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Wednesday, 05/17/2017 1:22:25 PM

Wednesday, May 17, 2017 1:22:25 PM

Post# of 69967
Attorney Letter with Respect To Current Information 5/16/2017

GARY CHERNAY
7665 Spanish Bay Drive
Las Vegas, Nevada 89113
Phone: 702-743-1928
E-Mail: gary@thewolverinegroup.com

May 15, 2017

OTC Markets Group, Inc.
304 Hudson Street
2nd Floor
New York, New York 10013

UMBRA APPLIED TECHNOLOGIES GROUP, INC.

ANNUAL INFORMATION AND DISCLOSURE STATEMENT
DATE January 10, 2017 AND POSTED ON January 17, 2017
Ladies and Gentlemen:

You are entitled to rely on this letter in determining whether Umbra Applied Technologies Group, Inc., ("Company”) has made adequate current information publicly available within the meaning of Rule 144c(2) under the Securities Act of 1933 ("Securities Act''). The undersigned is a resident of the United States. Our office has been engaged by the Company to be its special securities counsel. Our services include preparing or reviewing disclosure information and press releases, interfacing with the chief financial officer and independent accountants, and giving general legal advice to management. We have examined such corporate records and other documents and have asked such questions of law as we have considered necessary or appropriate for the purpose of writing this letter. We have relied on publicly available information from the Secretary of State of the State of Delaware and information obtained from the Company's officers and directors. We have also reviewed the following documents posted at www.OTCMarkets.com and publicly available through the OTC Disclosure and News Service in connection with the preparation of this letter; (i) the Company’s Initial Information and Disclosure Statement posted on January 17, 2017; (ii) the Company’s Financial Statements for the periods ended January 1, 2016 through December 31, 2016 posted on:

January 17, 2017; and (iii) the Company’s Annual Information and Disclosure Statement posted on:

May 4, 2017; The company’s quarterly report posted. We believe the sources we have relied upon are reliable.

Our letter relates to the laws of the United States, specifically the Securities Act and the corporate laws of the State of Nevada. The undersigned is member in good standing of the bar of the State of Florida since 1986 and is permitted to practice before the Securities and Exchange Commission ("SEC”) and the undersigned has not been prohibited from practice thereunder.

The Company is not a reporting issuer under the Securities Exchange Act of 1934 ("Exchange Act'') and, therefore, does not file periodic reports with the SEC.

This Information constitutes, in our opinion, adequate current public information concerning the Company's securities and is available within the meaning of Rule 144(c)(2) under the Securities