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PAULSON
 
& CO.
 
INC.
 
FORM ADVPART 2A BROCHUREMARCH 31, 2012This brochure provides information about the qualifications and business practices of Paulson & Co. Inc. If you have any questions about the contents of this brochure, pleasecontact us at 212-956-2221. The information in this brochure has not been approved orverified by the United States Securities and Exchange Commission or by any statesecurities authority.Paulson has been registered as an investment adviser with the SEC since 2004. Ourregistration does not imply a certain level of skill or training.Additional information about Paulson & Co. Inc. is also available on the SEC
s website atwww.adviserinfo.sec.gov. This Brochure does not constitute an offer to sell or the solicitation of an offer to purchaseany securities of any entities described herein. Any such offer or solicitation will be madesolely to qualified investors by means of a private placement memorandum and relatedsubscription materials.
 
1251 Ave. of the Americas New York, NY 10020TEL: 212 956-2221www.paulsonco.com ______________________________________________________________________ 
 
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Item 2 - Material Changes
We last revised our brochure on Part II of the Form ADV on March 31, 2011. We do not believethat this document differs materially from the Brochure we produced a year ago in this format. Insubsequent versions of our Brochure, this section will contain a summary of material changesincorporated since our last filing.
 
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 Item 3 - Table of Contents
Item 1 - Cover Page .
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 Item 2 - Material Changes
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.2Item 3 - Table of Contents .
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. 3Item 4 - Advisory Business
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.. 4Item 5 - Fees and Compensation ...
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.. 7Item 6 - Performance -Based Fees and Side-by-Side Management
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.. 9Item 7 - Types of Clients
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.10Item 8 - Methods of Analysis, Investment Strategies and Risk of Loss
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11Item 9 - Disciplinary Information
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...... 13Item 10 - Other Financial Industry Activities and Affiliations .....
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.. 14Item 11 - Code of Ethics, Participation or Interest in Client Transactionsand Personal Trading ....
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.. 15Item 12 - Brokerage Practices
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.. 17Item 13 - Review of Accounts
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19Item 14 - Client Referrals and Other Compensation
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... 20Item 15 - Custody ..
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... 21Item 16 - Investment Discretion
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22Item 17 - Voting Client Securities
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. 23Item 18 - Financial Information ..
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24Item 19 - Requirements for State- Registered Advisors .
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