwise specified by ARAMARK, when a specific SYSCO labeled product is purchased for a Component, only SYSCO label products
bearing the brand SYSCO Classic and Reliance will be sold and delivered to such Component to ensure consistency of quality and costs; provided that an equivalent product bearing the Classic or Reliance label is stocked by the Operating Company.
SYSCO will use its best efforts to cause the Operating Companies to stock Classic and Reliance. Any SYSCO label product supplied which is not SYSCO Classic or Reliance label, will be consistent with the specifications and quality of the SYSCO
Classic or Reliance label. SYSCO will use its best efforts to notify ARAMARK and Components of any modification to a specification for the brand SYSCO Classic, the brand SYSCO Reliance or any other SYSCO brand. Without limiting Section 11,
ARAMARK will use reasonable efforts to assist SYSCO in stabilizing and ultimately reducing, where practical, the number of SKU’s associated with servicing Components. 
 (c) ARAMARK acknowledges that SYSCO receives earned income and obtains operational advantages from the sale of SYSCO brand products to Components.
SYSCO acknowledges that ARAMARK as a global food service provider in a highly competitive marketplace must retain discretion to select products for use at food service locations managed by ARAMARK’s affiliates. Accordingly, SYSCO may at any
time and from time to time, offer to provide SYSCO brand products to ARAMARK and Components. ARAMARK may, in its discretion and exercising its judgment as a global food service provider, choose to purchase SYSCO brand products which are reasonably
equivalent (as determined by ARAMARK in its discretion and exercising such judgment) to other products from other vendors of ARAMARK. 
 3. SERVICE.

 (a) Operating Companies will provide Components with complete and timely service in all aspects of distribution services to be
provided under this Agreement, including without limitation, (1) achieving the agreed-upon fill rate of each order, in the aggregate, (2) providing proper follow up of each order as required by each Component, (3) correcting untimely
or incomplete deliveries and deliveries of damaged, spoiled or pilfered products and (4) preventing their recurrence. The term “fill rate” is defined as for each order, the percentage of items of products ordered by a Component which
are actually delivered to such Component. The agreed upon fill rate is * . After the end of each ARAMARK fiscal quarter, SYSCO will report to ARAMARK each Operating Company’s fill rates for Components served by each Operating Company.

  

	*	Material omitted and separately filed with the Commission under an application for confidential treatment. 

 (b) To facilitate order placement, SYSCO will make available to ARAMARK prior to their effective
date, weekly and monthly price order guides (the “Order Guides”) through eSYSCO, SYSCO’s internet order entry system, or another third party remote order entry system mutually acceptable to the parties (in either case, an “Order
Entry System”). All Order Guides (1) will, for each product, contain a product description and identify the brand, pack and size, quality and grade, item code number, line item number, and price of such product, (2) will
correspond with ARAMARK’s Periods (hereinafter defined), (3) will be customized and tailored to the product requirements of the ARAMARK line of business of which the Component is a part, and (4) will, upon adding a new
product, map the item to the corresponding sequencing chart product category, providing ARAMARK’s general ledger account code. Additionally, new SYSCO product categories will be mapped to a corresponding ARAMARK product category. Order Guides
will be distributed weekly and monthly. Weekly Order Guides will identify prices of all Market Commodity Products. For those Components which do not order electronically, Operating Companies will provide hard copy weekly Order Guides on a weekly
basis, and hard copy monthly Order Guides on a monthly basis, prior to their effective dates. The term “Period” is defined as each of those 12 accounting periods, which together comprise a fiscal year of ARAMARK. In addition, each month,
upon ARAMARK’s request, each Operating Company will send to ARAMARK, a copy of such Operating Company’s * for such month, at least seven days prior to the effective date of such * . Further, ARAMARK shall have access to * on the
application of the * to * , on an as-requested basis. Order guides and SYSCO invoices will correspond to ARAMARK’s general ledger account codes. 
 (c) Each Operating Company will assign a salaried, non-commissioned Account Executive and a Customer Service Representative to ARAMARK’s account. The SYSCO Account Executive and the SYSCO Customer Service
Representative will maintain contact with the manager (or his designee) of each Component served by the Operating Company which assigned them, on a basis satisfactory to each Component manager (or his designee), to ensure complete service levels, to
enter and check the accuracy of orders and to resolve service and product deficiencies. In addition, each SYSCO Account Executive will visit each Component served by such SYSCO Account Executive and meet with the manager of such Component, at least
once each month on a date and at a time satisfactory to each of them. 
 (d) The mechanics of service, including without limitation,
credits and pick-ups, will be established by the Component manager (or his designee), the assigned SYSCO Account Executive and the assigned Customer Service Representative, based on the policies and procedures manual prepared and supplied by SYSCO
and approved by ARAMARK under Section 16. 
 (e) Operating Companies will provide each Component location with at least one
delivery each week. More or less frequent deliveries may be agreed upon by the Component manager (or his designee) and the Operating Company’s assigned Account Executive on a Component-by-Component basis. 
  

	*	Material omitted and separately filed with the Commission under an application for confidential treatment. 

 (f) Upon request by a Component, Operating Companies will provide to that Component those products
not normally carried in inventory but which are required for special events, provided that the Component gives reasonably adequate notice of its requirements. ARAMARK will use reasonable efforts to minimize or avoid returns after special events,
i.e. irregular, one-time events. * 
 (g) SYSCO shall provide at its cost and expense, a SYSCO Account Executive acceptable to
ARAMARK, who shall be based in the ARAMARK Tower, Philadelphia, PA or such other location as ARAMARK may designate and who shall report to ARAMARK’s Vice President, Distribution. SYSCO agrees that SYSCO and such SYSCO employee may be required
to execute, and if requested, shall execute, a nondisclosure agreement in form reasonably satisfactory to counsel for SYSCO and ARAMARK, to protect and avoid or limit disclosure of any trade secrets or other confidential or proprietary information
of ARAMARK or information of third parties whose confidentiality has been entrusted to ARAMARK. 
 (h) With respect to account
management, SYSCO, at a level at least as high as its Vice President, Multi-Unit Sales, will conduct in person business reviews with ARAMARK, on a quarterly basis. Included in such meetings will be a SYSCO finance person, at a level at least as high
as Corporate Controller. In addition, SYSCO will provide to ARAMARK, on a quarterly basis, reports of credits due to ARAMARK from each Operating Company, and SYSCO will make a SYSCO finance person, at a level at least as high as Corporate
Controller, available to review such reports with ARAMARK, and responsible to implement follow-up actions established during such reviews with ARAMARK. 
 (i) With respect to research and development activities, SYSCO will provide to ARAMARK the opportunity to engage in test, pilot or co-development projects with SYSCO any new marketing, merchandising and
promotional concepts created by SYSCO for SYSCO customers in general, such as new kiosks or new brands, but not projects specific to a single customer. SYSCO will notify ARAMARK of any such opportunity. ARAMARK may accept such opportunity by notice
to SYSCO given not more than 30 days after receipt of notice from SYSCO. SYSCO and ARAMARK will then establish the parameters of the test, pilot or co-development project, and SYSCO and ARAMARK will implement such project. * If the project
implementation is unreasonably delayed by ARAMARK, SYSCO may cancel the project * . 
 4. DELIVERY. 
 (a) Each Operating Company will establish a delivery schedule for each Component served by the Operating Company, as agreed upon by the Component
manager and the Operating Company’s assigned Customer Service Representative or Account Executive. The number of deliveries to each Component will be determined by the service level required, subject to Section 3(e). 
  

	*	Material omitted and separately filed with the Commission under an application for confidential treatment. 

 (b) All Operating Companies will use their best efforts to make all deliveries between the hours
of 7:00 a.m. and 11:30 a.m., and 1:00 p.m. and 5:00 p.m., unless such times are otherwise expanded by the Component manager. 
 (c)
SYSCO and ARAMARK have entered into this Agreement to achieve the highest and best level of service, product delivery, and product quality, and the most efficient and consistent cost and pricing to ARAMARK. SYSCO acknowledges that ARAMARK and
Components will require, in each geographic area, and from each Operating Company, different delivery schedules to provide the highest and best service levels, and the most efficient and consistent cost and pricing, to ARAMARK. SYSCO therefore
acknowledges and specifically agrees that SYSCO and each Operating Company will cooperate and agree with ARAMARK and Components as to deliveries and service on a basis mutually acceptable to ARAMARK and such Operating Company. 
 5. REPORTING. 
 (a) SYSCO Corporate, or each
separate Operating Company, will provide ARAMARK and Components with electronic Order Guides, in accordance with Section 3(b). SYSCO will maintain an electronic link between SYSCO and ARAMARK’s Corporate Office so that all weekly and
monthly Order Guides will be transmitted electronically to ARAMARK’s Corporate Office by direct electronic link. If requested, SYSCO will provide a copy of the disaster recovery and business continuance plan for SYSCO and any Operating Company.

 (b) SYSCO Corporate or each separate Operating Company will provide the following reports to ARAMARK. 
 (1) SYSCO will compile ARAMARK’s computerized product usage data (“Usage Data”) and provide Usage Data to ARAMARK electronically
via FTP server or other electronic communications for input into ARAMARK’s computer product tracking systems. ARAMARK will develop and maintain their proprietary product tracking systems. 
 (2) Upon ARAMARK’s written request, SYSCO will provide * , the Usage Data provided to ARAMARK and the Components, subject to the below listed
conditions: (i) the information will only be made available in one of SYSCO’s standard electronic formats or utilizing * standards; (ii) ARAMARK shall ensure that * . 
 (3) SYSCO will provide the Usage Data to ARAMARK on a daily basis. The daily data transmission is required by ARAMARK’s E-RECEIVING system.
SYSCO will provide Usage Data to ARAMARK in a form and content compatible with E-RECEIVING and otherwise in compliance with ARAMARK’s written E-RECEIVING specifications. Daily Usage Data will be provided to ARAMARK no later than * Time, with
this data representing transactions between ARAMARK and SYSCO performed the previous day at each Operating Company. 
  

	*	Material omitted and separately filed with the Commission under an application for confidential treatment. 

 (4) SYSCO will also provide the Usage Data to ARAMARK on a monthly basis. The monthly data
transmission is required by ARAMARK’s ARATRACK system until such time as data produced or calculated by SYSCO is made available to ARAMARK, permitting the transition to the daily file data format. SYSCO will provide Usage Data to ARAMARK in a
form and content compatible with ARATRACK and otherwise in compliance with ARAMARK’s written ARATRACK specifications. Monthly Usage Data will be provided to ARAMARK no later than the second Tuesday following the close of each Period.

 (5) Usage Data will be provided at * cost to ARAMARK. SYSCO will provide ARAMARK with data that will permit both to * Order Entry
Systems in use by the Components. 
 (6) The parties agree to the following provisions regarding electronic invoices: (i) ARAMARK
anticipates the on-time receipt of electronic copies of invoices regardless of Operating Company with “on-time” defined as receipt of invoice upon the next regularly scheduled file transmission after product delivery by the delivering
Operating Company; (ii) the goal for on-time receipt of electronic invoices is * at each Operating Company for each delivery day of week; and (iii) queries related to the daily delivery of invoicing data with respect to file content or
transmission will be addressed by a manned Help Desk support function capable of responding within * of inquiry and such queries will be restricted to the file’s transmission and will not address specific field-level data values. 
 (7) The parties acknowledge that some ARAMARK customers, (individually a “* Source Customer” and collectively, * Source Customers”)
have requested ARAMARK to provide information on purchases of food products which have been grown or raised in * in which a * Source Customer is located and in * contiguous to such * (the “* Source Region”), or have been processed or
packaged into products in such * Source Region, and which products (“* Source Products”) have been purchased by ARAMARK for such * Source Customers. When requested by ARAMARK in specified * , Operating Companies or, at SYSCO’s
election, SYSCO Corporate, will use their best efforts to provide a monthly report relating to each * Source Customer showing the total purchases of * Source Products by such * Source Customer, providing the vendor identity and SKU for each such *
Source Product, within twenty (20) days of the end of the month covered by the report. If a * Source Customer requests reporting other than that described in this Paragraph 5(b)(7), the parties will use reasonable good faith efforts to provide
such reporting, provided that if such reporting would require the expenditure of significant additional time * by SYSCO or any Operating Company, the parties shall discuss in good faith such steps and actions to respond to such request in a fashion
which either modifies the request so that SYSCO is able to comply with such request or * SYSCO or the Operating Companies for the additional time * which would result from honoring the request. 
  

	*	Material omitted and separately filed with the Commission under an application for confidential treatment. 

 6. ORDERING PROCEDURES. 
 (a) Ordering Guidelines. All orders will be placed by Components, ordering by product item or line numbers shown in the Order Guides. SYSCO and each of the Operating Companies will use their best efforts to
establish uniform product item code numbers and to provide to Components electronic order entry software packages or electronic order entry transmission capability for order placement. 
 (b) Placing Orders. Each Component will place orders through an Order Entry System. Each Component that * will be assigned a call day and
approximate call time for placing orders and will be notified of the assigned call day and time. The assigned SYSCO Customer Service Representative will call for the orders on the assigned call day at the approximate call time. Those Components
placing orders through an Order Entry System will have access to a SYSCO Order Entry System that is specifically designed for either broadband (e.g.: e-SYSCO) or dial-up (e.g.: RIO Lite) data communication. All SYSCO Order Entry Systems will be
functional within the constraints defined for the application and will be maintained and supported to meet the ordering requirements of all Components. In the event that a Component encounters a problem in the use of an Order Entry System or in the
content of the data presented, a manned Help Desk support function will be available to the Component when required to assist in resolving any issues arising from the use of the Order Entry System. 
 (c) Specified Products Program. Each Operating Company will incorporate ARAMARK’s Specified Products Program into its written procedures (and
where established, into its computer systems and procedures) for responding to orders placed by Components. * . ARAMARK will from time to time notify SYSCO of those products which are preferred under ARAMARK’s Specified Products Program. SYSCO
will notify Operating Companies of such products. 
 (d) Emergency Orders. Any Component may place, and the Primary Distributor
serving the Component will fill, emergency orders to provide continuity of service. The Primary Distributor serving the Component placing an emergency order will fill each emergency order at a price established in the manner provided in
Section 9. Flagrant abuse of emergency order procedures may be brought to the attention of ARAMARK’s Regional Distribution Managers by SYSCO. 
 (e) Substitution of Products. Except as provided in Section 6(d), no Operating Company may substitute any products for other products ordered by Components. Products which are out of stock or product
substitutions made pursuant to Section 6(d) in connection with ARAMARK’s Specified Products Program will be communicated to each Component, prior to delivery as follows. The Operating Company’s Customer Service Representative will
call those Components affected and will suggest substitute products to be shipped. Substitute products will be shipped to a Component affected only after the Component manager (or his designee) has approved 
  

	*	Material omitted and separately filed with the Commission under an application for confidential treatment. 

 
the substitution. A substituted product of higher quality or grade than the product ordered will be sold at the price in effect at the time of the order for
the product originally ordered, calculated pursuant to Section 9 unless the substitution is the result of a supplier’s failure to timely supply SYSCO. A substitute product of lower quality than the product ordered, will be sold at the
price in effect at the time of the order for that substitute product, calculated pursuant to Section 9. 
 (f) Shortages. SYSCO
and each Primary Distributor acknowledge that the designation of a SYSCO operating company as a Primary Distributor limits the circumstances in which ARAMARK and Components will purchase from alternate suppliers. Therefore, where a Component orders
from a Primary Distributor, SYSCO and the Primary Distributor will use their respective best efforts to supply such Component with its entire order if product is available in the marketplace. 
 7. TERMINATION. 
 (a) Upon 60 days’ prior
written notice to SYSCO, ARAMARK may terminate any Operating Company’s designation as a Primary Distributor in one or more market areas, as to one or more Components, or any combination thereof. If, however, ARAMARK desires to so terminate any
Operating Company’s designation as a Primary Distributor as a result of the expiration or termination of any contract pursuant to which an affiliate of ARAMARK manages a Component, ARAMARK will not be obligated to provide 60 days’ prior
written notice and ARAMARK will provide only such prior written notice as ARAMARK determines to be practical under the circumstances. SYSCO will notify the terminated Operating Company of its termination, the scope of its termination and the
termination date. ARAMARK will order and the terminated Operating Company will deliver to one or more locations designated by ARAMARK all ARAMARK Proprietary Merchandise on hand in inventory within 30 days after the termination date. 
 Either party may terminate this Agreement upon 180 days’ prior written notice to the other party. The term of this Agreement will commence as of
November 25, 2006 and shall continue in effect until November 30, 2010, unless sooner terminated. 
 8. CALCULATION OF COST. 
 * Cost-Based Program. Except as otherwise provided in Section 9(e), all prices to ARAMARK for products, including without limitation,
substitute products and products not listed in a Order Guide, will be calculated on SYSCO’s cost (hereinafter defined), plus a defined margin based on product category, major description, intermediate description and minor description as set
forth on Exhibit A. No changes may be made to Exhibit A without ARAMARK’s prior written consent. In addition, the parties acknowledge that where a contract client of ARAMARK or its affiliates competitively bids such
client’s purchasing program directly, SYSCO may bid at such costing and pricing as SYSCO in its sole discretion, chooses. Should SYSCO be awarded any such bid, the purchases made pursuant to the bid shall not be included in 
  

	*	Material omitted and separately filed with the Commission under an application for confidential treatment. 

 
the total purchases upon which SYSCO is obligated to pay ARAMARK the National Volume Discount, Marketing, Produce Incentive and SYSCO Brand Performance
allowances under Section 10 and any other allowance agreed upon by the parties. SYSCO acknowledges that ARAMARK and its affiliates, under their respective operating agreements with contract clients, are responsible for the purchasing of food,
beverages and other supplies. * 
 (b) Definition of SYSCO’s Cost. The term “SYSCO’s cost” is defined as the
Vendor’s Last Invoice Price, plus * freight charged (including freight charged by SYSCO’s affiliated entity which assumes the internal freight function (“SYSCO Logistics”)), if not included in the Vendor’s Last Invoice
Price, less all off-invoice vendor allowances, discounts and off-invoice promotions for the period of the promotion, excluding cash discounts, breakage allowances and spoilage allowances. 
 (1) The term “Vendor’s Last Invoice Price” is defined as, for each product received, * (i) the invoice price shown on the last
invoice for such product issued by the product vendor including the * , Inc. and its * (collectively, “*”), prior to the date on which an Operating Company calculates SYSCO’s cost and establishes the price of such product, and
(ii) * Where ARAMARK establishes contract pricing for a product as described in Section 9(d) and 9(e), (whether FOB plant or delivered to SYSCO’s dock), the Vendor’s Last Invoice Price, for purposes of calculating SYSCO’s
cost and the sell price of such product, will be * . For the avoidance of doubt, ARAMARK contract pricing will include contracts where ARAMARK’s vendor has agreed to supply products to ARAMARK through ARAMARK’s designated distributor at
the vendor’s truckload quantity price, without regard to the actual size of the load shipped or delivered by the vendor. 
 *

 * 
 * Cash discounts, actual
and imputed, breakage allowances, spoilage allowances and the cost recovery and earned income referenced in Section 8(b)(6) will be excluded from the calculation of SYSCO’s cost of a product. Operating Companies will not increase the cost
of any product by an imputed cash discount, if the vendor does not offer a cash discount. Operating Companies will not decrease SYSCO’s cost of any product by the amount of any actual cash discount made available by the vendor to the Operating
Company, except as provided in Section 9(d)(5). * 
 (5) Allowances (including bid and nonprofit allowances and USDA bill-backs)
granted by manufacturers to be passed along to ARAMARK and its Components will be passed along as * , prior to * . 
 (6) SYSCO and
Operating Companies perform value-added services for suppliers of SYSCO brand and other products over and above procurement activities 
  

	*	Material omitted and separately filed with the Commission under an application for confidential treatment. 

 
typically provided. These value-added services include regional and national marketing, freight management, consolidated warehousing, quality assurance and
performance-based marketing. SYSCO may recover the costs of providing these services and may also be compensated for these services and considers this compensation to be earned income. Receipt of such cost recovery or earned income does not affect
product cost. 
 (c) Net Weight Definition. With respect to the calculation of SYSCO’s cost of * products, the term “net
weight” means the gross weight of a case, the packaging and the * product in the case, less the weight of the case and the packaging. The net weight, as defined in this sub-Section, will be used, with respect to * products, for all purposes,
including calculation of * . For the avoidance of doubt, the * of all products will be calculated on the net weight set forth on the * or * most recent * . 
 9. PRICING AND MARGINS. 
 (a) Pricing Calculations and Adjustments. 
 (1) SYSCO will cause each Operating Company to calculate SYSCO’s cost and to establish prices for all products sold to ARAMARK and its
Components (other than Market Commodity Products) using Vendor’s Last Invoice Price prior to the commencement of each Period. SYSCO will cause Operating Companies to sell all products (other than Market Commodity Products) ordered by ARAMARK
during such period at such prices. Prior to expiration of each Period, SYSCO and each Operating Company will establish prices of all products (other than Market Commodity Products), which will be in effect for the next following Period and which
will reflect increases or decreases in the Vendor’s Last Invoice Price for such Products. 
 (2) SYSCO will cause each Operating
Company to calculate SYSCO’s cost of, and to price, Market Commodity Products on the date associated with such Operating Company, as set forth on Exhibit B, and such prices will remain in effect for the time period set forth on
Exhibit B. Pricing for fresh produce and fresh fish and fresh shellfish will be adjusted * , with pricing based on SYSCO’s cost for the last receiving the day before the price becomes effective. * 
 (b) Primary Distributor Pricing. 
 (1) Sell Price. Except as provided in Section 9(e), all prices to ARAMARK from Primary Distributors will be SYSCO’s cost, plus a defined margin based on product category, * . No changes will be made to Exhibit
A without the prior consent of ARAMARK. Unless otherwise specifically noted on Exhibit A, the margin of each product on Exhibit A is a * such that the price of such product will equal * . Notwithstanding anything
in this Agreement to the contrary, the * on sell for frozen pizza delivered to * , and for plastic, fiber and composite disposable trays delivered * , will be * , and * , respectively. 
 (2)* procedure. Every quarter during the term, SYSCO will provide to ARAMARK with a * report patterned on Exhibit A, showing where
all products distributed by SYSCO and its Operating Companies have been classified for purposes of calculating SYSCO’s cost and sell prices, by product category, * . * 
  

	*	Material omitted and separately filed with the Commission under an application for confidential treatment. 

 (c) Smallwares, ChefEx and Drop Ship Pricing. SYSCO will provide Components with kitchen, cooking,
storage and handling equipment and tabletop items and smallwares (collectively, “Smallwares”). SYSCO will deliver Smallwares to Components, at SYSCO’s option, from Operating Companies, direct from the manufacturer or from SYSCO’s
Central Warehouse network located around the country. 
 (1) From Operating Companies. All prices for Smallwares shipped from
Operating Companies to Components will be at SYSCO’s cost, plus a * . 
 (A) Any Smallwares orders in excess of $*
(but less than $*) will be at SYSCO’s cost, plus * . 
 (B) Any Smallwares orders equal to or exceeding $* will be
at SYSCO’s cost, plus * . 
 * From Manufacturers (Drop Ship). All prices for Smallwares, light equipment, capital equipment and
other products drop shipped from a manufacturer’s factory or distribution facility to Components will equal SYSCO’s cost, plus a * . All prices for drop shipped products in SYSCO’s product category 3 (Meats) and category 5 (Poultry),
other than such products purchased through SYSCO’s ChefEx network (which will be priced in accordance with Paragraph 9(c)(3)), will equal SYSCO’s cost, plus a $* . Freight costs will be included in SYSCO’s cost * . 
 (3) From Central Warehouse. All prices for Smallwares shipped to Components from a SYSCO Central Warehouse on behalf of the Operating Company will
be at SYSCO’s cost for such Operating Company, plus a * . Freight will be charged only on orders under $* . All products other than Smallwares, shipped from the delivering SYSCO Central Warehouse, will be at SYSCO’s Cost for the Operating
Company, plus * . Freight to the Component from the delivering SYSCO Central Warehouse will be charged only on orders under $* . 
 (4)
From ChefEx. All prices for products purchased through SYSCO’s ChefEx network will equal SYSCO’s cost, plus a * margin on sell, plus the normal express delivery charge (e.g., *) to deliver ChefEx products. If requested by ARAMARK *,
SYSCO will cooperate with ARAMARK to utilize * shipping rates for ARAMARK’s ChefEx purchases. 
 (d) Contract Pricing.

 (1) Coffee. Operating Companies will obtain ARAMARK’s premium blend coffee for ARAMARK’s manual and vending operations
through deliveries from ARAMARK approved roasters. Operating Companies will deliver ARAMARK’s premium blend coffee to Components at the prices invoiced to the Operating Companies by ARAMARK approved roasters, plus * SYSCO and each Operating
Company will not 
  

	*	Material omitted and separately filed with the Commission under an application for confidential treatment. 

 
add any surcharge, fee, or other amount to the price of ARAMARK premium blend coffee charged to any Component. * . Operating Companies will deliver *
products to Components at the agreed price established between * and ARAMARK and a National Volume Allowance (hereinafter defined) will not be paid on any * products. 
 (2) Chemicals. Operating Companies will deliver chemical products to Components at the prices for those products established under ARAMARK’s contract with the manufacturer(s) of such products. 

(3) Disposables. Operating Companies will deliver disposable products, such as those sold by * or another ARAMARK preferred product vendor, to
Components at the prices for those products established in ARAMARK’s contract with such vendor, * plus the margin set forth on Exhibit A. 
 (4) Paper Products. Operating Companies will deliver paper products, such as those sold by * or another ARAMARK preferred product vendor, to Components at the prices established in ARAMARK’s contract with
such vendor, plus the margin set forth on Exhibit A. 
 (5) Certain Other Products. ARAMARK Components currently utilize
* Products that are governed by agreements with vendors binding upon * which establish the ultimate price at which the delivering Operating Company must sell such products to the Component. Notwithstanding Section 9, the Sell Price for these
products shall be the amount prescribed (or calculated in accordance with) the agreement with such vendor. Current products where the price to the Component is so determined are fountain syrup products (bag-in-box) from * and * and * . No additional
products where the sell price to the Component is so determined may be added without the prior written consent of ARAMARK and SYSCO. * 
 (e) * and * (fountain syrup). SYSCO will cause Operating Companies to distribute * and * fountain syrup at the respective * and * national chain account contract prices as stipulated by the * and the comparable * and * programs;
provided that each Operating Company will reduce SYSCO’s price to Components for syrup by the amount of the cash discount received by the Operating Company from * . * 
 (f) * and other Contract Pricing. From time to time ARAMARK may choose to enter into * and contract pricing agreements with manufacturers. ARAMARK
will notify SYSCO of the relevant terms of those agreements. SYSCO will cause Operating Companies to perform this Agreement in a manner consistent with such agreements. ARAMARK will endeavor to give SYSCO 30 days advance notice of the implementation
of such agreements and changes thereto. 
 (g) Fresh Shell Eggs. * 
 (h) Specialty Meat Items. Where a Component orders premium meat products from a SYSCO specialty meat company through an Operating Company, the

  

	*	Material omitted and separately filed with the Commission under an application for confidential treatment. 

 
price of such products will be SYSCO’s cost, plus a * . The * for specialty meat products are set forth below. The * will be added, in lieu of any other
* , including without limitation, those * set forth in Exhibit A. For the avoidance of doubt, specialty meat products are defined as the products listed on Exhibit C. Effective at signing of this Agreement, the * for
specialty meat shall be: 
  

						
	* per pound	 	 	* per pound
	$	  	*	 	$	*
	$	  	*	 	$	*
	$	  	*	 	$	*
	$	  	*	 	$	*
	$	  	*	 	$	*

 All billings for specialty meat products will be made by the Operating Companies, unless and until ARAMARK * .

 (i) Food Show Participation. SYSCO will allow Component Frontline Managers to place orders at its Operating Companies’ food
shows, * so long as the Frontline Managers attend such food shows. 
 (j) * . For * a Component (subject to the qualification in the
following paragraph), SYSCO will include a * (“*”) on the * for such * equal to $* . SYSCO will establish a primary/secondary relationship for multiple account numbers for multiple * from the same location without * (“Common Area
*”) in order to ensure the correct aggregation of account numbers. Under these multiple account relationships, the * will appear only on the last * prepared for any set of Common Area * on a given * day, and therefore not on the * for each
* in such set of Common Area *. SYSCO will include the * as a line item with a dedicated SUPC number for the * on the * to the receiving Component which will enable ARAMARK to track the * in its systems. 
 No * will be applicable to * which are the result of an error by SYSCO provided, however, if the receiving Component adds additional products to such *
by SYSCO, such additional products will be treated as * subject to the * . ARAMARK and SYSCO will work together in good faith to address any issues that arise out of * made by SYSCO to correct an error by SYSCO. 
 10. ALLOWANCES. Based on the overall volume of purchases made by ARAMARK and its Components, and the business opportunities presented to SYSCO, SYSCO will provide
to ARAMARK the following allowances: 
 (a) National Volume Discount. SYSCO will pay to ARAMARK a * national volume discount allowance
(the “National Volume Allowance”) on any and all purchases by Components, unless otherwise agreed in writing. * will be excluded from such allowance. SYSCO will pay the National Volume, Marketing, and Produce Incentive 

  

	*	Material omitted and separately filed with the Commission under an application for confidential treatment. 

 
Allowances earned by ARAMARK based on ARAMARK’s purchases in a Period by the * . In addition to these allowances, and the Performance Allowance, SYSCO
will pay to ARAMARK a * prompt payment allowance on all qualified ARAMARK purchases in accordance with Section 12. 
 (b) Marketing
Allowance. Commencing with the Effective Date, SYSCO will pay ARAMARK a national marketing allowance (“Marketing Allowance”) on purchases by Components at the rate of * of total purchases used to calculate the National Volume
Allowance. ARAMARK and SYSCO will review the rate of the Marketing Allowance * and, if mutually agreed, will adjust the rate. 
 (c) SYSCO
Brand Performance Allowance. SYSCO shall pay to ARAMARK a Performance Allowance (the “Performance Allowance”), under and subject to the terms and conditions of Exhibit D. SYSCO guarantees that the SYSCO brand version of a
product previously supplied to ARAMARK by any such manufacturer with the manufacturer’s brand or other brand shall be packed by such manufacturer. 
 (d) Produce Incentive Allowance. SYSCO will pay ARAMARK a produce incentive volume allowance (the “Produce Incentive Allowance”) at the rate of * on all products in SYSCO product Category 11 (Produce)
(other than the products listed on Exhibit E), purchased by ARAMARK and its Components. All items in Category 11, set forth in Section 2(a), will be deemed produce, except for the products listed on Exhibit E. At the end of each
Period, SYSCO will provide ARAMARK with a report on * purchases, and the * of such purchases into * purchases. 
 (e) Purchase
Verification. Calculation and payment of the allowances earned in this Section for a Period (or any other period of time) shall be based on ARATRACK data; provided, however, that if ARAMARK’s accounts payable data show purchases in excess
of the purchases shown on ARATRACK data, for any Period (or other period of time), SYSCO will calculate and pay the allowances described in this Section on that incremental volume of purchases, as well as the volume shown on ARATRACK data for such
Period (or other period of time). For the avoidance of doubt, purchases from an Operating Company of products sold to the Operating Company by a Specialty Company or any other affiliate of SYSCO shall be included for purposes of calculating the
Allowances. 
 (f) No Operating Company Variance. No allowances in addition to or greater than those specified in this Section 10
and no pricing varying from the pricing specified in Section 9 shall be applicable or effective without the prior written consent of a corporate officer of SYSCO. 
 11. ARAMARK PROPRIETARY MERCHANDISE. 
 (a) When requested by ARAMARK, Operating Companies
selected by ARAMARK will stock ARAMARK Proprietary Merchandise, merchandise bearing a national or regional brand and private label merchandise, provided that (1) the manufacturer of such ARAMARK Proprietary Merchandise or other merchandise has
delivered to ARAMARK a warranty and indemnity agreement providing protections 

  

	*	Material omitted and separately filed with the Commission under an application for confidential treatment. 

 
customarily obtained by ARAMARK, which are extended to SYSCO * is able to obtain its standard Hold Harmless Agreement & Guaranty and Warranty of
Product from such manufacturer, and (2) there is a minimum movement of * cases per week for each Operating Company selected by ARAMARK to stock such items. There will be a * day grace period to reach the average movement of * cases per week,
commencing on the date SYSCO notifies ARAMARK that the item is in stock at each Operating Company selected by ARAMARK. Where ARAMARK agrees to transition distribution business from one Operating Company to another, SYSCO will waive the * case
movement requirement for the stocking of ARAMARK’s Specified Products or other merchandise, other than ARAMARK Proprietary Merchandise, for a period of * from the date of such transition. 
 (b) ARAMARK Proprietary Merchandise that has been discontinued by ARAMARK will be the responsibility of ARAMARK to deplete from inventories of
Operating Companies within * days. ARAMARK will be responsible to deplete perishable items within * days. 
 (c) The term
“ARAMARK Proprietary Merchandise” is defined as only those products purchased at the direction of ARAMARK exclusively for ARAMARK lines of business, manufactured and packaged with the ARAMARK logo or other mark proprietary to ARAMARK.

 12. PAYMENT TERMS. 
 ARAMARK will pay
invoices under this Agreement within * after the date of invoice. SYSCO will pay ARAMARK a prompt payment allowance of * on all purchases paid within * days after the date of invoice; provided that for any Period, at least * of the total dollar
amount of invoices from SYSCO and the Operating Companies are paid within * after the invoice date (the “* Test”). If for any Period, the * Test is not met, SYSCO will pay the prompt payment allowance only for those invoices which were
paid within * days after their dates. SYSCO will pay ARAMARK the prompt payment allowance earned in each Period * . The payment terms in this Section will apply to any arrangement where SYSCO has bid to provide distribution services to a third
party, as described in Section 8(a). 
 13. INVOICING. 
 (a) Each Operating Company invoice will be addressed to ARAMARK Services, Inc. in care of the component’s name and address, and will include the correct Component number and the Operating Company’s
supplier number (as designated by ARAMARK) for payment. 
 (b) Monthly price changes for all products (other than Market Commodity
Products) in the product categories listed in Section 2(a) will become effective with the commencement of each Period. Weekly price changes for Market Commodity Products will become effective on the days, and will remain in effect for the
periods, identified in Exhibit B. 
  

	*	Material omitted and separately filed with the Commission under an application for confidential treatment. 

 (c) SYSCO will make available Order Guides and an Order Entry System as provided in Sections 3(b),
5(a) and 6(b). As SYSCO provides or ARAMARK orders new products, such products must conform to ARAMARK’s account codes. Operating Companies will identify on each invoice subtotals of products purchased comporting to ARAMARK’s accounting
format, which upon request, will be provided to SYSCO for distribution to Operating Companies. 
 14. AUDIT. 
 (a) Upon 15 business days’ prior written notice to SYSCO and an Operating Company, ARAMARK may conduct an audit (including verification of
such Operating Company’s costs and prices) of any or all Operating Companies, as more fully provided in this Section. ARAMARK’s notice to SYSCO will state: 
 (1) The Operating Company or companies subject to the audit. 
 (2) The date, time and place of
audit. 
 (3) The dates of the pricing periods to be audited. 
 (4) The items to be audited (including without limitation, appropriate computer screens). 
 (b) ARAMARK will audit * for a period not to exceed * months prior to the date the audit commences (collectively, the “Audit
Documents”). Items to be audited will not exceed * line items, whether or not listed items in SYSCO’s Order Guides. 
 (c)
At the time of the audit, ARAMARK will have access to the Audit Documents for all items being audited. * 
 (d) In addition to the
Audit Documents, SYSCO will make available * prior to the date on which SYSCO’s cost and the price of a product is established. SYSCO will also make available * for the dates and pricing periods for which prices established by SYSCO or any
Operating Company are to be audited. * 
 (e) SYSCO also agrees that, upon notification of an audit, each Operating Company which is
the subject of the audit will utilize ARAMARK’s format if requested to do so. An example of ARAMARK’s format is attached as Exhibit F. If, on the second audit, (1) such Operating Company does not utilize ARAMARK’s
audit format and procedures or does not provide reports or other documents requested by ARAMARK, or (2) * . ARAMARK reserves the right to re-audit, at its discretion, where audit results are unsatisfactory. In that event, ARAMARK may review
invoices and freight bills issued an additional * prior to the audit period if such documentation is available. Furthermore, ARAMARK may review additional line items and additional materials, which will be provided by SYSCO upon ARAMARK’s
request. * 
  

	*	Material omitted and separately filed with the Commission under an application for confidential treatment. 

 15. INSURANCE AND INDEMNITY. 
 (a) SYSCO and each Operating Company will obtain and continue in force, during the term of this Agreement, at their own expense, the following insurance coverage: 
 (1) Workers’ Compensation Insurance and Occupational Disease Insurance as required by the laws of the state or states wherein the work is to
be performed. 
 (2) Employer’s Liability Insurance, with limits of at least $100,000 each claim. 
 (3) Comprehensive Automobile Liability Insurance with limits on Bodily Injury Liability of $100,000 each person, $1,000,000 each accident and
Property Damage Liability of $500,000 each accident, $500,000 aggregate. 
 (4) Comprehensive General Liability Insurance, including
Operations, Product Liability and Contractual Liability coverage, with limits on Bodily Injury and Personal Injury Liability of $1,000,000 each occurrence, $2,000,000 aggregate and Property Damage Liability of $500,000 each occurrence, $500,000
aggregate. 
 (b) SYSCO and each Operating Company will purchase, obtain and maintain insurance policies providing the above-required
coverage from qualified insurance companies rated by A. M. Best Company, Inc. (or any successor rating agency similarly recognized by the insurance industry) (the “Rating Agency”) in one of the three highest categories of the Rating
Agency. Each insurance policy will name ARAMARK, ARAMARK Corporation and their subsidiaries as additional insured, will not contain any cross-liability exclusions and will not be cancelled or materially changed without thirty (30) days’
prior written notice to ARAMARK. Such insurance may be provided in the form of blanket policies covering SYSCO and all of its operating divisions and subsidiaries, including without limitation, Operating Companies. Within 30 days after the date
hereof, SYSCO and each Operating Company will obtain and deliver to ARAMARK certificates of insurance evidencing the coverage required above. If any insurer from which SYSCO or an Operating Company obtains the above-required insurance coverage
ceases to be rated in one of the three highest categories of the Rating Agency, SYSCO or the Operating Company, as the case may be, will obtain, at the time of renewal of such policy or policies, coverage from another qualified insurance company
rated in one of such categories, and within thirty 30 days after obtaining such replacement coverage, will deliver to ARAMARK certificates of insurance evidencing the replacement coverage. 
  

	*	Material omitted and separately filed with the Commission under an application for confidential treatment. 

 (c) SYSCO will defend, indemnify and hold ARAMARK harmless from all costs, liabilities or other
obligations arising out of (1) the performance of this Agreement by SYSCO or any Operating Company, or (2) any product supplied under this Agreement by SYSCO or any Operating Company, except to the extent such costs, liabilities or other
obligations are caused by the negligence or willful misconduct of ARAMARK, ARAMARK Services, Inc., or their respective agents or employees or the agents or employees of entities or persons owning or controlling Components. ARAMARK shall promptly
notify SYSCO of all Claims provided that failure to promptly notify SYSCO shall not affect SYSCO’s obligation except to the extent SYSCO’s ability to defend the Claim is impaired. Promptly upon notification of a Claim by ARAMARK, SYSCO
shall assume and be entitled to control the defense of such Claim with counsel selected by SYSCO and reasonably acceptable to ARAMARK. ARAMARK may participate in the defense of any Claim with counsel of its own choosing at ARAMARK’s expense.

 16. PROCEDURES MANUAL. 
 Promptly after
the execution hereof, and thereafter, on every other anniversary of February 1, 2006 during the Term (the first being February 1, 2008), SYSCO will prepare and supply each Component, and each Operating Company, at no cost to ARAMARK or any
ARAMARK Component, with a detailed policies and procedures manual consistent with this Agreement and identifying and explaining all procedures, delivery schedules, credit memos, etc. Such procedures manual may be the existing manual used by SYSCO
and ARAMARK, with such changes as SYSCO and ARAMARK deems necessary and appropriate to make, and any such changes will be subject to ARAMARK’s approval. 
 17. MINORITY-OWNED AND WOMEN-OWNED SUPPLIERS. 
 It is the policy of both ARAMARK and SYSCO to encourage the interest of
minority and women-owned businesses. SYSCO represents and warrants that to the best of SYSCO’s knowledge, set forth on Exhibit G attached hereto is a true, correct and complete list of minority-owned and women-owned suppliers from
which SYSCO operating companies are purchasing on the date hereof, compiled based on information from SYSCO’s suppliers. If requested, SYSCO will provide ARAMARK, at no cost to ARAMARK, information regarding the purchases of the minority-owned
or women-owned suppliers’ products by Components by Operating Company. SYSCO will notify ARAMARK on a quarterly basis of additions or deletions to Exhibit G attached hereto. 
 18. COMPLIANCE WITH LAWS AND STANDARDS. 
 (a)
In performing this Agreement, SYSCO shall comply, and shall cause the Operating Companies to comply, with all applicable Federal, State and local laws, regulations, rules, ordinances, orders and other legal requirements (“Laws”),
including 

 
without limitation, the Federal Consumer Products Safety Act, the Fair Labor Standards Act, the Hazardous Substance Act, the Occupational Safety and Health
Act of 1970, as amended, and all Federal or State environmental Laws. SYSCO shall also comply, and shall cause the Operating Companies to comply, with ARAMARK’s food safety standards set forth on Exhibit H, as applicable to each
Operating Company. SYSCO shall cause its suppliers of SYSCO branded products (including the Specialty Companies) to adhere to such standards, as are applicable to such suppliers of such products. Such standards may be revised at any time and from
time to time by ARAMARK, and unless otherwise agreed, shall be effective upon receipt thereof by SYSCO. 
 (b) Food safety is of
paramount important to ARAMARK and SYSCO and the ultimate consumer. To that end, SYSCO had developed stringent standards for the production and packaging of ground beef and ground veal (the “SYSCO Ground Beef Safety Standards”), a copy of
which is attached hereto as Exhibit I. In order to adequately protect SYSCO, ARAMARK and the Components from potential food safety issues relating to the production of ground beef and the ultimate consumer, SYSCO shall not be obligated
to utilize any supplier of ground beef which does not meet the SYSCO Ground Beef Safety Standards, whether or not the ground beef supplied by such supplier has been designated by ARAMARK as ARAMARK Proprietary Merchandise or a special order product.

 19. MISCELLANEOUS PROVISIONS. 
 (a)
SYSCO represents and warrants that it has full right, power and authority to enter into this Agreement and to perform, and to cause each Operating Company to perform, all of the terms and conditions of this Agreement on its or their respective
parts to be performed. 
 (b) ARAMARK represents and warrants that it has full right, power and authority to enter into this Agreement
and to perform, and to cause affiliated Components to perform, all of the terms and conditions of this Agreement on its or their respective parts to be performed. 
 (c) Any information supplied by either party to this Agreement to the other party, including without limitation, client information and purchasing specifications will be considered confidential and will not be
disclosed to any third party and will not be used by either party to this Agreement for any reason other than to fulfill the terms of this Agreement. Any party required by law or legal process to disclose any of such confidential information will
notify the other as far in advance of such required disclosure as is reasonably feasible. SYSCO will disclose this Agreement to the Operating Companies, each of which, by providing service under this Agreement, shall be deemed to have agreed to
perform all terms and conditions of this Agreement, including without limitation, this provision on confidentiality. 
 (d) This
Agreement will not apply to any purchases made by or on behalf of any ARAMARK components from any Operating Companies, including without 

  

	*	Material omitted and separately filed with the Commission under an application for confidential treatment. 

 
limitation, any Components which are federal, state or local governmental agencies or instrumentalities, if in the written opinion of counsel to SYSCO or
counsel to ARAMARK, the application of this Agreement would violate any federal, state or local law or regulation. In that event, for those Components and Operating Companies, this Agreement will apply and be enforceable to the maximum extent
permitted by such law or regulation, as determined by counsel to SYSCO and counsel to ARAMARK. For all other Components and Operating Companies, this Agreement will remain in full force and effect. 
 (e) All notices required or permitted to be given under this Agreement by ARAMARK to SYSCO, or by SYSCO or any Operating Company to ARAMARK, will
be in writing signed by the notifying party and will be either hand delivered, or deposited in the U. S. certified or registered mail, postage prepaid, return receipt requested addressed as follows: 
  

					
	 To ARAMARK:
	  	 To SYSCO:
	  	
			
	 ARAMARK Food and Support Services
 Group, Inc. 22nd Fl.
 1101 Market Street, ARAMARK Tower
 Philadelphia, PA 19107
 ATTN: John Orobono
 Senior Vice President, Purchasing and
 Distribution
	  	 SYSCO Corporation
 1390 Enclave Parkway
 Houston, TX 77077
 ATTN: Larry J. Accardi, Executive Vice
 President
  
 With required copies to:
 SYSCO Corporation
 1390
Enclave Parkway
 Houston, TX 77077
 ATTN: General
Counsel
	  	

 or to such other addresses as the parties may direct notice given as herein provided. All notices given by SYSCO
or any Operating Company to any Component will be in writing, and will be signed and given in the manner provided above, to the Component’s address, ATTN: Manager, with a copy to ARAMARK. Notices may be transmitted electronically if followed by
a confirming written notice given as provided above. Notices will be deemed given when hand delivered, or when received as evidenced by the return receipt or the date notice is first refused if that be the case. 
 (f) No waiver of any breach or default of this Agreement will constitute a waiver of any other or further breach or default hereof. This Agreement
will be governed by the law of Pennsylvania, without regard to its choice or conflicts of law rules. The parties hereby waive any objection that venue in Philadelphia, Pennsylvania is improper or inconvenient. 
 (g) This Agreement constitutes the entire understanding and agreement of the parties with respect to its subject matter, supersedes all prior or
contemporaneous agreements, writings and other undertakings between on the one hand, SYSCO and it 

  

	*	Material omitted and separately filed with the Commission under an application for confidential treatment. 

 
subsidiary or affiliated companies, including without limitation, the Operating Companies, and on the other hand, ARAMARK and its lines of business and their
components. All Exhibits attached hereto are incorporated herein by reference. This Agreement may not be amended, altered or otherwise modified including amendments, alterations or modifications relating to any specific Operating Company, except in
a writing signed by a corporate officer of SYSCO and a corporate officer of ARAMARK. 
 (h) In order to enable SYSCO to evaluate
ARAMARK’s credit terms and to monitor ARAMARK’s financial condition, ARAMARK will supply to SYSCO quarterly and annual financial statements of ARAMARK Corporation and its subsidiaries on a consolidated basis consisting of an income
statement, balance sheet and statement of cash flow. SYSCO may request such further financial information from ARAMARK from time to time, sufficient, in SYSCO’s reasonable judgment, to enable SYSCO to accurately assess such ARAMARK’s
financial condition. As long as ARAMARK or its corporate parent makes periodic reporting with the United States Securities and Exchange Commission (SEC) and such reporting is current (with permitted extensions) and in compliance with applicable law
and SEC regulations, the requirements of this paragraph 19(h) shall be deemed satisfied. 
 IN WITNESS WHEREOF, the undersigned duly authorized officers of
SYSCO and ARAMARK have hereunto set their hands and seals on the date first above written. 
  

									
	SYSCO CORPORATION	 		 	ARAMARK FOOD AND SUPPORT SERVICES GROUP, INC.
					
	By:	 	  
	 		 	By:	 	  

					
	Name:	 	  
	 		 	Name:	 	  

					
	Title:	 	  
	 		 	Title:	 	  

 EXHIBIT A 
 To 
 Aramark Master Distribution Agreement 
 Dated as of November 25, 2006 

 EXHIBIT A 
 To 
 Aramark Master Distribution Agreement 
 Dated as of November 25, 2006 
  

													
	 Aramark Price Rule Interpretation
	    	11/14/2006	    		    		    		    		    	
							
	 Category
	    	CCAT	    	*	    	*	    	*	    	*	    	Frequency
							
	 Health Care 1
	    	1	    		    		    		    	*	    	User Defined
							
	 Dairy 2
	    	2	    		    		    		    	*	    	User Defined
							
	 Shell Eggs - Must be handled at the SUPC
 level and with a customer agreement.
	    	2	    	*	    	*	    	*	    	*	    	Weekly
							
	 Pasteurized Eggs - Must be handled at SUPC level.
	    	2	    	*	    	*	    	*	    	*	    	User Defined
							
	 Butter Alternative
	    	2	    	*	    	*	    		    	*	    	User Defined
							
	 Butter
	    	2	    	*	    		    		    	*	    	Weekly
							
	 Cream Cheese
	    	2	    	*	    	*	    		    	*	    	User Defined
							
	 Grated Cheese
	    	2	    	*	    	*	    		    	*	    	Weekly
							
	 Grated Cheese / Bulk Fresh
	    	2	    	*	    	*	    	*	    	*	    	Weekly
							
	 Grated Cheese Bulk Dry
	    	2	    	*	    	*	    	*	    	*	    	User Defined
							
	 Cheese Spread
	    	2	    	*	    	*	    		    	*	    	User Defined
							
	 Cheese Substitute
	    	2	    	*	    	*	    		    	*	    	User Defined
							
	 Cottage Cheese
	    	2	    	*	    	*	    		    	*	    	User Defined
							
	 Ricotta Cheese
	    	2	    	*	    	*	    		    	*	    	User Defined
							
	 Cheese Natural Bulk
	    	2	    	*	    	*	    		    	*	    	Weekly
							
	 Cheese Natural Bulk / Fresh & Soft
	    	2	    	*	    	*	    	*	    	*	    	Weekly
							
	 Imitation Cheese
	    	2	    	*	    	*	    		    	*	    	User Defined
							
	 Cheese Food
	    	2	    	*	    	*	    		    	*	    	User Defined

	*	Material omitted and separately filed with the Commission under an application for confidential treatment. 

															
	 Cheese Cube/Stick
	    	2	  	*	    	*	    		    	*	    	Weekly	    	
								
	 Cream Cheese Red. Fat
	    	2	  	*	    	*	    		    	*	    	User Defined	    	
								
	 Cream Cheese Fat Free
	    	2	  	*	    	*	    		    	*	    	User Defined	    	
								
	 Cream Cheese Flavored
	    	2	  	*	    	*	    		    	*	    	User Defined	    	
								
	 Mozzarella Cheese (all varieties)
	    	2	  	*	    		    		    	*	    	Weekly	    	
								
	 Cheese
	    	2	  	*	    		    		    	*	    	Weekly	    	
								
	 Catchweight Cheese (CMJW)
	    	2	  	*	    		    		    	*	    	Weekly	    	
								
	 Catchweight Cheese (CITW) / Natural Bulk
	    	2	  	*	    	*	    		    	*	    	Weekly	    	
								
	 Milk
	    	2	  	*	    		    		    	*	    	User Defined	    	*
								
	 Meats 3
	    	3	  		    		    		    	*	    	User Defined	    	
	 MEATS - Tiers *
 and
 * and up
	    		  		    		    		    		    		    	
	 Fresh Boxed Beef
	    	3	  	*	    	*	    		    	*	    	Weekly	    	
								
	 Premium Meats PREMIUM MEATS –
 *
 *
 *
 *
 * AND UP
	    	Premium
Meat
Pricing Is
Based on
the MDA
Agreements
*	  		    		    		    		    		    	
	 Premium Meats / Premium Boxed Beef Fresh
	    	3	  	*	    	*	    	*	    	*	    	Time Of Sale	    	
								
	 Premium Meats / Premium Boxed Beef Fresh
	    	3	  	*	    	*	    	*	    	*	    	Time Of Sale	    	
								
	 Premium Meats / Premium Boxed Beef Fresh
	    	3	  	*	    	*	    	*	    	*	    	Time Of Sale	    	
								
	 Premium Meats / Premium Boxed Beef Fresh
	    	3	  	*	    	*	    	*	    	*	    	Time Of Sale	    	
								
	 Premium Meats / Premium Boxed Beef Fresh
	    	3	  	*	    	*	    	*	    	*	    	Time Of Sale	    	
								
	 Fresh Ground Beef
	    	3	  	*	    	*	    		    	*	    	Weekly	    	

	*	Material omitted and separately filed with the Commission under an application for confidential treatment. 

													
	 Beef Portion Fresh
	    	3	    	*	    	*	    		    	*	    	Weekly
							
	 Premium Meats / Premium Cut Steaks Fresh
	    	3	    	*	    	*	    	*	    	*	    	Time Of Sale
							
	 Premium Meats / Premium Cut Steaks Fresh
	    	3	    	*	    	*	    	*	    	*	    	Time Of Sale
							
	 Premium Meats / Premium Cut Steaks Fresh
	    	3	    	*	    	*	    	*	    	*	    	Time Of Sale
							
	 Premium Meats / Premium Cut Steaks Fresh
	    	3	    	*	    	*	    	*	    	*	    	Time Of Sale
							
	 Premium Meats / Premium Cut Steaks Fresh
	    	3	    	*	    	*	    	*	    	*	    	Time Of Sale
							
	 Beef Fresh Deli
	    	3	    	*	    	*	    		    	*	    	Weekly
							
	 Deli Roast Beef Fresh
	    	3	    	*	    	*	    	*	    	*	    	User Defined
							
	 Raw Corned Beef
	    	3	    	*	    		    		    	*	    	Weekly
							
	 Cooked Corned Beef
	    	3	    	*	    		    		    	*	    	User Defined
							
	 Beef Pastrami
	    	3	    		    		    		    	*	    	Weekly
							
	 Raw Unbreaded Cubed Steaks
	    	3	    	*	    	*	    		    	*	    	Weekly
							
	 Beef Misc. Fresh
	    	3	    	*	    	*	    	*	    	*	    	Weekly
							
	 Beef Fresh
	    	3	    	*	    		    		    	*	    	Weekly
							
	 Boxed Beef Frozen
	    	3	    	*	    	*	    		    	*	    	Weekly
							
	 Beef Boxed Frozen / Offall/Organs
	    	3	    	*	    	*	    	*	    	*	    	Weekly
							
	 Raw and Precooked Beef Fajita Meats
	    	3	    	*	    		    		    	*	    	Weekly
							
	 Raw and Precooked Beef Fajita Meats
	    	3	    	*	    		    		    	*	    	Weekly
							
	 Beef Ground Frozen
	    	3	    	*	    	*	    		    	*	    	Weekly
							
	 Beef Portion Frozen
	    	3	    	*	    	*	    		    	*	    	Weekly
							
	 Beef Pre-Cooked Frozen
	    	3	    	*	    	*	    		    	*	    	User Defined
							
	 Frozen Roast Beef
	    	3	    	*	    	*	    	*	    	*	    	User Defined
							
	 Meatballs Raw
	    	3	    	*	    		    		    	*	    	Weekly
							
	 Meatballs Cooked
	    	3	    	*	    		    		    	*	    	Weekly
							
	 Raw Breaded & Unbreaded Cubed Steaks
	    	3	    	*	    	*	    		    	*	    	Weekly
							
	 Pre-cooked Breaded Beef Fritters
	    	3	    	*	    	*	    		    	*	    	User Defined
							
	 Beef Frozen Pre-Cooked Processed
	    	3	    	*	    	*	    	*	    	*	    	User Defined

	*	Material omitted and separately filed with the Commission under an application for confidential treatment. 

													
							
	 Beef Pre-Cooked Misc
	    	3	    	*	    	*	    	*	    	*	    	User Defined
							
	 Beef Misc Frozen
	    	3	    	*	    	*	    		    	*	    	Weekly
							
	 Pork Fresh Raw Primal Cuts
	    	3	    	*	    	*	    		    	*	    	Weekly
							
	 Pork Fresh Portion Cuts
	    	3	    	*	    	*	    		    	*	    	Weekly
							
	 Fresh Cut Spare Ribs
	    	3	    	*	    	*	    	*	    	*	    	Weekly
							
	 Fresh Cut Loin Back Ribs
	    	3	    	*	    	*	    	*	    	*	    	Weekly
							
	 Pork Fresh Sausage
	    	3	    	*	    	*	    		    	*	    	Weekly
							
	 Fresh Ham
	    	3	    	*	    	*	    		    	*	    	Weekly
							
	 Deli Meats Fresh
	    	3	    	*	    	*	    		    	*	    	Weekly
							
	 Franks Fresh
	    	3	    	*	    	*	    		    	*	    	Weekly
							
	 Pizza Topping / Pork Fresh
	    	3	    	*	    	*	    		    	*	    	User Defined
							
	 Bacon Fresh
	    	3	    	*	    	*	    		    	*	    	Weekly
							
	 Bacon Bits Pure Fresh
	    	3	    	*	    	*	    	*	    	*	    	Weekly
							
	 Pork Fresh
	    	3	    	*	    	*	    		    	*	    	Weekly
							
	 Pork Frozen Primal Cuts
	    	3	    	*	    	*	    		    	*	    	Weekly
							
	 Pork Frozen / Hams Fresh Pack
	    	3	    	*	    	*	    	*	    	*	    	Weekly
							
	 Pork Spareribs Frozen
	    	3	    	*	    	*	    	*	    	*	    	Weekly
							
	 Loin Back Ribs Frozen
	    	3	    	*	    	*	    	*	    	*	    	Weekly
							
	 Pork Frozen Portion Cuts
	    	3	    	*	    	*	    		    	*	    	Weekly
							
	 Sausage Frozen
	    	3	    	*	    	*	    		    	*	    	Weekly
							
	 Ham Frozen
	    	3	    	*	    	*	    		    	*	    	Weekly
							
	 Deli-Pre Sliced Frozen Pork
	    	3	    	*	    	*	    		    	*	    	Weekly
							
	 Franks Frozen
	    	3	    	*	    	*	    		    	*	    	Weekly
							
	 Corn Dogs Frozen
	    	3	    	*	    	*	    	*	    	*	    	User Defined
							
	 Cocktail Franks Frozen
	    	3	    	*	    	*	    	*	    	*	    	User Defined
							
	 Pork Frozen Pizza Topping
	    	3	    	*	    	*	    		    	*	    	User Defined
							
	 Bacon Frozen
	    	3	    	*	    	*	    		    	*	    	Weekly
							
	 Pork Frozen
	    	3	    	*	    		    		    	*	    	Weekly

	*	Material omitted and separately filed with the Commission under an application for confidential treatment. 

													
							
	 Fresh Veal Primals
	    	3	    	*	    	*	    		    	*	    	Weekly
							
	 Fresh Veal Portions
	    	3	    	*	    	*	    		    	*	    	Weekly
							
	 Veal Fresh
	    	3	    	*	    		    		    	*	    	Weekly
							
	 Frozen Veal Primals
	    	3	    	*	    	*	    		    	*	    	Weekly
							
	 Frozen Veal Portions
	    	3	    	*	    	*	    		    	*	    	Weekly
							
	 Fresh Corn Dogs
	    	3	    	*	    	*	    	*	    	*	    	User Defined
							
	 Veal Frozen
	    	3	    	*	    		    		    	*	    	Weekly
							
	 Fresh Lamb Primals
	    	3	    	*	    	*	    		    	*	    	Weekly
							
	 Fresh Lamb Portions
	    	3	    	*	    	*	    		    	*	    	Weekly
							
	 Lamb Fresh
	    	3	    	*	    		    		    	*	    	Weekly
							
	 Frozen Lamb Primals
	    	3	    	*	    	*	    		    	*	    	Weekly
							
	 Frozen Lamb Portions
	    	3	    	*	    	*	    		    	*	    	Weekly
							
	 Lamb Frozen
	    	3	    	*	    		    		    	*	    	Weekly
							
	 Meat Pre-Fab Fresh
	    	3	    	*	    		    		    	*	    	Weekly
							
	 Meat Pre-Fab Fresh
	    	3	    	*	    		    		    	*	    	Weekly
							
	 Meat Pre-Fab Frozen
	    	3	    	*	    		    		    	*	    	Weekly
							
	 Meat Specialty Fresh
	    	3	    	*	    		    		    	*	    	Weekly
							
	 Meat Specialty Frozen
	    	3	    	*	    		    		    	*	    	Weekly
							
	 Seafood 4
	    		    		    		    		    		    	
	 FRESH FISH *
	    	4	    		    		    		    	*	    	User Defined
							
	 Fresh Finfish
	    	4	    	*	    		    		    	*	    	Time Of Sale
							
	 Fresh Squid/Calamari
	    	4	    	*	    	*	    		    	*	    	User Defined
							
	 Fresh Shellfish
	    	4	    	*	    		    		    	*	    	Time Of Sale
							
	 Fresh Seafood Stuffing
	    	4	    	*	    	*	    		    	*	    	User Defined
							
	 Fresh Surimi
	    	4	    	*	    	*	    		    	*	    	User Defined
							
	 Fresh Other
	    	4	    	*	    		    		    	*	    	Time Of Sale
							
	 Frozen Finfish
	    	4	    	*	    		    		    	*	    	User Defined
							
	 Frozen Clams Breaded
	    	4	    	*	    	*	    	*	    	*	    	User Defined

	*	Material omitted and separately filed with the Commission under an application for confidential treatment. 

													
							
	 Frozen Conch Fritter Battered
	    	4	    	*	    	*	    	*	    	*	    	User Defined
							
	 Frozen Conch Fritter Pre-Cooked
	    	4	    	*	    	*	    	*	    	*	    	User Defined
							
	 Frozen Crab Stuffed
	    	4	    	*	    	*	    	*	    	*	    	User Defined
							
	 Frozen Crab Cakes
	    	4	    	*	    	*	    	*	    	*	    	User Defined
							
	 Frozen Crab Balls
	    	4	    	*	    	*	    	*	    	*	    	User Defined
							
	 Frozen Crab Stuffing
	    	4	    	*	    	*	    	*	    	*	    	User Defined
							
	 Frozen Crab Nuggets
	    	4	    	*	    	*	    	*	    	*	    	User Defined
							
	 Frozen Crawfish Breaded
	    	4	    	*	    	*	    	*	    	*	    	User Defined
							
	 Frozen Oysters Breaded
	    	4	    	*	    	*	    	*	    	*	    	User Defined
							
	 Frozen Scallop Breaded
	    	4	    	*	    	*	    	*	    	*	    	User Defined
							
	 Frozen Shrimp (Processed)
	    	4	    	*	    	*	    		    	*	    	User Defined
							
	 Frozen Shrimp Rock Breaded
	    	4	    	*	    	*	    	*	    	*	    	User Defined
							
	 Frozen Snails/Escargot
	    	4	    	*	    	*	    		    	*	    	User Defined
							
	 Frozen Shellfish
	    	4	    	*	    		    		    	*	    	Weekly
							
	 Frozen Squid/Calamari
	    	4	    	*	    	*	    		    	*	    	User Defined
							
	 Frozen Turtle
	    	4	    	*	    	*	    		    	*	    	User Defined
							
	 Frozen Seafood Other
	    	4	    	*	    		    		    	*	    	User Defined
							
	 Frozen Prepared Seafood
	    	4	    	*	    		    		    	*	    	User Defined
							
	 Frozen Surimi
	    	4	    	*	    		    		    	*	    	User Defined
							
	 Poultry 5
	    	5	    		    		    		    	*	    	User Defined
							
	 Poultry Fresh
	    	5	    	*	    		    		    	*	    	Weekly
							
	 Raw IQF Bone In Chicken
	    	5	    	*	    	*	    	*	    	*	    	User Defined
							
	 Chicken Frozen Processed Raw Breaded
	    	5	    	*	    	*	    	*	    	*	    	User Defined
							
	 Chicken Frozen Marinated Raw Breaded
	    	5	    	*	    	*	    	*	    	*	    	User Defined
							
	 Chicken Frozen Processed Pre-Cooked
	    	5	    	*	    	*	    	*	    	*	    	User Defined
							
	 Frozen Specialty Chicken
	    	5	    	*	    	*	    	*	    	*	    	User Defined
							
	 Frozen Chicken Raw Parts
	    	5	    	*	    	*	    	*	    	*	    	Weekly

	*	Material omitted and separately filed with the Commission under an application for confidential treatment. 

													
							
	 Frozen Raw BNLS Thigh
	    	5	    	*	    	*	    	*	    	*	    	Weekly
							
	 Frozen Raw BNLS BRST
	    	5	    	*	    	*	    	*	    	*	    	Weekly
							
	 Frozen Portion CNTRL BRST
	    	5	    	*	    	*	    	*	    	*	    	Weekly
							
	 Frozen Whole Chicken
	    	5	    	*	    	*	    	*	    	*	    	Weekly
							
	 Frozen Raw Whole Body Turkey
	    	5	    	*	    	*	    	*	    	*	    	Weekly
							
	 Turkey Frozen Raw B/I Brst
	    	5	    	*	    	*	    	*	    	*	    	Weekly
							
	 Turkey Frozen Raw Trky Rst Sy
	    	5	    	*	    	*	    	*	    	*	    	Weekly
							
	 Turkey Frozen Raw BRST RST SY
	    	5	    	*	    	*	    	*	    	*	    	Weekly
							
	 Frozen Ground TRKY SYS
	    	5	    	*	    	*	    	*	    	*	    	Weekly
							
	 Frozen Raw Trky Rst Pk
	    	5	    	*	    	*	    	*	    	*	    	Weekly
							
	 Frozen Raw GRND TRKY Pk
	    	5	    	*	    	*	    	*	    	*	    	Weekly
							
	 Frozen Turkey Raw Misc.
	    	5	    	*	    	*	    	*	    	*	    	Weekly
							
	 Frozen Turkey Prckd Rolls Sys
	    	5	    	*	    	*	    	*	    	*	    	Weekly
							
	 Frozen TurkeyPrckd Cured Sys
	    	5	    	*	    	*	    	*	    	*	    	Weekly
							
	 Frozen Turkey Prckd Rolls Pkr
	    	5	    	*	    	*	    	*	    	*	    	Weekly
							
	 frozen Turkey Prckd Cured Pkr
	    	5	    	*	    	*	    	*	    	*	    	Weekly
							
	 Frozen Turkey Prckd Turkey Pkr
	    	5	    	*	    	*	    	*	    	*	    	Weekly
							
	 Frozen Turkey Raw Whole Body
	    	5	    	*	    	*	    	*	    	*	    	Weekly
							
	 Frozen Turkey Raw Brsts Parts
	    	5	    	*	    	*	    	*	    	*	    	Weekly
							
	 Quail Frozen
	    	5	    	*	    	*	    		    	*	    	Weekly
							
	 Frozen Wild Game
	    	5	    	*	    	*	    		    	*	    	Weekly
							
	 Frozen Cornish Whole Hens
	    	5	    	*	    	*	    	*	    	*	    	Weekly
							
	 Poultry Frozen
	    	5	    	*	    		    		    	*	    	Weekly
							
	 Frozen 6
	    	6	    		    		    		    	*	    	User Defined
							
	 Pizza (* Only )
	    	6	    	*	    	*	    		    	*	    	User Defined
							
	 Pizza Commodity (* Only)
	    	6	    	*	    	*	    	*	    	*	    	User Defined
							
	 Pizza Frozen Prepared (* Only)
	    	6	    	*	    	*	    	*	    	*	    	User Defined

	*	Material omitted and separately filed with the Commission under an application for confidential treatment. 

													
							
	 Canned and Dry 7
	    	7	    		    		    		    	*	    	User Defined
							
	 Coffee Dry
	    	7	    	*	    	*	    		    	*	    	User Defined
							
	 Coffee Dry Vending
	    	7	    	*	    	*	    	*	    	*	    	User Defined
							
	 Bacon Bits Pure
	    	7	    	*	    	*	    	*	    	*	    	Weekly
							
	 Paper and Disposables 8
	    	8	    		    		    		    	*	    	User Defined
							
	 (Schools Only *) Tray-Carriers Foam
	    	8	    	*	    	*	    	*	    	*	    	User Defined
							
	 (Schools Only *) Tray-Carriers Paper
	    	8	    	*	    	*	    	*	    	*	    	User Defined
							
	 (Schools Only *) Tray-Carriers Paper
	    	8	    	*	    	*	    	*	    	*	    	User Defined
							
	 (Schools Only *) Tray-Carriers Paper
	    	8	    	*	    	*	    	*	    	*	    	User Defined
							
	 (Schools Only *) Tray-Carriers Plastic
	    	8	    	*	    	*	    	*	    	*	    	User Defined
							
	 (Schools Only *) Tray-Carriers Plastic
	    	8	    	*	    	*	    	*	    	*	    	User Defined
							
	 (Schools Only *) Tray-Carriers
	    	8	    	*	    		    		    	*	    	User Defined
							
	 Chemical and Janitorial
	    	9	    		    		    		    	*	    	User Defined
							
	 Supplies and Equipment 10
	    	10	    		    		    		    	*	    	User Defined
							
	 Large Order OR Opening Order Size Priced at time of invoicing.
	    	10	    		    		    		    		    	User Defined
							
	 Large Order OR Opening Order Size Priced at time of invoicing.
	    	10	    		    		    		    		    	User Defined
							
	 Large Order OR Opening Order Size Priced at time of invoicing.
	    	10	    		    		    		    		    	User Defined
							
	 Candles and Lamps
	    	10	    	*	    	*	    		    	*	    	User Defined
							
	 Birthday Candle
	    	10	    	*	    	*	    	*	    	*	    	User Defined
							
	 Candle Fuels
	    	10	    	*	    	*	    	*	    	*	    	User Defined
							
	 Candle, Refill
	    	10	    	*	    	*	    	*	    	*	    	User Defined
							
	 Food Warmer Can
	    	10	    	*	    	*	    	*	    	*	    	User Defined
							
	 Table Candles
	    	10	    	*	    	*	    	*	    	*	    	User Defined
							
	 Tapered Candles
	    	10	    	*	    	*	    	*	    	*	    	User Defined

	*	Material omitted and separately filed with the Commission under an application for confidential treatment. 

													
							
	 Fuels/Lighters
	    	10	    	*	    	*	    		    	*	    	User Defined
							
	 Insulated Dinner Lids
	    	10	    	*	    	*	    	*	    	*	    	User Defined
							
	 Insulated Dinner Lids
	    	10	    	*	    	*	    	*	    	*	    	User Defined
							
	 Exam Gloves - Disposable
	    	10	    	*	    	*	    		    	*	    	User Defined
							
	 Gloves-Unsupport
	    	10	    	*	    	*	    		    	*	    	User Defined
							
	 Brooms/Dust Pan
	    	10	    	*	    	*	    		    	*	    	User Defined
							
	 Brushes
	    	10	    	*	    	*	    		    	*	    	User Defined
							
	 Clean Supply
	    	10	    	*	    	*	    		    	*	    	User Defined
							
	 Gloves Rubber - Disposable
	    	10	    	*	    	*	    	*	    	*	    	User Defined
							
	 Gloves, Rubber
	    	10	    	*	    	*	    		    	*	    	User Defined
							
	 Wall Guard
	    	10	    	*	    	*	    		    	*	    	User Defined
							
	 Matting
	    	10	    	*	    	*	    		    	*	    	User Defined
							
	 Mops
	    	10	    	*	    	*	    		    	*	    	User Defined
							
	 Mop Bucket Wringer
	    	10	    	*	    	*	    		    	*	    	User Defined
							
	 Wall Racks
	    	10	    	*	    	*	    		    	*	    	User Defined
							
	 Squeegees
	    	10	    	*	    	*	    		    	*	    	User Defined
							
	 Vacuum/Sweeper
	    	10	    	*	    	*	    		    	*	    	User Defined
							
	 Warewashing Supplies
	    	10	    	*	    	*	    		    	*	    	User Defined
							
	 Maintenance Supplies
	    	10	    	*	    		    		    	*	    	User Defined
							
	 Produce 11
	    	11	    		    		    		    	*	    	*
							
	 Fruit Baskets
	    	11	    	*	    	*	    		    	*	    	Time Of Sale
							
	 Nuts Fresh
	    	11	    	*	    		    		    	*	    	Time Of Sale
							
	 Plants/Flowers
	    	11	    	*	    		    		    	*	    	Time Of Sale
							
	 Fruit Prepared Fresh Salads found
 in this level must be handled at
 the SUPC Level at *%. Other
 items at this CMIM level will
 price at *
	    	11	    	*	    	*	    		    		    	

	*	Material omitted and separately filed with the Commission under an application for confidential treatment. 

													
	 Potato Prepared Fresh
	    	11	    	*	    	*	    		    	*	    	User Defined
							
	 Prepared Salads
	    	11	    	*	    		    		    	*	    	User Defined
							
	 Prepared Cut Fruit Packed In Juice, Water , or other liquid
	    	11	    	*	    		    		    	*	    	User Defined
							
	 Juice Drink Refridgerated
	    	11	    	*	    		    		    	*	    	User Defined
							
	 Equipment Charges
	    	11	    	*	    		    		    	*	    	User Defined
							
	 Dispenser Beverage 12
	    	12	    		    		    		    	*	    	User Defined
							
	 Coffee
	    	12	    	*	    		    		    	*	    	User Defined
							
	 Frozen Liquid Coffee
	    	12	    	*	    	*	    	*	    	*	    	User Defined
							
	 Vending Coffee
	    	12	    	*	    	*	    	*	    	*	    	User Defined
							
	 Java City Coffee Products
	    	12	    		    		    		    	*	    	User Defined
							
	 Starebucks Coffee Products
	    		    		    		    		    	*	    	
							
	 Central Warehouse Vendor 260912
 (West Coast Central Warehouse)
 *
	    	See Item
Group Tab	    		    		    		    	*	    	Time of Sale
	 Central Warehouse Vendor 260912
 (West Coast Central Warehouse)
 *
	    	See Item
Group Tab	    		    		    		    	*	    	Time of Sale
							
	 Central Warehouse Vendor 7308
 Non S&E
	    	See Item
Group Tab	    		    		    		    	*	    	Time of Sale
							
	 Central Warehouse Vendor 7308
 *
	    	See Item
Group Tab	    		    		    		    	*	    	Time of Sale
							
	 User Defined = Aramark’s Monthly
 Calendar
	    		    		    		    		    		    	
	 All User Defined items will Use
 &CMUBASE
	    		    		    		    		    		    	
	 All Weekly, * and Time of Sale Items will
 Use &RCVCOST
	    		    		    		    		    		    	

	*	Material omitted and separately filed with the Commission under an application for confidential treatment. 

 EXHIBIT A 
 CURRENT ITEM LEVEL EXCEPTIONS TO * SCHEDULE 
  

																					
	 SUPC
	  	 Description
	  	Pack	  	Size	 	Brand	  	MPC	 	CCAT	  	*	  	*	  	*	  	* AND FREQUENCY
	 2105823
	  	EGG SHELL LARGE WHITE USDA AA	  	1	  	15 DZ	 	SYS CLS	  	2105823	 	2	  	*	  	*	  	*	  	*
	 1279215
	  	EGG SHELL LRG CARTON USDA GR A	  	15	  	1 DZ	 	SYS CLS	  	***LGCRTN	 	2	  	*	  	*	  	*	  	*
	 2105815
	  	EGG SHELL MED WHITE USDA AA	  	1	  	15 DZ	 	SYS CLS	  	2105815	 	2	  	*	  	*	  	*	  	*
	 3602786
	  	EGG SHELL MED WHTE PAST USDA A	  	1	  	15 DZ	 	SYS IMP	  		 	2	  	*	  	*	  	*	  	*
	 2437481
	  	SPREAD GRLC SCAMPI	  	2	  	5 LB	 	AREZZIO	  	2437481	 	2	  	*	  	*	  	*	  	*
	 1012491
	  	CHEESE GOLDEN VELVET	  	6	  	5 LB	 	LOL	  	48775	 	2	  	*	  	*	  	*	  	*
	 2531150
	  	CHEESE CHDR SHRD YEL	  	6	  	5 LB	 	PAULY	  	750-7660-376	 	2	  	*	  	*	  	*	  	*
	 7579766
	  	CHEESE GRATED ROMANO PECORINO	  	4	  	5 LB	 	SORENTO	  	183000	 	2	  	*	  	*	  	*	  	*
	 2404127
	  	CHEESE MONTEREY JACK SHRD	  	4	  	5 LB	 	CASASOL	  	26823	 	2	  	*	  	*	  	*	  	*
	 2476596
	  	CHEESE MONTEREY JACK SHRD FCY	  	4	  	5 LB	 	CASASOL	  	26836	 	2	  	*	  	*	  	*	  	*
	 3693355
	  	CHEESE MOZZ PRT SKIM PROV DICE	  	6	  	5 LB	 	AREZZIO	  	1160045	 	2	  	*	  	*	  	*	  	*
	 3693348
	  	CHEESE MOZZ PRT SKM PROV SHRD	  	6	  	5 LB	 	AREZZIO	  		 	2	  	*	  	*	  	*	  	*
	 2215309
	  	CHEESE MOZZ/PROV FEATHER SHRED	  	4	  	5 LB	 	PAULY	  	753-7624-376	 	2	  	*	  	*	  	*	  	*
	 7483654
	  	CHEESE MOZZARELLA LMPS SHRD	  	6	  	5 LB	 	AREZZIO	  	473110	 	2	  	*	  	*	  	*	  	*
	 7484975
	  	CHEESE MOZZARELLA LMWM SHRD	  	6	  	5#	 	AREZZIO	  	473370	 	2	  	*	  	*	  	*	  	*
	 2216836
	  	CHEESE MOZZARELLA SHRD FTHR WM	  	4	  	5 LB	 	PAULY	  	7537607376	 	2	  	*	  	*	  	*	  	*
	 2389278
	  	CHEESE PARMESAN GRATED	  	6	  	5 LB	 	AREZZIO	  	CD482	 	2	  	*	  	*	  	*	  	*
	 1431717
	  	CHEESE PARMESAN GRTD IMPORTD	  	4	  	5 LB	 	SORENTO	  	185400	 	2	  	*	  	*	  	*	  	*
	 2239010
	  	CHEESE PARMESAN SHRD FCY	  	6	  	2 LB	 	LOL	  	41750	 	2	  	*	  	*	  	*	  	*

	*	Material omitted and separately filed with the Commission under an application for confidential treatment. 

																					
	 6160154
	  	CHEESE PARMESAN SHRD IMP ZIP	  	2	  	5 LB	 	AREZZIO	  	ARG07321S	  	2	  	*	  	*	  	*	  	*
	 2433415
	  	CHEESE PARMESAN SHRED FINE	  	4	  	5 LB	 	AREZZIO	  	74182	  	2	  	*	  	*	  	*	  	*
	 2170991
	  	CHEESE PROVORELLA SHRD	  	6	  	5 LB	 	SYS CLS	  	SANDS	  	2	  	*	  	*	  	*	  	*
	 2364024
	  	CHEESE ROMANO GRATED	  	1	  	5 LB	 	AREZZIO	  	534800	  	2	  	*	  	*	  	*	  	*
	 1012723
	  	CHEESE PARMESAN GRATED	  	6	  	5 LB	 	SYS IMP	  	504704	  	2	  	*	  	*	  	*	  	*
	 1012640
	  	CHEESE SUB MOZZARELLA SHRD	  	4	  	5 LB	 	SYS REL	  	BRDN1012640	  	2	  	*	  	*	  	*	  	*
	 1177559
	  	CHEESE BOURSIN HERB FRENCH	  	12	  	5.2 OZ	 	PACKER	  	IMP09300	  	2	  	*	  	*	  	*	  	*
	 1668672
	  	CHEESE BRIE IMPORTED	  	2	  	1 KILO	 	PACKER	  	50100	  	2	  	*	  	*	  	*	  	*
	 1044155
	  	CHEESE BRIE IN TIN 4.5 OZ	  	4	  	12 CT	 	PACKER	  	CHS00017	  	2	  	*	  	*	  	*	  	*
	 1341908
	  	CHEESE CHDR MED YEL SLI INTLF	  	8	  	1.5 LB	 	SYS IMP	  	SYS1341908	  	2	  	*	  	*	  	*	  	*
	 2403657
	  	CHEESE CHDR MILD LOAF YEL	  	2	  	5 LB	 	BBRLIMP	  	1007340	  	2	  	*	  	*	  	*	  	*
	 2560373
	  	CHEESE CHDR MILD YEL PRINT	  	1	  	10 LB	 	PAULY	  	752-9892-376	  	2	  	*	  	*	  	*	  	*
	 1341874
	  	CHEESE CHDR MILD YEL SLI INTLF	  	8	  	1.5 LB	 	SYS IMP	  	SYS1341874	  	2	  	*	  	*	  	*	  	*
	 7803406
	  	CHEESE CHEDDAR SHARP YEL LOAF	  	2	  	5 LB	 	BBRLIMP	  	100-15BB	  	2	  	*	  	*	  	*	  	*
	 2335636
	  	CHEESE MASCARPONE	  	4	  	5 LB	 	BELGIO	  	16	  	2	  	*	  	*	  	*	  	*
	 2403665
	  	CHEESE MONT JACK LOAF	  	2	  	5 LB	 	BBRLIMP	  	1009160	  	2	  	*	  	*	  	*	  	*
	 1012616
	  	CHEESE MONTEREY JACK PRINT	  	1	  	10 LB	 	SYS IMP	  	SYS9219	  	2	  	*	  	*	  	*	  	*
	 7483571
	  	CHEESE MOZZ/PROV LMWM BLND	  	6	  	5#	 	AREZZIO	  	473100	  	2	  	*	  	*	  	*	  	*
	 1970425
	  	CHEESE MOZZARELLA CURD FRSH	  	1	  	20#AVG	 	BELGIO	  	60	  	2	  	*	  	*	  	*	  	*
	 7138894
	  	CHEESE MOZZARELLA CURD FRSH	  	1	  	22# AV	 	AREZZIO	  	XD0081550	  	2	  	*	  	*	  	*	  	*
	 2389252
	  	CHEESE MOZZARELLA FRESH 4 OZ	  	2	  	3 LB	 	AREZZIO	  	2389252	  	2	  	*	  	*	  	*	  	*

	*	Material omitted and separately filed with the Commission under an application for confidential treatment. 

																					
	 1044031
	  	CHEESE MOZZARELLA L/M PRT SKM	  	8	  	6# AVG	 	SYS IMP	  	CHS9320	  	2	  	*	  	*	  	*	  	*
	 1073105
	  	CHEESE MOZZARELLA L/M WHL MLK	  	8	  	6# AVG	 	SYS IMP	  	SYS9321	  	2	  	*	  	*	  	*	  	*
	 2480788
	  	CHEESE MOZZARELLA PRT SKIM	  	8	  	5#AVG	 	PRIMA C	  	202	  	2	  	*	  	*	  	*	  	*
	 7484272
	  	CHEESE MOZZARELLA PRT SKM LM	  	8	  	5#AVG	 	AREZZIO	  	473120	  	2	  	*	  	*	  	*	  	*
	 6158703
	  	CHEESE MOZZARELLA PS DICED	  	1	  	15 LB	 	AREZZIO	  	601860	  	2	  	*	  	*	  	*	  	*
	 7484397
	  	CHEESE MOZZARELLA WHL MILK LM	  	8	  	5#AVG	 	AREZZIO	  	473140	  	2	  	*	  	*	  	*	  	*
	 8411886
	  	CHEESE MOZZARELLA WHL MLK	  	8	  	6#	 	SCHRBER	  	3432	  	2	  	*	  	*	  	*	  	*
	 1546654
	  	CHEESE PEPPER JACK HOT	  	6	  	5 LB	 	SCHRBER	  	18064	  	2	  	*	  	*	  	*	  	*
	 2734317
	  	CHEESE PROVOLONE SLI INTLF .5Z	  	8	  	1.5 LB	 	SYS IMP	  	SY1WSD.5PROV	  	2	  	*	  	*	  	*	  	*
	 1341858
	  	CHEESE SWISS SLICED INTERLEAF	  	8	  	1.5 LB	 	SYS IMP	  	SYS1341858	  	2	  	*	  	*	  	*	  	*
	 1012327
	  	CHEESE BLUE CRUMBLE SMALL	  	4	  	5 LB	 	SYS IMP	  	SYS9503	  	2	  	*	  	*	  	*	  	*
	 1045152
	  	CHEESE BLUE CRUMBLE SMALL	  	1	  	5 LB	 	SYS IMP	  	SYS9504	  	2	  	*	  	*	  	*	  	*
	 1285238
	  	CHEESE BLUE LG CHUNK	  	1	  	5LB	 	SYS IMP	  		  	2	  	*	  	*	  	*	  	*
	 2220143
	  	CHEESE FETA CRUMBLE DOM	  	2	  	5 LB	 	SYS IMP	  	2220143	  	2	  	*	  	*	  	*	  	*
	 1159383
	  	CHEESE FETA DOM	  	2	  	9 LB	 	SYS IMP	  	SYS1159383	  	2	  	*	  	*	  	*	  	*
	 1840396
	  	CHEESE GOAT BUCHE LOG WHITE	  	2	  	2.2#	 	PACKER	  	SILVER	  	2	  	*	  	*	  	*	  	*
	 1045061
	  	CHEESE PROVOLONE	  	3	  	12#AVG	 	SYS IMP	  	SYS9307	  	2	  	*	  	*	  	*	  	*
	 2433423
	  	CHEESE ROMANO PECORINO QUARTER	  	1	  	10#AVG	 	AREZZIO	  	RG07935	  	2	  	*	  	*	  	*	  	*
	 2388304
	  	CHEESE SWISS SANDWICH CUT GR C	  	6	  	6-8#AV	 	BBRLIMP	  	1012996	  	2	  	*	  	*	  	*	  	*
	 1645084
	  	CHEESE RICOTTA	  	12	  	46 OZ	 	LAMAGNA	  		  	2	  	*	  	*	  	*	  	*
	 1209832
	  	CHEESE RICOTTA PRT SKM	  	2	  	5 LB	 	FRIGO	  	101538	  	2	  	*	  	*	  	*	  	*
	 1012285
	  	CHEESE RICOTTA UNWHPD PRT SKIM	  	2	  	5 LB	 	SYS IMP	  	SYS00036	  	2	  	*	  	*	  	*	  	*

	*	Material omitted and separately filed with the Commission under an application for confidential treatment. 

																					
	 2025237
	  	CHEESE RICOTTA WHL MLK	  	4	  	5 LB	 	BEATRIC	  	110-2721-376	  	2	  	*	  	*	  	*	  	*
	 2457828
	  	CHEESE RICOTTA WHL MLK	  	4	  	5 LB	 	SORENTO	  	121000	  	2	  	*	  	*	  	*	  	*
	 2388833
	  	CHEESE RICOTTA WHL MLK WHIPPED	  	2	  	5 LB	 	AREZZIO	  	STOCK	  	2	  	*	  	*	  	*	  	*
	 7488968
	  	CHEESE RICOTTA WM IMPASTATA	  	4	  	5#	 	AREZZIO	  	473610	  	2	  	*	  	*	  	*	  	*
	 7488638
	  	CHEESE RICOTTA WM SPOT PK	  	6	  	3#	 	AREZZIO	  	473480	  	2	  	*	  	*	  	*	  	*
	 1466333
	  	CHEESE MOZZARELLA PIZZA BLEND	  	4	  	5 LB	 	SYS IMP	  	204643	  	2	  	*	  	*	  	*	  	*
	 1012699
	  	CHEESE MOZZARELLA SHRD L/M P/S	  	4	  	5 LB	 	SYS IMP	  	SYS1012699	  	2	  	*	  	*	  	*	  	*
	 2388783
	  	CHEESE MOZZARELLA SHRD L/M P/S	  	4	  	5 LB	 	AREZZIO	  	101376	  	2	  	*	  	*	  	*	  	*
	 1821677
	  	CHEESE MOZZARELLA SHRD LM/PS	  	4	  	5 LB	 	PAULY	  	750-7583-376	  	2	  	*	  	*	  	*	  	*
	 2749935
	  	CHEESE COTTAGE SMALL CURD	  	1	  	16 OZ	 	BORDEN	  	125496	  	2	  	*	  	*	  	*	  	*
	 6190011
	  	CHEESE BRIE	  	12	  	8 OZ	 	BELMONT	  	401	  	2	  	*	  	*	  	*	  	*
	 6189773
	  	CHEESE BRIE 2K HERB	  	1	  	6# AVG	 	BELMONT	  		  	2	  	*	  	*	  	*	  	*
	 8539538
	  	BEEF ROAST BTM RND CKD MED FR	  	2	  	10-12#	 	BBRLCLS	  		  	3	  	*	  	*	  	*	  	*
	 8718579
	  	BEEF ROAST ITALIAN SLI BTM RND	  	2	  	5 LB	 	BBRLCLS	  		  	3	  	*	  	*	  	*	  	*
	 7757727
	  	BEEF ROAST POT CKD W/JCE&ONION	  	1	  	9-12.5	 	BBRL	  		  	3	  	*	  	*	  	*	  	*
	 8718546
	  	BEEF TOP ROUND CHOICE CKD MED	  	2	  	9-12#A	 	BBRLIMP	  		  	3	  	*	  	*	  	*	  	*
	 6729040
	  	BEEF STEAK SWISS CUBED ONCE	  	40	  	4 OZ	 	RS CUTS	  	D112	  	3	  	*	  	*	  	*	  	*
	 9061722
	  	STEAK CUBED SPECIAL 1101	  	32	  	5 OZ	 	RS CUTS	  		  	3	  	*	  	*	  	*	  	*
	 2509172
	  	BEEF CORNED BRISKET CKD DEL-TR	  	4	  	6# AVG	 	NAT DEL	  	09162-10146	  	3	  	*	  	*	  	*	  	*
	 1593367
	  	BEEF CORNED BTM RND FLT CKD DF	  	3	  	5-8#AV	 	BBRL	  	31040	  	3	  	*	  	*	  	*	  	*
	 2378735
	  	BEEF ROAST CHNK&FRND MED 20%	  	2	  	10#AVG	 	BBRL	  	EMMBER80529	  	3	  	*	  	*	  	*	  	*

	*	Material omitted and separately filed with the Commission under an application for confidential treatment. 

																					
	 1045228
	  	BEEF LIVER SLICED SKND&DVND	  	40	  	4 OZ	 	SYS CLS	  	SYSCLS	  	3	  	*	  	*	  	*	  	*
	 1143890
	  	BEEF LIVER SLICED SKND&DVND	  	27	  	6 OZ	 	SYS CLS	  	SYS1143890	  	3	  	*	  	*	  	*	  	*
	 2178184
	  	BEEF PATTY CHUCK PRCKD	  	56	  	3 OZ	 	IMP ANG	  	7757958	  	3	  	*	  	*	  	*	  	*
	 7097058
	  	STEAK BEEF CUBED HMSTY MR HC	  	56	  	3 OZ	 	SYS CLS	  	10020-22300	  	3	  	*	  	*	  	*	  	*
	 1569995
	  	STEAK BEEF CUBED UNBRD RAW	  	40	  	4 OZ	 	GLDBGER	  	3094	  	3	  	*	  	*	  	*	  	*
	 1534312
	  	BEEF DICED 135	  	1	  	10 LB	 	AMITY	  	135	  	3	  	*	  	*	  	*	  	*
	 6622757
	  	BEEF FRITTER CHKN CNTRY 5.33OZ	  	30	  	5.33OZ	 	SUP ANG	  	6622757	  	3	  	*	  	*	  	*	  	*
	 2011260
	  	BEEF CHIPPED CREAMED	  	4	  	76 OZ	 	MYERS	  	45	  	3	  	*	  	*	  	*	  	*
	 8688822
	  	MEATBALL BF/PK PRCKD ITAL SEAS	  	320	  	.5 OZ	 	AREZZIO	  		  	3	  	*	  	*	  	*	  	*
	 1702679
	  	MEATBALL ITALIAN PRCK 2 OZ	  	1	  	10 LB	 	FONTANI	  	CM0088	  	3	  	*	  	*	  	*	  	*
	 1531722
	  	MEATLOAF RAW OLD FASHION	  	3	  	5 LB	 	SYS CLS	  	1722	  	3	  	*	  	*	  	*	  	*
	 7446206
	  	STEAK BEEF CHIC-FRY OVENABL HC	  	40	  	4 OZ	 	SYS CLS	  	10020-21701	  	3	  	*	  	*	  	*	  	*
	 7605991
	  	STEAK SALISBURY CKD HMSTYL HC	  	68	  	3.0 OZ	 	SYS REL	  	2309	  	3	  	*	  	*	  	*	  	*
	 2646719
	  	BEEF GROUND PATTY THICK AND JUICY	  	80	  	4 OZ	 	WISPAK	  	3007	  	3	  	*	  	*	  	*	  	*
	 2918068
	  	BEEF STAEAK PHILLY RAW BRK	  	40	  	4 OZ	 	SUP ANG	  	2918068	  	3	  	*	  	*	  	*	  	*
	 8563009
	  	BEEF STEAK PHLIIY SLI BRK	  	64	  	3 OZ	 	SYS CLS	  	8563009	  	3	  	*	  	*	  	*	  	*
	 8563017
	  	BEEF STEAK PHILLY SLI BRK	  	48	  	4 OZ	 	SYS CLS	  	8563017	  	3	  	*	  	*	  	*	  	*
	 8563041
	  	BEEF STEAK PHILLY SLI BRK	  	32	  	6 OZ	 	SYS CLS	  	8563041	  	3	  	*	  	*	  	*	  	*
	 5342159
	  	BEEF BRISKET SMK	  	3	  	5/7#AV	 	SMKYDMK	  	30010	  	3	  	*	  	*	  	*	  	*
	 1794932
	  	BEEF CRUMBLE PIZZA TOP NO/TVP	  	2	  	5 LB	 	DOSKOCL	  	2562	  	3	  	*	  	*	  	*	  	*
	 7392715
	  	BEEF RIB BLADE DECKLE STRP RAW	  	1	  	10#	 	ESPOSIT	  	109BS2X3/4	  	3	  	*	  	*	  	*	  	*
	 6386718
	  	BEEF BBQ CHP W/TVP W/SCE	  	4	  	5 LB	 	SADLERS	  	426	  	3	  	*	  	*	  	*	  	*

	*	Material omitted and separately filed with the Commission under an application for confidential treatment. 

																					
	 1326982
	  	BEEF PATTY CHKN-FRY PRECOOKED	  	64	  	3 OZ	 	REDISRV	  	PC112	  	3	  	*	  	*	  	*	  	*
	 1326966
	  	BEEF PATTY CHRBR	  	77	  	2.5 OZ	 	REDISRV	  	PC102	  	3	  	*	  	*	  	*	  	*
	 1327014
	  	BEEF PATTY HOAGIE PRECOOKED	  	64	  	3 OZ	 	REDISRV	  	PC135	  	3	  	*	  	*	  	*	  	*
	 1327006
	  	BEEF PATTY PIZZA BRGR PRCK	  	60	  	2.6 OZ	 	REDISRV	  	PC115	  	3	  	*	  	*	  	*	  	*
	 2643013
	  	BEEF TACO MEAT COOKED	  	3	  	5LB	 	WIS-PAK	  	3338	  	3	  	*	  	*	  	*	  	*
	 2044022
	  	GYRO MEAT SLICES PRCK BF&LAMB	  	4	  	5 LB	 	KRONOS	  	1071	  	3	  	*	  	*	  	*	  	*
	 8106924
	  	MEATBALL ALL PURP 1OZ HC	  	1	  	10 LB	 	SYS REL	  		  	3	  	*	  	*	  	*	  	*
	 1224690
	  	MEATBALL BEEF PRECOOKED .5 OZ	  	2	  	5 LB	 	REDISRV	  	130	  	3	  	*	  	*	  	*	  	*
	 2369460
	  	MEATBALL BF/PK PRECOOKED 1 OZ	  	2	  	5 LB	 	AREZZIO	  	69460-071	  	3	  	*	  	*	  	*	  	*
	 2326494
	  	MEATBALL ITALIAN PRCK 1 OZ	  	1	  	10 LB	 	SYS CLS	  	761624	  	3	  	*	  	*	  	*	  	*
	 3788882
	  	BEEF STEAK PHILLY FLT W/V	  	64	  	2.5 OZ	 	SYS REL	  	3788882	  	3	  	*	  	*	  	*	  	*
	 8533598
	  	PORK PATTY BRD PRCKD CN W/VPP	  	40	  	3.75OZ	 	ADVANCE	  	CN46-40	  	3	  	*	  	*	  	*	  	*
	 2512200
	  	PORK BBQ PULLED CKD WO SAUCE	  	2	  	5 LB	 	BBRLCLS	  	70705	  	3	  	*	  	*	  	*	  	*
	 7242795
	  	HAM LOAF	  	2	  	5 LB	 	QUCY ST	  	10285	  	3	  	*	  	*	  	*	  	*
	 1493022
	  	PEPPERONI STICK	  	4	  	3#AVG	 	CARANDO	  	104910	  	3	  	*	  	*	  	*	  	*
	 1117233
	  	PEPPERONI STICK A/C	  	2	  	5 LB	 	SWIFT	  	16398	  	3	  	*	  	*	  	*	  	*
	 2285757
	  	PORK ROLL BNLS	  	2	  	6 LB	 	TRENTON	  	200	  	3	  	*	  	*	  	*	  	*
	 1525021
	  	PORK BBQ CHP W/SCE	  	2	  	5 LB	 	BRKBUSH	  	1620	  	3	  	*	  	*	  	*	  	*
	 1440452
	  	PORK PULL NO SCE PRCKD	  	2	  	5 LB	 	MORRELL	  	66904	  	3	  	*	  	*	  	*	  	*
	 1011857
	  	PORK PTY PRCK MIGHTY RIB	  	80	  	2.25OZ	 	SYS REL	  	4670	  	3	  	*	  	*	  	*	  	*
	 1011865
	  	PORK PTY PRCK MIGHTY RIB	  	60	  	3.2 OZ	 	SYS REL	  	3530	  	3	  	*	  	*	  	*	  	*
	 1671932
	  	PORK RIB BK PRECOOKED BBQ	  	16	  	1.5#AV	 	HATFLD	  	3505	  	3	  	*	  	*	  	*	  	*

	*	Material omitted and separately filed with the Commission under an application for confidential treatment. 

																					
	 7099245
	  	PORK STEAK CUBED HMSTY MR HC	  	40	  	4 OZ	 	SYS CLS	  	10020-74404	  	3	  	*	  	*	  	*	  	*
	 2513893
	  	SAUSAGE IN BLANKET	  	56	  	1.5 OZ	 	STEHWER	  	85	  	3	  	*	  	*	  	*	  	*
	 1332642
	  	SAUSAGE IN BLANKET PRECOOKED	  	80	  	2 OZ	 	SYS CLS	  	SYS1332642	  	3	  	*	  	*	  	*	  	*
	 2340446
	  	SAUSAGE ‘N CHEDDAR IN BLANKET	  	80	  	2 OZ	 	SYS CLS	  	5723	  	3	  	*	  	*	  	*	  	*
	 2034882
	  	SAUSAGE PORK LNK A/C CKD	  	160	  	1 OZ	 	SYS CLS	  	900107	  	3	  	*	  	*	  	*	  	*
	 2277507
	  	SAUSAGE PORK LNK A/C CKD 1.6OZ	  	1	  	10 LB	 	SYS CLS	  	900113	  	3	  	*	  	*	  	*	  	*
	 2034999
	  	SAUSAGE PORK LNK AC CKD .8OZCP	  	1	  	10 LB	 	SYS CLS	  	900112	  	3	  	*	  	*	  	*	  	*
	 1389329
	  	SAUSAGE PORK LNK PRBRN 24X1	  	1	  	12 LB	 	EMBER F	  	20115	  	3	  	*	  	*	  	*	  	*
	 2035004
	  	SAUSAGE PORK LNK SKL CKD 18/21	  	1	  	10 LB	 	SYS CLS	  	700224	  	3	  	*	  	*	  	*	  	*
	 1455047
	  	SAUSAGE PORK LNK SKLS BRN PRCK	  	200	  	.8 OZ	 	JONES D	  	18510	  	3	  	*	  	*	  	*	  	*
	 1721323
	  	SAUSAGE PORK LNK SKLS GLD BRN	  	160	  	1 OZ	 	JONES D	  	18505	  	3	  	*	  	*	  	*	  	*
	 2034890
	  	SAUSAGE PORK PATTY CKD	  	100	  	1.6 OZ	 	SYS CLS	  	800111	  	3	  	*	  	*	  	*	  	*
	 2034908
	  	SAUSAGE PORK PATTY CKD 2 OZ	  	1	  	10 LB	 	SYS CLS	  	800108	  	3	  	*	  	*	  	*	  	*
	 2311512
	  	SAUSAGE PORK PATTY PRECOOKED	  	106	  	1.5 OZ	 	HORMEL	  	17500	  	3	  	*	  	*	  	*	  	*
	 2239366
	  	SAUSAGE PORK PTY CKD	  	160	  	1 OZ	 	SYS CLS	  	800115	  	3	  	*	  	*	  	*	  	*
	 2384568
	  	SAUSAGE PORK PTY PRBRN ORIG	  	128	  	1.5 OZ	 	EMBER F	  	10105	  	3	  	*	  	*	  	*	  	*
	 1398718
	  	SAUSAGE PORK PTY PRECOOKED	  	160	  	1 OZ	 	JONES D	  	18755	  	3	  	*	  	*	  	*	  	*
	 3860657
	  	SAUSAGE VIENNA RETAIL PK	  	1	  	5 OZ	 	PACKER	  		  	3	  	*	  	*	  	*	  	*
	 1064922
	  	PEPPERONI STICK LEONI	  	3	  	3-4#AV	 	HORMEL	  	37648	  	3	  	*	  	*	  	*	  	*
	 1863927
	  	SAUSAGE ITAL BULK FRSH	  	1	  	10LB	 	DEMURO	  		  	3	  	*	  	*	  	*	  	*
	 1863950
	  	SAUSAGE ITAL BULK FRZN	  	1	  	10LB	 	DEMURO	  		  	3	  	*	  	*	  	*	  	*
	 1863521
	  	SAUSAGE ITAL BULK-GRND FENNEL	  	1	  	10LB	 	DEMURO	  		  	3	  	*	  	*	  	*	  	*

	*	Material omitted and separately filed with the Commission under an application for confidential treatment. 

																					
	 2412476
	  	VEAL STEAK CUBED PURE	  	40	  	4 OZ	 	SYS CLS	  	309394	  	3	  	*	  	*	  	*	  	*
	 1089333
	  	VEAL STEAK LUNCHEON UNBRD RAW	  	40	  	4 OZ	 	SYS CLS	  	SYS1089333	  	3	  	*	  	*	  	*	  	*
	 1018415
	  	VEAL PARMIGIANA W/CHS BRD	  	36	  	4.5 OZ	 	SYS REL	  	768411	  	3	  	*	  	*	  	*	  	*
	 1016526
	  	VEAL PATTY BRD	  	40	  	4 OZ	 	SYS REL	  	768381	  	3	  	*	  	*	  	*	  	*
	 1816248
	  	GYRO MEAT LOAF BEEF&LAMB PRCK	  	4	  	6 LB	 	KRONOS	  	1066	  	3	  	*	  	*	  	*	  	*
	 2169951
	  	WHITEFISH WHL SMOKED	  	5	  	2# AVG	 	PACKER	  	1	  	4	  	*	  	*	  	*	  	*
	 7366933
	  	SALMON SMOKED SLI KENDALL/BRK	  	2	  	2LB AV	 	DUCKTRP	  		  	4	  	*	  	*	  	*	  	*
	 7762289
	  	COD TAIL 4 OZ RAW BRD	  	1	  	10 LB	 	SAMBAND	  	22046	  	4	  	*	  	*	  	*	  	*
	 8578866
	  	CRABMEAT JUMBO LUMP	  	12	  	1 LB	 	PHILFDS	  	15101	  	4	  	*	  	*	  	*	  	*
	 8814261
	  	WHITEFISH FILET 10-12 OZ PB Z	  	1	  	11 LB	 	PACKER	  		  	4	  	*	  	*	  	*	  	*
	 1086958
	  	WHITEFISH FILET 6-8 OZ PB Z	  	1	  	11 LB	 	PACKER	  		  	4	  	*	  	*	  	*	  	*
	 7557820
	  	CRAB CAKE HNDMD 2.75Z 35%CRAB	  	4	  	16 CT	 	SYS IMP	  		  	4	  	*	  	*	  	*	  	*
	 7391394
	  	CRAWFISH WHL CKD 16/20 CT	  	2	  	5 LB	 	PACKER	  	5465	  	4	  	*	  	*	  	*	  	*
	 2512796
	  	CHICKEN CVP WING 1&2 JNT	  	4	  	10 LB	 	TYSON	  	8022-928	  	5	  	*	  	*	  	*	  	*
	 7058191
	  	CHICKEN BRST CVP 6OZ SINGLE	  	4	  	5 LB	 	SYS CLS	  		  	5	  	*	  	*	  	*	  	*
	 1861475
	  	CHICKEN CVP 8PC CUT FRESH	  	16	  	2.5#AV	 	SYS CLS	  	SYS1861475	  	5	  	*	  	*	  	*	  	*
	 1861491
	  	CHICKEN CVP 8PC CUT FRESH	  	16	  	2.75#	 	SYS CLS	  	SYS1861491	  	5	  	*	  	*	  	*	  	*
	 1861525
	  	CHICKEN CVP 8PC CUT FRESH	  	16	  	3# AVG	 	SYS CLS	  	SYS1861525	  	5	  	*	  	*	  	*	  	*
	 9007600
	  	CHICKEN CVP 8PC FRSH TRIM MARN	  	14	  	3.25#A	 	TYSON	  	9099-928	  	5	  	*	  	*	  	*	  	*
	 3106887
	  	CHICKEN CVP 9PC FRSH TRIM MARN	  	14	  	3.25AV	 	TYSON	  	8810-928	  	5	  	*	  	*	  	*	  	*

	*	Material omitted and separately filed with the Commission under an application for confidential treatment. 

																					
	 2023695
	  	CHICKEN CVP BRST B/S WHL 6 OZ	  	4	  	5 LB	 	SYS CLS	  	SYS2023695	  	5	  	*	  	*	  	*	  	*
	 2023703
	  	CHICKEN CVP BRST B/S WHL 7 OZ	  	4	  	5 LB	 	SYS CLS	  	SYS2023703	  	5	  	*	  	*	  	*	  	*
	 2023711
	  	CHICKEN CVP BRST B/S WHL 8 OZ	  	4	  	5 LB	 	SYS CLS	  	8030-895	  	5	  	*	  	*	  	*	  	*
	 7645708
	  	CHICKEN CVP BRST WHL	  	1	  	40 LB	 	TYSON	  	2042-928	  	5	  	*	  	*	  	*	  	*
	 2445757
	  	CHICKEN CVP DRUMSTICK	  	1	  	40 LB	 	TYSON	  	1045-928	  	5	  	*	  	*	  	*	  	*
	 4643441
	  	CHICKEN CVP LEG QTR JMBO	  	1	  	40#	 	SYS REL	  	8997-895	  	5	  	*	  	*	  	*	  	*
	 1803287
	  	CHICKEN CVP LEG QUARTER FRSH	  	4	  	10 LB	 	SYS CLS	  	8019-895	  	5	  	*	  	*	  	*	  	*
	 1861210
	  	CHICKEN CVP QUARTER FRSH	  	16	  	2.5#	 	SYS CLS	  	SYS1861210	  	5	  	*	  	*	  	*	  	*
	 1803311
	  	CHICKEN CVP SPLIT BRST FRSH	  	4	  	10 LB	 	SYS CLS	  	3311	  	5	  	*	  	*	  	*	  	*
	 1860576
	  	CHICKEN CVP SPLIT WOG FRESH	  	16	  	3#AVG	 	SYS CLS	  	SYS1860576	  	5	  	*	  	*	  	*	  	*
	 1860253
	  	CHICKEN CVP WHL W/OG FRESH	  	16	  	2.5#AV	 	SYS CLS	  	8006-895	  	5	  	*	  	*	  	*	  	*
	 7186422
	  	CHICKEN CVP WHL W/OG FRSH	  	14	  	3#AVG	 	SYS CLS	  	8008-895	  	5	  	*	  	*	  	*	  	*
	 3900032
	  	CHICKEN CVP WHL WOG	  	12	  	4#UP	 	SYS REL	  		  	5	  	*	  	*	  	*	  	*
	 4775573
	  	CHICKEN CVP WHL WOG	  	22	  	3#UP	 	SYS REL	  	9126-895	  	5	  	*	  	*	  	*	  	*
	 6313845
	  	CHICKEN WHL WOG IQF	  	12	  	3LB	 	PILGRIM	  	821	  	5	  	*	  	*	  	*	  	*
	 3941432
	  	CHICKEN BREAST FILET CKD SAV	  	100	  	3 OZ	 	SYS CLS	  	3822-895	  	5	  	*	  	*	  	*	  	*
	 7585920
	  	CHICKEN BRST O/P SMO DELI IMP	  	2	  	4-6 LB	 	BBRLSMT	  	981485	  	5	  	*	  	*	  	*	  	*
	 6698195
	  	TURKEY BURGER CHILI SOUTHWEST	  	40	  	5.33OZ	 	SYS CLS	  	47-4556	  	5	  	*	  	*	  	*	  	*
	 1017086
	  	CHICKEN 8PC IQF CUT	  	96	  	4.5 OZ	 	SYS CLS	  	3882-895	  	5	  	*	  	*	  	*	  	*
	 1017508
	  	CHICKEN 8PC MARN IQF	  	96	  	5.8 OZ	 	SYS CLS	  	9343-895	  	5	  	*	  	*	  	*	  	*
	 4002762
	  	CHICKEN BRST B/S TNDR PRESS	  	32	  	5 OZ	 	SYS CLS	  	2116-895	  	5	  	*	  	*	  	*	  	*
	 3971942
	  	CHICKEN BRST B/S TNDR PRESS WH	  	48	  	8 OZ	 	SYS CLS	  	3373-895	  	5	  	*	  	*	  	*	  	*

	*	Material omitted and separately filed with the Commission under an application for confidential treatment. 

																					
	 3972056
	  	CHICKEN BRST B/S TNDR PRS SAV	  	40	  	4 OZ	  	SYS CLS	  	2624-895	  	5	  	*	  	*	  	*	  	*
	 1017102
	  	CHICKEN BRST HALF IQF	  	48	  	6.5 OZ	  	SYS CLS	  	3775-895	  	5	  	*	  	*	  	*	  	*
	 8168395
	  	CHICKEN BRST IQF PRESSED MAR	  	27	  	6 OZ	  	SYS CLS	  		  	5	  	*	  	*	  	*	  	*
	 1017128
	  	CHICKEN DRUMSTICK IQF	  	96	  	2.6 OZ	  	SYS CLS	  	3791-895	  	5	  	*	  	*	  	*	  	*
	 1017342
	  	CHICKEN DRUMSTICK IQF XLARGE	  	96	  	3.5 OZ	  	TYSON	  	9657-928	  	5	  	*	  	*	  	*	  	*
	 1017367
	  	CHICKEN GIZZARD IQF	  	4	  	5 LB	  	SYS CLS	  	1168-895	  	5	  	*	  	*	  	*	  	*
	 1133636
	  	CHICKEN HALF XLARGE MARN IQF	  	24	  	22 OZ	  	TYSON	  	3388-928	  	5	  	*	  	*	  	*	  	*
	 2361921
	  	CHICKEN LEG MEAT BNLS SKINLESS	  	14	  	1 LB	  	TYSON	  	1211	  	5	  	*	  	*	  	*	  	*
	 6549380
	  	CHICKEN LEG QTR IQF	  	60	  	9 OZ	  	SYS CLS	  	1463-895	  	5	  	*	  	*	  	*	  	*
	 1017391
	  	CHICKEN LIVER IQF	  	4	  	5 LB	  	SYS CLS	  	9327-895	  	5	  	*	  	*	  	*	  	*
	 4851259
	  	CHICKEN QTR SMKD HCKRY IQF	  	60	  	4 OZ	  	TYSON	  	4320-928	  	5	  	*	  	*	  	*	  	*
	 1017094
	  	CHICKEN QUARTER IQF	  	60	  	8.75OZ	  	SYS CLS	  	3833-895	  	5	  	*	  	*	  	*	  	*
	 2248904
	  	CHICKEN QUARTER IQF OVN RST	  	48	  	6 OZ	  	TYSON	  	1288-928	  	5	  	*	  	*	  	*	  	*
	 1470830
	  	CHICKEN QUARTER IQF XLARGE	  	48	  	11.6OZ	  	TSTYBRD	  	2588-928	  	5	  	*	  	*	  	*	  	*
	 1017136
	  	CHICKEN THIGH IQF	  	96	  	3.5 OZ	  	SYS CLS	  	SYS53783	  	5	  	*	  	*	  	*	  	*
	 1576727
	  	CHICKEN THIGH IQF NO BACK	  	96	  	4.2 OZ	  	TYSON	  	3787	  	5	  	*	  	*	  	*	  	*
	 1017250
	  	CHICKEN WING IQF	  	96	  	2.3 OZ	  	SYS CLS	  	3817-895	  	5	  	*	  	*	  	*	  	*
	 1017144
	  	CHICKEN WING IQF DRUMET 1 JT	  	1	  	15 LB	  	SYS CLS	  	3809-895	  	5	  	*	  	*	  	*	  	*
	 2157899
	  	CHICKEN BURGER GRND RAW SEASON	  	40	  	4 OZ	  	SYS CLS	  	3756-895	  	5	  	*	  	*	  	*	  	*
	 2277655
	  	CHICKEN MEAT GRND 100% 85/15	  	4	  	5 LB	  	SYS CLS	  	IDF1001	  	5	  	*	  	*	  	*	  	*
	 2394054
	  	CHICKEN PHILLY FLT MRN SL BRST	  	40	  	4 OZ	  	SYS CLS	  	200500	  	5	  	*	  	*	  	*	  	*

	*	Material omitted and separately filed with the Commission under an application for confidential treatment. 

																					
	 2810596
	  	CHICKEN PHILLY SLI BRKAWAY	  	76	  	2.5 OZ	  	SYS CLS	  	42125-001	 	5	  	*	  	*	  	*	  	*
	 1926716
	  	CHICKEN BNLS SKLS LEG MEAT	  	4	  	10 LB	  	TYSON	  	703-928	 	5	  	*	  	*	  	*	  	*
	 3971801
	  	CHICKEN BRST B/S TNDR PRS WHL	  	28	  	6 OZ	  	SYS CLS	  	2626-895	 	5	  	*	  	*	  	*	  	*
	 1732791
	  	CHICKEN BRST BNLS SKIN-ON	  	24	  	6 OZ	  	SYS CLS	  	732791	 	5	  	*	  	*	  	*	  	*
	 1732825
	  	CHICKEN BRST BNLS SKIN-ON WH	  	24	  	7 OZ	  	SYS CLS	  	1732825	 	5	  	*	  	*	  	*	  	*
	 1732841
	  	CHICKEN BRST BNLS SKIN-ON WH	  	24	  	8 OZ	  	SYS CLS	  	1732841	 	5	  	*	  	*	  	*	  	*
	 1074046
	  	CHICKEN BRST BNLS SKLS	  	24	  	5 OZ	  	TYSON	  	3216-928	 	5	  	*	  	*	  	*	  	*
	 1074061
	  	CHICKEN BRST BNLS SKLS	  	48	  	4 OZ	  	TYSON	  	3218-928	 	5	  	*	  	*	  	*	  	*
	 1132620
	  	CHICKEN BRST BNLS SKLS	  	24	  	6 OZ	  	TYSON	  	3208-928	 	5	  	*	  	*	  	*	  	*
	 1276278
	  	CHICKEN BRST BNLS SKLS	  	24	  	7 OZ	  	TYSON	  	3258-928	 	5	  	*	  	*	  	*	  	*
	 1640127
	  	CHICKEN BRST BNLS SKLS	  	48	  	3 OZ	  	SYS CLS	  	640127	 	5	  	*	  	*	  	*	  	*
	 2591980
	  	CHICKEN BRST BNLS SKLS	  	24	  	10 OZ	  	TYSON	  	3238-928	 	5	  	*	  	*	  	*	  	*
	 4207916
	  	CHICKEN BRST BNLS SKLS	  	48	  	5 OZ	  	SYS CLS	  		 	5	  	*	  	*	  	*	  	*
	 4207957
	  	CHICKEN BRST BNLS SKLS	  	48	  	6 OZ	  	SYS CLS	  		 	5	  	*	  	*	  	*	  	*
	 4207965
	  	CHICKEN BRST BNLS SKLS	  	48	  	4 OZ	  	SYS CLS	  	4746764-RS*	 	5	  	*	  	*	  	*	  	*
	 1720416
	  	CHICKEN BRST BNLS SKLS MARN	  	24	  	8 OZ	  	SYS REL	  	1720416	 	5	  	*	  	*	  	*	  	*
	 4207999
	  	CHICKEN BRST BNLS SKLS MARN IQF	  	48	  	5 OZ	  	SYS REL	  	15012	 	5	  	*	  	*	  	*	  	*
	 4208005
	  	CHICKEN BRST BNLS SKLS MARN	  	48	  	6 OZ	  	SYS REL	  		 	5	  	*	  	*	  	*	  	*
	 4208088
	  	CHICKEN BRST BNLS SKLS MARN	  	48	  	4 OZ	  	SYS REL	  	21105	 	5	  	*	  	*	  	*	  	*
	 8385775
	  	CHICKEN BRST BNLS SKLS MARN IF	  	32	  	5 OZ	  	TYSON	  	4605-928	 	5	  	*	  	*	  	*	  	*
	 1144930
	  	CHICKEN BRST BNLS SKLS RANDOM	  	4	  	10 LB	  	TYSON	  	9437-928	 	5	  	*	  	*	  	*	  	*

	*	Material omitted and separately filed with the Commission under an application for confidential treatment. 

																					
	 1640168
	  	CHICKEN BRST BNLS SKLS RNDM	  	8	  	5 LB	  	SYS REL	  	SYS1640168	  	5	  	*	  	*	  	*	  	*
	 2222511
	  	CHICKEN BRST BNLS SKLS TNDRPRS	  	1	  	20 LB	  	SPARETM	  	2623-861	  	5	  	*	  	*	  	*	  	*
	 1100395
	  	CHICKEN BRST BNLS SKLS WH	  	24	  	7 OZ	  	SYS CLS	  	1100395	  	5	  	*	  	*	  	*	  	*
	 1386432
	  	CHICKEN BRST BNLS SKLS WH	  	24	  	5 OZ	  	SYS CLS	  	SYS1386432	  	5	  	*	  	*	  	*	  	*
	 4207973
	  	CHICKEN BRST BNLS SKLS WH	  	48	  	8 OZ	  	SYS CLS	  		  	5	  	*	  	*	  	*	  	*
	 4208013
	  	CHICKEN BRST BNLS SKLS WHL	  	48	  	6 OZ	  	SYS CLS	  		  	5	  	*	  	*	  	*	  	*
	 1017243
	  	CHICKEN LEG WHL IQF	  	48	  	6.3 OZ	  	SYS CLS	  	3825-895	  	5	  	*	  	*	  	*	  	*
	 1144617
	  	CHICKEN LIVER RAW	  	6	  	5 LB	  	TYSON	  	213-928	  	5	  	*	  	*	  	*	  	*
	 1068717
	  	CHICKEN THIGH BNLS	  	24	  	4 OZ	  	SYS CLS	  	4428-895	  	5	  	*	  	*	  	*	  	*
	 1145283
	  	CHICKEN THIGH BNLS RAW	  	24	  	5 OZ	  	SYS CLS	  	4436-895	  	5	  	*	  	*	  	*	  	*
	 2381275
	  	CHICKEN THIGH BNLS SKLS RAW	  	4	  	10 LB	  	CASASOL	  	303-894	  	5	  	*	  	*	  	*	  	*
	 6547053
	  	CHICKEN WING 1&2 JNT IF JMBO	  	6	  	5 LB	  	SYS CLS	  	9149-895	  	5	  	*	  	*	  	*	  	*
	 6747448
	  	CHICKEN WING 1&2 JNT IF RAW	  	8	  	5 LB	  	SYS CLS	  	9608-895	  	5	  	*	  	*	  	*	  	*
	 6550248
	  	CHICKEN WING 1ST JNT JMBO IF	  	8	  	5 LB	  	SYS CLS	  	9607-895	  	5	  	*	  	*	  	*	  	*
	 6549422
	  	CHICKEN WING 1ST& 2ND JT MARN	  	8	  	5 LB	  	SYS CLS	  	9604-895	  	5	  	*	  	*	  	*	  	*
	 2482354
	  	CHICKEN WING GLAZED W/TABASCO	  	1	  	10 LB	  	TYSON	  	1059-928	  	5	  	*	  	*	  	*	  	*
	 1068386
	  	CHICKEN WING HONY STNG PCK 1&2	  	1	  	12 LB	  	SYS CLS	  	4462-895	  	5	  	*	  	*	  	*	  	*
	 2146470
	  	CHICKEN WING IF 1&2 JT JUMBO	  	6	  	5 LB	  	TYSON	  	9149-928	  	5	  	*	  	*	  	*	  	*
	 5774864
	  	CHICKEN BRD 3PC BNLS HNY STNG	  	24	  	13.63Z	  	TYSON	  	4615-928	  	5	  	*	  	*	  	*	  	*
	 1068428
	  	CHICKEN BRD 3PC H0NY STNG	  	24	  	10 OZ	  	SYS CLS	  	4432-895	  	5	  	*	  	*	  	*	  	*
	 6297725
	  	CHICKEN BRD 8PC PRCKD	  	1	  	64CT	  	TYSON	  	5429	  	5	  	*	  	*	  	*	  	*
	 6549216
	  	CHICKEN BRD 8PC PRCKD BULK PK	  	1	  	18 LB	  	SYS CLS	  	1298-895	  	5	  	*	  	*	  	*	  	*

	*	Material omitted and separately filed with the Commission under an application for confidential treatment. 

																					
	 2012698
	  	CHICKEN BRD 8PC RAW MARN	  	1	  	35 LB	  	SYS CLS	  	2698-895	  	5	  	*	  	*	  	*	  	*
	 6318315
	  	CHICKEN BRD TND NAT SHPD PRCKD	  	150	  	1 OZ	  	TYSON	  	2473	  	5	  	*	  	*	  	*	  	*
	 1867100
	  	CHICKEN BREAST FIL SAVRY	  	68	  	7 OZ	  	TYSON	  	3281-928	  	5	  	*	  	*	  	*	  	*
	 5383757
	  	CHICKEN BRST APPLE ALMOND	  	24	  	8 OZ	  	LDY AST	  	20015-511	  	5	  	*	  	*	  	*	  	*
	 3547312
	  	CHICKEN BRST CRDN BLEU	  	36	  	5 OZ	  	LDY AST	  	410215	  	5	  	*	  	*	  	*	  	*
	 7401128
	  	CHICKEN BRST CRDN BLEU	  	36	  	4 OZ	  	SYS CLS	  	20951-895	  	5	  	*	  	*	  	*	  	*
	 7398480
	  	CHICKEN BRST CRDN BLEU BRD	  	24	  	7 OZ	  	SYS CLS	  	20935-895	  	5	  	*	  	*	  	*	  	*
	 5297841
	  	CHICKEN BRST DUXELLE EN CROUTE	  	24	  	8.5 OZ	  	LDY AST	  	20026-511	  	5	  	*	  	*	  	*	  	*
	 3542768
	  	CHICKEN BRST FIL BRD HMSTY	  	40	  	4 OZ	  	TYSON	  	1677-928	  	5	  	*	  	*	  	*	  	*
	 6345698
	  	CHICKEN BRST FIL GRL PRCK	  	60	  	3 OZ	  	TYSON	  	4697-928	  	5	  	*	  	*	  	*	  	*
	 6946495
	  	CHICKEN BRST FIL HOT/SPCY BRD	  	40	  	4 OZ	  	TYSON	  	2901	  	5	  	*	  	*	  	*	  	*
	 1990803
	  	CHICKEN BRST FILET BRD COUNTRY	  	30	  	5.33OZ	  	TYSON	  	6193-928	  	5	  	*	  	*	  	*	  	*
	 1971498
	  	CHICKEN BRST FILET BRD RAW	  	56	  	3 OZ	  	SYS CLS	  	2479-895	  	5	  	*	  	*	  	*	  	*
	 1971506
	  	CHICKEN BRST FILET BRD RAW	  	42	  	4 OZ	  	SYS CLS	  	2454-895	  	5	  	*	  	*	  	*	  	*
	 1804301
	  	CHICKEN BRST FILET GRILLED	  	36	  	4.5 OZ	  	TYSON	  	0435-928	  	5	  	*	  	*	  	*	  	*
	 2605178
	  	CHICKEN BRST FILET SOUTHWEST	  	32	  	5 OZ	  	TYSON	  	3456	  	5	  	*	  	*	  	*	  	*
	 5387709
	  	CHICKEN BRST GARLC FOCACI CRST	  	48	  	4 OZ	  	LDY AST	  	3526-511	  	5	  	*	  	*	  	*	  	*
	 7400385
	  	CHICKEN BRST KIEV	  	36	  	4 OZ	  	SYS CLS	  	20929	  	5	  	*	  	*	  	*	  	*
	 2446300
	  	CHICKEN BRST MESQ GRILLED	  	50	  	3.25OZ	  	TYSON	  	429	  	5	  	*	  	*	  	*	  	*
	 1976695
	  	CHICKEN BRST PATTY BRD CKD	  	60	  	3.53OZ	  	SYS CLS	  	2376-895	  	5	  	*	  	*	  	*	  	*
	 1304716
	  	CHICKEN BRST PATTY BRD PRCK	  	60	  	3.8 OZ	  	TYSON	  	2516-928	  	5	  	*	  	*	  	*	  	*
	 1976109
	  	CHICKEN BRST PATTY CKD W/SOY	  	60	  	3.53OZ	  	SYS REL	  	2379-895	  	5	  	*	  	*	  	*	  	*

	*	Material omitted and separately filed with the Commission under an application for confidential treatment. 

																					
	 4654109
	  	CHICKEN BRST POPCRN BG TME BRD	  	2	  	5 LB	  	SYS CLS	  	4234	  	5	  	*	  	*	  	*	  	*
	 3602463
	  	CHICKEN BRST PTY SAVRY FC	  	100	  	3.1 OZ	  	TYSON	  	3822-928	  	5	  	*	  	*	  	*	  	*
	 8910887
	  	CHICKEN BRST STRIP HMSTY PPRD	  	2	  	5 LB	  	TYSON	  	8510-928	  	5	  	*	  	*	  	*	  	*
	 1976117
	  	CHICKEN CHUNK BRD CKD	  	250	  	.68 OZ	  	SYS CLS	  	2377-895	  	5	  	*	  	*	  	*	  	*
	 6549240
	  	CHICKEN CHUNK BRD CKD DINO CN	  	250	  	.66 OZ	  	SYS REL	  	2721-895	  	5	  	*	  	*	  	*	  	*
	 1976125
	  	CHICKEN CHUNK BRD CKD W/SOY	  	250	  	.68 OZ	  	SYS REL	  	2378-895	  	5	  	*	  	*	  	*	  	*
	 5398391
	  	CHICKEN CHUNK CKD FRTR	  	266	  	.6 OZ	  	TYSON	  	3472-928	  	5	  	*	  	*	  	*	  	*
	 1031251
	  	CHICKEN CUT 4PC HONEY STNG PCK	  	12	  	15.5OZ	  	SYS CLS	  	4435-895	  	5	  	*	  	*	  	*	  	*
	 6285761
	  	CHICKEN DIPPER HOT AND SPCY	  	1	  	10 LB	  	TYSON	  	2791-928	  	5	  	*	  	*	  	*	  	*
	 1017649
	  	CHICKEN DRUMET PRCK BRD	  	1	  	12 LB	  	SYS CLS	  	4402-895	  	5	  	*	  	*	  	*	  	*
	 2247419
	  	CHICKEN DRUMMIE HONY STNG 1JNT	  	1	  	12 LB	  	SYS CLS	  	4403-895	  	5	  	*	  	*	  	*	  	*
	 3476488
	  	CHICKEN DRUMSTICK BBQ JUMBO	  	2	  	5 LB	  	TYSON	  	2133-928	  	5	  	*	  	*	  	*	  	*
	 4881207
	  	CHICKEN DRUMSTICK BRD OVN EZ	  	67	  	4.25OZ	  	TYSON	  	4319-928	  	5	  	*	  	*	  	*	  	*
	 7573728
	  	CHICKEN FAJITA BRST STRIP	  	3	  	5 LB	  	TYSON	  	22628-928	  	5	  	*	  	*	  	*	  	*
	 2380434
	  	CHICKEN FAJITA BRST STRIP PRCK	  	2	  	5 LB	  	CASASOL	  	6119-894	  	5	  	*	  	*	  	*	  	*
	 1585819
	  	CHICKEN FILET GLAZER BBQ CKD	  	60	  	3 OZ	  	TYSON	  	2435	  	5	  	*	  	*	  	*	  	*
	 1490168
	  	CHICKEN GLAZER BBQ PRECOOKED	  	210	  	.75 OZ	  	TYSON	  	2205-928	  	5	  	*	  	*	  	*	  	*
	 7329220
	  	CHICKEN LEG MEAT PCS BTTR GINR	  	4	  	5 LB	  	TYSON	  	4810-928	  	5	  	*	  	*	  	*	  	*
	 1017607
	  	CHICKEN LIVER BRD	  	2	  	5 LB	  	TYSON	  	1744-928	  	5	  	*	  	*	  	*	  	*
	 1133826
	  	CHICKEN NUGGET BRD OVENABLE RW	  	2	  	5 LB	  	SYS CLS	  	VAL51135	  	5	  	*	  	*	  	*	  	*
	 1075589
	  	CHICKEN NUGGET BRST BRD	  	1	  	10 LB	  	HOLLYFM	  	416	  	5	  	*	  	*	  	*	  	*

	*	Material omitted and separately filed with the Commission under an application for confidential treatment. 

																					
	 4222600
	  	CHICKEN NUGGET DIXIE FRTTR BRD	  	1	  	20 LB	  	TYSON	  	3672-245	  	5	  	*	  	*	  	*	  	*
	 1267111
	  	CHICKEN PATTY BRD PRECOOKED	  	100	  	3.3 OZ	  	TYSON	  	975-928	  	5	  	*	  	*	  	*	  	*
	 1386275
	  	CHICKEN PATTY BRD RAW	  	60	  	3 OZ	  	TYSON	  	3420-928	  	5	  	*	  	*	  	*	  	*
	 1141126
	  	CHICKEN PATTY BRD WHT FILET	  	60	  	3 OZ	  	TYSON	  	2459	  	5	  	*	  	*	  	*	  	*
	 5390497
	  	CHICKEN PATTY CKD BRD 3.2 OZ	  	2	  	5 LB	  	TYSON	  	3473-928	  	5	  	*	  	*	  	*	  	*
	 7787674
	  	CHICKEN POPCORN BRD	  	2	  	5 LB	  	SYS CLS	  	3034-895	  	5	  	*	  	*	  	*	  	*
	 7787559
	  	CHICKEN POPCORN BRST BUFFL BRD	  	2	  	5 LB	  	SYS CLS	  	8353-895	  	5	  	*	  	*	  	*	  	*
	 7787666
	  	CHICKEN POPCORN BRST HMSTL BRD	  	2	  	5 LB	  	SYS CLS	  	8350-895	  	5	  	*	  	*	  	*	  	*
	 1075308
	  	CHICKEN PTY PRCK WHT/DRK	  	60	  	3 OZ	  	TYSON	  	2476	  	5	  	*	  	*	  	*	  	*
	 7819451
	  	CHICKEN STRIP FRIES	  	3	  	5 LB	  	TYSON	  	2220-928	  	5	  	*	  	*	  	*	  	*
	 1669514
	  	CHICKEN STRIP GRILL SWSTRN	  	1	  	10 LB	  	MCCARTY	  	60404-571	  	5	  	*	  	*	  	*	  	*
	 2048452
	  	CHICKEN TENDER BRD FRMD	  	2	  	5 LB	  	TYSON	  	30275-928	  	5	  	*	  	*	  	*	  	*
	 7407125
	  	CHICKEN TENDER FRITTER RAW PPR	  	2	  	5 LB	  	SYS REL	  	1656-895	  	5	  	*	  	*	  	*	  	*
	 6548812
	  	CHICKEN TENDER RAW BRD	  	3	  	3 LB	  	SYS CLS	  	2556-895	  	5	  	*	  	*	  	*	  	*
	 4605671
	  	CHICKEN THIGH RIB CKD H/BBQ	  	2	  	5 LB	  	SYS CLS	  	4909-895	  	5	  	*	  	*	  	*	  	*
	 6141014
	  	CHICKEN THIGH SPCY STINGER	  	2	  	5 LB	  	TYSON	  	4585-928	  	5	  	*	  	*	  	*	  	*
	 4526182
	  	CHICKEN THIGH STICKLERS	  	1	  	10 LB	  	TYSON	  	4354-928	  	5	  	*	  	*	  	*	  	*
	 1031269
	  	CHICKEN TNDR BRD	  	4	  	3 LB	  	SYS CLS	  	2429-895	  	5	  	*	  	*	  	*	  	*
	 7674153
	  	CHICKEN TNDR BRD HMSTYLE PPR	  	2	  	5 LB	  	TYSON	  	1662-928	  	5	  	*	  	*	  	*	  	*
	 5097878
	  	CHICKEN TNDR BRD HMSTYLE PPR.	  	2	  	5LB	  	SYS REL	  	1662-895	  	5	  	*	  	*	  	*	  	*
	 1017532
	  	CHICKEN TNDR BRD MARN	  	4	  	3 LB	  	SYS CLS	  	2552-895	  	5	  	*	  	*	  	*	  	*
	 1916626
	  	CHICKEN TNDR BRD OVEN/PREP	  	2	  	5 LB	  	SYS CLS	  	TYS2584	  	5	  	*	  	*	  	*	  	*

	*	Material omitted and separately filed with the Commission under an application for confidential treatment. 

																					
	 1017219
	  	CHICKEN TNDR BRD RAW	  	2	  	5 LB	 	SYS CLS	  	1572-895	  	5	  	*	  	*	  	*	  	*
	 1750397
	  	CHICKEN TNDR BRD RAW RANDOM	  	2	  	5 LB	 	TYSON	  	002523-398	  	5	  	*	  	*	  	*	  	*
	 4562302
	  	CHICKEN TNDR HMSTYLE	  	2	  	5#	 	TYSON	  	4353-928	  	5	  	*	  	*	  	*	  	*
	 9058991
	  	CHICKEN TNDR STKHSE PORT/PER	  	80	  	1.95OZ	 	TYSON	  	5145-928	  	5	  	*	  	*	  	*	  	*
	 2560100
	  	CHICKEN WHL W/OG BBQ GRILLER	  	12	  	45.4OZ	 	TYSON	  	508	  	5	  	*	  	*	  	*	  	*
	 1569201
	  	CHICKEN WING 1&2 JNT BRD	  	2	  	7.5 LB	 	TYSON	  	4522	  	5	  	*	  	*	  	*	  	*
	 7446032
	  	CHICKEN WING 1&2 JNT JMBO CKD	  	3	  	5 LB	 	TYSON	  	3303	  	5	  	*	  	*	  	*	  	*
	 2484574
	  	CHICKEN WING BBQ HONEY GLAZED	  	1	  	10 LB	 	TYSON	  	1060-928	  	5	  	*	  	*	  	*	  	*
	 1843200
	  	CHICKEN WING BRD SPICY HOT 1&2	  	2	  	7.5 LB	 	TYSON	  	4524	  	5	  	*	  	*	  	*	  	*
	 4526539
	  	CHICKEN WING CKD CARIBBEAN	  	2	  	5 LB	 	TYSON	  	4185-928	  	5	  	*	  	*	  	*	  	*
	 2211548
	  	CHICKEN WING O FIRE 1ST JT CKD	  	2	  	5 LB	 	TYSON	  	5293-928	  	5	  	*	  	*	  	*	  	*
	 2078319
	  	CHICKEN WING O FIRE CKD	  	1	  	10 LB	 	SYS CLS	  	5210-895	  	5	  	*	  	*	  	*	  	*
	 1828516
	  	CHICKEN WING O FIRE LARGE	  	1	  	10 LB	 	TYSON	  	5255	  	5	  	*	  	*	  	*	  	*
	 9014838
	  	CRISPITO CHICKEN PZZ FLAVORD	  	72	  	3.25OZ	 	TYSON	  	4776-928	  	5	  	*	  	*	  	*	  	*
	 2024859
	  	FRANK TURKEY 10X1	  	2	  	5 LB	 	RAEFORD	  	2701CN	  	5	  	*	  	*	  	*	  	*
	 7164684
	  	FRANK TURKEY 8X1	  	2	  	5 LB	 	RAEFORD	  	270	  	5	  	*	  	*	  	*	  	*
	 7844590
	  	CORN DOG TRKY LITE	  	48	  	4OZ	 	ST FAIR	  	9148	  	5	  	*	  	*	  	*	  	*
	 2124584
	  	CORN DOG TURKEY 10X1	  	48	  	3.2 OZ	 	ST FAIR	  	9832	  	5	  	*	  	*	  	*	  	*
	 1507862
	  	CORN DOG TURKEY 4X1	  	72	  	4 OZ	 	FOSTRFM	  	96101	  	5	  	*	  	*	  	*	  	*
	 2122992
	  	CORN DOG TURKEY 6X1	  	36	  	2.67OZ	 	ST FAIR	  	9365	  	5	  	*	  	*	  	*	  	*
	 2208304
	  	CORN DOG TURKEY MINI	  	240	  	.67 OZ	 	ST FAIR	  	9100	  	5	  	*	  	*	  	*	  	*
	 6698252
	  	TURKEY BURGER PEPPER/GARLIC	  	40	  	5.33OZ	 	SYS CLS	  	22574	  	5	  	*	  	*	  	*	  	*

	*	Material omitted and separately filed with the Commission under an application for confidential treatment. 

																					
	 1673060
	  	TURKEY FRITTER BRD PRECOOKED	  	40	  	4 OZ	  	SYS REL	  	CN4-40	 	5	  	*	  	*	  	*	  	*
	 1041045
	  	CHICKEN LEG MEAT PULL CKD	  	1	  	10 LB	  	SYS CLS	  	3135-895	 	5	  	*	  	*	  	*	  	*
	 1087105
	  	CHICKEN MEAT CHIP SALAD	  	2	  	5 LB	  	TYSON	  	3028-928	 	5	  	*	  	*	  	*	  	*
	 1288638
	  	CHICKEN MEAT CHIP SALAD CKD	  	1	  	10 LB	  	SYS REL	  	3028-895	 	5	  	*	  	*	  	*	  	*
	 1031293
	  	CHICKEN MEAT DICED NAT PRO .5”	  	1	  	10 LB	  	SYS CLS	  	SYS03112	 	5	  	*	  	*	  	*	  	*
	 1282169
	  	CHICKEN MEAT DICED WHT .5 IN	  	1	  	10 LB	  	SYS CLS	  	SYS1282169	 	5	  	*	  	*	  	*	  	*
	 1031327
	  	CHICKEN MEAT PULLED NAT PROP	  	1	  	10 LB	  	SYS CLS	  	TYS2025	 	5	  	*	  	*	  	*	  	*
	 1282177
	  	CHICKEN MEAT PULLED WHT	  	1	  	10 LB	  	SYS CLS	  	SYS1282177	 	5	  	*	  	*	  	*	  	*
	 7450927
	  	HEN GAME ROCK CORNISH GR A	  	24	  	22 OZ	  	TYSON	  	0613-928	 	5	  	*	  	*	  	*	  	*
	 1517259
	  	HEN GAME ROCK CORNISH SPLT	  	24	  	9 OZ	  	TYSON	  	6909-928	 	5	  	*	  	*	  	*	  	*
	 1777507
	  	HEN GAME ROCK CORNSH W/WLD RC	  	24	  	12 OZ	  	SYS IMP	  	20042-895	 	5	  	*	  	*	  	*	  	*
	 2216505
	  	CHICKEN KABOB SOUVLAKI	  	40	  	4 OZ	  	KRONOS	  	1208	 	5	  	*	  	*	  	*	  	*
	 1633312
	  	APTZR POTSTICKER PORK	  	120	  	1 OZ	  	JADE MT	  	53033	 	6	  	*	  	*	  	*	  	*
	 4541272
	  	BREADSTICK CHEESE IW	  	1	  	48 CT	  	TONYS	  	73319	 	6	  	*	  	*	  	*	  	*
	 1931013
	  	COFFEE CAPPUCCINO MOCHA	  	12	  	1 LB	  	SWSMISS	  	56216	 	7	  	*	  	*	  	*	  	*
	 6338792
	  	COFFEE GRND WB OCS	  	42	  	1.75OZ	  	HILLSBR	  	42547	 	7	  	*	  	*	  	*	  	*
	 4983243
	  	GELATIN ASSORTED RED NUTRA	  	18	  	2.75OZ	  	SYS CLS	  	53607	 	7	  	*	  	*	  	*	  	*
	 4984209
	  	PUDDING MIX CHOC INST NUTRA	  	12	  	5 OZ	  	SYS CLS	  	53075	 	7	  	*	  	*	  	*	  	*
	 4984183
	  	PUDDING MIX VAN INST NUTRA	  	12	  	5 OZ	  	SYS CLS	  	53077	 	7	  	*	  	*	  	*	  	*
	 4071411
	  	BACON BIT PURE	  	6	  	4.5 LB	  	SYS CLS	  	SYS0829	 	7	  	*	  	*	  	*	  	*
	 3700630
	  	DISPENSER FOR T-SHIRT BAG	  	1	  	EACH	  	DURO	  	86087-01	 	8	  	*	  	*	  	*	  	*
	 6335962
	  	GAS CARBON DIOXIDE	  	1	  	EA	  	PACKER	  	***	 	8	  	*	  	*	  	*	  	*

	*	Material omitted and separately filed with the Commission under an application for confidential treatment. 

																					
	 7179377
	  	LID PLAS TRANS TRNBRY CUP/BOWL	  	1500	  	EA	  	DINEX	  	3000/8714	  	8	  	*	  	*	  	*	  	*
	 5856273
	  	HOLDER PLASTIC GRIDDLE PAD	  	10	  	EA	  	SYSCO	  	SYS-GH-10	  	8	  	*	  	*	  	*	  	*
	 8543134
	  	FUEL GAS BUTNE	  	12	  	EACH	  	CNDLAMP	  	M0003	  	10	  	*	  	*	  	*	  	*
	 7225568
	  	SALSA PICO DE GALLO FRSH	  	1	  	5 LB	  	SYS IMP	  	913002	  	11	  	*	  	*	  	*	  	*
	 8998502
	  	RELISH APPLE	  	4	  	1 GAL	  	DAILY G	  	42303	  	11	  	*	  	*	  	*	  	*
	 2682573
	  	SALAD CITRUS RIO RED	  	4	  	1 GAL	  	SUNRICH	  	RICIT4X1	  	11	  	*	  	*	  	*	  	*
	 2486066
	  	SALAD FRUIT DELUXE SWTND	  	1	  	8 LB	  	SYS IMP	  	2527786	  	11	  	*	  	*	  	*	  	*
	 3286655
	  	COLE SLAW SHREDED	  	3	  	9.5	  	ORVKENT	  	50407	  	11	  	*	  	*	  	*	  	*
	 3771698
	  	LETTUCE BABY ROMAINE	  	1	  	3LB	  	PACKER	  		  	11	  	*	  	*	  	*	  	*
	 7799653
	  	LETTUCE MIX LCR W/10% ROMAINE	  	4	  	5 LB	  	SYS IMP	  	422009	  	11	  	*	  	*	  	*	  	*
	 7128762
	  	COFFEE GRND COLUMBIAN VEND	  	12	  	2 LB	  	MJB	  	60274	  	12	  	*	  	*	  	*	  	*
	 6611388
	  	COFFEE INSTANT CAPPUC FR VAN	  	6	  	2 LB	  	SUPRIOR	  	66399	  	12	  	1	  	2	  	1	  	*

	*	Material omitted and separately filed with the Commission under an application for confidential treatment. 

 SCHEDULE 1 
 To 
 EXHIBIT A 
 To 
 ARAMARK Master Distribution Agreement 
 Dated as of November 25, 2006 
 This Exhibit 1
identifies each product whose * is identified as “*” and whose selling price is calculated by adding “*” to SYSCO’s cost of the participating SYSCO operating company which delivers the product. 
 This Exhibit 1 also identifies whether those products are Market Commodity Products, whose selling prices are calculated weekly and hence, listed in a weekly price order
guide, or whether those products’ selling prices are calculated on a monthly basis, and hence listed in a monthly price order guide. 
 Category 1
– Healthcare 
 All categories @ * User Defined 
 Category 2 – Dairy 
 All Dairy products (inclusive of butter alternatives, refrigerated and frozen egg products, pasteurized/cage
free/organic shell eggs, cream cheese, ricotta cheese, cottage cheese, cheese food, imitation cheese, dry Parmesan and Romano “shaker” cheese, and substitute cheese) are priced at * User Defined with the exception of the following listed
below.... 
  

			
	 •     Butter Products: bulk, solids, portion controlled (under 2/2)
	  	$* - Weekly
		
	 •     Natural & Imported Catchweight Cheese
	  	$* - Weekly
		
	 •     Mozzarella Cheeses: all shreds, blocks, prints, loaves, fresh, curd, slices (under 2/4/2. 2/4/4, 2/4/8,
2/4/9, 2/4/11 and 2/4/14)
	  	$* - Weekly
		
	 •     Shredded Cheese and Shredded Cheese Blends (inclusive of Parmesan, Romano, and Italian
Blended)
	  	$* - Weekly
		
	 •     Cheese Cubes and Sticks (under 2/4/11)
	  	$* - Weekly
		
	 •     Shell Eggs (under 2/1/1/1)
	  	$* under *

 Category 3 – Meats 
 “Weekly” Definition... 
 (a) Portion cut steaks, Beef, Pork, Veal, Lamb, Primals or Subprimals, as defined in
the Meat Buyer’s Guide published by the National Association of Meat Purveyors (NAMP), as amended from time to time. Includes raw, fresh and frozen boxed, ground and diced beef, pork, veal, 

  

	*	Material omitted and separately filed with the Commission under an application for confidential treatment. 

 
stew meat, both bulk and patties, unbreaded and raw unbreaded. Also includes pork chops, pork cutlets, pork butts, pork loins, BRT fresh hams, lamb chops,
brisket, raw fajita meat, pastrami, corned beef, raw veal luncheon steaks and patties, beef sandwich steaks, short ribs, and beef tongue 
 (b) Spare ribs,
baby back ribs, Canadian bacon, bacon (all), cooked and raw ham, sausage (fresh, dinner, breakfast, smoked, and dry), hot dogs, turkey franks, chopped ham, luncheon meats, and liverwurst. 
 Beef 
  

					
	Meat Tiers:	  	$*	    	$*
		  	$* -higher	    	$*
	All Other	  	*	    	Weekly or User Defined

  

			
	 •     Ground Beef: all bulk and patty products (under 3/1/2 and 3/2/2)
	  	$* - Weekly
		
	 •     Fresh Cut Steaks: Priced as “time of sale”
	  	Meat Tier - TOS
		
	 •     Frozen Cut Steaks:
	  	Meat Tier – User Defined
		
	 •     Fresh and Frozen Boxed Beef: Inclusive of boxed inside rounds, beef brisket, inside skirts, ribeye lip-on,
steamship rounds, gooseneck rounds and any other like item
	  	Meat Tier – Weekly
		
	 •     “Philly” Style Beef Steaks (under 3/2/3)
	  	Meat Tier – Weekly
		
	 •     Cooked Roast Beef: Inclusive of Cooked Prime Rib (under 3/1/4/1, 3/2/3, 3/2/4, and
3/2/4/99)
	  	Meat Tier –User Defined
		
	 •     Meatballs: Raw / Cooked (under 3/2/1, 3/2/3, 3/2/4. 3/2/99, 6/2/1)
	  	Meat Tier – Weekly
		
	 •     Raw Unbreaded Cubed Steaks (under 3/1/3 and 3/2/3)
	  	Meat Tier – Weekly
		
	 •     Raw Breaded Beef Fritters (under 3/2/3)
	  	Meat Tier – Weekly
		
	 •     Precooked Breaded Beef Fritters (under 3/2/4)
	  	Meat Tier – User Defined
		
	 •     Raw Corned Beef (under 3/1/1 and 3/1/4)
	  	Meat Tier – Weekly
		
	 •     Cooked Corned Beef (under 3/1/1 and 3/1/4)
	  	Meat Tier – User Defined
		
	 •     Beef Pastrami (under 3/1/4 and 3/2/4)
	  	Meat Tier – Weekly
		
	 •     Raw Beef Fajita Meat: Marinated and Un-marinated (Whole & Strips) under 3/2/1, 3/2/3 and
3/3/4
	  	Meat Tier – Weekly
		
	 •     Precooked Beef Fajita Meat: Marinated and Un-marinated (Whole & Strips) under 3/2/1, 3/2/3 and
3/3/4
	  	Meat Tier – Weekly
		
	 •     Beef Pizza Topping
	  	Meat Tier – User Defined

	*	Material omitted and separately filed with the Commission under an application for confidential treatment. 

 NOTE....Specialty Meats <UNDER DISCUSSION> 
 Pork 
  

			
	 •     Sausage Products: Breakfast and Dinner products, Smoked, Bratwurst, Chorizo, Andouille, links, patties,
rope, bulk (3/3/3 and 3/4/3)
	  	$* Weekly
		
	 •     Hams: All Cooked, Raw, Smoked, Chopped (under 3/3/4 and 3/4/4)
	  	$* Weekly
		
	 •     Bacon: Slab, Layflat, Shingle, Canadian Style, Precooked, Fresh Bacon Bits (under 3/3/8 and
3/4/8)
	  	$* Weekly
		
	 •     Pork Sub-primals: Butts, Chops, Cutlets. Etc (3/3/1, 3/3/2, 3/4/1, 3/4/2)
	  	$* Weekly
		
	 •     Pork Ribs: Spare, Baby Back, St Louis, Country Style
	  	$* Weekly
		
	 •     Pork/Sausage Pizza Topping (3/3/7 and 3/4/7)
	  	Meat Tier -User Defined
		
	 •     Pepperoni: Sliced and Stick (3/3/7 and 3/4/7)
	  	$* Weekly
		
	 •     Franks (Beef, Pork, Turkey, Chicken under 3/3/6, 3/4/6, 5/2/2)
	  	$* Weekly
		
	 •     Corn Dogs (All Meat & Poultry types) & Sausage in Blanket
	  	* - User Defined
		
	 •     Cocktail Franks (3/4/6/5)
	  	$* - User Defined

 Category 4 – Seafood 
 All categories @ * User Defined 
 Exceptions... 
  

			
	 •     Fresh Fin Fish Tiers (Tier Pricing inclusive of 4/1 and 4/3)
	  	* fee
		  	Time Of Sale
		  	$* higher $*
		  	Time Of Sale
		
	 •     Fresh Shellfish (Shrimp: Raw & Processed, Crab, Non-Imitation Crabmeat, Clams, Lobster, Crawfish and
other shellfish under 4/2)
	  	*
		
	 •     Frozen Shellfish (Shrimp: Raw & Processed, Crab, Non-Imitation Crabmeat, Clams, Lobster, Crawfish and
other shellfish under 4/12)
	  	* Weekly
		
	 •     Fresh & Frozen Calimari/Squid *under 4/2/11 and 4/13/9)
	  	11.5% - User Defined

 Category 5 – Poultry 
 All categories @ * User Defined 
 Exceptions... 
  

			
	 •     Commodity Boneless Chicken Breasts (IF, IW, Marinated under 5/2/1/9)
	  	$* Weekly
		
	 •     Raw Bone-In IQF Chicken (Whole and Parts)
	  	$* - User Defined
		
	 •     All Chicken Roll, Franks, Unbreaded Livers, and Unbreaded Gizzards (under 5/2/1)
	  	$* - Weekly
		
	 •     Ground, Pulled and Diced Cooked Chicken (under 5/2/4)
	  	$* - Weekly
		
	 •     Chicken Philly Steak Meat (under 5/2/1)
	  	$* - Weekly

	*	Material omitted and separately filed with the Commission under an application for confidential treatment. 

			
	 •     Chicken Fajita Meat (Raw, Cooked, Whole, Strips products under 5/2/1 and 5/2/4)
	  	$* - Weekly
		
	 •     Fresh and Frozen Whole Turkey (under 5/2/2/1 and 5/2/3/1)
	  	$* - Weekly
		
	 •     All Turkey Breast Products (Cooked, Raw, Smoked, Sliced, Pulled, Diced, Ground, Cubed, Franks, Turkey Ham,
Turkey Roll under 5/2/2)
	  	$*/# - Weekly
		
	 •     All Fresh/CVP Chicken (Bone-In, Whole and Parts under 5/1)
	  	$* - Weekly
		
	 •     Frozen Duck, Quail and Cornish Game Hens (Whole and Parts under 5/2/6, 5/2/3, 5/2/10)
	  	$* - Weekly
		
	 •     Frozen Wild Game (under 5/2/9)
	  	$* - Weekly

 Category 6 – Frozen 
 All categories @ * User Defined 
 Exceptions... 
  

	 	•	 	 Frozen topped pizza (standard and commodity under 6/2/40) is priced at * User Defined margin for * only 

 Category 7 – Canned & Dry 
 All categories @ *
User Defined 
 Exceptions... 
  

			
	 •     Coffee/Dry (7/8/1)
	  	$* - User Defined
		
	 •     Coffee/Dry/Vending (7/8/1/3)
	  	$* -User Defined
		
	 •     Non-Imitation Bacon Bits (7/23/1/2)
	  	$* - Weekly

 Category 8- Disposables 
 All categories @ * User Defined 
 Exception... 
  

	 	•	 	 Disposable Paper, Pulp, and Plastic Carry (8/90) trays are priced at * for * components only 

 Category 9 - Chemicals 
 All categories @ * User Defined

  

	*	Material omitted and separately filed with the Commission under an application for confidential treatment. 

 “*” Exception... 
  

	 	•	 	 * contract pricing based on the designated */ARAMARK contract. Any deviations for a component to not be on the the ARAMARK contract...whether directed from * or
ARAMARK...needs to be agreed upon in writing by ARAMARK. 

 Category 10 – Supplies & Equipment 
 All categories @ * User Defined 
 Exception... 
  

			
	 •     All “canned fuel, candles, lighters, lamp fuel and like items” (10/14/12 and
10/14/23)
	  	
		
	 •     * - User Defined
	  	
		
	 •     All “disposable insulated dinner lids” (10/16/30/31 and 10/16/30/35)
	  	* - User Defined
		
	 •     All “disposable exam gloves...”vinyl, powdered, powder-free, etc”
	  	* - User Defined
		
	 •     All cleaning supplies...”brooms (10/51/6), brushes (10/51/8), cleaning supplies (10/51/12),
disposable rubber gloves (10/51/27), mops (10/51/52), mop bucket wringer (10/51/54), squeegees (10/51/75), and vacuums/sweepers (10/51/67)
	  	* - User Defined

 Category 11 – Produce 
 Produce prices based on the following criteria.... 
  

					
	 •     Produce “*” cases
	  	$* Per *	  	- *
			
	 •     Produce cases with a cost base up to $*
	  	$* Per Case	  	- *
			
	 •     Produce cases with a cost base over $*
	  	$* Per Case	  	- *
			
	 •     Fruit Baskets (11/3/3)
	  	* - Time Of Sale	  	
			
	 •     Plants and Flowers (11/5)
	  	* - Time Of Sale	  	
			
	 •     Fresh Nuts (11/4)
	  	* - Time Of Sale	  	
			
	 •     Refrigerated Potato products (11/3/4)
	  	* - User Defined	  	
			
	 •     Refrigerated Prepared Salads (11/6)
	  	* - User Defined	  	
			
	 •     Refrigerated Fruits packed in juice or water (11/3/1 and 11/6/2)
	  	* - User Defined	  	
			
	 •     Refrigerated Fruits packed with no juice or water
	  	$* Per	  	Case -*
			
	 •     Refrigerated Juice Drinks (11/7)
	  	* - User Defined	  	

 Category 12 – Beverage 
 All priced at * User Defined with the following exceptions. All coffee fees apply unless ARAMARK has negotiated a component sell price in their contract with that specified vendor. 
  

	*	Material omitted and separately filed with the Commission under an application for confidential treatment. 

			
	 •     Ground and Whole Bean Coffee (12/1)
	  	$* - User Defined
		
	 •     Frozen Liquid Coffee (12/1/2/5)
	  	* - User Defined
		
	 •     Vending Coffee (12/1/2/6)
	  	$* - User Defined
		
	 •     Java City Coffee products
	  	$* - User Defined
	
	 •     * Coffee products are priced based on the contract agreement between ARAMARK and
*

	*	Material omitted and separately filed with the Commission under an application for confidential treatment. 

 EXHIBIT B 
 To 
 ARAMARK Master Distribution Agreement 
 Dated as of November 25, 2006 

 EXHIBIT B 
 To 
 ARAMARK Master Distribution Agreement 
 Dated as of November 25, 2006 
  

					
	 Operating Company
	 	 City
	 	 State

	Hallsmith-Sysco Food Services	 	Norton	 	MA
	Hardin’s-Sysco Food Services, LLC	 	Memphis	 	TN
	Lankford-Sysco Food Services, LLC	 	Pocomoke	 	MD
	Nobel/Sysco Food Services Company	 	Denver	 	CO
	Pegler-Sysco Food Services Company	 	Lincoln	 	NE
	Robert Orr-Sysco Food Services Company, LLC	 	Nashville	 	TN
	Roberts Sysco Food Services	 	Springfield	 	IL
	Watson Sysco Food Services, Inc	 	Lubbock	 	TX
	Sysco Food Services of Albany, LLC	 	Clifton Park	 	NY
	Sysco Food Services of Arizona, Inc.	 	Tolleson	 	AZ
	Sysco Food Services of Arkansas, LLC	 	Little Rock	 	AR
	Sysco Food Services of Atlanta, LLC	 	College Park	 	GA
	Sysco Food Services of Austin, LP	 	Austin	 	TX
	Sysco Food Services of Baltimore, LLC	 	Jessup	 	MD
	Sysco Food Services of Baraboo, LLC	 	Baraboo	 	WI
	Sysco Food Services of Central Alabama, Inc	 	Calera	 	AL
	Sysco Food Services of Central California, Inc	 	Modesto	 	CA
	Sysco Food Services of Central Florida, Inc	 	Ocoee	 	FL
	Sysco Food Services of Central Pennsylvania, LLC	 	Harrisburg	 	PA
	Sysco Food Services of Charlotte, LLC	 	Concord	 	NC
	Sysco Food Services of Chicago, Inc	 	Des Plaines	 	IL
	Sysco Food Services of Cincinnati, LLC	 	Cincinnati	 	OH
	Sysco Food Services of Cleveland, Inc	 	Cleveland	 	OH
	Sysco Food Services of Columbia, LLC	 	Columbia	 	SC
	Sysco Food Services of Connecticut, LLC	 	Rocky Hill	 	CT
	Sysco Food Services of Dallas, LP	 	Lewisville	 	TX
	Sysco Food Services of Detroit, LLC	 	Canton	 	MI
	Sysco Food Services of Grand Rapids, LLC	 	Grand Rapids	 	MI
	Sysco Food Services of Houston, LP	 	Houston	 	TX
	Sysco Food Services of Idaho, Inc	 	Boise	 	ID
	Sysco Food Services of Indianapolis, LLC	 	Indianapolis	 	IN
	Sysco Intermountain Food Services Inc	 	W. Jordan	 	UT
	Sysco Food Services of Iowa, Inc	 	West Des Moines	 	IA
	Sysco Food Services of Jacksonville, Inc	 	Jacksonville	 	FL
	Sysco Food Services of Kansas City, Inc	 	Olathe	 	KS
	Sysco Food Services of Las Vegas	 	Las Vegas	 	NV
	Sysco Food Services of Los Angeles, Inc	 	Walnut	 	CA
	Sysco/Louisville Food Services Company	 	Louisville	 	KY
	Sysco Food Services of Metro New York, LLC	 	Jersey City	 	NJ
	Sysco Food Services of Minnesota, Inc	 	St. Paul	 	MN
	Sysco Food Services of Montana, Inc	 	Billings	 	MT

 EXHIBIT B 
 To 
 ARAMARK Master Distribution Agreement 
 Dated as of November 25, 2006 
  

					
	 Sysco Food Services of New Mexico, LLC
	 	Albuquerque	 	NM
	Sysco Food Services of New Orleans, LLC	 	Harahan	 	LA
	Sysco Food Services of Oklahoma, Inc.	 	Norman	 	OK
	Sysco Food Services of Philadelphia, LLC	 	Philadelphia	 	PA
	Sysco Food Services of Pittsburgh, Inc	 	Harmony	 	PA
	Sysco Food Services of Portland, Inc	 	Wilsonville	 	OR
	Sysco Food Services of Raleigh, Inc	 	Selma	 	NC
	Sysco Food Services of St. Louis, LLC	 	St. Charles	 	MO
	Sysco Food Services of Sacramento, Inc	 	Pleasant Grove	 	CA
	Sysco Food Services of San Antonio, LP	 	San Antonio	 	TX
	Sysco Food Services of San Diego, Inc	 	Poway	 	CA
	Sysco Food Services of San Francisco	 	Fremont	 	CA
	Sysco Food Services of Seattle, Inc	 	Kent	 	WA
	Sysco Food Services of Syracuse, LLC	 	Warners	 	NY
	Sysco Food Services of Virginia, LLC	 	Harrisburg	 	VA

 EXHIBIT C 
 To 
 Aramark Master Distribution Agreement 
 Dated as of November 25, 2006 

 ARATRACK 
 PURCHASES FROM SYSCO OF PRIME BRAND MEATS 
 ORDER: SUPC# 
  

											
	SUPC#	  	 PRODUCT
	  	PACK	  	SIZE	 	 SOLD BY
	  	 BRAND

	1057199	  	STEAK SIRLOIN FIL 5 OZ	  	1	  	10#AVG	 	POUNDS	  	CAB
	2639573	  	BEEF STRIP LOIN 1X1	  	1	  	13#UP	 	POUNDS	  	CAB
	2726891	  	BEEF TNDR 6UP PSMO	  	12	  	6-UP#	 	POUNDS	  	CAB
	2959468	  	LAMB RACK FRCHD	  	13	  	24 OZ	 	POUNDS	  	MALCOLM
	3006814	  	LAMB LOIN CHOP DOM CH 2/VAC	  	20	  	6 OZ	 	POUNDS	  	MALCOLM
	3007150	  	VEAL CHOP 2.5’ BONE 1.5’ FRCHD	  	16	  	10 OZ	 	POUNDS	  	MALCOLM
	3248879	  	BEEF RIBEYE LIPON	  	5	  	13#DN	 	POUNDS	  	CAB
	3248929	  	BEEF RIBEYE LIPON	  	5	  	13#UP	 	POUNDS	  	CAB
	3249349	  	BEEF TOP BUTT CAB	  	6	  	13#UP	 	POUNDS	  	CAB
	3326121	  	LAMB CHOP RIB FRNCHD DOMSTC	  	39	  	3 OZ	 	POUNDS	  	MALCOLM
	3356037	  	LAMB RACK FRNCHD DOM 1/2 RACK	  	8	  	1.5 LB	 	POUNDS	  	MALCOLM
	3375359	  	BEEF TNDR DEFAT PSMO CH AGED	  	12	  	5#-UP	 	POUNDS	  	CAB
	3389350	  	BEEF TENDERLOIN CAB	  	4	  	5# UP	 	POUNDS	  	MALCOLM
	3389855	  	BEEF STRIP LOIN 1X1 CAB	  	2	  	14 LB	 	POUNDS	  	MALCOLM
	3389962	  	BEEF RIBEYE LIPON CAB	  	2	  	16 UP	 	POUNDS	  	MALCOLM
	3390556	  	STEAK TNDR FIL CH-ON 1189A CAB	  	30	  	6 OZ	 	POUNDS	  	MALCOLM
	3390655	  	STEAK STRIP CC 1’TL 1180A CAB	  	25	  	6 OZ	 	POUNDS	  	MALCOLM
	3393287	  	STEAK STRIP LOIN B/O DRY AGED	  	1	  	13/15	 	POUNDS	  	BUCKHD
	3396447	  	STEAK RIBEYE DELMONICO CAB 0’T	  	20	  	12 OZ	 	POUNDS	  	MALCOLM
	3396819	  	STEAK RIBEYE BNLS 1’TL CAB	  	20	  	10 OZ	 	POUNDS	  	MALCOLM
	3396827	  	STEAK RIBEYE BNLS 1’TL CAB	  	20	  	12 OZ	 	POUNDS	  	MALCOLM
	3398690	  	STEAK T-BONE 1’TL 1174 CAB	  	15	  	12 OZ	 	POUNDS	  	MALCOLM
	3412269	  	STEAK BALL TIP THICK/HALF CAB	  	20	  	8 OZ	 	POUNDS	  	MALCOLM
	3412335	  	STEAK TOP BUTT BSBALL CAB	  	30	  	6 OZ	 	POUNDS	  	MALCOLM
	3414000	  	STEAK TOP BUTT BSBALL CAB	  	20	  	10 OZ	 	POUNDS	  	MALCOLM
	3439833	  	BEEF TENDERLOIN PLD TO RED CAB	  	4	  	3.5LB	 	POUNDS	  	MALCOLM
	3440492	  	STEAK STRIP CC 1/2’ TL CAB	  	20	  	8 OZ	 	POUNDS	  	MALCOLM
	3441516	  	STEAK BALL TIP NO FAT CAB	  	30	  	5 OZ	 	POUNDS	  	MALCOLM
	3442845	  	STEAK BALL TIP NO FAT CAB	  	20	  	10 OZ	 	POUNDS	  	MALCOLM
	3444833	  	STEAK STRIP CC 1’TL 1180A CAB	  	15	  	12 OZ	 	POUNDS	  	MALCOLM
	3451317	  	LAMB RACK 1/2 FRNCHD SPLIT DOM	  	8	  	.5 LB	 	POUNDS	  	MALCOLM
	3563913	  	LAMB CHOP LOLLIPOP	  	60	  	2 OZ	 	POUNDS	  	MALCOLM
	3621604	  	BEEF RIBEYE LIPON PRIME BNLS	  	2	  	13# DN	 	POUNDS	  	BUCKHD
	3695376	  	STEAK RIBEYE LIPON DEL	  	28	  	6 OZ	 	POUNDS	  	CAB
	3707098	  	STEAK RIBEYE LIPON 1112B FRZ	  	16	  	10 OZ	 	POUNDS	  	CAB
	3792769	  	BEEF RIBEYE LIPON	  	2	  	13 DN	 	POUNDS	  	CAB

  

					
		 	ARAMARK	 	1

 ARATRACK 
 PURCHASES FROM SYSCO OF PRIME BRAND MEATS 
 ORDER: SUPC# 
  

											
	3803376	  	VEAL RIB CHOP FRCHD	  	16	  	12 OZ	 	POUNDS	  	BUCKHD
	3816394	  	LAMB RACK COLRDO 3X3 TRIM	  	4	  	3#AVG	 	POUNDS	  	NEWPRT
	3816881	  	VEAL RACK CHOP RDY 6 BONE 4X4	  	2	  	4-5#AV	 	POUNDS	  	NEWPRT
	3857026	  	STEAK TOP SIRL BUTT 1184B CAB	  	30	  	6 OZ	 	POUNDS	  	MALCOLM
	3896297	  	BEEF TENDERLOIN PSMO CH BEST	  	4	  	5# UP	 	POUNDS	  	BUCKHD
	3920519	  	PORK CHOP FRNCHD FRSH CC 10OZ	  	12	  	10 OZ	 	POUNDS	  	NEWPRT
	3948858	  	VEAL CHOP RACK FRCHD FRSH	  	16	  	12 OZ	 	POUNDS	  	NEWPRT
	3957008	  	STEAK TOP BUTT BSBALL CUT CAB	  	30	  	5 OZ	 	POUNDS	  	MALCOLM
	3985702	  	BEEF TENDERLOIN PRIME DEFAT	  	2	  	5#AVG	 	POUNDS	  	NEWPRT
	4022059	  	VEAL CHOP PRTRHSE FRSH 10OZ	  	16	  	10 OZ	 	POUNDS	  	NEWPRT
	4077202	  	BEEF TOP BUTT CAB	  	2	  	13#UP	 	POUNDS	  	MALCOLM
	4117685	  	STEAK NEW YORK PRIME CC 12OZ	  	16	  	12 OZ	 	POUNDS	  	NEWPRT
	4117818	  	STEAK RIBEYE PRIME 1’TAIL 16OZ	  	10	  	16OZ	 	POUNDS	  	NEWPRT
	4253274	  	STEAK TOP SIRL C/C THCK ANG	  	16	  	10 OZ	 	POUNDS	  	CAB
	4268967	  	VEAL RIB CHOP FRCHD FRZN	  	16	  	12 OZ	 	POUNDS	  	BUCKHD
	4307724	  	STEAK TENDER 1189A ANGUS	  	24	  	6 OZ	 	POUNDS	  	CAB
	4308375	  	STEAK STRIP C/C ANGUS	  	16	  	10 OZ	 	POUNDS	  	CAB
	4330072	  	VEAL RACK CHOP 7TH RIB 9OZ UP	  	16	  	9 OZ	 	POUNDS	  	NEWPRT
	4351292	  	STEAK FILET CC PRM IND CRYO FZ	  	20	  	8OZ AV	 	POUNDS	  	BUCKHD
	4392296	  	PORK RIB CHOP FRCHD	  	20	  	8 OZ	 	POUNDS	  	BUCKHD
	4408704	  	STEAK TOP BUTT BBC CAB VAC 2	  	40	  	4 OZ	 	POUNDS	  	MALCOLM
	4424917	  	BEEF STRIP LOIN 1X1 ANGUS	  	1	  	14#AVG	 	POUNDS	  	MALCOLM
	4424925	  	BEEF RIBEYE LIPON 13UP ANGUS	  	1	  	13#UP	 	POUNDS	  	MALCOLM
	4452348	  	BEEF TNDR DEFAT PSMO CH FZ AKA	  	12	  	5#-UP	 	POUNDS	  	CAB
	4452363	  	BEEF RIBEYE L/O CH AKA	  	5	  	13.5UP	 	POUNDS	  	CAB
	4463907	  	BEEF TNDR DEFAT PSMO FRSH	  	2	  	5#-UP	 	POUNDS	  	CAB
	4479713	  	PORK RIB CHOP FRCHD FRZN	  	20	  	8 OZ	 	POUNDS	  	BUCKHD
	4540092	  	BEEF RIBEYE LIPON ANGUS 2 PC	  	2	  	13#UP	 	POUNDS	  	BUCKHD
	4540134	  	BEEF TENDERLOIN PSMO ANGUS	  	4	  	5#UP	 	POUNDS	  	BUCKHD
	4767398	  	BEEF STRIP LOIN 1X1 ANGUS	  	2	  	13 UP	 	POUNDS	  	BUCKHD
	4976585	  	VEAL LOIN BNLS WO TNDR 0X0 PRM	  	4	  	3#	 	POUNDS	  	MALCOLM
	5034236	  	BEEF TNDR DEFAT PSMO CH..AKA	  	12	  	5#-UP	 	POUNDS	  	CAB
	5112511	  	BEEF TENDERLOIN PSMO ANGUS	  	12	  	5 SUP	 	POUNDS	  	BUCKHD
	5162847	  	STEAK TOP SRLN BUTT THICK CAB	  	4	  	8 OZ	 	POUNDS	  	MALCOLM
	5163233	  	STEAK STRIP CC 1’TL 1180A CAB	  	4	  	12 OZ	 	POUNDS	  	MALCOLM
	5163787	  	STEAK RIBEYE BNLS 1’TL CAB	  	4	  	12 OZ	 	POUNDS	  	MALCOLM
	5223961	  	BEEF TNDR PSMO FRSH.......AKA	  	2	  	5#-UP	 	POUNDS	  	CAB
	5227053	  	BEEF STRIP LOIN 0X1 CH	  	3	  	12#&UP	 	POUNDS	  	CAB
	5330469	  	STEAK TNDR SKND 1190A IW	  	20	  	6 OZ	 	POUNDS	  	CAB

  

					
		 	ARAMARK	 	2

 ARATRACK 
 PURCHASES FROM SYSCO OF PRIME BRAND MEATS 
 ORDER: SUPC# 
  

											
	5387600	  	STEAK STRIP BNLS CC I/W	  	12	  	14Z AV	 	POUNDS	  	CAB
	5465752	  	BEEF TNDR DEFAT PSMO CH	  	6	  	5# UP	 	POUNDS	  	CAB
	5500756	  	LAMB CHOP LOLLIPOP IMPORT N.Z.	  	80	  	2 OZ	 	POUNDS	  	MALCOLM
	8142002	  	BEEF RIBEYE L/O CH	  	5	  	13.5UP	 	POUNDS	  	CAB
	8142101	  	BEEF STRIP LOIN 0X1 CH	  	6	  	12#AVG	 	POUNDS	  	CAB
	8142176	  	BEEF STRIP LOIN 1X1 CH	  	6	  	13#UP	 	POUNDS	  	CAB
	8142176	  	BEEF STRIP LOIN 1X1 CH 180A	  	6	  	13#UP	 	POUNDS	  	CAB
	8142309	  	BEEF TNDR DEFAT PSMO CH	  	12	  	5#-UP	 	POUNDS	  	CAB
	8142317	  	BEEF TOP SIRLOIN BUTT 14UP CAB	  	5	  	14#UP	 	POUNDS	  	CAB
	8179970	  	BEEF RIBEYE LIPON CAB 112A	  	2	  	12.5UP	 	POUNDS	  	CAB
	8180986	  	BEEF STRIP LOIN 0X1 CH	  	2	  	12#AVG	 	POUNDS	  	CAB
	8181018	  	BEEF TNDR DEFAT CH	  	4	  	5# UP	 	POUNDS	  	CAB
	8204596	  	STEAK STRIP BNLS CC 1180A FRSH	  	14	  	12 OZ	 	POUNDS	  	CAB
	8222309	  	BEEF RIBEYE EXPORT BI CH	  	4	  	16 UP	 	POUNDS	  	CAB
	8339087	  	BEEF RIBEYE L/O CH	  	6	  	13.5DN	 	POUNDS	  	CAB
	8405177	  	STEAK STRIP BNLS C/C 1180B FR	  	12	  	14 OZ	 	POUNDS	  	CAB
	8405318	  	STEAK RIBEYE TAILOFF 1112	  	16	  	10 OZ	 	POUNDS	  	CAB
	8405409	  	STEAK TOP BUTT CC BB 1184B	  	20	  	8 OZ	 	POUNDS	  	CAB
	8526352	  	STEAK TOP BUTT C/C FLAT	  	20	  	8 OZ	 	POUNDS	  	CAB
	8758997	  	BEEF TENDER 189A 5UP	  	2	  	5-UPAV	 	POUNDS	  	CAB
	8764326	  	BEEF RIBEYE L/O 12DN 112	  	1	  	10-12#	 	POUNDS	  	CAB
	8774424	  	STEAK TENDERLOIN C/C 6 OZ	  	1	  	9-11LB	 	POUNDS	  	CAB
	8776254	  	BEEF RIB 109A CH	  	3	  	23#UP	 	POUNDS	  	CAB
	8807034	  	STEAK SIRLOIN FILET 6 OZ	  	1	  	9-11AV	 	POUNDS	  	CAB
	8807059	  	STEAK SIRLOIN FILET 10 OZ	  	1	  	9-11AV	 	POUNDS	  	CAB
	8823718	  	STEAK RIBEYE L/O 8 OZ	  	1	  	9-11#	 	POUNDS	  	CAB
	8825440	  	STEAK TENDERLOIN C/C 8 OZ	  	1	  	11#AVG	 	POUNDS	  	CAB

  

					
		 	ARAMARK	 	3

 EXHIBIT D 
 To 
 Aramark Master Distribution Agreement 
 Dated as of November 25, 2006 
 PERFORMANCE ALLOWANCE 
 As set forth in Section 10(c), SYSCO will pay the Performance Allowance to ARAMARK, based on purchases of SYSCO
brand products. “SYSCO brand products” are all products bearing trademarks or tradenames which are owned by SYSCO Corporation or which are exclusively available in the foodservice industry to SYSCO. 
 The trademarks and tradenames owned or exclusively available to SYSCO as of October 13, 2006 are set forth on the flowing page. Modifications to the listing set
forth on the following page shall be automatically applied as new trademarks and tradenames are developed and existing trademarks and tradenames are discontinued. 
 Calculation and Payment: 
 * Payment: SYSCO will pay a * Performance Allowance to ARAMARK based on purchases of SYSCO brand Products in an
amount equal to * of total purchases of SYSCO brand Products provided that total purchases of SYSCO brand Products equal at least (i) 40% of ARAMARK’s total purchases of Products from SYSCO or (ii) $295,730,000. 
 Payment in excess of * Payment: If total purchases of SYSCO brand Products are more than (i) * of ARAMARK’s total purchases of Products from SYSCO or
(ii) * then SYSCO shall pay to ARAMARK a Performance Allowance equal to the amount calculated pursuant to the following table: 
  

					
	 SYSCO brand
 purchases (as % of
total
 purchases from SYSCO)
	  	 SYSCO brand
 purchases (in dollars)
	  	 Allowance Amount
 (as % of total SYSCO
 brand purchases)

	*%        or	  	$*	  	*%
	*%        or	  	$*	  	*%
	*%        or	  	$*	  	*%
	*%        or	  	$*	  	*%
	*%        or	  	$*	  	*%
	*%        or	  	$*	  	*%
	*%        or	  	$*	  	*%
	*%        or	  	$*	  	*%
	*%        or	  	$*	  	*%
	*%        or	  	$*	  	*%
	*%        or	  	$*	  	*%
	            Over *%        or	  	over $*	  	*%

 The Performance Allowance will be paid to ARAMARK monthly from SYSCO’s corporate office. SYSCO reserves the
right to adjust the dollar amounts in the table above should ARAMARK make an acquisition of an operation with more than $* annualized purchases from SYSCO. 
  

	*	Material omitted and separately filed with the Commission under an application for confidential treatment. 

 Sysco MDA 11.15.06 
 ATTACHMENT TO EXHIBIT D 

 Sysco MDA 11.15.06 
  

					
	DATE:             	  	SYSCO CORPORATION	 	PAGE NO: 1
	TIME :             	  	BRANDS BEING TRACKED AS SYSCO	 	REPORT NO: NSCABD-00
	REGION -             	  		 	

  

					
	 BRAND
	  	 DESCRIPTION
	  	 STATS

	AREZZIO	  	ARREZZIO	  	A
	ARZRSVI	  	ARREZZIO RISERVA IMPERIAL	  	A
	BBPTPRI	  	BUTCH BLK PREC TRIM PRIME	  	A
	BBRLCLS	  	BLOCK & BARREL CLASSIC	  	A
	BBRLSMT	  	BLOCK & BARREL SMARTLINE	  	A
	BCH BLK	  	BUTCHERS BLOCK	  	A
	BCHBLKC	  	BUTCHER BLOCK CANADA	  	A
	BHB/NPM	  	BUCKHD BF/NEWPRT PRD MT	  	A
	BKHDRSV	  	BUCKHEAD RESERVE	  	A
	BKRSCLS	  	BAKERSOURCE CLASSIC	  	A
	BOJACKC	  	BO JACKSON CLASSIC	  	A
	BRIGGS	  	A M BRIGGS	  	A
	BUTR-IT	  	BUTTER-IT SYSCO BRAND	  	A
	CITAVAR	  	CITAVO ARABICA COFFEE	  	A
	CITAVO	  	CITAVO	  	A
	CLRLY S	  	CLEARLY SOUTHERN SYSCO	  	A
	CLS/SUN	  	CLASSIC SUNKIST	  	A
	EXTRCAL	  	EXTRACALIBER SYSCO	  	A
	FAC RSV	  	FACCIOLA MEAT RESERVE	  	D
	FIREANG	  	FIRE RIVER FARMS ANGUS	  	A
	FIRENAT	  	FIRE RIVER NATURAL	  	A
	FIRERVR	  	FIRE RIVER FARMS BEEF	  	A
	FREEDMN	  	FREEDMAN MEAT & FOODSERVI	  	A
	FRFIMPC	  	FIRE RIVER FARMS IMP CAN	  	A
	FRSHCUT	  	FRESHPOINT FRESHCUT	  	A
	FRY ON	  	FRY ON SYSCO BRAND	  	D
	FRYONZT	  	FRY-ON ZERO TRANSFAT	  	A
	FULTRED	  	FULTON RED LABEL	  	A
	GUEST	  	GUEST SUPPLY	  	A
	HNYMAAA	  	HONEYMAN’S BEEF AAA	  	A
	HNYMRSV	  	HONEYMAN’S BEEF RESERVE	  	A
	IMP ANG	  	IMPERIAL ANGUS	  	A
	IMP/SCH	  	IMPERIAL/SCHILLING	  	A
	INTLCLS	  	SYSCO INTERNATIONAL CLS	  	A
	INTLSUP	  	SYSCO INTERNATIONAL SUPRM	  	A
	JJDR AA	  	J J DERMA AA	  	A
	JJDRRSV	  	J J DERMA RESERVE	  	A
	LABELLA	  	PASTA LABELLA	  	A
	MKZ IMP	  	MEDITERRANEAN KOZIHA IMPR	  	A
	MOONROS	  	MOON ROSE - SYSCO BRAND	  	A
	NAT ORG	  	SYSCO NATURAL ORGANICS	  	A
	NLEGEND	  	NORTHERN LEGEND	  	A
	NWMNOWN	  	NEWMANS OWN (SYSCO BRND)	  	A
	NWPTRSV	  	NEWPORT MEAT RESERVE	  	A
	PARROT	  	PARROT ICE (SYSCO BRAND)	  	A
	PORTIMP	  	PORTICO IMPERIAL	  	D
	POTGOUR	  	POTATO GOURMET	  	A
	RNCHREL	  	RANCH & GRILL RELIANCE	  	A
	ROY RSV	  	ROYALTY FOODS RESERVE	  	D
	SAHAR B	  	SAHARA BURST	  	A
	SEATLBI	  	SEATTLE’S BEST (STARBUCK)	  	D
	SMRTBBL	  	SMARTLINE BLOCK & BARREL	  	D
	SMRTLIN	  	SMARTLINE	  	D
	SPCBNTY	  	SPICE BOUNTY	  	D
	STNBRHS	  	STONEBRANCH HOSPITALITY	  	A
	STNWDHS	  	STONEWOOD COFFEE HOSPTLTY	  	A
	STONEWD	  	STONEWOOD	  	A
	SUPREMA	  	SUPREMA	  	A
	SYS IMP	  	SYSCO IMPERIAL	  	A
	SYS OTT	  	SYSCO OTTIMO	  	A
	SYSCO	  	SYSCO BRAND	  	A
	TAZOS	  	TAZO TEA PRODUCTS	  	A
	WHLFREL	  	WHOLESOME FARM RELIANCE	  	A
	WTMRBLS	  	WHITE MARBLE FARMS SUPREM	  	A
	ARZCLSC	  	ARREZIO CLS CANADA ONLY	  	A
	ARZRSVS	  	ARREZZIO RISERVA SUPREME	  	A
	BBPTSEL	  	BUTCH BLK PRECIS TRIM SEL	  	A
	BBRLIMP	  	BLOCK & BARREL IMPERIAL	  	A
	BBRLSUP	  	BLOCK & BARREL SUPREME	  	A
	BCH RSV	  	BUTCHERS BLOCK RESERVE	  	A
	BCHRSVC	  	BUTCHER BLOCK RSRV CANADA	  	A
	BKHDCHO	  	BUCKHEAD CHOICE	  	A
	BKHDSEL	  	BUCKHEAD SELECT	  	A
	BKRSIMP	  	BAKERSOURCE IMPERIAL	  	A
	BOJACKI	  	BO JACKSON IMPERIAL	  	A
	BUCKHD	  	BUCKHEAD BEEF	  	A
	CAFEINT	  	SYSCO CAFE INTERNATIONAL	  	A
	CITAVCF	  	CITAVO CAFE	  	A
	CITAVOG	  	CITAVO ORGANIC	  	A
	CLS/MCC	  	CLASSIC/MC CORMICK	  	A
	CMDRIMP	  	COMMANDER’S CHOICE IMP	  	A
	FAC CHO	  	FACCIOLA MEAT CHOICE	  	D
	FAC SEL	  	FACCIOLA MEAT SELECT	  	D
	FIRECLS	  	FIRE RIVER FARMS CLASSIC	  	A
	FIREREL	  	FIRE RIVER FARMS RELIANCE	  	A
	FIRESUP	  	FIRE RIVER FARMS SUPREME	  	A
	FRFANGC	  	FIRE RIVER FARM ANGUS CAN	  	A
	FRFRELC	  	FIRE RIVER FARM REL CANAD	  	A
	FRSHFIN	  	FRESHPOINT FINEST	  	A
	FRY-ON	  	FRY-ON SYSCO BRAND	  	A
	FULTBLU	  	FULTON BLUE LABEL	  	A
	GRIL ON	  	GRILL-ON SYSCO BRAND	  	D
	HIDCOVE	  	HIDDEN COVE	  	A
	HWYMAN	  	HONEYMAN’S BEEF	  	A
	HSE REC	  	HOUSE RECIPE	  	A
	IMP SUP	  	IMPERIAL SUPREME	  	A
	IMP/SUN	  	IMPERIAL SUNKIST DISP JCE	  	A
	INTLIMP	  	SYSCO INTERNATIONAL IMPRL	  	A
	JADE MT	  	JADE MOUNTAIN	  	A
	JJDRAAA	  	J J DERMA AAA	  	A
	JUST RT	  	JUST RIGHT SYSCO/KELLOGG	  	A
	MALCOLM	  	MALCOLM MEATS	  	A
	MKZ SUP	  	MEDITERRANEAN KUZINA SUPR	  	A
	MXF CLS	  	MEXICAN FARE CLASSIC	  	A
	NAT SGR	  	NATURAL SUGAR SYSCO	  	A
	NORTH49	  	NORTH OF 49	  	D
	NWPTCHO	  	NEWPORT CHOICE	  	A
	NWPTSEL	  	NEWPORT SELECT	  	A
	PORTBTY	  	PORTICO BOUNTY	  	A
	PORTPRM	  	PORTICO PRIME	  	A
	REL/MCC	  	RELIANCE/MC CORMIC	  	A
	ROY CHO	  	ROYALTY FOODS CHOICE	  	D
	ROY SEL	  	ROYALTY FOODS SELECT	  	D
	SBESTCF	  	SEATTLE’S BEST COFFEE	  	A
	SERENE	  	SYSCO SERENS	  	A
	SMRTCLS	  	SMARTLINE CLASSIC	  	D
	SMRTREL	  	SMRTLINE RELIANCE	  	D
	STARBKI	  	STARBUCKS IMPERIAL GRADE	  	A
	STNBRRB	  	STONEBRANCH ROBUSTA	  	A
	STNWDRB	  	STONEWOOD COFFEE ROBUSTA	  	A
	SUNSKIL	  	SUNDAY SKILLET BRANDABLES	  	A
	SWTPLUS	  	SWEET PLUS SYSCO	  	A
	SYS MED	  	SYSCO MEDICAL	  	A
	SYS REL	  	SYSCO RELIANCE	  	A
	SYSCODE	  	SYSCODE	  	A
	WHLFARM	  	WHOLESOME FARMS IMPERIAL	  	A
	WHLFSUP	  	WHOLESOME FARMS SUPREME	  	A
	1756	  	1756	  	A
	ARZIMPC	  	ARREZIO IMP CANADA ONLY	  	A
	BBPTCHO	  	BUTCH BLK PREC TRIM CHOIC	  	A
	BBRL	  	BLOCK & BARREL RELIANCE	  	A
	BBRLRTS	  	BLOCK & BARREL ROTISERIE	  	A
	BCH ANG	  	BUTCHERS BLOCK ANGUS	  	A
	BCHANGC	  	BUTCHER BLOCK ANG CANADA	  	A
	BET BAR	  	BETTER BAR	  	A
	BKHDPRI	  	BUCKHEAD PRIME	  	A
	BKR SRC	  	BAKERS SOURCE	  	A
	BLK DIA	  	BLACK DIAMOND	  	A
	BOJACKR	  	BO JACKSON RELIANCE	  	A
	BUTR IT	  	BUTTER-IT SYSCO BRAND	  	D
	CASASOL	  	CASA SOLANA	  	A
	CITAVCO	  	CITAVO COLOMBIAN COFFEE	  	A
	CLASICO	  	CLASSICO - SYSCO BRAND	  	A
	CLS/SCH	  	CLASSIC/SCHILLING	  	A
	COLCLSY	  	COOL & CLASSY	  	A
	FAC PRI	  	FACCIOLA MEAT PRIME	  	A
	FAMS 34	  	HERSCHEL’S FAMOUS 34 APTZ	  	D
	FIREIMP	  	FIRE RIVER FARMS IMPERIAL	  	A
	FIRERVC	  	FIRE RIVER FARMS - CANADA	  	A
	FONTNAI	  	FONTANA SYRUPS	  	D
	FRFCLSC	  	FIRE RIVER FARMS CLS CAN	  	A
	FRFSUPC	  	FIRE RIVER FARMS SUP CAN	  	A
	FRSHSEL	  	FRESHPOINT SELECT	  	A
	FRYONNT	  	FRY-ON NON TRANSFAT	  	A
	FULTON	  	FULTON PROVISION	  	A
	GRIL-ON	  	GRILL-ON SYSCO BRAND	  	A
	HNYM AA	  	HONEYMAN’S BEEF AA	  	A
	HNYMPRI	  	HONEYMAN’S BEEF PRIME	  	A
	I CARE	  	I CARE (SYSCO SERVICES)	  	A
	IMP/MCC	  	IMPERIAL/MC CORMICK	  	A
	INDULGE	  	INDULGE SYSCO	  	A
	INTLREL	  	SYSCO INTERNATIONAL REL	  	A
	JJDERMA	  	JJ DERMA MEATS	  	A
	JJDRPRI	  	J J DERMA PRIME	  	A
	KEYSTNE	  	KEYSTONE (SYSCO CHEMICAL)	  	A
	MKZ CLS	  	MEDITERRANEAN KUZINA CLAS	  	A
	MNSTWOK	  	MEIN STREET WOK	  	A
	MXF IMP	  	MEXICAN FARE IMPERIAL	  	A
	NEWPRT	  	NEWPORT PRIDE (MEAT)	  	A
	NUTRA B	  	NUTRA BALANCE-SYSCO (DISC	  	A
	NWPTPRI	  	NEWPORT MEAT PRIME	  	A
	OCNSUPR	  	OCEAN SUPREME CRABMEAT	  	A
	PORTCLS	  	PORTICO CLASSIC	  	D
	PORTSIM	  	PORTICO SIMPLY	  	A
	RNCHGRL	  	RANCH & GRILL (WHITE FAT)	  	A
	ROY PRI	  	ROYALTY FOODS PRIME	  	D
	RSTR BL	  	ROASTERS BLEND COFFEE	  	A
	SBESTCI	  	SEATTLE’S BEST COFFEE INC	  	D
	SERENE2	  	SYSCO SERENE 2	  	A
	SMRTIMP	  	SMARTLINE IMPERIAL	  	D
	SMRTSUP	  	SMARTLINE SUPREME	  	D
	STARBKS	  	STARBUCKS SUPREME	  	A
	STNBRSP	  	STONEBRANCH SPECIAL	  	A
	STNWDSP	  	STONEHOOD COFFEE SPECIAL	  	A
	SUP ANG	  	SUPREME ANGUS	  	A
	SYS CLS	  	SYSCO CLASSIC	  	A
	SYS NAT	  	SYSCO NATURAL	  	A
	SYS SUP	  	SYSCO SUPREME	  	A
	SYSSPEC	  	SYSCO SPECIFIED	  	A
	WHLFCLS	  	WHOLESOME FARMS CLASSIC	  	A
	WTMRBLI	  	WHITE MARBLE FARMS IMPERI	  	A

 EXHIBIT E 
 To 
 Aramark Master Distribution Agreement 
 Dated as of November 25, 2006 
  

					
	Item
Number	  	 Item Description
	  	Pack/Size
	2077857	  	APPLE GIFTPACK FRESH	  	1 / 10 LB
	9030156	  	CUPCAKE CHOC MINI W/SPKLS	  	18 / 12 PK
	9030131	  	CUPCAKE YEL W/ JIMMIES	  	12 / 6 PK
	1231034	  	EGGROLL SKIN FRESH	  	12 / 1 LB
	7137318	  	EGGROLL SKIN WRPR	  	12 / 16OZ
	7930498	  	KIT WITH AUTUMN DECORATIONS	  	1 / 40 LB
	7990765	  	MILK RICE DREAM ORIG	  	12 /32 OZ
	8738890	  	NOODLE CHINESE EGG	  	1 / 5 LB
	6190235	  	POTATO MASHED SWEET	  	4 / 5LB
	5286091	  	POTATO RUSSET GRLC MASHED	  	4 / 6LB
	2725331	  	SALAD CHICKEN LFAT	  	2 / 5LB
	9069204	  	SALAD COLESLAW MOM’S OLD FASH	  	2 / 10#
	9069287	  	SALAD CUCUMBER & SOUR DRSSNG	  	1 / 10#
	1158617	  	SALAD MUSHROOM BUTTON MARN	  	1 / 10 LB
	4913042	  	SALAD PASTA GREEK FETA	  	2 / 5 LB
	5391115	  	SALAD POTATO DICED W/EGG	  	3 / 8LB
	9069295	  	SALAD POTATO MUST W/EGG MOM’S	  	2 / 10#
	1060334	  	SALAD POTATO RED & EGG	  	2 / 5 LB
	1034594	  	SALAD POTATO REGULAR	  	3 / 8 LB
	6051601	  	SALAD SEAFOOD DELI-STYLE	  	2 / 5 LB
	5141817	  	SALAD TORTELLINI POMODORO	  	2 / 5LB
	5247903	  	SALAD TORTELLINI TRICOLOR	  	
	9194515	  	SALSA BASE FRESH	  	1 / 17.5LB
	5806336	  	SALSA CHIPOTLE	  	2 / 1 GAL
	4737821	  	SALSA FRESCA FRSH	  	2 / 4 LB
	2392652	  	SALSA FRESH	  	4 / 4.5 LB
	5476510	  	SALSA FRESH	  	4 / 1 GAL
	5833710	  	SALSA FRESH	  	2 / 5LB
	2848760	  	SALSA FRESH MEDUIM	  	2 / 1GAL
	5901871	  	SALSA FRESH MRGRTA	  	2 / 5 LB
	2138303	  	SALSA MED ALL FRESH	  	4 / 5 LB
	8493090	  	SALSA MEDIUM	  	2 / 1 GAL
	9148842	  	SALSA MILD	  	4 / 1 GAL
	1672518	  	SALSA MILD FRESH	  	6 / 4 LB
	5612643	  	SALSA PICO DE GALLO	  	2 / 3.5 LB
	7226319	  	SALSA RED ORIG FRSH	  	3 / 8LB
	7104680	  	SAMPLE PRODUCE	  	1 / EACH
	1326628	  	SAUCE BURRITO WET REF	  	4 / 1 GAL
	6292528	  	SOUP PASTA FAGIOLI	  	2 / 8 LB
	7127061	  	SPREAD GARLIC	  	6 / 32 OZ
	7826621	  	SPREAD GARLIC NON-WHIPPED	  	6 / 4 LB
	8156788	  	TORTILLA CHILI CHIPOTLE WRAP	  	6 / 12 CT
	5700513	  	TORTILLA CORN 6 IN 6 OZ.	  	8 / 60 CT
	5701222	  	TORTILLA CORN WHT 6 IN 7 OZ	  	6 / 72 CT
	5700471	  	TORTILLA CORN WHT. 6 IN 12 OZ.	  	6 / 48 CT

					
	5700463	  	TORTILLA CORN WHT.6 IN 10 OZ.	  	8 / 60 CT
	5700620	  	TORTILLA CORN YEL.6 IN 7 OZ.	  	6 / 72 CT
	5700703	  	TORTILLA FLOUR 10 IN 28 OZ	  	4 / 36 CT
	5700281	  	TORTILLA FLOUR 10 IN.	  	6 / 36 CT
	5700737	  	TORTILLA FLOUR 12 IN PRSSD	  	12 / 12 CT
	2943322	  	TORTILLA FLOUR 12” PRSSD	  	6 / 24 CT
	8157729	  	TORTILLA FLOUR 12IN 36OZ PR	  	12 / 12CT
	5496534	  	TORTILLA FLOUR 14 IN 48OZ	  	12 / 12 CT
	5496542	  	TORTILLA FLOUR 6 IN 14OZ	  	8 / 36 CT
	5700752	  	TORTILLA FLOUR 6 IN A/V	  	8 / 36 CT
	5700653	  	TORTILLA FLOUR 8 IN PRSSD	  	8 / 36 CT
	6303317	  	TORTILLA FLOUR 8” HAND STRET	  	8 / 36 CT
	5700646	  	TORTILLA FLOUR ALL VEG. 8 IN	  	8 / 36 CT
	8156762	  	TORTILLA SPINACH HERB WRAP 12”	  	6 / 12 CT
	2315372	  	TREE HLIDY MINI EUROPEAN	  	24 / 3”
	1732981	  	TREE HOLIDAY MINI	  	20 / 4 IN
	7121973	  	WONTON SKIN	  	12 / 14 OZ

 EXHIBIT F 
 To 
 Aramark Master Distribution Agreement 
 Dates as of November 25, 2006 
 ARAMARK FOOD AND SUPPORT SERVICES / SUPPLY CHAIN
MANAGEMENT 
 PRICE VERIFICATION FORM 
  

			
	DISTRIBUTOR
                                        
                                	 	LOCATION
                                        
                                        
  
		
		 	ITEM NO
                                        
                                        
      
		
		 	FREQUENCY
                                        
                                      

  

			
	ITEM CODE NUMBER:	 	____________________________________________
		
	DESCRIPTION/PACKAGE:	 	____________________________________________
		
	VENDOR NAME:	 	____________________________________________
		
	VENDOR INVOICE # & DATE:	 	____________________________________________
		
	PO # & RECEIVE DATE:	 	____________________________________________

  

			
	*	  	*
		
	*	  	*
		
	*	  	*
		
	*	  	*
		
	*	  	*
		
	*	  	*
		
	*	  	*
		
	*	  	*

  

			
		
	 VERIFIED BY:
                                        
                                      
	 	 APPROVED BY:
                                        
                              

 NOTES: 
 PERFORM
FREIGHT CALCULATION: 
  

	*	Material omitted and separately filed with the Commission under an application for confidential treatment. 

 Exhibit G 
 To 
 Aramark Master Distribution Agreement 
 Dated as of November 26, 2006 

 EXHIBIT G 
 To 
 Aramark Master Distribution Agreement 
 Dated as of November 25, 2006 
 SYSCO MINORITY & WOMEN OWNED SUPPLIERS 
  

			
	 SUPPLIER
	  	 SYSCO Minority Code Desc

	BROOKS FOOD GROUP	  	AFRICAN AMERICAN WOMEN
	HENRY ROBERTS BARBECUE SAUCE	  	AFRICAN AMERICAN WOMEN
	SUPER BAKERY	  	AFRICAN AMERICAN
	OMNI CUSTOM MEATS INC	  	AFRICAN AMERICAN
	RENAISSANCE MAN INTERNATIONAL	  	AFRICAN AMERICAN
	FORDION PACKAGING LTD	  	AFRICAN AMERICAN
	ASBURY TOWEL COMPANY	  	AFRICAN AMERICAN
	JOY FOODS INC	  	AFRICAN AMERICAN
	BALDWIN RICHARDSON FOODS CO	  	AFRICAN AMERICAN
	QVS INC.	  	AFRICAN AMERICAN
	LABTEK INC	  	AFRICAN AMERICAN
	SIMEUS FOODS INTERNATIONAL INC	  	AFRICAN AMERICAN
	KEN DAVIS PRODUCTS INC	  	AFRICAN AMERICAN
	SCOTTS JAMAICAN BAKERY	  	AFRICAN AMERICAN
	TOWER ISLES	  	AFRICAN AMERICAN
	CHICAGOLAND BARBECUE INC	  	AFRICAN AMERICAN
	GBX COMPANIES INC	  	AFRICAN AMERICAN
	CECILE &ANNELLS INC	  	AFRICAN AMERICAN
	DENNIS FOOD GROUP	  	AFRICAN AMERICAN
	BAGELRY	  	AFRICAN AMERICAN
	QUALITY CROUTONS	  	AFRICAN AMERICAN
	GATES & SON	  	AFRICAN AMERICAN
	LILLIES OF CHARLESTON	  	AFRICAN AMERICAN
	FAIR OAKS FARMS	  	AFRICAN AMERICAN
	ANDYS SEASONINGS	  	AFRICAN AMERICAN
	GOLDEN KRUST BAKERY	  	AFRICAN AMERICAN
	KING CHEESECAKE COMPANY INC	  	AFRICAN AMERICAN
	THOMPSON’S FINE FOODS INC	  	AFRICAN AMERICAN
	MICHELES FOOD MANUFACTURING	  	AFRICAN AMERICAN
	SELMON BROTHERS	  	AFRICAN AMERICAN
	CHEM SALES INC	  	AFRICAN AMERICAN
	PIKNIK PRODUCTS	  	AFRICAN AMERICAN
	R O W II INC	  	AFRICAN AMERICAN
	BRIDGE FOODS INC	  	AFRICAN AMERICAN
	OASIS FOODS	  	ASIAN INDIAN AMERICAN
	FOOD MASTERS INC	  	ASIAN INDIAN AMERICAN
	SINZENARD LLC	  	ASIAN INDIAN AMERICAN
	ME HEUCK CO	  	ASIAN INDIAN AMERICAN
	ISLAND SEAFOOD	  	ASIAN INDIAN AMERICAN
	BAVARIAN SPECIALTY FOODS	  	ASIAN INDIAN AMERICAN
	OCEAN DUKE CORPORATION	  	ASIAN PACIFC AMERICAN

			
	RED BIRD FARMS	  	ASIAN PACIFC AMERICAN
	TAK YUEN CORP	  	ASIAN PACIFC AMERICAN
	PEKING NOODLE	  	ASIAN PACIFC AMERICAN
	KUNKEL CO INC	  	ASIAN PACIFC AMERICAN
	SEASIA	  	ASIAN PACIFC AMERICAN
	ACME FOOD SALES	  	ASIAN PACIFC AMERICAN
	WADA FARMS	  	ASIAN PACIFC AMERICAN
	MJC SF LLC	  	ASIAN PACIFC AMERICAN
	TMI TRADING CORP	  	ASIAN PACIFC AMERICAN
	R1SVOLDS INC	  	ASIAN PACIFC AMERICAN
	SPOKANE PRODUCE INC	  	ASIAN PACIFC AMERICAN
	PAN PACIFIC PLASTIC	  	ASIAN PACIFC AMERICAN
	PATTY KING INC	  	ASIAN PACIFC AMERICAN
	TANAKA PRODUCE INC	  	ASIAN PACIFC AMERICAN
	WEI CHUAN USA INC	  	ASIAN PACIFC AMERICAN
	WEST BAY SEAFOOD	  	ASIAN PACIFC AMERICAN
	FOX CONVERTING INC	  	ASIAN PACIFC AMERICAN
	CARRIBEAN FOOD DELIGHTS INC	  	ASIAN PACIFC AMERICAN
	BAYOU CITY FISH CO	  	ASIAN PACIFC AMERICAN
	TMI TRADING CORP	  	ASIAN PACIFC AMERICAN
	FOUR IN ONE	  	ASIAN PACIFC AMERICAN
	VERTEX CHINA	  	ASIAN PACIFC AMERICAN
	TRONEX HEALTHCARE INDUST	  	ASIAN PACIFC AMERICAN
	AMY FOOD INC	  	ASIAN PACIFC AMERICAN
	SUNRISE FOODS, INC.	  	ASIAN PACIFC AMERICAN
	SUMMIT IMPORT CORP	  	ASIAN PACIFC AMERICAN
	SUN HING FOODS INC	  	ASIAN PACIFC AMERICAN
	WEI-CHUAN USA INC	  	ASIAN PACIFC AMERICAN
	GOLDEN ORCHID	  	ASIAN PACIFC AMERICAN
	JKL SPECIALTY FOODS INC	  	ASIAN PACIFC AMERICAN
	CHINAMERICA FOOD MFG	  	ASIAN PACIFC AMERICAN
	TURBO AIR	  	ASIAN PACIFC AMERICAN
	OSAMU CORPORATION	  	ASIAN PACIFC AMERICAN
	UNITED NOODLES INC	  	ASIAN PACIFC AMERICAN
	CASTLE ROCK MEATS	  	ASIAN PACIFC AMERICAN
	LEASA INDUSTRIES	  	ASIAN PACIFC AMERICAN
	NATURE SOY	  	ASIAN PACIFC AMERICAN
	SOUTHERN NOODLE	  	ASIAN PACIFC AMERICAN
	WEI CHAUN USA INC	  	ASIAN PACIFC AMERICAN
	WEI CHUAN USA INC	  	ASIAN PACIFC AMERICAN
	GLOPACK INC	  	ASIAN PACIFC AMERICAN
	STARPORT FOODS LLC	  	ASIAN PACIFC AMERICAN
	SUSHI TEKNOLOGY INC	  	ASIAN PACIFC AMERICAN
	COAST PRODUCE CO	  	ASIAN PACIFC AMERICAN
	ANDERSON INTERNATIONAL FOODS	  	ASIAN PACIFC AMERICAN
	UNION PACKAGE LP	  	ASIAN PACIFC AMERICAN
	HILO FISH CO INC	  	ASIAN PACIFC AMERICAN
	LE CHEF BAKERY	  	ASIAN PACIFC AMERICAN
	UMEYA INC	  	ASIAN PACIFC AMERICAN
	US SAFETY & SUPPLY	  	ASIAN PACIFC AMERICAN
	KORIN JAPANESE TRADING CORP	  	ASIAN PACIFC AMERICAN
	CODINO’S ITALIAN FOODS	  	ASIAN PACIFC AMERICAN
	US SAFETY & SUPPLY	  	ASIAN PACIFC AMERICAN

			
	WILLOW FOODS LLC	  	ASIAN PACIFC AMERICAN
	FOX CONVERTING	  	ASIAN PACIFC AMERICAN
	OCEAN CHOICE SEAFOOD	  	ASIAN PACIFC AMERICAN
	GOLDEN GATE	  	ASIAN PACIFC AMERICAN
	GREENLEAF WHOLESALE	  	ASIAN PACIFC AMERICAN
	JIMEX CORPORATION	  	ASIAN PACIFC AMERICAN
	MICHIGAN SOY PRODUCTS	  	ASIAN PACIFC AMERICAN
	MORITA PRODUCE CO	  	ASIAN PACIFC AMERICAN
	SUN HING FOODS INC	  	ASIAN PACIFC AMERICAN
	WEI CHUAN USA	  	ASIAN PACIFC AMERICAN
	CONCORD INDUSTRIES INC	  	ASIAN PACIFC AMERICAN
	CR MANUFACTURING	  	ASIAN INDIAN AMERICAN DIS
	INDALCO FOODS CORP	  	HISPANIC AMERICAN DISABABLED
	GENOS SEA FOODS INC	  	HISPANIC AMERICAN WOMEN
	JOHN KEELER & CO INC	  	HISPANIC AMERICAN
	C&’F FOODS INC	  	HISPANIC AMERICAN
	RUIZ FOOD PRODUCTS	  	HISPANIC AMERICAN
	BUENO FOODS	  	HISPANIC AMERICAN
	H&H FOODS	  	HISPANIC AMERICAN
	HARBAR LLC	  	HISPANIC AMERICAN
	READY FOODS	  	HISPANIC AMERICAN
	TRITON SEAFOOD CO	  	HISPANIC AMERICAN
	HEMISPHERE FOODS LLC	  	HISPANIC AMERICAN
	FOODS OF NM	  	HISPANIC AMERICAN
	OLE MEXICAN FOODS INC	  	HISPANIC AMERICAN
	MOCTEZUMA	  	HISPANIC AMERICAN
	ABCO BROOM & MOP	  	HISPANIC AMERICAN
	LOPEZ FOODS	  	HISPANIC AMERICAN
	DELREAL FOODS	  	HISPANIC AMERICAN
	ABUELITA	  	HISPANIC AMERICAN
	RUIZ FOOD PRODUCTS	  	HISPANIC AMERICAN
	REINHART FOODSERVICE	  	HISPANIC AMERICAN
	GARCIA FOODS INC	  	HISPANIC AMERICAN
	QUIRCH FOODS CO	  	HISPANIC AMERICAN
	SURAM TRADING CO	  	HISPANIC AMERICAN
	NATUREBEST PRECUT & PRODUCE	  	HISPANIC AMERICAN
	FIELD FRESH FOODS INC	  	HISPANIC AMERICAN
	MARQUEZ BROTHERS ENTERPRISES	  	HISPANIC AMERICAN
	CALIFORNIA CHURROS	  	HISPANIC AMERICAN
	MALDONADO COMPANY	  	HISPANIC AMERICAN
	CLASSIC FOODS INC	  	HISPANIC AMERICAN
	EL MATADOR FOODS INC	  	HISPANIC AMERICAN
	LA FLOR DE SALT LAKE INC	  	HISPANIC AMERICAN
	PUEBLO FRUITS INC	  	HISPANIC AMERICAN
	KM FOODS INC	  	HISPANIC AMERICAN
	LA CANASTA	  	HISPANIC AMERICAN
	DEL REY TORTILLERIA	  	HISPANIC AMERICAN
	OK BANANA CO	  	HISPANIC AMERICAN
	LOS AMIGOS	  	HISPANIC AMERICAN
	GUSTO PACKING	  	HISPANIC AMERICAN
	EMPACADORA TAPATIO	  	HISPANIC AMERICAN
	NETO SAUSAGE CO	  	HISPANIC AMERICAN
	MARQUEZ BROTHERS INTL INC	  	HISPANIC AMERICAN

			
	 EL-REY
	  	HISPANIC AMERICAN
	 MARQUEZ BROTHERS SOUTHWEST INC
	  	HISPANIC AMERICAN
	 C&F FOODS INC
	  	HISPANIC AMERICAN
	 PATTONS
	  	HISPANIC AMERICAN
	 RIBA FOODS
	  	HISPANIC AMERICAN
	 BADZA SPICES INC
	  	HISPANIC AMERICAN
	 EL MILAGRO INC
	  	HISPANIC AMERICAN
	 LATAPATIA TORTILLERIA INC
	  	HISPANIC AMERICAN
	 CHAPARRO’S TAMALES
	  	HISPANIC AMERICAN
	 AE SANTOS
	  	HISPANIC AMERICAN
	 SAN ANTONIO PACKING COMPANY
	  	HISPANIC AMERICAN
	 RAQUELITAS TORTILLAS
	  	HISPANIC AMERICAN
	 MARQUEZ BROTHERS
	  	HISPANIC AMERICAN
	 MARQUEZ BROTHERS/DENVER DIVISI
	  	HISPANIC AMERICAN
	 GOYA FOODS OF FLORIDA
	  	HISPANIC AMERICAN
	 REINHART FOODSERVICE
	  	HISPANIC AMERICAN
	 ALAMO TAMALES
	  	HISPANIC AMERICAN
	 EAGLE SPICE
	  	HISPANIC AMERICAN
	 CARNECO FOODS
	  	HISPANIC AMERICAN
	 CONCHITA FOODS INC
	  	HISPANIC AMERICAN
	 IMPERIAL SALES COMPANY
	  	HISPANIC AMERICAN
	 EZ TRADE LINK INC
	  	HISPANIC AMERICAN
	 REINHART FOODS
	  	HISPANIC AMERICAN
	 IL GEORGIO.
	  	HISPANIC AMERICAN
	 ALEXANDER INDUSTRIES INC
	  	HISPANIC AMERICAN
	 SUPER LOPEZ TORTILLA
	  	HISPANIC AMERICAN
	 FRUITROPIC LLC
	  	HISPANIC AMERICAN
	 WOW PLASTICS INC
	  	HISPANIC AMERICAN
	 KONIE CUPS INT’L
	  	HISPANIC AMERICAN
	 MARPESCA MIAMI CORPORATION
	  	HISPANIC AMERICAN
	 ARANDAS BAKERY #4 INC
	  	HISPANIC AMERICAN
	 AVO KING INTL
	  	HISPANIC AMERICAN
	 MERCADO LATINO INC
	  	HISPANIC AMERICAN
	 CAWY BOTTLING CO INC
	  	HISPANIC AMERICAN
	 FIGUEROA BROS
	  	HISPANIC AMERICAN
	 MARQUEZ BROTHERS OF NEVADA INC
	  	HISPANIC AMERICAN
	 ANDINA FOOD LLC
	  	HISPANIC AMERICAN
	 REINHART FOODSERVICE
	  	HISPANIC AMERICAN
	 KING METAL PRODUCTS
	  	HISPANIC AMERICAN
	 PICOSOS PEANUT CO INC
	  	HISPANIC AMERICAN
	 WEAVEWOOD INC
	  	HISPANIC AMERICAN
	 REINHART
	  	HISPANIC AMERICAN
	 EMJAC INDUSTRIES
	  	HISPANIC AMERICAN
	 SOLAR SPRING & WIRE FORMS
	  	HISPANIC AMERICAN
	 EVANS FOOD PRODUCT CO
	  	HISPANIC AMERICAN
	 BOSQUE BOERS
	  	HISPANIC AMERICAN
	 GOODHEART,A DIV OF BLUEBONNET
	  	HISPANIC AMERICAN
	 EL PINTO FOODS
	  	HISPANIC AMERICAN
	 REINHART INSTITUTIONAL FOODS
	  	HISPANIC AMERICAN
	 F&R GENERAL INTERIORS
	  	HISPANIC AMERICAN
	 LA ABUELA MEXICAN FOODS INC
	  	HISPANIC AMERICAN
	 DENVER BOOKBINDING COMPANYINC
	  	HISPANIC AMERICAN
	 O PELLE ENTERPRISES INC
	  	HISPANIC AMERICAN

			
	AZTECAS DESIGN INC	  	HISPANIC AMERICAN
	BANACOL MARKETING CORP	  	HISPANIC AMERICAN
	GOYA FOODS OF TEXAS	  	HISPANIC AMERICAN
	CARIBE FOOD	  	HISPANIC AMERICAN
	CIMARRON FOODS	  	HISPANIC AMERICAN
	LA MURCIANA INC	  	HISPANIC AMERICAN
	VYNATEX IMPRESSIONS INC	  	HISPANIC AMERICAN
	GOYA FOODS INC	  	HISPANIC AMERICAN
	PLASTIC SALES & SVC	  	HISPANIC AMERICAN
	LA TORTILLA FACTORY INC	  	HISPANIC AMERICAN
	ELMIRASOL INC	  	HISPANIC AMERICAN
	HMZ INC	  	HISPANIC AMERICAN
	MARTA’S DESSERT	  	HISPANIC AMERICAN
	JL GONZALEZ PRODUCE INC	  	HISPANIC AMERICAN
	MARQUEZ BROTHERS SOUTHERN CA	  	HISPANIC AMERICAN
	MARLO MFG CO INC	  	HISPANIC AMERICAN
	GOODHEART BRAND SPEC MTS	  	HISPANIC AMERICAN
	ADVANCED ICE SYSTEMS	  	HISPANIC AMERICAN
	ALADDIN TEMP RITE LLC	  	HISPANIC AMERICAN
	DYNAMIC TRADE INC.	  	HISPANIC AMERICAN
	LAFITTE FROZEN FOODS	  	MINORITY NOSPECIFIED
	WILLIAM A POWER	  	MINORITY NOSPECIFIED
	RED CHAMBER CO	  	MINORITY NOSPECIFIED
	LONE STAR POULTRY	  	MINORITY NOSPECIFIED
	HONOLULU FISH CO	  	MINORITY NOSPECIFIED
	MIC FOOD DIVISION	  	MINORITY NOSPECIFIED
	H RISCH INC	  	MINORITY NOSPECIFIED
	VILORE FOODS COMPANY	  	MINORITY NOSPECIFIED
	PASTRY EXPRESS	  	MINORITY NOSPECIFIED
	SUN SUN	  	MINORITY NOSPECIFIED
	OLD FASHIONED MEAT CO INC	  	MINORITY NOSPECIFIED
	WEST LAKE FOODS INC	  	MINORITY NOSPECIFIED
	VIP FOODS	  	MINORITY NOSPECIFIED
	ORIGINAL JACK BAKING CO	  	MINORITY NOSPECIFIED
	TIM-JOY FARMS	  	MINORITY NOSPECIFIED
	WORLDWIDE FOOD DISTRIBUTION	  	MINORITY NOSPECIFIED
	LUX BAKERY	  	MINORITY NOSPECIFIED
	ANGY’S/INTROVIGNE INC	  	MINORITY NOSPECIFIED
	LA ESPIGA FAVORITA INC	  	MINORITY NOSPECIFIED
	TRADITIONAL BREADS	  	MINORITY NOSPECIFIED
	WICK’S KITCHENS	  	MINORITY NOSPECIFIED
	THUNDER GROUP INC	  	MINORITY NOSPECIFIED
	MERCADAGRO INTL CORP	  	MINORITY NOSPECIFIED
	PUEBLA FOODS, INC.	  	MINORITY NOSPECIFIED
	FRU VEG SALES INC	  	MINORITY NOSPECIFIED
	PLEASANT FARMS	  	MINORITY NOSPECIFIED
	EL BURRITO MERCADO PROD INC	  	MINORITY NOSPECIFIED
	LIFE GUARD MEDICAL SUPPLY CO	  	MINORITY NOSPECIFIED
	VALENCIA FLOUR MILL, LTD	  	MINORITY NOSPECIFIED
	SPECIALIZED MKTING OF WISC	  	MINORITY NOSPECIFIED
	CHINS IMPORT EXPORT	  	MINORITY NOSPECIFIED
	ALL AMERICAN SEASONING	  	MINORITY NOSPECIFIED
	SUPERIOR METALWORKS INC	  	MINORITY NOSPECIFIED

			
	VANILLA SAFFRON IMPORTS	  	MINORITY NOSPECIFIED
	SOUTHERN BAKING CORP	  	MINORITY NOSPECIFIED
	OREGON ONION	  	MINORITY NOSPECIFIED
	VICTORIA PORCELAIN CO	  	MINORITY NOSPECIFIED
	DIAL-A-PICK CO	  	MINORITY NOSPECIFIED
	SKS ENTERPRISES, INC.	  	MINORITY NOSPECIFIED
	OASIS FOODS	  	MINORITY NOSPECIFIED
	FUKUMARU SEAFOOD	  	MINORITY NOSPECIFIED
	WH HARRIS SEAFOOD INC	  	MINORITY NOSPECIFIED
	SPICES AND BLENDS	  	MINORITY NOSPECIFIED
	JORDAN SPECIALTY CO	  	MINORITY NOSPECIFIED
	CHASE TRADING	  	MINORITY NOSPECIFIED
	SIX POINTS INC	  	NATIVE AMERICAN DISABBLED
	NATURAL NATIVE AMERICAN PROD	  	NATIVE AMERICAN
	CUSTOM DAIRY PRODUCTS	  	NATIVE AMERICAN
	CCSE	  	NATIVE AMERICAN
	N GENUITY ENTERPRISES CO	  	NATIVE AMERICAN WOMEN
	N’GENUITY ENTERPRISES CO	  	NATIVE AMERICAN WOMEN
	WINDSOR FOODS	  	WOMEN
	WINDSOR FROZEN FOODS	  	WOMEN
	SWEET STREET DESSERTS	  	WOMEN
	GO FRESH	  	WOMEN
	CARLAS PASTA INC	  	WOMEN
	CENSEA INC	  	WOMEN
	CATELLI BROTHERS	  	WOMEN
	HANDY WACKS	  	WOMEN
	CONDIES FOODS	  	WOMEN
	SWAGGERTY SAUSAGE CO INC	  	WOMEN
	CHLOE FOODS CORP	  	WOMEN
	ATKINS INC	  	WOMEN
	LAWLER FOODS	  	WOMEN
	EASTERN FISH CO	  	WOMEN
	LA NOVA WINGS	  	WOMEN
	PEARLCO OF BOSTON	  	WOMEN
	PAR WAY TRYSON COMPANIES	  	WOMEN
	JASPER WYMAN & SON	  	WOMEN
	FIABELLA FOODS LLC	  	WOMEN
	HOPES COUNTRY FRESH COOKIES	  	WOMEN
	NATIONAL DAIRY BRANDS	  	WOMEN
	CELLUCAP	  	WOMEN
	CHEESEMAKERS INC	  	WOMEN
	GOSSNER FOODS INC	  	WOMEN
	CARITAS RANCH BAR B Q	  	WOMEN
	SUZANNAS KITCHEN INC	  	WOMEN
	CENSEA	  	WOMEN
	WHITAKER FOODS INC	  	WOMEN
	HAYWARD ENTERPRISES	  	WOMEN
	ROBERTS PRECUT VEGETABLES	  	WOMEN
	SWEET ENDINGS	  	WOMEN
	SEVEN STARS INC	  	WOMEN
	HUDSON MEAT MARKET	  	WOMEN
	VICOM	  	WOMEN
	VALLEY LAHVOSH BAKING CO	  	WOMEN

			
	CLOWN GYSIN BRANDS	  	WOMEN
	PAPERCRAFT	  	WOMEN
	BEVRA SALES INC	  	WOMEN
	POPPIAL’S	  	WOMEN
	MCL DISTRIBUTING INC	  	WOMEN
	NEMCO FOOD EQUIPMENT	  	WOMEN
	DR GUMBO NO CUISINE	  	WOMEN
	ANNIE PIES BAKERY	  	WOMEN
	CAPPUCCINO TO GO	  	WOMEN
	NAGLE VEAL	  	WOMEN
	ILTACO FOODS	  	WOMEN
	MIDWEST NORTHERN INC	  	WOMEN
	ALPHA FOODS CO	  	WOMEN
	NASHVILLE SMOKEHOUSE COMM	  	WOMEN
	DEAN SAUSAGE CO INC	  	WOMEN
	PLASTIC PACKAGING CORP	  	WOMEN
	ASK FOODS INC	  	WOMEN
	BOJA’S FOODS INC	  	WOMEN
	C&L FOODS INC	  	WOMEN
	JOSEPH A SIDARI CO	  	WOMEN
	EASTLAND FOOD PRODUCTS	  	WOMEN
	D1MITRIA DELIGHTS INC	  	WOMEN
	TCOMUS	  	WOMEN
	CUSTOM PAK TOMATO INC	  	WOMEN
	ALLEN FOOD SERVICE	  	WOMEN
	COLUMBUS FOODS	  	WOMEN
	PLAST TECHS ENTERPRISE	  	WOMEN
	L & E DISTRIBUTORS	  	WOMEN
	DEEN MEAT CO	  	WOMEN
	POWERS CANDY	  	WOMEN
	FRENCH PATISSERIE	  	WOMEN
	B LITTLE & COMPANY	  	WOMEN
	FOUNTAINHEAD WATER COMPANY	  	WOMEN
	KRUGER FOODS INC	  	WOMEN
	FAYDA PACKING CO	  	WOMEN
	PEANUT PROCESSORS INC	  	WOMEN
	LOVE & QUICHES	  	WOMEN
	FIRST FOOD COMPANY	  	WOMEN
	PAPERCRAFT	  	WOMEN
	FOOD CONCEPTS	  	WOMEN
	COBATCO INC	  	WOMEN
	ATHENA PARTNERS	  	WOMEN
	MIES PRODUCTS INC	  	WOMEN
	VITA-MIX CORP	  	WOMEN
	FIORE D PASTA INC	  	WOMEN
	MATADOR PROCESSORS INC	  	WOMEN
	UNIVEX	  	WOMEN
	HATHAWAY MARKETING CORP	  	WOMEN
	NORLAKE INC	  	WOMEN
	SUPREME CUTS LLC	  	WOMEN
	SAVOIES SAUSAGE FOOD	  	WOMEN
	DEEP FOODS INC	  	WOMEN
	MRS CONDIES SALAD CO	  	WOMEN

			
	ALLEN BROTHERS MILLING CO	  	WOMEN
	THOMPSON PACKERS INC	  	WOMEN
	SWEET STREET DESSERTS	  	WOMEN
	CORBIN FOODS	  	WOMEN
	MAPLE ISLAND	  	WOMEN
	LAURA CHENELS CHEVRE INC	  	WOMEN
	PATTCO INC	  	WOMEN
	ATLANTIC DOMINION DISTRIBUTORS	  	WOMEN
	LAKEVIEW FARMS INC	  	WOMEN
	BERKELEY SQUARE	  	WOMEN
	ECO-PRODUCTS INC	  	WOMEN
	OREGON SPICE COMPANY	  	WOMEN
	INDIAN RIDGE SHRIMP CO	  	WOMEN
	ALPINE MEAT CO	  	WOMEN
	WA BROWN & SON INC	  	WOMEN
	JACK TUCHTEN PRODUCE	  	WOMEN
	JANAS CLASSIC COOKIES	  	WOMEN
	BOCA FREEZE	  	WOMEN
	FOOD DISTRIBUTION SYSTEMS	  	WOMEN
	PAPERCUTTERS INC	  	WOMEN
	OKAMI INC.	  	WOMEN
	PIERRES FRENCH ICE CREAM	  	WOMEN
	WESTCOTT NUT PRODUCTS CO	  	WOMEN
	HILL & HOLLOW FARM	  	WOMEN
	FEASTER FOODS	  	WOMEN
	SUPERIOR QUALITY FOOD	  	WOMEN
	JUICE MART INC	  	WOMEN
	COSTA MACARONI	  	WOMEN
	CAPTAIN EDS LOBSTER TRAP	  	WOMEN
	TEXAS SHEET METAL	  	WOMEN
	RICHMOND GROUP THE	  	WOMEN
	CAMPIONE	  	WOMEN
	LA AUTENTICA FOODS INC	  	WOMEN
	ZENITH SPECIALTY BAG CO	  	WOMEN
	INTERMARK LTD	  	WOMEN
	MARIDAN CORPORATION	  	WOMEN
	BISCOMERICACORP	  	WOMEN
	MEL O CREAM	  	WOMEN
	MONTIONE’S BAKERY INC	  	WOMEN
	MIDWEST DISTRIBUTING	  	WOMEN
	SANTA FE COOKIE CO	  	WOMEN
	CIRCLE U FOODS INC	  	WOMEN
	TROPICAL NUT & FRUIT	  	WOMEN
	FROMAGERIE BELLE CHEVRE	  	WOMEN
	JUBILATION	  	WOMEN
	AA HOTEL&REST SUP	  	WOMEN
	KARYS ROUX	  	WOMEN
	MOZZARELLA COMPANY	  	WOMEN
	PATRIOT SALES & MARKETING	  	WOMEN
	BALTIMORE GLASSWARE DECOR INC	  	WOMEN
	QUALITY BAKERS INC	  	WOMEN
	CHUCKANUT CHEESECAKE COMPANY	  	WOMEN
	SUNSPROUTS	  	WOMEN

			
	CARTER PRODUCE INC	  	WOMEN
	OPA’S SMOKED MEATS	  	WOMEN
	FORAN SPICE	  	WOMEN
	CRAVERS COOKIES	  	WOMEN
	GRAFTEK SYSTEMS	  	WOMEN
	SIR AUBREYS TEA CO LTD	  	WOMEN
	BUDS SALAD	  	WOMEN
	VALDEZ CORP	  	WOMEN
	DENVER TO-FU CO	  	WOMEN
	RAGOZZINO FOODS, INC	  	WOMEN
	TJ HARKINS	  	WOMEN
	THE BAMA CO. INC @	  	WOMEN
	OLIVERS ARTISAN BREADS INC	  	WOMEN
	BATTAGLIA ENTERPRISES	  	WOMEN
	CANYON SPECIALTY FOODS, INC	  	WOMEN
	GAYLES FOODS	  	WOMEN
	NEW YORK APPLE SALES INC.	  	WOMEN
	PATTY’S HERBS	  	WOMEN
	SOUTHWEST TEXAS EQUIP DISTR	  	WOMEN
	SAUTEE CEDAR CO	  	WOMEN
	UNITED PIE CO	  	WOMEN
	PATTY’S PRESTO PIZZA INC	  	WOMEN
	HEROLDS SALADS INC	  	WOMEN
	RAGOZZINO	  	WOMEN
	CERA PRODUCTS INC	  	WOMEN
	SERVICE CANDY CO	  	WOMEN
	GROWING BUSINESS	  	WOMEN
	POWERS BAKING CO INC	  	WOMEN
	CRYSTAL SPRINGS	  	WOMEN
	DILETTANTE CHOCOLATES	  	WOMEN
	ACE BROOKLYN BAGEL	  	WOMEN
	GRAHAM SEAFOOD CO	  	WOMEN
	WYZEN FOODS INC	  	WOMEN
	ACE BROOKLYN BAGEL INC	  	WOMEN
	FREEDOM GROUP INC	  	WOMEN
	CHERIE’S BROWNIES INC	  	WOMEN
	CLIFCO SPICE SALES INC	  	WOMEN
	ANTHONE’S SYRUP CO	  	WOMEN
	DEEP ROCK WATER	  	WOMEN
	OLD WORLD BAKERY	  	WOMEN
	OREGON LOX CO	  	WOMEN
	SCAN AM	  	WOMEN
	SCALAWISELL INTL	  	WOMEN
	KELMIN PRODUCTS	  	WOMEN
	JA FOODSERVICE INC.	  	WOMEN
	MAZELLES CHEESECAKE	  	WOMEN
	TOTAL COST SYSTEMS INC	  	WOMEN
	ROBIN & COHN SEAFOOD	  	WOMEN
	CREATIVE PRODUCTS INTL INC	  	WOMEN
	SUSIES KITCHEN INC	  	WOMEN
	TACY MEDICAL INC	  	WOMEN
	SON BEVERAGE CO.	  	WOMEN
	LISA’S SALSA CO	  	WOMEN

			
	BEST BUY PRODUCE INT’L INC.	  	WOMEN
	MAINSTREET MENU SYSTEM	  	WOMEN
	AB FOODS LLC	  	WOMEN
	CAPT’N CHUCKYS CRAB CAKE CO	  	WOMEN
	CIRCLE UNLIMITED INC	  	WOMEN
	DISPLAY PRODUCTS INC	  	WOMEN
	WATERSTREET SPECIALTY SCREENPR	  	WOMEN
	SHERMAN SPECIALTY TOY	  	WOMEN
	R&K POWELL ENTERPRISES.	  	WOMEN
	PRAIRIE VIEW IND INC	  	WOMEN
	MANDI FOODS	  	WOMEN
	CONTINENTAL BLENDS	  	WOMEN
	LA TANG CUISINE	  	WOMEN
	TAMALES BY LACASITA	  	WOMEN
	HAYNES MANUFACTURING	  	WOMEN
	DIXIE’S CAKES/MORE INC	  	WOMEN
	RAYBERN FOODS INC	  	WOMEN
	SHAWNEE CANNING CO	  	WOMEN
	ESPRESSO SUPPLY	  	WOMEN
	ABCORP MEDICAL	  	WOMEN
	BIG SPRING WATER COMPANY	  	WOMEN
	MARTIN’S WREATH CO	  	WOMEN
	HUDSON BAKING COMPANY	  	WOMEN
	BAENSCH FOOD PRODUCT	  	WOMEN
	SUNSHINE TREATS	  	WOMEN
	QUIGLEY MFG	  	WOMEN
	HONEYVILLE GRAIN	  	WOMEN
	MADYS SPECIALTY FOODS	  	WOMEN
	TABLECLOTH CO	  	WOMEN
	BASKET CASE THE	  	WOMEN
	KEEFER COURT FOODS INC	  	WOMEN
	REGCO CORP	  	WOMEN
	COSTA VIDA MGMT& CO	  	WOMEN
	RC FINE FOODS	  	WOMEN
	JIT FORMS LLC	  	WOMEN
	SANTA CRUZ CHILI & SPICE	  	WOMEN
	HIGHBRIDGE SPRINGS WATER CO	  	WOMEN
	TRI STATE FOOD SVC MARKETING	  	WOMEN
	OLYMPIC ASSOCIATES	  	WOMEN
	URBAN PROCESSING LLC	  	WOMEN
	PRETZELMANIA	  	WOMEN
	IMAGININGS 3, INC.	  	WOMEN
	AAA GLASS CORP	  	WOMEN
	VAUGHANS TOMATO RELISH	  	WOMEN
	MCPC	  	WOMEN
	MAPLE WOOD INC	  	WOMEN
	BAY AREA BISCOTTI CO	  	WOMEN
	GREENLEAF WHOLESALE FLORIST	  	WOMEN
	PHOENIX DISTRIBUTOR	  	WOMEN
	REGENCY SERV CARTS INC	  	WOMEN
	GATEWAY FOOD PRODUCTS	  	WOMEN
	HOULTON FARMS DIARY	  	WOMEN
	PEPPERLANE PRODUCTS	  	WOMEN

			
	EASTERN BAG & PAPER CO.	  	WOMEN
	AJ ANTUNES ROUNDUP FOOD DIV	  	WOMEN
	NORTHSTAR PRODUCE	  	WOMEN
	MARTHA OLSON’S GREAT FOODS INC	  	WOMEN
	4 C COOKIE COMPANY LLC	  	WOMEN
	CREATIVE FOODS, INC	  	WOMEN
	NATIONAL TICKET CO	  	WOMEN
	HARLEY FARMS	  	WOMEN
	HIEBERT GREENHOUSES INC	  	WOMEN
	MW PERISCOPE	  	WOMEN
	CARVING ICE OF ORLANDO	  	WOMEN
	MULTI GRAIN FOODS, INC.	  	WOMEN
	MY OWN MEALS INC	  	WOMEN
	ALLIED METAL SPINNING	  	WOMEN
	DEXTER’S PARTY ICE	  	WOMEN
	WARBAC SALES	  	WOMEN
	EMBER-GLO	  	WOMEN
	SUN Nl CHEESE CO INC	  	WOMEN
	BAR-NONE MIDWEST	  	WOMEN
	CHAPMAN & SAVIDGE	  	WOMEN
	DOWN HOME FOODS INC	  	WOMEN
	JERRY NUT HOUSE	  	WOMEN
	TW INGREDIENTS	  	WOMEN
	GREAT BUNS BAKERY	  	WOMEN
	TEXAS BRANDS INC	  	WOMEN
	BENNINGTON FURNITURE	  	WOMEN
	PRAIRIE VIEW INDUSTRIES	  	WOMEN
	FABULOUS CHEESECAKES	  	WOMEN
	WAHOO TOPPINGS, INC	  	WOMEN
	JEANS POSH PANTRY	  	WOMEN
	CALCO FARMS INC.	  	WOMEN
	NAT-UR INC	  	WOMEN
	SRI MONOGRAMMING	  	WOMEN
	HOLY JALAPENO	  	WOMEN
	DCS ENTERPRISES	  	WOMEN
	SLEEPING GIANT INC	  	WOMEN
	CLASSIC PROVISIONS INC	  	WOMEN
	BOUTTE’S BOUDIN	  	WOMEN
	BERNER INTERNATIONAL	  	WOMEN
	BERNER INTERNATIONAL	  	WOMEN
	ENOCHS MANUFACTURING	  	WOMEN
	CANINOS ITALIAN SAUSAGE CO	  	WOMEN
	MIDCO INTERNATIONAL	  	WOMEN
	JALAPENO KETCHUP CO INC	  	WOMEN
	IMPERIAL BAKING CO	  	WOMEN
	FARMHOUSE FOODS INC	  	WOMEN
	POLLUTION RESEARCH & DEVMNT	  	WOMEN
	WATER EVENT	  	WOMEN
	NADJA FOODS INC	  	WOMEN
	CHILEWICH LLC	  	WOMEN
	ASIA PACIFIC TRADERS INC	  	WOMEN
	BERNADETTE BAKING CORP	  	WOMEN
	CONWAY ICE DISTRIBUTING	  	WOMEN

			
	LOTECH SALES LLLP INC	  	WOMEN
	STATE FISH CO.	  	WOMEN
	CRAFTTECH INDUSTRIES	  	WOMEN
	AIR QUALITY PRODUCTS	  	WOMEN
	HUBBARD PEANUT CO INC	  	WOMEN
	AJANTUNES & CO	  	WOMEN
	BAUSCHER USA INC	  	WOMEN
	JACK FROST ICE COMPANY	  	WOMEN
	AMERICAN PRODUCE INTERNATIONAL	  	WOMEN
	1MOK TRADE DBA:MRS KELLY’S TEA	  	WOMEN
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	CHUKAR CHERRY CO	  	WOMEN
	HY-TAPE INTERNATIONAL	  	WOMEN
	LOBSTER HARVEST	  	WOMEN
	SPS MEDICAL SUPPLY CORP	  	WOMEN
	VENTURE DISTRIBUTORS	  	WOMEN
	CLEVELAND BOTTLE & SUPPLY	  	WOMEN
	ELIASON	  	WOMEN
	SERVICE TECHS	  	WOMEN
	DRAPES 4 SHOW	  	WOMEN
	AU BON APPET1T LTD	  	WOMEN
	VIA MOTIF	  	WOMEN
	TROPICAL NUT & FRUIT	  	WOMEN
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	PRECISION NORTH AMERICA INC	  	WOMEN
	JAC MECHANICAL SERVICE	  	WOMEN
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 EXHIBIT H 
 To 
 Aramark Master Distribution Agreement 
 Dated as of November 25, 2006 
 Food Safety and Sanitation Standards for Suppliers to ARAMARK SCM, Inc. 
 (“ARAMARK”) (Current, subject
to revision) 
 A. All Suppliers must establish and administer the following programs: 
 1. An operating Hazard Analysis Critical Control Point Program (“HACCP”), under which the Supplier shall: 
  

	 	•	 	 identify all hazards associated with products; 

  

	 	•	 	 determine all Critical Control Points required to control identified hazards; 

  

	 	•	 	 establish standards for all Critical Control Points; 

  

	 	•	 	 establish procedures to monitor each Critical Control Point; 

  

	 	•	 	 establish corrective actions to be taken when there is a deviation; and 

  

	 	•	 	 establish verification procedures to determine that the HACCP system is working effectively, including a record keeping system for each Critical Control Point.

 2. A documented and actionable Pest Control Program that incorporates integrated pest management practices to
assure the facility is free of insects and rodents. 
 3. A documented Cleaning and Sanitation program. 
 4. A documented Product Safety and Recall Program that can track specific production lots of products and destinations, and incoming raw materials
and finished products, ensuring appropriate “track-ability.” Mock recalls shall be conducted every 6 months to assess the effectiveness of such Program. 
 5. A documented Listeria Environmental Program, for suppliers manufacturing and providing to ARAMARK ready-to-eat products. 
 6. A documented E Coli 0157H7 Program for raw ground beef products, for suppliers manufacturing and providing to ARAMARK raw ground beef products. 
 7. To the extent Supplier supplies meat products, or products containing meat, Supplier specifically represents, warrants and covenants that
Supplier, and its vendors, are in compliance with Title 21 C.F.R. § 589.2000 (eff. August 4, 1997), prohibiting the feeding of ruminant meat and bone meal to ruminants, as now or hereafter amended or supplemented. Further, Supplier does
not allow advanced meat recovery, sometimes known as “AMR”, in products Supplier manufactures, or in products that Supplier purchases from others, and uses as an ingredient for Supplier’s products. 
 B. Compliance with these standards shall be monitored in 3 ways: 
 1. Annually, each Supplier shall certify in writing to ARAMARK that the Supplier is in compliance. 

 2. All Suppliers shall be subject to inspection by ARAMARK’s Director of Food Safety or his
designee, annually. Inspections shall include evaluating good manufacturing practices (“GMP’s”) and reviewing the Programs listed above. A minimum score of 85% is required for each inspection. If a score is below 85%, a re-inspection
shall be done within approximately 30 days, to verify correction of deficiencies. A score of less than 85% on reinspection may lead to de-certification of the Supplier. Suppliers shall bear all reasonable inspection costs, e.g. travel, lodging and
meals of the ARAMARK Director of Food Safety. 
 3. Suppliers shall undergo inspections by independent nationally-recognized
inspection services, at least annually. Such inspections shall include evaluating GMP’s and the Programs listed above. ARAMARK recommends Silliker Laboratories, Randolph Associates, NSF Cook & Thurber, NFPA, American Institute of
Baking and American Sanitation Institute as independent inspection services for use by Suppliers. Suppliers are free, however, to use other nationally-recognized inspection services. Suppliers shall bear all costs for these inspections. If
requested, Suppliers shall provide ARAMARK with access to records and results of these inspections. 
 C. Product Recalls 
 1. All ARAMARK manufacturers and distributors must have a documented product safety and recall program that can track specific lots of products and
destinations. Mock recalls shall be conducted every six months to assess the effectiveness of such program. For manufacturers, the program shall include both incoming raw materials and finished products. 
 2. The following ARAMARK personnel must be notified when a recall occurs: 
 Nancy Donaldson – Senior Director of Distribution – Donaldson- Nancy@Aramark.com 
 Joe Arrasmith – Senior Purchasing Manager – Arrasmith-Joseph@Aramark.com 
 Frank Leonardo – Director of Food Safety – Leonardo-Frank@Aramark.com 
 John Orobono – Senior Vice President, Supply Chain Management – Orobono-John@Aramark.com 
 Notice shall be given by fax at 215 238 8127 and 215 238 4070 and email as above, within 24 hours. Notice by fax and email shall be effective only upon confirmation of
receipt from ARAMARK. 
 3. All ARAMARK components that have received recalled product must be notified within 24 hours, by fax or
telephone. The recall notice must identify the product, and shall include all lot or code numbers, product disposition information, and such other information as may be required by law or regulation or that is customarily included in recall notices.
All recall information must be to the attention of the component manager. 

 EXHIBIT I 
 To 
 Aramark Master Distribution Agreement 
 Dated as of November 25, 2006 

 EXHIBIT I 
 To 
 Aramark Master Distribution Agreement 
 Dated as of November 25, 2006 
 SYSCO CORPORATION 
 

 
 Raw Ground Beef 
 and /or Veal 
 Requirements 
 Requirements for Authorized 
 SYSCO Brand/MUA/Packer Label Suppliers

 Revised 04/25/05 
 1390 Enclave Parkway Houston, Texas 77077-2099 

 As the leader in the food service industry, SYSCO has been very proactive in establishing food safety programs
that will provide our customers with safe and wholesome products. One of the most critical initiatives SYSCO introduced in Fiscal Year 1999 a program requiring ALL SYSCO Brand, MUA, and Packer Labeled suppliers of fresh and frozen raw ground beef
and/or veal products to comply with critical plant and product safety requirements. In a continued effort to improve the food safety and quality of raw ground beef and/or veal products as well comply with the FSIS Directive 10,010.1 Revision 1,
dated 03/31/04 by the USDA/FSIS regarding microbiological testing program and other verification activities for Escherichia coli 0157:H7. Please refer to the directive by accessing the following link:
http://www.fsis.usda.gov/OPPDE/rdad/FSISDirectives/10.010.1.pdf. SYSCO Quality Assurance, with the support of the BSCC Beef Department and SYSCO Operating Companies have embarked on significant changes to the Quality Control and
Process Control requirements for SYSCO/MUA/Packer Label suppliers of raw ground beef and/or veal products. The product and process requirements were revised to improve our company’s ability to ensure Food Safety and achieve a greater level of
consistency between products and suppliers of this important product category. These changes mandate that all suppliers of raw ground beef and/or veal products comply with SYSCO’s Raw Ground Beef and/or Veal Requirements.

 Therefore, SYSCO is requesting that you complete and forward to SYSCO Corporate the Raw Ground Beef Supplier Compliance Sheet / Release Form (refer to
last page this document). Please read the form carefully and provide appropriate documentation to verify compliance to the six essential elements as detailed in the following pages. Please forward this correspondence to SYSCO Corporate Quality
Assurance Department no later than <<INSERT DATE>>. This information is required in order to remain approved or become approved as a SYSCO Brand/ MUA/ Packer Label Supplier of Raw Ground Beef and/or Veal items. 
 The six essential elements of the SYSCO Corporation Raw Ground Beef and/or Veal Requirements for all Authorized SYSCO Brand/MUA/Packer Label Suppliers of raw ground beef
and veal products include: 
  

	 	•	 	 Documented and re-assessed HACCP program. 

  

	 	•	 	 Purchase Specification Requirements 

  

	 	•	 	 Metal Prevention Program. 

  

	 	•	 	 Bone Chip/Connective Tissue Elimination System. 

  

	 	•	 	 Documented Recall Policy. 

  

	 	•	 	 E. coli 0157:H7/NM testing program for ALL raw ground beef and/or veal products. This sampling program does include
multi-ingredient products that contain beef and/or veal, as well as other livestock or poultry ingredients (e.g., chunked and formed products, beef patties, raw meatballs, raw sausage that contains both fresh beef and pork). It is our intent to
utilize raw material testing to improve the quality and access plant HACCP Programs. No sampling program (except 100% testing) can eliminate the risk of pathogen presence. Therefore, these procedures are to be used to verify the effectiveness of the
supplier’s processes and HACCP Program(s). Through the use of pathogen intervention methods during processing and microbial sampling programs, we can evaluate the acceptability of a raw ground meat product. 

 Any establishment identified as not complying with SYSCO’s Raw Ground Beef and/or Veal Requirements will result in immediate suspension of production of a
SYSCO Brand Supplier or immediate removal as an authorized P / L or MUA Supplier for distribution through a SYSCO Operating Company. 
 Note:
SYSCO Brand raw ground beef suppliers must also conform to SYSCO Brand specifications and requirements as detailed in the SYSCO Ground Beef Manual. 
 This program has been established to ensure that all ground beef products distributed through the SYSCO Network are manufactured under stringent quality standards. As the industry’s leader in foodservice marketing and distribution, we
will constantly strive to provide safe and wholesome products to our valued customers. 
  

					
		  	Page 2	  	4/25/05

 SYSCO CORPORATION 
 RAW GROUND BEEF AND/OR VEAL PREREQUISITE PROGRAMS 
 SYSCO AUTHORIZED SYSCO BRAND/MUA/PACKER LABEL
SUPPLIERS 
 A. Documented HACCP Program 
 All producers of raw ground beef and/or veal products for SYSCO Operating Companies must comply with the implementation of HACCP as mandated by USDA In the Final Rule on Pathogen Reduction and Hazard Analysis and Critical Control Point
Systems, All establishments are required to re-assess their HACCP Plans as required by Federal Register Notice 9 CFR Part 417 (which can be accessed at http://www.access.gpo.qov/nara/cfr/waisidx 02/9cfr417_02.html). SYSCO encourages suppliers
of raw beef and/or veal products to re-assess their HACCP plans to determine whether BSE, E.coli 0157:H7 and Salmonella are hazards reasonably likely to occur in their production process. This requirement applies to all raw beef
products including ground beef, other non-intact beef products, and Intact beef products. If reassessment results indicate that BSE, E.coli 0157:H7 and Salmonella contamination is a food safety hazard reasonably likely to occur in your
establishment’s production process, then it must be addressed in your HACCP plan. SYSCO will require that all establishments receiving product for grinding have purchase specifications requiring ail their suppliers to have one or more critical
control points (CCP’s) validated to eliminate or to reduce BSE, E.coli 0157:H7 and Salmonella below detectable levels. The documented CCP’s must be provided to SYSCO to affirm that the reassessment has been completed. If an
establishment determines that no additional steps are needed to address pathogens within their production process, the establishment must incorporate these specifications and documentation verifying that the specifications are being met in their
HACCP plans and Sanitation SOP’s, which FSIS has recognized as prerequisites for HACCP, or in other prerequisite programs. 
 B. Purchase
Specification Requirements 
 In addition to the USDA requirements that all facilities reassess their HACCP plans for Bovine Spongiform
Encephalopathy (BSE) refer to 9 CFR 310.22 (which can be accessed at http://squid.law.cornell.edu/cqi-bin/get-cfr.cgi?TITLE=9&PART=310&SECTION = 22&TYPE=TEXT) SYSCO has developed the following purchase specifications for
ALL products (SYSCO and Packer Label) marketed through one of its wholly owned subsidiaries including traditional broad-line distribution warehouses, the SYGMA Network, Asian Foods, Freshpoint, or any of the SYSCO Specialty Meat
Companies (A. M. Briggs, Buckhead Beef, Malcolm Meat Company, Freedman Foodservice, Newport Meat Company, and Fulton Provision Company). Affirmative confirmation is required to ensure full compliance to the specifications below: 
 B.1. RAW MATERIAL STANDARDS 
  

	 	•	 	 All meat and non-meat raw materials will be purchased from suppliers identified in the plants Approved Raw Material Supplier Program. 

 

	 	•	 	 Boning procedures used in the manufacture of Boneless, Lean Beef will comply with the USDA AQL Standards for bones, bone chips, cartilage, bruises, and blood
clots, 

  

	 	•	 	 Certificates of analysis must be on file for each lot. Certificates of analysis must be provided for review by a SYSCO Representative upon request.
Documentation must include each product code, description, code date, and quantity packed for each item produced from the raw materials corresponding to the test results, 

  

					
		  	Page 3	  	4/25/05

	 	•	 	 Customer Certifications must be made available for review by a SYSCO Representative upon request certifying the following: (1) that all
products have been produced under the BSE defense-in-depth program and routine testing confirmed no evidence of CNS tissues before shipment, (2) the slaughter facility does not process downer cattle for human consumption, and
(3) the slaughter facility does not utilize Air-Injection Stunning, to ensure that portions of the brain are not dislocated into the tissues of the carcass as a consequence of humanely stunning cattle during the slaughter process.

  

	 	•	 	 Supplier Certifications must be made available for review by a SYSCO Representative upon request. All slaughter facilities must certify that the
cattle from which their raw materials are derived have not been fed any prohibited feed (i.e., that their feeding practices are in full compliance with FDA requirements, 21 CFR 589.2000). 

 C. Raw Material Requirements 
 C.1. Background Information 
  

	 	•	 	 Raw material purchase specifications must meet or exceed recommendations set forth by the USDA/FSIS. The following reference materials (“Guidance for Beef
Grinders and Suppliers of Boneless Beef and Trim Products”, “Guidance for minimizing the Risk of Escherichia coli 0157:H7 and Salmonella in Beef Slaughter Operations” and “Verifying an Establishments Food safety
System”) can be accessed through the following web sites:  

 http://www.fsis.usda.gov/oppde/rdad/frpubs/00-022N/BeefGrindGuide.pdf,  
 http://www.fsis.usda.gov/oppde/rdad/frpub5/Op-022N/BeefSlauterGuide.pdf and 
 http://www.fsis.usda.gov/OPPDE/rdad/FSISDirectives/5000.lRevl.pdf 
  

	 	•	 	 Each establishment must have a documented Raw Material Purchase Specification Program in place. 

  

	 	•	 	 Salmonella testing must be an integral part of the raw material purchase specifications for SYSCO Brand suppliers. Currently, FSIS does not consider Salmonella as
an adulterant in raw meat however; Salmonella testing results are a good means to verify that HACCP systems are effective in controlling contamination. Therefore, SYSCO is requiring that raw material suppliers develop a program to monitor Salmonella
results and implement corrective actions based on established guidelines. In order to insure establishments are meeting these standards, suppliers are required to establish a documented testing program for Salmonella spp. I results exceed
established baseline values, Salmonella spp. Testing must be increased to determine the source of contamination. Appropriate documented corrective actions must be available for review upon request. For Salmonella spp., it is
recommended that laboratories use 25-gram analytical sub-samples and inoculate 225 ml. of media or 100 grams sub-sample and inoculate 900 ml of the appropriate medium, however, the inoculum to media ratio must be maintained at 1 to 10. Laboratories
are required to use AOAC 

  

	 	•	 	 approved, or BAM book method. Refer to the following web site for additional information: 

 http://aoac.org/testkits/microbiologykits.htm 
  

	 	•	 	 Establishments should also establish documented testing guidelines for indicator organisms such as: aerobic plate count, coliforms, generic e. coli, salmonella
(spp.) and Listeria (spp.). These indicator organisms can detect a failure in the establishments GMP procedures that can have an effect on the microbiological quality of a meat item. These indicator organisms are an effective way to access
process controls during the slaughter and fabrication process. 

  

	 	•	 	 Non-branded suppliersmy be required to submit raw material purchase specifications to SYSCO for review. 

  

					
		  	Page 4	  	4/25/05

 C.2. E.coli 0157:H7/NM Testing Requirements 
 SYSCO has established a recommended sampling and testing program for E.coli 0157:H7/NM which applies to boneless raw materials used to produce raw ground
beef and/or veal products and other raw comminuted meat products containing beef and/or veal. Currently, E.coli 0157:H7 testing is the only acceptable validation of a CCP to prevent, eliminate, or reduce E.coli 0157:H7. However, if an
establishment can demonstrate that there is an organism that can be used as an indicator organism for E.coli 0157:H7, this organism could be used for validation of CCP’s addressing E.coli 0157:H7. 
 SYSCO realizes that the production of raw comminuted beef and/or veal products is a process devoid of steps capable of successfully eliminating E.coli
0157:H7/NM, Therefore, SYSCO believes that sampling and testing beef and veal raw materials is the most available means of detecting more highly contaminated lots of trimmings and rejecting the lots prior to delivery. This testing program will
be in conjunction with an Approved Raw Material Supplier Program. SYSCO’s minimum requirements are not intended to restrict a desire to develop much more sophisticated programs. SYSCO Quality Assurance will continue to reserve the right to
offer recommendations to improve these procedures. SYSCO highly recommends that all suppliers review the FSIS Guidance materials: (1) Guidance for Beef grinders and Suppliers of Boneless Beef and Trim Products and (2) Guidance for
minimizing the Risk of Escherichia coli 0157:H7/NM and Salmonella in Beef Slaughter Operations. These guidelines should be used to develop a sound program to minimize the food safety risks associated with E.coli Q157:H7/NM. 

C.2.1. BONELESS BEEF SAMPLING PLAN 
 SYSCO has established a recommended sampling and testing program for E.coli 0157:H7/NM Pathogenic Microorganisms. All RAW BONELESS BEEF AND/OR VEAL RAW MATERIALS MUST BE TEST NEGATIVE (BELOW DETECTABLE LEVELS) FOR
E.COLI 0157:H7/NM PRIOR TO RECEIPT. The recommended procedures are as follows: 
 C.2.1.1. COMBOS 
 a) Lot Size (Combos) 
  

	 	1.	A typical truckload consists of twenty (20) combos of fresh beef trimmings. Each combo-bin weighs approximately 2,000 pounds. 

  

	 	2.	Each Lot consists of a maximum of 5 combo-bins of fresh boneless beef trimmings. 

  

	 	3.	If less than five combo-bins are used in a lot, the number and weight of the sub-samples used to form the composite sample should be adjusted. 

  

					
		  	Page 5	  	4/25/05

 (Fig 1) 
 

 
 b) Core Drilling Procedure (Combos) 
  

	 	1.	From each fresh combo-bin, collect core drill samples from random locations in the combo. There must be a minimum of 5 cores of the product from each combo-bin.

  

	 	2.	After the core drill samples from one combo-bin are pulled, they must be combined and ground together in their entirety (this is a “Bin Sample”). 

 

	 	3.	From this bin sample, a total of four (4) separate 25-gram sub-samples must be pulled. These four sub-samples make up the 100-gram that is required from each combo-bin. (Fig.
2) 

  

					
		  	Page 6	  	4/25/05

 (Fig. 2) 
 

 
  

	 	4.	Repeat steps 1-4 on the 4 remaining combo-bin in the lot. In a sterile “Whirl Pak” type bag, combine the 100-gram composites from all 5 bins into one sample (500 grams).
This represents a Lot-sample. 

  

	 	5.	Four combos/lot - five separate 25 gram sub-samples from each combo core drill sample to form a 125 gram sub-sample composite. Combine all four 125 gram sub-sample composites
into one 500-gram total composite for testing. 

  

	 	6.	Three combos/lot - seven separate 25 gram sub-samples from each combo core drill sample to form a 175 gram sub-sample composite. Combine all three 175 gram sub-sample
composites into one 525-gram total composite for testing. 

  

	 	7.	Two combos/lot - ten separate 25 gram sub-samples from each combo core drill sample to form a 250 gram sub-sample composite. Combine both 250-gram sub-sample composites into
one 500-gram total composite for testing. 

  

	 	8.	One Combo/Lot - twenty separate 25-gram sub-samples from the core drill sample to form a 500-gram total for testing. 

 C. Excision Sampling 
  

	 	(1)	Assemble all 5-combo bins that are designated as a lot. 

  

	 	 (2)
	 Aseptically incise 12 surface slices (incision slices) per combo. Each slice should weigh around 6.25 grams for a
total of approximately 75 grams/combo Slices should be approximately  1/8” thick x 6” long x
 1/2” wide. 

  

					
		  	Page 7	  	4/25/05

	 	(3)	Repeat the above for other 4 combo-bins in the Lot. 

  

	 	 (4)
	 Composite sample of the lot will consist of: Five (5) combos per lot = 60 total pieces for a total of
approximately 375 grams. The surface area for each surface slice will be 14.1 cm2’ thus 169.2 cm2 /combo and 846 cm2 for the 5-combo lot 

  

	 	(5)	Lots containing less than 5 combos must be composite as follows: 

  

	 	(a)	The total number of “surface slices” taken for the composite must equal 60 pieces. 

  

	 	(b)	The formula for determining the number of samples to be taken per combo is as follows: 

 60/Total Combos in Lot = Number of Samples per Combo 
  

	 	(6)	Place the Lot Sample (~ 375 grams) in a sterile “Whirl Pak” type bag, and attach one of the twin labels on to the bag for the laboratory analysis.

 D. Labeling 
  

	 	(1)	Label The “Whirl Pak” sample and the corresponding combos/pallets with an “Al-A5”. The next lot will be labeled “Bl-B5” and so on. This will
produce four (4) lots per 20-combo/pallet loads labeled “A1-A5” through “D1-D5”. 

  

	 	(2)	Ensure correct labeling. Include all pertinent information for each lot. (Fig. 3) 

 (Fig. 3) 
 

 
  

	 	(3)	Put the sealed lot sample bags representing the load into a transport cooler with a minimum of four (4) “Jell-Packs”. Do not pack in ice or CO2, Frozen samples
will delay testing. 

  

	 	(4)	Properly complete a laboratory submission form as requested by the laboratory. Enclose the completed submission form in an envelope and place it inside the transport cooler.
Seal the transport cooler with shipping tape. 

  

	 	(5)	Ship to approved laboratory of choice. 

  

					
		  	Page 8	  	4/25/05

 C.2.1.2. CARTONS/BOXES 
 a) Lot Size (Cartons/Boxes) 
  

	 	1.	All cartons to be sampled are to be chosen at random and are to be selected over a range of production. -Cartons-shall be taken from a minimum of 3 pallets per load.

  

	 	2.	The number of cartons sampled shall represent at least 5% of the total number of cartons in the lot. Thus if a lot consists of 600 cartons, 30 cartons (5% of 600) shall be
sampled. In the case of partial loads the number of cartons sampled shall be at least 5%, or minimum of 20 cartons whichever is the greater, of the total of cartons in the load. 

  

	 	3.	All lots to be tested shall consist of cartons bearing individual Establishment Numbers and code dates. 

  

	 	4.	Sampling shall be completely random so that, to the extent feasible without creating additional handling expenses, a range of production is sampled. 

 b) Core Drilling Procedure (Cartons/Boxes) 
  

	 	1.	The meat is to be sampled in a frozen state, by drilling, for which the technique for sampling cartons is to remove all the meat shavings resulting from randomly drilling 4
to 5 holes with a 3/4” auger bit (use care not to create excessive heat by “forcing” the bit). It might be advisable to utilize a smaller bit and drill multiple holes rather than trying to get the sample bag from each box). Pass the
bit through the frozen block of meat from top to within 1/2” of the bottom in each carton sampled. Where feasible a template shall be used for drilling of holes. Otherwise, a standard diagram shall be used. 

  

	 	2.	Aseptically collect and composite a minimum of 500 grams in a sterile “Whirl Pak” type bag, and attach one of the twin labels on to the bag for the laboratory analysis.

 c) Labeling 
  

	 	(1)	Label The “Whirl Pak” sample and the corresponding boxes/pallets with a “Lot Number”. 

  

	 	(2)	Ensure correct labeling. Include all pertinent information for each lot. (Refer to Fig. 4) 

 (Fig. 4) 
 

 
  

					
		  	Page 9	  	4/25/05

	 	(3)	Put the sealed lot sample bags representing the load into a transport cooler with a minimum of four (4) “Jell-Packs”. Do not pack in ice or CO2, Frozen samples
will delay testing. 

  

	 	(4)	Properly complete a laboratory submission form supplied by laboratory. Enclose the completed submission form in an envelope and place it inside the transport cooler. Seal the
transport cooler with shipping tape. 

  

	 	(5)	Ship to approved laboratory. 

 C.2.1.3. LABORTORY ANALYSIS: 
 Suppliers’ may use their own in-house laboratory or an
outside third party food laboratory as long as the laboratory is participating in a Proficiency Testing Program (conducted on a quarterly basis). Refer to the following web site for additional information:
http://www.aoac.org/proficiencytesting/proficiency.html. Results of proficiency program must be submitted to SYSCO Quality Assurance for approval. 
 a) E.coli 0157:H7/NM Detection on Core Drilled Samples 
 Either Elisa based Immunoassay or PCR based
methods may be used to analyze the sample. Using Elisa based Immunoassay, advises your Laboratory to use 375 gram of analytical lot sub-sample from each 500-gram Lot sample for E. coli O157:H7/ E. coli O 157:NM testing. An analytical lot sub-sample
size of 375-grams from each lot sample must be used to inoculate 3625 ml of Modified EC medium and must include Antibody-coated paramagnetic beads step into their procedure. Laboratories may use any manufacturer recommended medium compatible to
ELISA based immunoassay method. Incubation time for the enrichment phase of the ELISA based immunoassay procedure must be 20 hours. Laboratories using Neogen’s immunoassay device may use 8 hours incubation time provided that they use Specific
Neogen 8 hour enrichment medium. For the ELISA-based Immunoassay methods that requires less than 20 hour’s incubation time for pre-enrichment. Laboratories shall use Incubator-Shakers during enrichment period, and shall include Antibody-coated
paramagnetic beads step in the procedure. 
 For PCR analysis of the sample Laboratories may use 100 gram of analytical lot sub-sample from
each 500-gram Lot sample for E. coli O 157:H7/NM testing. An incubation time of 12 hrs is sufficient for the enrichment phase with mEC+n medium for Laboratories using PCR based testing. Your Laboratory may chose 8 hours of incubation for the
enrichment phase if they use special newly developed 8 hours BAX System Media for E. coli O157:H7/NM Part #17710647 Manufactured by Oxoid, Ltd. for Qualican. 
 b) Excision Lot and Carton Sampling 
  

	 	•	 	 Samples can be analyzed by either an on-side laboratory or an accredited commercial Out-side microbiology. However, laboratories must homogenize the lot sample and
use a minimum of 125 gram lot sub-sample from 500 gram Lot sample for E. coli O157:H7 or E. coli O157; NM. Laboratories may use PCR based method (BAX or any other validated and commercially available PCR techniques) or ELISA based immunoassay to
analyze the sample. 

  

	 	•	 	 If Salmonella testing is to be conducted the laboratory can use the remaining 375 gram lot sample to screen for Salmonella spp using AOAC approved method or follow
the method for the detection of Salmonella Spp as outlined in the BAM book. Analytical 

  

					
		  	Page 10	  	4/25/05

	 	•	 	 Sub-samples as small as 25 gram to 100-gram portion of the lot sample (remaining 375 gram) could be used for the detection of salmonella spp.

  

	 	•	 	 For any ELISA based E. coli O157:H7/NM testing use 375-gram lot sub-sample from each lot sample and inoculate 3625 ml of enrichment medium appropriate for the
immunoassay of. your choice. The incubation time of pre-enrichment for any immunoassay other than Neogen must be 20 hours. Laboratories using Neogen’s immunoassay device may use 8 hours incubation provided that they use Specific Neogen 8 hour
enrichment medium. 

  

	 	•	 	 Laboratories using ELISA-based Immunoassay methods that require less than 20 hours incubation time for pre-enrichment are advised to use Incubator-Shakers during
enrichment period, and must include the antibody-coated paramagnetic beads step in their procedure. 

  

	 	•	 	 For PCR analysis of the sample, laboratories may use 100 grams of the analytical lot sub-sample to inoculate 500 ml of appropriate medium for E. Coli O 157:H7/ E.
coli O 157:NM testing. An incubation time of 12 hrs is sufficient for the enrichment phase with mEC+n medium for Laboratories using PCR based testing. Your Laboratory may chose 8 hours of incubation time for the enrichment phase if they use special
newly developed 8 hour Enrichment medium for the PCR-based technique (Qualicon, the manufacturer of BAX® is supplying this medium). Refer to the following web site for additional information:
http://aoac.org/testkits/microbioloqykits.htm 

  

	 	•	 	 When utilizing the ELISA-based Immunoassay methods, presumptive positive tests must be confirmed through the use of an AOAC/USDA Approved Method.

  

	 	•	 	 The use of alternative sampling methods other than the ones described in this protocol is NOT permitted. SYSCO Corporation will NOT grant any permit to use
alternative Sampling Plan and will review documentation for proper and acceptable sampling techniques. 

  

	 	•	 	 Outside laboratories must be advised to fax the results to grinding establishment within 24 hours of receiving of the sample. 

 C.3. Imported Boneless Beef and Beef Trimmings 
  

	 	•	 	 Boneless beef and boneless beef trimmings from Australia , New Zealand, and Uruguay (with prior approval from BSCC Beef) are permitted. Historically E. coli
O157:H7 has not been prevalent in Australia, New Zealand, or Uruguay beef. Therefore E. Coli O157:H7 and or E. coli O157: NM are not hazards reasonably likely to occur in boneless Beef originate in those countries.

  

	 	•	 	 Boneless Beef from Australia must be accompanied with an E.coli 0157:H7/NM declaration statement that the product has been screen for E. coli O157:H7
or E. coli O157: NM and passed. Screening method outlined in New Zealand’s Australia’s, and Uruguay’s E.Coli O157:H7 testing Programme or any screening methods requirements detailed in these programs are acceptable
to SYSCO Corporation 

  

	 	•	 	 Boneless Beef and Boneless Beef Trimmings from Australia, New Zealand, or Uruguay must be accompanied with an E.coli 0157:H7/NM declaration statement that the
product has been screen for E.Coli O157:H7 and passed. 

  

	 	•	 	 Screening method for E.Coli O157:H7 recommended by The New Zealand Meat Industry Standards Council (MISC) or any screening method that meets or exceed
SYSCO’s minimum standards are acceptable. 

 C.4. Records 
  

	 	•	 	 Results must be maintained on file for review or may be completed by your raw material supplier with an E.coli 0157:H7/NM declaration statement submitted
with each load, 

  

	 	•	 	 E.coli O157:H7/NM testing declaration statements must be provided to SYSCO Corporation upon request. 

  

					
		  	Page 11	  	4/25/05

 D. Product Recall/Withdrawal Program 
 In the event of a recall SYSCO and/or its Operating Companies must be contacted immediately. Mock recalls are to be conducted twice per year. The effectiveness of the mock recall must be maintained on file and be
available for review by SYSCO Corporate upon request. A Withdrawal/Recall Program, which meets SYSCO’s Basic Format, must be in place for all Branded or Packer label suppliers. The Basic Format Requirements for Recall Policies are as follows:

 D.1. Statement of Definitions: 
 Product Recall - A product recall is a voluntary action by the firm that marketed the product or an action requested by a regulatory agency. An actual recall is removing from marketing and distribution channels
those products which are adulterated or miss-branded to the extent such products are subject to seizure under current policy and guidelines of the United States Department of Agriculture (USDA) or the federal Food and Drug Administration (FDA).
Product recall is an efficient and effective means of removing sizable quantities of products from the marketplace. The alternative to product recall is seizure or other legal action by regulatory agencies. 
 Market Withdrawal - This is a situation where no violation is involved or the violation is minor and product is not subject to seizure under
current FDA or USDA policy and guidelines. 
 Stock Recovery - This is a situation where none of the product has left the direct
control of the manufacturer or primary distributor. This type of action would be a product recall or market withdrawal if the product were in distribution channels. 
 Effectiveness Checks - Contact verifications made based on regulatory agency direction to assure that the recall has been effectuated. An alphabetic letter represents the extent to which these verifications are
made. 
 Classifications of Product Recall: 
 Class I Recall - This is an emergency situation involving the removal from marketing and distribution channels those products that, because of a deficiency, pose an immediate or long-term serious threat to
health or life. An example of such a product is a food product containing botulinum toxin. In a Class I Recall, top priority must be given to the complete and immediate removal of the recalled products from all levels in the distribution
chain all the way down to the consumer level. 
 Class II Recall - This is a priority situation in which a product may cause temporary
or medically reversible adverse health consequences and where the probability of serious adverse health consequences is remote. An example of such a product is a food product containing a foreign material such as plastic, In a Class II Recall,
products must be removed from all levels in the distribution chain. 
 Class III Recall - This is a routine situation in which adverse
health consequences of a product deficiency are highly improbable or non-existent. Products are recalled because of adulteration or misbranding not involving a health hazard. Examples of Class III Recalls are situations involving improperly labeled
products or products with filth contamination. In a Class II Recall, products must be removed from the wholesale levels of the distribution chain. FDA and the USDA generally require that the product be recalled to wholesale level. 
 D.2. Recall Action Team 
 List of Names - Provide names of individuals who will be a part of the Recall Action Team, Along with business and home telephone numbers. For each individual an alternate should be designated to act on his/her behalf in case of
absence. Representation from various aspects of the company should be included, such as Production, Quality Assurance/Control, Logistics/Warehousing Operations, Marketing/Sales, Accounting and Legal. 
  

					
		  	Page 12	  	4/25/05

 Detail of Individual Team Member Responsibilities - 
 The role(s) and responsibilities of each team member should be clearly defined. List the functions of each team member and to whom they are accountable.

 D.3. Product Complaint Form/Fife: 
 The company should maintain a complaint log and record all information received for each complaint. The complaint form should include customer name,
product code/description, product code date, detailed explanation of problem, and action taken to correct problem. 
 D.4.
Initiation of Recall/External notification of Regulatory Agency: 
 Any manufacturer that initiates a recall for a Food
Safety related reason should notify the appropriate regulatory agency having jurisdiction with information including: 
  

	 	•	 	 Reason for Recall: Foreign material, food borne illness, contamination, etc. 

  

	 	•	 	 Recalled production information, such as name, code marks or lot numbers, plant number/name, date of production, etc. 

  

	 	•	 	 The amount of product involved, broken down as follows: 

  

	 	•	 	 Total quantity of recalled product originally in company’s possession. 

  

	 	•	 	 Total quantity distributed at the time of recall 

  

	 	•	 	 Total quantity remaining in the company’s possession 

  

	 	•	 	 Areas of distribution of the recalled product: by area, cities, states, country if exported, along with the retailers’ and wholesalers’ names and
addresses. 

  

	 	•	 	 Information on any other product, which could be affected by the same hazard. 

 D.5. Internal Notification and Instructions: 
 Recall policies should provide detailed instructions for plant/company employees to follow in the event of a Product Recall. 
 D.6. Preparation of Public Notice: 
 To avoid damaging publicity the Recalling
Firm should take precaution in preparing public notice. Accurate, timely communication with regulatory agencies is important; contact with the agency and release of information to the press should be made only when solid facts are available. The
Recall Policy must provide a description of the type of public notice and who will be responsible to speak to the media if necessary. 
 D.7. Confirmation Letter to Customers: 
 The Recall Policy should include a
template example of correspondence that will be sent to wholesale and/or retail customers in the event of a Product Recall. The letter should include customer name, address, description of problem, quantity if known, specific instructions for
handling product, and explanation of product credit and/or replacement. The letter should provide a means for the recipient to report to recalling firm whether it has any of the products, i.e., by phone contact, fax, or a mail in card. 

D.8. Product Recovery and Disposition: 
 Transportation of suspect product to the Recalling Firm’s designated location must be handled in an expedient manner. An accurate inventory of
returned goods must be kept. Records of product picked up from customers must be accurate. Upon receipt, product should be segregated, and retested if appropriate, Product must be held until a final disposition is reached. 
  

					
		  	Page 13	  	4/25/05

 D.9. Termination of Recall: 
 The point at which satisfactory disposition of the recalled product has been made and the information required for the summary of the recall is complete.
The summary of the recall would include confirmation of the corrective measures taken by the recalling form to eliminate from its manufacturing and distribution processes those conditions or practices, which created the recall. 
 D.10. Product Recovery Drills/ Mock Recalls: 
 Product recovery drills (mock recalls), must be conducted twice per year to determine and assess the ongoing effectiveness of the plant’s recall plan. Thorough record keeping, including tracing back and forward
is required to facilitate recall efforts. Information must be verified and recorded. This information should include but is not limited to: (1) Date and time mock recall was conducted, (2) Product(s) involved, (3) Scope of Mock
Recall, (4) Suppliers of raw materials, intervention methods used during slaughter, boning, processing, and whether the purchase specifications are met, (5) The type of raw material received, whether boneless beef, trim, cheek meat, or
head meat and whether the purchase specifications are met, including temperature of product upon receipt and microbial specifications. (6) Results/effectiveness of any intervention method applied, (7) Temperature of processing room and of
product, (5) Packaging material or containers used and time and temperature of storage (6) Shipping records, (7) Time required to conduct mock recall, (8) Concerns/deficiencies noted during Mock Recall, (9) Corrective actions
taken to address concerns or deficiencies noted. 
 D.11. Flow Chart of Recall Process (Recommended, but not
required): 
 E. Metal Detection Requirements 
 All production must be conveyed through a working metal detector prior to release for sale to check finished products for metal hazards. Supplier must provide
verification of a working metal detector through submission of photographs and metal detector test verification displaying accurate calibration. Examples of a Metal Detector Settings Sheet, Metal Contamination Daily Log Sheet, and calibration Check
Sheet are attached and may be replicated. 
 E.1. Metal Detector Test Procedures 
 E.1.1. Calibration and verification of calibration: 
 Ferrous, non-Ferrous, and Stainless Steel standards will be utilized to calibrate and verify calibration of metal detection equipment. The minimum acceptable sensitivity levels for the three types of metal will be 3.0
mm Ferrous, 3.5 mm non-Ferrous, and 5.0 mm Stainless Steel 
 E.1. 2. Affirmative documentation:

 Operation of a metal detector must be verified at least once every two hours. Any time a line goes down, the metal detector must be checked
upon line start-up. Any time a product change occurs on the line, the metal detector must be checked upon line start-up, Standardized metal spheres should be used to determine the detector’s capabilities. This practice eliminates the
orientation effect on other shapes. A metal detector log (example attached) should be kept and it should posses the following: 
  

	 	•	 	 Time oriented data 

  

					
		  	Page 14	  	4/25/05

	 	•	 	 Documented verification that the system rejected the test standards effectively 

  

	 	•	 	 Corrective action taken relative to the equipment, if testing indicates inadequate operation. 

  

	 	•	 	 An inspector’s signature 

 Proper documentation systems include a Metal Contamination Daily Log. Any time a metal particle is found, it should be kept for future reference, if the source is known, it should be recorded. If not, an investigation should be initiated,
and the results of this investigation should be documented. 
 E.1.3. Properly functioning automatic reject system:

 Automatic rejection systems are necessary to effectively and reliably reject contamination. Manual/Operator-Centered reject
systems are high risk, and rely entirely on the efficiency of the line operator. 
 E.1.4. Detector calibrated to prescribed
sensitivity: 
 Standardized metal spheres should be used to determine the detector’s capabilities. SYSCO requires that the
detector be set up to detect a ferrous sphere, a non-ferrous sphere, and a stainless steel sphere. 
 E.1.5. Action plan in
place when test fails: 
 When a failure to detect is noted during routine testing, all production since the previous testing should
be considered suspect. All suspect product should be re-screened once the metal detector is recalibrated. 
  

					
		  	Page 15	  	4/25/05

 METAL DETECTOR 
 CALIBRATION CHECK SHEET 
 LINE IDENTIFICATION:
                                        
                                        
                 
 DATE:
                                        
                                        

 TEST STANDARD: Ferrous
                     Non-Ferrous
                     Stainless
                     
  

											
	 TIME
 AM/PM
	  	 TEST
 STANDARD
	  	 DETECTED
 (ü)
	  	 REJECTED
 (ü)
	  	 ACTION
	  	 CHECKER
 INITIALS

  
  
  
  
  

					
		  	Page 16	  	4/25/05

									
		  		  		  	Date                     
	 METAL CONTAMINATION DAILY LOG
  

	 TIME
	  	 LINE
 IDENTIFICATION
	  	 DETAILS OF
 CONTAMINATION
	  	 SOURCE,
 IF KNOWN
	  	 CATEGORY
 SUPPLIER/ PROCESSING
 PERSONNEL

  
  
  
  
  

					
		  	Page 17	  	11/3/06

 F. Bone Separation/Elimination Systems and Rework Requirements 
 All products will be manufactured with grinders equipped with functional bone chip and connective tissue elimination systems. Supplier must provide verification of a
working bone separation and elimination system through submission of photographs of processing equipment. 
 A bone chip/cartilage eliminator will be
utilized in the final grinding process (with the exception of coarse grind products). The exudate from the bone chip/cartilage remover will not be added back to the finished product unless further reduced in particle size through a 1/16” plate.
The rework percentage must be documented in a rework usage log to ensure trace-ability of rework to original raw materials. Supplier will provide copy of rework usage documentation to SYSCO (on the attached form or an approved replica). 

Rework generated during the normal production process may be added back into the product flow, provided all rework is documented on batch sheets and is traceable to
original raw materials, HOLDOVER rework from previous day’s production will NOT be permitted. 
  

					
		  	Page 18	  	11/3/06

									
	Date                     
	 REWORK USAGE DAILY LOG
  

	 TIME
	  	 LINE
 IDENTIFICATION
	  	 SOURCE OF
 REWORK
	  	 BONE SEPARATION
 MATERIAL
	  	 PACK DATE OF
 REWORK

  
  
  
  
 HOLDOVER
REWORK NOT PERMITTED IN PRODUCT FORMULATED FOR SALE TO SYSCO 
  

					
		  	Page 20	  	11/3/06

 G. Random Verification of Food Safety Initiatives 
 Throughout the year SYSCO Quality Assurance Representatives conducting visits to verify compliance to the six key elements. This will include but is not limited to: batch
sheets identifying raw materials utilized, documented E.coli 0157:H7/NM test results for those raw materials identified on the batch sheets, completed metal detector calibration sheets for that days production, documented bone elimination checks for
that days production, documented verification of CCP compliance, and rework documentation. 
 SYSCO may also request randomly selecting Approved Suppliers of
SYSCO Brand and Authorized P/L or MUA suppliers to submit to SYSCO Corporation product documentation verifying compliance to the six key elements. This will include but is not limited to: batch sheets identifying raw materials utilized, documented
E.coli 0157:H7/NM test results for those raw materials identified on the batch sheets, completed metal detector calibration sheets for that days production, documented bone elimination checks for that days production, documented verification of CCP
compliance, and rework documentation. 
  

					
		  	Page 21	  	11/3/06

 Raw Ground Beef Supplier Compliance Check Sheet/Release Form 
  

													
	  ̈  SYSCO Brand
	  	 ̈  Packer Label	  	 ̈  National Account Supplier	  	(Check All That Apply)

  

											
	 Supplier Name:
	 	  
	 		  	EST #:	  	  
	  	
	 Address:
	 	  
	 		  	Phone:	  	  
	  	
		 	  
	 		  	 FAX:
	  	  
	  	
	 Contact:
	 	  
	 		  	Title:	  	  
	  	

 Select appropriate Option (A or B) and provide information as requested. 
  

							
	 1)      Option A: NOT
APPLICABLE

				
	     ̈    Yes    	  	     ̈    No    	 		 	 This establishment is not manufacturing any raw beef and/or veal products currently being distributed through a SYSCO
Operating Company. Please remove our name from your files
  

	 2)      Option B:
(Please complete if currently manufacturing raw beef and or veal products being distributed through a SYSCO Operating Company)

	 	  		 		 	 
	a)    Document HACCP Program re-assessment conducted as per 9 CFR Part 417 and FSIS Notice
44-02
				
	     ̈    Yes    	  	     ̈    No    	 	 1.      
	 	HACCP Re-assessment was complied. Completion data was
                    
				
	     ̈    Yes    	  	     ̈    No    	 	 2.      
	 	 Flow chart identifying CCP’s (Copy of product flow chart with CCP’s identified is attached)
  

	b)    Adherence to purchase Specifications Requirements
				
	     ̈    Yes    	  	     ̈    No    	 	 1.      
	 	 Written and Documented Program verifying compliance to Purchase Specifications as detailed in Section B (Purchase
Specification Requirements)
  

	c)    Documented Recall/Withdrawal Policy
				
	     ̈    Yes    	  	     ̈    No    	 	 1.      
	 	 Written Recall Policy and Recall Action Team (Copy Attached if changes have been made since previous submittal)

 

	d)    Metal Detection/Physical Hazard Protection Program
				
	     ̈    Yes    	  	     ̈    No    	 	 3.      
	 	Metal Detection systems on ALL lines used to produce ground meats. (Pictures attached if changes have been made since previous submittal)
				
	     ̈    Yes    	  	     ̈    No    	 	 4.      
	 	 Written and Documented Program including appropriate corrective actions when test falls for metal prevention. (Metal
prevention program and completed documentation attached if changes have been made since previous submittal)
  

	e)    Bone Separation/Elimination System(s) Program
				
	     ̈    Yes    	  	     ̈    No    	 	 1.      
	 	Written program for Bone Elimination Systems including action plan when test falls. (Pictures attached if changes have been made since previous
submittal))
				
	     ̈    Yes    	  	     ̈    No    	 	 2.      
	 	 Written and Documentation of routine inspections of Bone Elimination system on all final grinders. (Documentation attached
if changes have been made since previous submittal)
  

	f)    E. Coli 0157: H7 Testing Program (Check all that apply, attach copies of
supportive documentation)
				
	     ̈    Yes    	  	     ̈    No    	 	 1.      
	 	Written program including documented verification of raw material testing for E. coli 0157:H7 (Below Detectable Leveis) prior to receipt. (COA’s must
accompany every lot received)
				
	     ̈    Yes    	  	     ̈    No    	 	 2.      
	 	Proficiency Testing Program is in place at laboratory conducting microbiological analysis. (Proficiency Testing Verification is attached)
				
	     ̈    Yes    	  	     ̈    No    	 	 3.      
	 	Alternative program which exceeds SYSCO’s recommended guidelines (Programs will be approved on a case by case basis – Complete written and documented program
must be submitted for consideration)

  

	
	NOTE: We grant SYSCO Corporate the authority to visit your facility and/or request copies of documentation to verify compliance to these requirements.

  

									
		 	  
	 		  	  
	  	
		 	Authorized Signature:	 		  	Date:	  	

	
	 PLEASE RETURN TO SYSCO QUALITY ASSURANCE NO LATER
THAN
  
 <<INSERT
DATE>>

  

					
		  	Page 22	  	11/3/06

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