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CALCULATION OF REGISTRATION FEETitle Of Each Class Of
Securities To Be RegisteredProposed Maximum
Aggregate Offering Price(1)(2)Amount Of
Registration FeeCommon Stock, par value $0.001 per shareSUMMARY CONSOLIDATED FINANCIAL DATAYear Ended December 31,Six Months Ended June 30,2012201320142015(in thousands, except share and per share amounts)Consolidated Statement of Operations Data:RevenueCost of revenueGross profitOperating expenses:Research and developmentSelling, general and administrativeTotal operating expensesIncome (loss) from operationsInterest income (expense), netOther income (expense), netIncome (loss) before provision for (benefit from) income taxesProvision for (benefit from) income taxesNet income (loss)Net income (loss) attributable to common stockholdersNet income (loss) per share attributable to common stockholdersBasicDilutedWeighted average shares used to compute net income (loss) per share attributable to common stockholdersPro forma net income (loss) per share BasicPro forma net income (loss) per share DilutedWeighted average shares used to compute the pro forma net income (loss) per shareBasic (unaudited)Diluted (unaudited)As of June 30, 2015ActualPro Forma(1)Pro Forma As
Adjusted(2)(3)(in thousands)Consolidated Balance Sheet Data:Cash and cash equivalentsTotal assetsLong-term debt$Working capitalPreferred stockTotal stockholders equity (deficit)June 30, 2015Pro FormaPro Forma As
Adjusted(1)(in thousands, except share
and per share data)Cash and cash equivalents and marketable investmentsPreferred stock, $0.001 par value per share, 25,000,000 shares authorized, 19,510,410 shares issued and outstanding, actual; no shares
authorized, issued or outstanding, pro forma and pro forma as adjustedStockholders equity (deficit):Preferred stock, $0.001 par value per share, no shares authorized, issued or outstanding, actual; 5,000,000 shares authorized, no shares issued
or outstanding, pro forma and pro forma as adjustedCommon stock, $0.001 par value per share, 40,000,000 shares authorized, 5,747,638 shares issued and outstanding, actual; 300,000,000 authorized,
25,258,048 shares issued and outstanding, pro forma; 300,000,000 authorized, shares issued and outstanding, pro forma as adjustedAdditional paid-in capitalNotes receivable from stockholdersAccumulated other comprehensive lossAccumulated deficitTotal capitalizationSELECTED CONSOLIDATED FINANCIAL DATASix Months Ended June 30Pro forma net income (loss) per shareBasicPro forma net income (loss) per shareDilutedAs of December 31,As of June 30,
2015Marketable investmentsStockholders deficitResults of Operations(in thousands, except for percentages)100.0%34.9%34.0%33.8%33.4%65.1%66.0%66.2%66.6%15.9%12.4%13.1%9.8%Sales, general and administrative50.6%51.2%49.0%56.5%66.4%63.6%62.1%(1.3)%2.4%4.1%0.2%0.4%0.3%0.1%0.5%(0.5(0.2(0.6(1.42.5%4.0%(6.00.7%1.2%4.6%1.8%2.9%Change$%Neuro31.9%Peripheral Vascular100.8%Total41.0%Gross Profit and Gross Margin39.4%41.8%Gross margin %Research and Development (R&D)R&D5.9%R&D as a percentage of revenueSales, General and Administrative (SG&A)SG&A62.7%SG&A as a percentage of revenueProvision for Income TaxesProvision for income taxesnmEffective tax rate28.7%364.1%Year Ended December 31,30.6%156.7%41.3%37.8%43.1%Research and Development (R&D) Expenses10.6%Sales, General and Administrative (SG&A) Expenses28.5%Liquidity and Capital ResourcesDecember 31,June 30,Accounts receivable, netAccounts payableAccrued liabilitiesWorking capital(1)Six Months Ended June 30,Cash and cash equivalents at beginning of periodNet cash provided by (used in) operating activitiesNet cash provided by (used in) investing activitiesNet cash provided by (used in) financing activitiesCash and cash equivalents at end of periodContractual Obligations and CommitmentsPayments Due by PeriodLess Than
One Year1-3 Years3-5 YearsMore than
Five YearsRent obligations(1)Equipment lease obligations(2)Purchase commitments(3)Dividend Yield.Six Months Ended June 30,(unaudited)Expected term (in years)Expected volatility45%Risk-free interest rate0.63% - 0.90%1.76% - 2.02%1.56% - 1.78%Expected dividend rate0%Cost of salesACEProductMERCI(1)Original
Penumbra
SystemStent
RetrieverSolumbra5MAXAuthorKass-Hout
(JNIS 2014)(2)Humphries
(JNIS 2014)(3)Turk
(JNIS 2014)(4)Number of patientsTICI 2b/3
(Successful revascularization (includes partial and complete revascularization))70%78%86%88%96%98%TICI 3
(Complete revascularization)14%9%37%44%41%61%Puncture to
revascularization (Time from groin puncture to successful revascularization)91 min75 min79 min57 min38 min36 minsICH
(Symptomatic intracranial hemorrhage)7%6%5%mRS £ 2 at 90 days (Modified Rankin scale)25%36%34%50%2014 SUMMARY COMPENSATION TABLEName and Principal PositionYearSalary ($)Stock Awards
($)(1)Option Awards
($)(1)All Other
Compensation
($)Total
($)Adam Elsesser,Chairman, Chief Executive Officer and PresidentDaniel Davis,President, North AmericaLynn Rothman,Executive Vice President and Chief Business OfficerOUTSTANDING EQUITY AWARDS AT 2014 FISCAL YEAR ENDOption AwardsStock AwardsNameNumbers
of
Securities
Underlying
Unexercised
Options
(#)
Exercisable(1)Numbers
of Securities
Underlying
Unexercised
Options
(#)
UnexercisableOption
Exercise
Price
($)Option
Expiration DateNumber
of Shares or
Units of
Stock That
Have Not
Vested
(#)Market Value
of Shares or
Units of
Stock That
Have Not
Vested
($)(2)Adam Elsesser04/01/201605/01/201710/01/201703/21/202403/20/2024Daniel Davis09/30/202102/07/2022Lynn Rothman06/13/2021Shares Beneficially
Owned Before the
OfferingShares Beneficially
Owned After the
OfferingName and Address of Beneficial OwnerNumberPercentGreater than 5% Stockholders:Entities affiliated with FMR LLC(1)11.6%Directors and Named Executive Officers:Adam Elsesser(2)6.4%Daniel Davis(3)*Lynn Rothman(4)1.0%Arani Bose, M.D.(5)Don Kassing(6)Walter Wang(7)5.7%Harpreet Grewal(8)Directors and Officers as a Group
(10 persons)(9)24.8%CONSOLIDATED BALANCE SHEETSDecember 31,
2013December 31,
2014June 30,
2015Pro Forma
Stockholders
Equity at
June 30,
2015
(See Note 2)AssetsCurrent assets:Accounts receivable, net of doubtful accounts of $471, $602 and $501 at December 31, 2013 and 2014 and June 30, 2015 (unaudited),
respectivelyInventoriesDeferred taxesPrepaid expenses and other current assetsTotal current assetsProperty and equipment, netRestricted investmentsOther non-current assetsLiabilities, Preferred Stock and Stockholders DeficitCurrent liabilities:Total current liabilitiesCredit facilityOther non-current liabilitiesTotal liabilitiesCommitments and contingencies (Note 7)Preferred stock, $0.001 par value25,000,000, 25,000,000 and 25,000,000 shares authorized at December 31, 2013 and 2014 and June 30, 2015
(unaudited) respectively; 15,594,618, 19,510,410 and 19,510,410 shares issued and outstanding at December 31, 2013 and 2014 and June 30, 2015 (unaudited), respectively; aggregate liquidation value $85,218, $149,361, and $153,738 at December 31,
2013 and 2014 and June 30, 2015 (unaudited), respectively; shares authorized, no shares issued or outstanding, pro forma
(unaudited)Stockholders deficit:Common stock, $0.001 par value40,000,000, 40,000,000 and 40,000,000 shares authorized at December 31, 2013, 2014 and June 30, 2015
(unaudited), respectively; 4,391,591, 4,736,689 and 5,747,638 shares issued and outstanding at December 31, 2013, 2014 and June 30, 2015 (unaudited), respectively;
shares authorized, shares issued and outstanding pro
forma (unaudited)Accumulated other comprehensive income/(loss)Total stockholders deficitTotal liabilities, preferred stock and stockholders deficitCONSOLIDATED STATEMENTS OF OPERATIONS AND COMPREHENSIVE INCOMEForeign currency translation adjustments, net of taxUnrealized gains (losses) on available-for-sale securities, net of taxComprehensive income (loss)Net income (loss) attributable to common stockholders (Note 16)Pro forma net income (loss) per share (unaudited) (Note 16)Weighted average shares used to compute pro forma net income (loss) per share (unaudited) (Note 16)CONSOLIDATED STATEMENTS OF PREFERRED STOCK AND STOCKHOLDERS’ DEFICITAdditional
Paid-in
CapitalNotes
Receivable
from
StockholdersAccumulated
Other
Comprehensive
Income/ (Loss)Accumulated
DeficitTotal
Stockholders
DeficitPreferred StockCommon StockSharesAmountBalance at December 31, 2012Issuance of common stockStock-based compensationForeign currency translation adjustment, net of tax of $213Unrealized loss on investments, net of tax of $10Net incomeBalance at December 31, 2013Issuance of Series F preferred stock, net of issuance cost of $2,788Repurchase of preferred stockRepurchase of common stockForgiven notes receivable from stockholdersForeign currency translation adjustment, net of tax of $245Unrealized loss on investments, net of tax of $168Balance at December 31, 2014Issuance of common stock (unaudited)Shares held for tax withholdings (unaudited)Repurchase of common stock (unaudited)Stock-based compensation (unaudited)Forgiven notes receivable from stockholders (unaudited)Foreign currency translation adjustment, net of tax of $92 (unaudited)Unrealized gain on investments, net of tax of $ 159 (unaudited)Net loss (unaudited)Balance at June 30, 2015 (unaudited)CONSOLIDATED STATEMENTS OF CASH FLOWSYear Ended
December 31,Six Months
Ended June 30,CASH FLOWS FROM OPERATING ACTIVITIES:Adjustments to reconcile net income (loss) to net cash provided by (used in) operating activities:Depreciation and amortizationProvision for doubtful accountsInventory write downsWrite off of note receivableProvision for sales returnsLoss on minority investmentLoss on disposal of property and equipmentRealized loss on marketable investmentsProvision for product warrantyRelease of valuation allowanceIssuance of common stock to third partiesChanges in operating assets and liabilities:Accounts receivablePrepaid expenses and other current and non-current assetsAccrued expenses and other non-current liabilitiesCASH FLOWS FROM INVESTING ACTIVITIES:Purchase of marketable investmentsProceeds from sales of marketable investmentsPurchases of property and equipmentCASH FLOWS FROM FINANCING ACTIVITIES:Proceeds from issuance of preferred stock, net of issuance costsPayments of deferred issuance costsProceeds from exercises of stock optionsProceeds from credit facilityRepayment of credit facilityRepurchase of common stock and stock optionsPayment of employee taxes related to vested common and restricted stockEffect of foreign exchange rate changes on cash and cash equivalentsNet Increase (Decrease) In Cash And Cash EquivalentsCASH AND CASH EQUIVALENTSBeginning of periodCASH AND CASH EQUIVALENTSEnd of periodSUPPLEMENTAL DISCLOSURES OF CASH FLOW INFORMATION:Cash paid for interestCash paid for income taxesNONCASH INVESTING AND FINANCING ACTIVITIES:Purchase of property and equipment funded through accounts payableDeferred issuance costs not yet paidNotes to Consolidated Financial Statements (Continued)As of December 31, 2013Level 1Level 2Level 3Fair ValueFinancial AssetsMarketable investments:Mutual fundsAs of December 31, 2014Cash equivalents:Money market fundsU.S. Agency securitiesU.S. TreasuryCorporate bondsAccounts Receivable, NetBalance At
Beginning
Of YearCharged To
Costs And
ExpensesDeductionsBalance At
End Of
YearAllowance for Doubtful AccountsFor year ended:December 31, 2013December 31, 2014June 30, 2015 (unaudited)Prepaid Expenses and Other Current AssetsPrepaid expensesIncome tax receivableOther current assetsMarketable InvestmentsCostGross
Unrealized
GainsGross
Unrealized
LossesFair ValueDue in one yearDue in one to five yearsRaw materialsWork in processFinished goodsProperty and Equipment, NetJune 30
2015Machinery and equipmentFurniture and fixturesLeasehold improvementsSoftwareComputersConstruction in progressTotal property and equipmentLess: Accumulated depreciation and amortizationAccrued LiabilitiesJune 30,
2015Payroll and employee-related expensesSales return reservePreclinical and clinical trial costDeferred revenueProduct warrantySales tax payableIncome tax payableOther accrued liabilitiesTotal accrued liabilitiesBalance at the beginning of the periodAccruals of warranties issuedSettlements of warranty claimsBalance at the end of the periodYear Ending December 31:Lease Payments2016201720182019ThereafterTotal future minimum lease paymentsQuarter Ending June 30:SeriesShares
AuthorizedShares Issued
and
OutstandingProceeds,
Net of Issuance
CostsAggregate
Liquidation
AmountSeries A Preferred StockSeries B Preferred StockSeries C Preferred StockSeries D Preferred StockSeries E Preferred StockSeries F Preferred StockUndesignatedTotal preferred stockShares
Available for
GrantNumber
of SharesWeighted-
Average
Exercise
PriceWeighted
Average
Remaining
Contractual
Life
(in Years)Aggregate
Intrinsic
Value(in thousands)Balance, December 31, 2013Additional shares authorizedRestricted stock grantedRestricted stock cancelledOptions grantedOptions exercisedOptions cancelledBalance, December 31, 2014Restricted stock granted (unaudited)Restricted stock withheld for taxes (unaudited)Options granted (unaudited)Options exercised (unaudited)Options withheld for taxes (unaudited)Options cancelled (unaudited)Balance, June 30, 2015 (unaudited)Vested and expected to vestDecember 31, 2014ExercisableDecember 31, 2014Vested and expected to vestJune 30, 2015 (unaudited)ExercisableJune 30, 2015 (unaudited)Options OutstandingExercise PriceStock
Options
OutstandingWeighted
Average
Remaining
Contractual
Life (Years)Options
Exercisable$0.17$1.54$2.05$3.98$4.49$5.99$7.75$9.06$12.36$12.36$0.17$12.36Stock Options
OutstandingWeighted
Average
Remaining
Contractual
Life (in Years)$0.57$1.54$12.36$14.46Six Months Ended
June 30,0.63%0.90%1.76%2.02%1.56%1.78%Weighted AverageGrant Dateof SharesUnvested at December 31, 2013GrantedVestedCancelled/ForfeitedUnvested at December 31, 2014Granted (unaudited)Vested (unaudited)Cancelled/Forfeited (unaudited)Unvested and expected to vest at June 30, 2015 (unaudited)Six Months Ended
June 30,United StatesForeignTotal income (loss) before provision for (benefit from) income taxesCurrent:FederalStateTotal currentDeferred:Total deferredYear Ended
December 31,Income tax at federal statutory rateState income taxes, net of federal benefitForeign taxes differentialAPB 51 prepaid taxForeign exchange gains and losses-IRC 199 deductionMeals and entertainmentImputed interestTax creditsOtherChange in valuation allowance426.6%December 31,Deferred tax assetsNet operating loss carryforwardsAccruals and reservesTranslation adjustmentUNICAP adjustmentsGross deferred tax assetsValuation allowanceTotal deferred tax assetsDeferred tax liabilitiesTotal deferred tax liabilitiesNet deferred tax assetsDeferred income taxes, net - Balance Sheet ClassificationCurrent deferred income tax assetsLong-term deferred income tax assetsBalance at December 31, 2012Other reserves and deferralsBalance at December 31, 2013Balance at December 31, 2014Beginning BalanceGross increase for tax positions of current yearGross increase for tax positions of prior yearsSettlementsLapse of statute of limitationsEnding BalanceNet income (loss) per share:NumeratorLess: Deemed dividend paid to preferred stockholders upon repurchaseLess: Undistributed income (loss) attributable to preferred stockholdersAdd: Undistributed loss attributable to preferred stockholdersNet income (loss) attributable to common stockholdersbasic and dilutedDenominatorWeighted average shares used to compute net income (loss) attributable to common stockholders
BasicPotential dilutive options, as calculated using treasury stock methodPotential dilutive common stock warrants, as calculated using treasury stock methodPotential dilutive restricted stock, as calculated using treasury stock methodWeighted average shares used to compute net income (loss) attributable to common stockholders DilutedNet income (loss) per share attributable to common stockholders
BasicDilutedSix Months Ended June 30,Options to purchase common stockRestricted stockYear Ended
December 31, 2014Pro Forma
Six Months Ended
June 30, 2015Unaudited pro forma net income (loss) per share:Net income (loss) used in computing pro forma net income (loss) per share attributable to common stockholdersWeighted average shares used to compute net income (loss) attributable to common stockholdersbasicPro forma adjustments to reflect weighted average effect of assumed automatic conversion of preferred stockDenominator for pro forma basic net income (loss) per share of common stockDenominator for pro forma diluted net income (loss) per share of common stockJapanOther InternationalARTICLE VII./s/ Robert D. EvansRobert D. EvansExecutive Vice President, General Counsel and SecretaryAMENDED AND RESTATED BYLAWS OF/s/ Robert EvansRobert Evans, SecretaryFOURTH AMENDED AND RESTATED INVESTORS’ RIGHTS AGREEMENTPenumbra, Inc.1351 Harbor Bay ParkwayAlameda, CA 94502Attention:Chief Executive OfficerTelephone:(510) 748-3200Facsimile:(510) 814-8303with copies to:Shartsis Friese LLPOne Maritime Plaza, 18th FloorSan Francisco, CA 94111Derek H. Wilson(415) 421-6500(415) 421-2922Shearman & Sterling LLP599 Lexington AvenueNew York, NY 10022Robert Katz(212) 848-8008(646) 848-8008HOLDERS OF PREFERRED STOCKPlease sign and date below and if applicable, include name and title./s/ Philip J. ArnautouArnautou Family 1996 Trust dated 2/27/96Name:Philip J. ArnautouTitle:Trustee15,312 Shares of Series B Preferred Stock14,792 Shares of Series D Preferred StockDate:May 13, 2014/s/ Stanley DahlinStanley Dahlin30,625 Shares of Series B Preferred Stock7,837 Shares of Series C Preferred Stock11,834 Shares of Series D Preferred Stock3,947 Shares of Series E Preferred Stock14 May, 2014/s/ James L. DineJames L. Dine78,370 Shares of Series C Preferred Stock256,410 Shares of Series D Preferred Stock131,579 Shares of Series E Preferred StockMay 12, 2014/s/ Michael A. EvansMichael A. Evans12,250 Shares of Series B Preferred Stock1,972 Shares of Series D Preferred Stock3,289 Shares of Series E Preferred StockMay 13, 2014/s/ Robert D. Evans /s/ Norma J. EvansThe 2010 Robert D. Evans and Norma J. EvansRevocable Trust u/d/t dated November 11, 201045,937 Shares of Series B Preferred Stock47,022 Shares of Series C Preferred Stock27,041 Shares of Series D Preferred Stock9 May, 2014/s/ Weylin FongWeylin Fong and Betty Fong FamilyRevocable Trust of 2001Weylin Fong61,250 Shares of Series B Preferred Stock19,723 Shares of Series D Preferred Stock19,737 Shares of Series E Preferred Stock/s/ Andrew Friedman, TrusteeCynthia & Andrew Friedman 1995 Revocable Trust (12/96)Andrew Friedman29,781 Shares of Series C Preferred Stock6,903 Shares of Series D Preferred Stock7,895 Shares of Series E Preferred StockMay 17, 2014/s/ Edward E. GrammensPrudential Investment Management ServicesFBO Edward Grammens Acct. No. F62-16145421,944 Shares of Series C Preferred Stock32,895 Shares of Series C Preferred Stock44,378 Shares of Series D Preferred Stock29,250 Shares of Series E Preferred StockEdward E. Grammens Revocable Trust79,625 Shares of Series B Preferred Stock56,426 Shares of Series C Preferred Stock4,930 Shares of Series D Preferred Stock3,645 Shares of Series E Preferred Stock/s/ Paul GrammensPaul Grammens15,674 Shares of Series C Preferred Stock6,579 Shares of Series E Preferred Stock12 May, 2014/s/ David HasselbachDavid Hasselbach1,800 Shares of Series B Preferred Stock300 Shares of Series B Preferred Stock4,118 Shares of Series B Preferred Stock4,000 Shares of Series C Preferred Stock1,200 Shares of Series C Preferred Stock249 Shares of Series C Preferred Stock6,579 Shares of Series D Preferred StockMay 11, 2014/s/ Jonathan M. KennedyJonathan M. Kennedy & Sherry Hope-Kennedy76,562 Shares of Series B Preferred Stock62,696 Shares of Series C Preferred Stock9,868 Shares of Series E Preferred Stock5 - 11, 2014/s/ Young C. KimYoung C. Kim9,187 Shares of Series B Preferred Stock6,270 Shares of Series C Preferred Stock3,944 Shares of Series D Preferred Stock2,632 Shares of Series E Preferred Stock5/16/2014, 2014/s/ David H. Kremer, TrusteeKremer Miller Family TrustDavid H. Kremer107,187 Shares of Series B Preferred Stock94,044 Shares of Series C Preferred Stock59,171 Shares of Series D Preferred Stock23,026 Shares of Series E Preferred Stock/s/ Christopher G. LuckChristopher G. Luck 2012 IDG TrustChristopher G. Luck27,562 Shares of Series B Preferred Stock25,079 Shares of Series C Preferred Stock5/11, 2014/s/ Anilesh AhujaAnilesh Ahuja612,500 Shares of Series B Preferred Stock235,110 Shares of Series C Preferred Stock98,620 Shares of Series D Preferred Stock32,895 Shares of Series E Preferred Stock5/13, 2014/s/ Artlyn FongArtlyn Fong and Lena Fong Revocable Trust dated 08/26/1993Artlyn Fong9,861 Shares of Series D Preferred Stock9,868 Shares of Series D Preferred Stock/s/ James Park / /s/ Jane ParkJames and Jane Park Family TrustJames Park / Jane ParkCo-trustee39,185 Shares of Series C Preferred Stock88,757 Shares of Series D Preferred Stock26,316 Shares of Series E Preferred Stock/s/ Kyle K. PondKyle K. Pond31,348 Shares of Series C Preferred Stock13,158 Shares of Series E Preferred Stock/s/ Carolyn Reiser, TrusteeThe Carolyn Shealy Reiser 2011 Revocable Trust u/d/t October 26, 201123,511 Shares of Series C Preferred Stock5/12, 2014/s/ Karren ShorofskyThe Karren Mia Shorofsky 2011 Revocable Trust u/d/t October 26, 2011Karren Shorofsky11,842 Shares of Series E Preferred Stock12/5 [May], 2014/s/ Christopher J. RuprightChristopher J. Rupright5-12-14, 2014/s/ Chandranath SenChandranath Sen5/14/14, 2014/s/ Daniel ShoreDaniel and Pamela Shore122,500 Shares of Series B Preferred Stock/s/ Inja Kim WangJung T. Wang Family TrustInja Kim Wang98,619 Shares of Series D Preferred Stock52,632 Shares of Series E Preferred StockWang Ventures LLCManaging Member306,250 Shares of Series B Preferred Stock313,480 Shares of Series C Preferred Stock197,239 Shares of Series D Preferred Stock/s/ Victor WangVictor Wang78,895 Shares of Series D Preferred Stock/s/ Walter C. WangWalter C. Wang125,392 Shares of Series C Preferred Stock157,791 Shares of Series D Preferred Stock105,263 Shares of Series E Preferred Stock/s/ Warren Wixen /s/ Rhonda WixenWarren Wixen and Rhonda Wixen39,474 Shares of Series E Preferred Stock/s/ Carol M. SandsThe Angels Forum 72, LLCCarol M. Sands168,437 Shares of Series B Preferred Stock192,192 Shares of Series C Preferred Stock148,324 Shares of Series D Preferred Stock84,215 Shares of Series E Preferred StockMay 21, 2014UBS as Custodian FBO Lisa CracknellSEP Account 7144-3605/s/ Lisa Cracknell5,917 Shares of Series D Preferred Stock2,105 Shares of Series E Preferred StockJune 5, 2014/s/ Aaron KatzAaron Katz8,164 Shares of Series C Preferred Stock2,627 Shares of Series C Preferred Stock6,579 Shares of Series C Preferred Stock2,367 Shares of Series D Preferred StockJune 6, 2014May 12, 2014/s/ Matthew FriedmanMatthew Friedman7,889 Shares of Series D Preferred Stock5-24-14, 2014/s/ Grant WeenigGrant Weenig7,388 Shares of Series B Preferred Stock301 Shares of Series B Preferred Stock8,000 Shares of Series B Preferred Stock248 Shares of Series C Preferred StockDate: May 12th, 2014/s/ Joe WillsonJoe Willson19,724 Shares of Series D Preferred StockDate: 5-14-14, 2014LEASE MODIFIED NETMonths 13-24per month (which is for both Suite 100A & 202)Months 25-36Months 37-48Months 49-60Months 61-72Penumbra INCExecuted at:555 Twin Dolphin Dr.1351 Harbor Bay Pkwy, Alameda, CA 94502on:9/15/1417 September 2014Address:555 Twin Dolphin Drive, Suite 600 Redwood City,
CA 940651351 Harbor Bay Parkway, Alameda, CA
94502Telephone: (650) 508-8666Telephone: (510) 748-3200Facsimile: (650) 508-8686Facsimile: (510) 217-94221351 Harbor Bay Parkway, Alameda, CA 948029/18/141351 Harbor Bay Parkway Alameda, CA 94502(650) 508-8666(650) 508-8686(510) 217-9422P RODUCTS AND P RODUCT S PECIFICATION /P RICINGCatalog NumberDescriptionDistribution Price
(all prices in U.S. $)Reperfusion Catheters(OD/ID/TL/WL)PSC026Reperfusion Catheter 0262.8F/.026in/154cm/150cmPSC032Reperfusion Catheter 0323.4F/.032in/154cm/150cmPSC041Reperfusion Catheter 0414.1F/.041in/141cm/137cmSeparator(OD/TL/WL)PSS026Separator 026.022in/200cm/155cmPSS032Separator 032.028in/200cm/155cmPSS041Separator 041.035in/200cm/142cmPST1Aspiration Tubing (Sterile)PAPS1Non-Sterile Penumbra System SuppliesPump-Canister Tubing (Non-sterile)Pump Canister and LidPump FilterPAP220Penumbra Aspiration Pump Starter Pack220V/230V Penumbra Aspiration PumpPAP110Penumbra Aspiration Pump110V Penumbra Aspiration PumpWorking
LengthOuter Diameter
Proximal/
DistalInner
DiameterWire
CompatibilityDistributor Price
(all prices in U.S.$))Neuron Deliver Catheter:PND6F115126F Neuron Deliver Catheter, 115/12 Straight115 cm12 cm6F / 5F.053.035/.038PND6F11512M6F Neuron Deliver Catheter 115/12 MP115 cm12 cmPND6F11566F Neuron Deliver Catheter 115/6 Straight6 cmPND6F1156M6F Neuron Deliver Catheter 115/6 MPPND6F105126F Neuron Deliver Catheter 105/12 Straight105 cmPND6F10512M6F Neuron Deliver Catheter 105/12 MPPND6F10566F Neuron Deliver Catheter 105/6 StraightPND6F1056M6F Neuron Deliver Catheter 105/6 MPNeuron 6F 070 Delivery Catheter:PND6F0709566F 070 Neuron Delivery Catheter, 95/6 Straight95 cm6F / 6F.070PND6F0700956M6F 070 Neuron Delivery Catheter, 95/6 MPPND6F07010586F 070 Neuron Deliver Catheter, 105/8 Straight8 cmPND6F0701058M6F 070 Neuron Deliver Catheter, 105/8 MPNeuron Select Catheter:PNS35F137H13.5F Neuron Select Catheter, 137 H1137 cm42 cm3.5F / 3.5F.022.018PNS35F137SIM3.5F Neuron Select Catheter, 137 SIMSpecifications (OD/ID/Tl/WL)Unit Price($)[***]PSC054Reperfusion Catheter 0545.0F/.054in/136cm/132cmSeparator TMSpecifications (OD/TL/WL)Unit Price ($)PSS054Separator 054.045in/175cm/135cmPenumbra Coil™400 SystemCatalogPrimary
DiameterSecondary
DiameterTotal
LengthUnit
Price4002C0306Coil 400 Complex Standard, 3 mm x 6 cm.0203mm6cm4002C0310Coil 400 Complex Standard, 3 mm x 10 cm10cm4002C0408Coil 400 Complex Standard, 4 mm x 8 cm4mm8cm4002C0412Coil 400 Complex Standard, 4 mm x 12 cm12cm4002C0506Coil 400 Complex Standard, 5 mm x 6 cm5mm6mm4002C0510Coil 400 Complex Standard, 5mm x 10cm4002C0610Coil 400 Complex Standard, 6mm x 10cm4002C0615Coil 400 Complex Standard, 6mm x 15cm15cm4002C0710Coil 400 Complex Standard, 7mm x 10cm7mm4002C0715Coil 400 Complex Standard, 7 mm x 15 cm4002C0720Coil 400 Complex Standard, 7mm x 20cm20cm4002C0815Coil 400 Complex Standard, 8 mm x 15 cm0208mm4002C0820Coil 400 Complex Standard, 8mm x 20cm4002C0830Coil 400 Complex Standard, 8mm x 30cm30cm4002C0915Coil 400 Complex Standard, 9 mm x 15 cm9mm4002C0925Coil 400 Complex Standard, 9mm x 25cm25cm4002C0935Coil 400 Complex Standard, 9mm x 35cm3Scm4002C1020Coil 400 Complex Standard, 10 mm x 20 cm10mm4002C1030Coil 400 Complex Standard, 10mm x 30cm4002C1040Coil 400 Complex Standard, 10mm x 40cm40cm4002C1135Coil 400 Complex Standard, 11mm x 3Scm11mm35cm4002C1145Coil 400 Complex Standard, llmm x 45cm45cm4002C1235Coil 400 Complex Standard, 12mm x 35cm12mm4002C1245Coil 400 Complex Standard, 12mm x 4Scm4Scm4002C1335Coil 400 Complex Standard, 13 mm x 35 cm13mm4002C1348Coil 400 Complex Standard, 13mm x 48cm48cm4002C1450Coil 400 Complex Standard, 14mm x 50cm14mm50cm4002C1557Coil 400 Complex Standard, 15mm x 57cm1Smm57cm4002C1660Coil 400 Complex Standard, 16mm x 60cm16mm60cm4002C1857Coil 400 Complex Standard, 18mm x 57cm18mm4002C2060Coil 400 Complex Standard, 20mm x 60cm20mm4002C2260Coil 400 Complex Standard, 22mm x 60cm22mm4002C2457Coil 400 Complex Standard, 24mm x 57cm24mm4004C0303Coil 400 Complex Soft, 3 mm x 3cm3cm4004C0304Coil 400 Complex Soft, 3 mm x 4cm4cm4004C0306Coil 400 Complex Soft, 3 mm x 6cm4004C0310Coil 400 Complex Soft, 3 mm x 10cm4004C0404Coil 400 Complex Soft, 4 mm x 4 cm4004C0406Coil 400 Complex Soft, 4 mm x 6cm4004C0408Coil 400 Complex Soft, 4 mm x 8cm4004C0412Coil 400 Complex Soft, 4 mm x 12cm4004C0509Coil 400 Complex Soft, 5mm x 9cm9cm4004C0513Coil 400 Complex Soft, 5mm x 13cm13cm4004C0610Coil 400 Complex Soft, 6mm x 10cm4004C0615Coil 400 Complex Soft, 6mm x 15cm4004C0620Coil 400 Complex Soft, 6 mm x 20cm4004C0710Coil 400 Complex Soft, 7 mm x 10cm4004C0715Coil 400 Complex Soft, 7mm x 15cm4004C0720Coil 400 Complex Soft, 7mm x 20cm4004C0815Coil 400 Complex Soft, 8mm x 15cm4004C0820Coil 400 Complex Soft, 8mm x 20cm4004C0925Coil 400 Complex Soft, 9mm x 25cm4004C0935Coil 400 Complex Soft, 9 mm x 35 cm4004C1020Coil 400 Complex Soft, 10mm x 20cm4004C1030Coil 400 Complex Soft, 10mm x 30cm4004C1040Coil 400 Complex Soft, 10 mm x 40 cm4004C1135Coil 400 Complex Soft, 11mm x 35cm4004C1145Coil 400 Complex Soft, 11 mm x 45 cm4004C1235Coil 400 Complex Soft, 12mm x 35cm4004C1245Coil 400 Complex Soft, 12 mm x 45 cm4004C1335Coil 400 Complex Soft, 13mm x 35cm4004C1348Coil 400 Complex Soft, 13 mm x 48 cm48mm4004C1440Coil 400 Complex Soft, 14mm x 40cm4004C1545Coil 400 Complex Soft, 15 mm x 45 cm15mm4004C1645Coil 400 Complex Soft, 16mm x 45cmTotal Length4004J7Coil 400 J, 7cm7cm4004J10Coil 400 J, 10cm4004J15Coil 400 J, 15cm4006U0201Coil 400 Curve Extra Soft, 2mm x1lcm2mm1cm4006U0202Coil 400 Curve Extra Soft, 2mm x 2cm2cm4006U0203Coil 400 Curve Extra Soft, 2mm x 3cm4006U0204Coil 400 Curve Extra Soft, 2mm x 4cm4006U0302Coil 400 Curve Extra Soft, 3mm x 2cm4006U0303Coil 400 Curve Extra Soft, 3mm x 3cm4006U0304Coil 400 Curve Extra Soft, 3mm x 4cm4006U0305Coil 400 Curve Extra Soft, 3mm x 5cm5cm4006U0306Coil 400 Curve Extra Soft, 3mm x 6cm4006U0308Coil 400 Curve Extra Soft, 3mm x 8cm4006U0310Coil 400 Curve Extra Soft, 3 mm x 10 cm4006U0404Coil 400 Curve Extra Soft, 4mm x 4cm4006U0406Coil 400 Curve Extra Soft, 4mm x 6cm4006U0408Coil 400 Curve Extra Soft, 4mm x 8cm4006U0410Coil 400 Curve Extra Soft, 4 mm x 10 cmDetachment Handle and CatheterUnit PriceDHlCoil Detachment HandleDHSCoil Detachment Handle 5 PackPX40045PX400,45°PX40090PX400, 90°PX400JPX400, JPX400STRPX400, StraightCatalog
NumberSpecifications (OD/ID/TL/WL)4.1F/.04in/141cm/137cmSeparator™Separator FlexSpecifications (OD/Wl/TL)PSF026Separator Flex 026 (0.014in wire).022, 155cm, 190cmPSF032Separator Flex 032 (0.014in wire).028, 155cm, 190cmPSF041Separator Flex 041 (0.014in wire).035, 142cm, 175cmPSF054Separator Flex 054 (0.014in wire).045, 135cm, 175cmPenumbra System® MAX Reperfusion CathetersSpecifications
(00/ID/Tl/WL)3MAXC3MAX Reperfusion Catheter3.8/.035in/157cm/153cm4MAXC4MAX Reperfusion Catheter4.3F/.041in/143cm/139cm4MAXC1304MAX Reperfusion Catheter 1304.3F/.04iln/134cm/130cm5MAX Reperfusion Catheter5.0F/.054in/175cm/132cmPSC054L1255MAX Reperfusion Catheter 1255.0F/.054in/129cm/125cmPenumbra System® MAX SeparatorSpecifications (OD/WL/TL)3MAXS3MAX Separator.030, 158cm, 190cm4MAX Separator (Separator Flex 041)5MAX Separator (Separator Flex 054)Neuron Delivery CatheterSpecifications (WL/00/ID/WC)Unit Price($)6F Neuron Delivery Catheter 115/12 Straight115cm/12cm, 6F/5F, .053, .035/.0386F Neuron Delivery Catheter 115/12 MP6F Neuron Delivery Catheter 115/6 Straight115cm/6cm, 6F/5F, .053, .035/.0386F Neuron Delivery Catheter 115/6 MP6F Neuron Delivery Catheter 105/12 Straight105cm/12cm, 6F/5F, .053, .035/.038PND6F10S12M6F Neuron Delivery Catheter 105/12 MP6F Neuron Delivery Catheter 105/6 Straight105cm/6cm, 6F/5F, .053, .035/.0386F Neuron Delivery Catheter 105/6 MP105cm/6cm, 6F/5F, .053,, .035/.038Neuron 6F 070 Delivery CatheterSpecifications (WL/OD/ID/WC)Unit Price ($)6F 070 Neuron Delivery Catheter 95/6 Straight95cm/6cm, 6F/6F, .070, .035/.0386F 070 Neuron Deliver Catheter ,105/8 Straight105cm/8cm, 6F/6F, .070, .035/.038Neuron Select CatheterSpecifications (WL/00/ID/WCJPNS5F120H15F Neuron Select Catheter, 120 H1120cm/9cm, 5F/5F, .040, .035/.038PNS5F120SIM5F Neuron Select Catheter, 120 SIMPNS5F120BER5F Neuron Select Catheter, 120 BERPNS5F130H15F Neuron Select Catheter, 130 Hl130cm/9cm, 5F/5F, .040, .035/ .038 ..PNS5F130SIM5F Neuron Select Catheter, 130 SIM130cm/9cm, 5F/5F, .040, .035/.038PNS5F130BER5F Neuron Select Catheter, 130 BERNeuron MAX088 Select CatheterDistal
Flexible
ZoneProximal/
Mid/Distal
Outer
DiameterNeuronMAX
CompatibilityTip
ShapeUnit
Price
($)PNS6F105H1105cm5.6F/6F/5F.040Both
8F Delivery
Catheter and Long Sheath
ConfigurationsHlPNS6F10SSIMSIMPNS6F105BERBERPNS6F105SIMVSIM-VPNS6F125H1125cmPNS6F125SIMPNS6F125BERPNS6Fl25SIMVNeuron MAX088 Large Lumen catheterProximal
and Distal
ODSelect catheter
CompatibilityTip ShapePrice
($)PNMDSF08880480cm8F.0886F Neuron SelectStraightPNMD8F088804M6F Neuron SelectMulti-PurposePNMDSF08890490cmPNMD8F088904MPNML6F088804.088 / 6FPNML6F088804MPNML6F088904PNML6F088904M.088/ 6FPenumbra Coil TM 400 SystemUnit
Price (¥)Coil 400 Complex Standard, 3 mm x 6cmCoil 400 Complex Standard, 4 mm x 8cmCoil 400 Complex Standard, 5 mm x 6cmCoil 400 Complex Standard, llmm x 35cmCoil 400 Complex Standard, 12mm x 45cmCoil 400 Complex Standard, 13 mm x 35cm4002Cl660Coi1 400 Complex Standard, 16mm x 60cmTotal
lengthUnit
Price
(¥)Coil 400 Complex Soft, 4 mm x 4cml0cmCoil 400 Complex Soft, 6 mm x 20 cmCoil 400 Complex Soft, 7 mm x 10 cmCoil 400 Complex Soft, 9mm x 2Scm4004Jl5Coil 400 Curve Extra Soft, 2mm x 1cmCoil 400 Curve Extra Soft, 3 mm x 10cmCoil 400 Curve Extra Soft, 4 mm x 10cmPX 400™ Delivery MicrocatheterUnit Price (¥)PX400, 45°PX SLIM™ Delivery MicrocatheterPXSLIMSTRPXSLIM Delivery Catheter Straight (150cm)PXSLIM045PXSLIM Delivery Catheter 45 (150cm)PXSLIM090PXSLIM Delivery Catheter 90 (150cm)PXSLIM130PXSLIM Delivery Catheter 130 (J) (150cm)PXSLIM160STRPX SLIM Delivery Catheter Straight (160cm)PXSLIM160045PX SLIM Delivery Catheter 45 (160cm)PXSLIM160090PX SLIM Delivery Catheter 90° (160cm)PXSLIM160130PX SLIM Delivery Catheter 130° (J) (160cm)Velocity™ Delivery MicrocatheterUnit Price
(¥)VEL150STRVelocity Delivery Catheter Straight (150cm)VEL150045Velocity Delivery Catheter 45 (150cm)VEL150090Velocity Delivery Catheter go (150cm)VEL150130Velocity Delivery Catheter 130 (150cm)VEL160STRVelocity Delivery Catheter Straight (160cm)VEL160045Velocity Delivery Catheter 45 (160cm)VEL160090Velocity Delivery Catheter 90 (160cm)VEL160130Velocity Delivery Catheter 130 (160cm)Penumbra System ® MAX Reperfusion CathetersSpecifications
(OD/ID/TL/WL)4.3F/.041in/134cm/130cm5MAX Reperfusion Catheter - 125Penumbra System ® MAX SeparatorCatalog Number5F Neuron Select Catheter, 130 H1Proximal/
Mid/Distal Outer
DiameterTip Shape105 cm9 cmBoth 8F
Delivery
Catheter and
6F Long Sheath
ConfigurationsH1PNS6F105SIM9 cm125 cmPNS6F125SIMVNeuron MAX088 Large Lumen CatheterSelect Catheter
CompatibilityUnit Price
($)PNMD8F08880480 cm4 cm80 cm4 cmPNMD8F08890490 cmPenumbra Coil™ 400 SystemCoil 400 Complex Standard, 11mm x 35cmCoil 400 Complex Standard, 11mm x 45cmCoil 400 Complex Soft, 3 mm x 3 cmCoil 400 Complex Soft, 3 mm x 4 cmCoil 400 Complex Soft, 3 mm x 6 cmCoil 400 Complex Soft, 3 mm x 10 cmCoil 400 Complex Soft, 4 mm x 6 cmCoil 400 Complex Soft, 4 mm x 8 cmCoil 400 Complex Soft, 4 mm x 12 cmPXSLIM Delivery Catheter - 45 (150cm)PXSLIM Delivery Catheter - 90 (150cm)PX SLIM Delivery Catheter - Straight (160cm)PX SLIM Delivery Catheter - 45 (160cm)PX SLIM Delivery Catheter - 90° (160cm)PX SLIM Delivery Catheter - 130° (J ) (160cm)Velocity Delivery Catheter Straight (150cm)Velocity Delivery Catheter 90 (150cm)Velocity Delivery Catheter Straight (160cm)Velocity Delivery Catheter 130 (160cm)Liberty™ Intracranial Stent SystemSpecifications (Expanded
O.D./Length/Twist)HU3020PRIMLiberty 3.0 x 20 mm, Primary3.0mm/20mm/PrimaryHU3035PRIMLiberty 3.0 x 35 mm, Primary3.0mm/35mm/PrimaryHU3520PRIMLiberty 3.5 x 20 mm, Primary3.5mm/20mm/PrimaryHU3535PRIMLiberty 3.5 x 35 mm, Primary3.5mm/35mm/PrimaryHU4025PRIMLiberty 4.0 x 25 mm, Primary4.0mm/25mm/PrimaryHU4045PRIMLiberty 4.0 x 45 mm, Primary4.0mm/45mm/PrimaryHU4525PRIMLiberty 4.5 x 25 mm, Primary4.5mm/25mm/PrimaryHU4545PRIMLiberty 4.5 x 45 mm, Primary4.5mm/45mm/PrimaryHU5025PRIMLiberty 5.0 x 25 mm, Primary5.0mm/25mm/PrimaryHU5045PRIMLiberty 5.0 x 45 mm, Primary5.0mm/45mm/PrimaryRESTRICTED STOCK AGREEMENTI.NOTICE OF GRANT OF RESTRICTED STOCKDate of Grant:Vesting Commencement Date:Total Number of Shares of: Restricted
Stock:Vesting Schedule:II. AGREEMENTPARTICIPANTPENUMBRA, INC.SignatureByPrint NameTitleResidence AddressINVESTMENT REPRESENTATION STATEMENT:COMPANYSECURITYCOMMON STOCKAMOUNTDATEDateJOINT ESCROW INSTRUCTIONSESCROW AGENTCorporate SecretaryDated:OF THE INTERNAL REVENUE CODE OF 1986The name, address, taxpayer identification number and taxable year of the undersigned are as follows:NAME:SPOUSE:ADDRESS:TAXPAYER IDENTIFICATION NO.:TAXABLE YEAR:Dated:
,TaxpayerSpouse of TaxpayerSTOCK OPTION AGREEMENTNOTICE OF STOCK OPTION GRANTExercise Price per Share:Total Number of Shares Granted:Total Exercise Price:Type of Option:Incentive Stock OptionNonstatutory Stock OptionTerm/Expiration Date:II. AGREEMENTEXERCISE NOTICESubmitted by: PARTICIPANTAccepted by: PENUMBRA, INC.Date ReceivedSTOCK OPTION AGREEMENT — EARLY EXERCISERESTRICTED STOCK PURCHASE AGREEMENTPURCHASERTAXPAYERSPOUSETAX ID NO.:TAXABLE YEAR:Total Number of Shares of:Restricted Stock:,Incentive Stock Option*Nonstatutory Stock OptionSubmitted by:Accepted by:Residence Address:Counterparts.Participant:STOCK OPTION EXERCISE NOTICEDate of Option Grant:Number of Option Shares:Exercise of Option .Vested SharesUnvested Shares:Total Shares Purchased:Total Exercise Price (Total Shares X Price per Share)Payments .! Cash:! Check:! Tender of Company Stock:Contact Plan AdministratorTax Withholding .Cash:Check:Participant InformationMy address is:My Social Security Number is:Exchange ActVery truly yours,(Signature)By:AGREEMENTAdam Elsesser Chief Executive
Officer1351 Harbor Bay Parkway Alameda, CA
94502AGREED TO AND ACCEPTED:ERISAAddress: Facsimile:
Attention:With a copy to:INDEMNITEEAddress: Facsimile:Exhibit 10.10Penumbra, Inc. 2551 Merced
Street San Leandro, CA 94577Sincerely,/s/ Adam ElsesserAdam ElsesserCEOExhibit 10.11Re: Employment AgreementFebruary 4, 2005/s/ Arani BoseArani Bose/s/ Lynn
RothmanLynn RothmanExecutive Vice PresidentChief Business Officer/s/ Sri
Kosaraju2/10/15Sri KosarajuExhibit 10.132401 Merced StreetSuite 200San Leandro, CA 94577Phone: (510) 618-3200Fax: (510) 618-3232Exhibit 10.15Exhibit 10.16EMPLOYEE NONDISCLOSURE AND ASSIGNMENT AGREEMENTCOMPANYEMPLOYEE:(Printed Name of Employee)SUBSIDIARIES OF PENUMBRA, INC.Name of SubsidiaryJurisdiction of OrganizationPenumbra Europe GmbHGermanyPenumbra Neuro Australia Pty. Ltd.AustraliaPenumbra Neuro Canada Inc.Montréal (Québec) CanadaPenumbra Latin America Distribuidora de Equipamentos e
Productos Médicos LTDABrazilChemoFilter, Inc.DelawareAlan F. DenenbergDavis Polk & Wardwell LLP650 752 2004 tel1600 El Camino Real650 752 3604 faxMenlo Park, CA 94025alan.denenberg@davispolk.comPK ! 7d1 1 docProps/app.xml
Microsoft Excel0falseWorksheets268calculation of registratiosummary consolidated finansummary consolidated finan-1summary consolidated finan-2selected consolidated finaselected consolidated fina-1results of operationsrevenuegross profit and gross marresearch and development rdsales general and administprovision for income taxesrevenue-1gross profit and gross mar-1research and development rsales general and administ-1provision for income taxes-1liquidity and capital resoliquidity and capital reso-1contractual obligations andividend yielddividend yield-1ace2014 summary compensationoutstanding equity awardsoutstanding equity awards -1consolidated balance sheetsoperations and comprehensipreferred stock and stockhcash flowsnotes to consolidated finanotes to consolidated fina-1notes to consolidated fina-2accounts receivable netprepaid expenses and othermarketable investmentsmarketable investments-1marketable investments-2inventoriesproperty and equipment netaccrued liabilitiesnotes to consolidated fina-3notes to consolidated fina-4notes to consolidated fina-5notes to consolidated fina-6notes to consolidated fina-7notes to consolidated fina-8notes to consolidated fina-9notes to consolidated fina-10notes to consolidated fina-11notes to consolidated fina-12notes to consolidated fina-13notes to consolidated fina-14notes to consolidated fina-15notes to consolidated fina-16notes to consolidated fina-17notes to consolidated fina-18notes to consolidated fina-19notes to consolidated fina-20notes to consolidated fina-21notes to consolidated fina-22notes to consolidated fina-23notes to consolidated fina-24article viiamended and restated bylawfourth amended and restatefourth amended and restate-1fourth amended and restate-2fourth amended and restate-3fourth amended and restate-4fourth amended and restate-5fourth amended and restate-6fourth amended and restate-7fourth amended and restate-8fourth amended and restate-9fourth amended and restate-10fourth amended and restate-11fourth amended and restate-12fourth amended and restate-13fourth amended and restate-14fourth amended and restate-15fourth amended and restate-16fourth amended and restate-17fourth amended and restate-18fourth amended and restate-19fourth amended and restate-20fourth amended and restate-21fourth amended and restate-22fourth amended and restate-23fourth amended and restate-24fourth amended and restate-25fourth amended and restate-26fourth amended and restate-27fourth amended and restate-28fourth amended and restate-29fourth amended and restate-30fourth amended and restate-31fourth amended and restate-32fourth amended and restate-33fourth amended and restate-34fourth amended and restate-35fourth amended and restate-36fourth amended and restate-37lease modified netpenumbra incpenumbra inc-1penumbra inc-2penumbra inc-3p roducts and p roduct s pp roducts and p roduct s p-1reperfusion cathetersseparator tmpenumbra coil400 systempenumbra coil400 system-1penumbra coil400 system-2penumbra coil400 system-3detachment handle and cathreperfusion catheters-1separatorseparator flexpenumbra system max reperfpenumbra system max separaneuron delivery catheterneuron 6f 070 delivery catneuron select catheterneuron max088 select catheneuron max088 large lumenpenumbra coil tm 400 systempenumbra coil tm 400 system-1penumbra coil tm 400 system-2penumbra coil tm 400 system-3px 400 delivery microcathepx slim delivery microcathvelocity delivery microcatreperfusion catheters-2separator-1separator flex-1penumbra system max reperpenumbra system max separneuron delivery catheter-1neuron 6f 070 delivery cat-1neuron select catheter-1neuron max088 select cathe-1neuron max088 large lumen -1penumbra coil 400 systempenumbra coil 400 system-1penumbra coil 400 system-2penumbra coil 400 system-3px 400 delivery microcathe-1px slim delivery microcath-1velocity delivery microcat-1liberty intracranial stentrestricted stock agreementrestricted stock agreement-1ii agreementinvestment 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