September 2014

September 2014

 

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Securities – Notice of First Appearance in the matter of Dominion Bitcoin Mining Company Ltd., Jason Edmund Dearborn, Peter Scott Voldeng, and Ronald James Frederick Gibbon

September 30, 2014 - The Financial and Consumer Affairs Authority of Saskatchewan today issued a Notice of First Appearance in the matter of Dominion Bitcoin Mining Company Ltd., Jason Edmund Dearborn, Peter Scott Voldeng, and Ronald James Frederick Gibbon.

 

For more information please contact:

Dallas Smith, Legal Counsel
Securities Division
Financial and Consumer Affairs Authority of Saskatchewan
Suite 601, 1919 Saskatchewan Drive
Regina, Saskatchewan  S4P 4H2
Phone:  (306) 787-5843
Fax:  (306) 787-5899
Email: dallas.smith@gov.sk.ca

 


 

Securities – Investor Alert regarding Risk Capital International and Risk Capital FX International

September 29, 2014 - Financial and Consumer Affairs Authority of Saskatchewan issues an investor Alert regarding Risk Capital International and Risk Capital FX International.

 

For more information please contact:

Sonne Udemgba, Deputy Director, Legal
Securities Division
Financial and Consumer Affairs Authority of Saskatchewan
Suite 601, 1919 Saskatchewan Drive
Regina, Saskatchewan  S4P 4H2
Phone:  (306) 787-5879
Fax:  (306) 787-5899
Email:  sonne.udemgba@gov.sk.ca

 


 

Securities – Notice of Withdrawal and Discontinuance in the matter of Risk Capital International, Risk CapitalFX International, Magnus Carlson, Matthew Cannon

September 25, 2014 - Notice of Withdrawal and Discontinuance in the matter of Risk Capital International, Risk CapitalFX International, Magnus Carlson, Matthew Cannon.

 

For more information please contact:

Dallas Smith, Legal Counsel
Securities Division
Financial and Consumer Affairs Authority of Saskatchewan
Suite 601, 1919 Saskatchewan Drive
Regina, Saskatchewan  S4P 4H2
Phone:  (306) 787-5843
Fax:  (306) 787-5899
Email: dallas.smith@gov.sk.ca

 


 

Securities – Glencore E&P (Canada) Inc. Decision pursuant to section 92 of The Securities Act, 1988

September 24, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that Glencore E&P (Canada) Inc. is no longer a reporting issuer.

 


 

Securities – Notice of First Appearance in the Matter of I.A. Michael Investment Counsel Ltd. and Irwin A. Michael

September 22, 2014 – The Financial and Consumer Affairs Authority of Saskatchewan has issued a Notice of First Appearance in the Matter of I.A. Michael Investment Counsel Ltd. and Irwin A. Michael.

 

For more information please contact:

Dallas Smith, Legal Counsel
Securities Division
Financial and Consumer Affairs Authority of Saskatchewan
Suite 601, 1919 Saskatchewan Drive
Regina, Saskatchewan  S4P 4H2
Phone:  (306) 787-5843
Fax:  (306) 787-5899
Email: dallas.smith@gov.sk.ca

 


 

Securities – Great Sandhills Terminal Ltd. Decision pursuant to section 92 of The Securities Act, 1988

September 19, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that Great Sandhills Terminal Ltd. is no longer a reporting issuer.

 


 

Securities – Hamilton Capital Partners Inc. Notice pursuant to section 11.9 of NI 31-103

September 19, 2014 – Financial and Consumer Affairs Authority of Saskatchewan (FCAA) approval letter regarding Notice pursuant to section 11.9 of National Instrument 31-103 Registration Requirements, Exemptions and Ongoing Registrant Obligations (NI 31-103).

 


 

Securities – Winalta Inc. Decision pursuant to section 92 of The Securities Act, 1988

September 19, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that Winalta Inc. is no longer a reporting issuer.

 


 

Securities – Research underway by Canadian securities regulators into mutual fund fees

September 19, 2014 - Securities – The Canadian Securities Administrators (CSA) announced that two research contracts have been awarded that will further the review of Canada’s mutual fund fee structure.  This research marks an important step in advancing a policy decision on mutual fund fees and follows a request for proposals by the CSA for independent third-party research to evaluate whether regulatory action is needed regarding these fees.

 

For more information please contact:

Denny Huyghebaert, Director
Corporate Services
Financial and Consumer Affairs Authority of Saskatchewan
Suite 601, 1919 Saskatchewan Drive
Regina, Saskatchewan  S4P 4H2
Phone:  (306) 787-5548
Fax:  (306) 787-5899
Email: denny.huyghebaert@gov.sk.ca

 


 

Securities – Investor Alert regarding Pointmoir Energy Corp.

September 17, 2014 - Financial and Consumer Affairs Authority of Saskatchewan issues an Investor Alert regarding Pointmoir Energy Corp.

 

For more information please contact:

Dallas Smith, Legal Counsel
Securities Division
Financial and Consumer Affairs Authority of Saskatchewan
Suite 601, 1919 Saskatchewan Drive
Regina, Saskatchewan  S4P 4H2
Phone:  (306) 787-5843
Fax:  (306) 787-5899
Email: dallas.smith@gov.sk.ca

 


 

Securities – Order Setting Hearing Dates in the matter of Risk Capital International, Risk CapitalFX International, Magnus Carlson, Matthew Cannon

September 12, 2014 – Order Setting Hearing Dates in the matter of Risk Capital International, Risk CapitalFX International, Magnus Carlson, Matthew Cannon.

 

For more information please contact:

Dallas Smith, Legal Counsel
Securities Division
Financial and Consumer Affairs Authority of Saskatchewan
Suite 601, 1919 Saskatchewan Drive
Regina, Saskatchewan  S4P 4H2
Phone:  (306) 787-5843
Fax:  (306) 787-5899
Email: dallas.smith@gov.sk.ca

 


 

Securities – Order Setting Hearing Dates in the matter of Relative Resources Ltd., Dwight Campbell, Sean Kirkpatrick

September 12, 2014 - Order setting hearing dates in the matter of Relative Resources Ltd., Dwight Campbell, Sean Kirkpatrick.

 

For more information please contact:

Dallas Smith, Legal Counsel
Securities Division
Financial and Consumer Affairs Authority of Saskatchewan
Suite 601, 1919 Saskatchewan Drive
Regina, Saskatchewan  S4P 4H2
Phone:  (306) 787-5843
Fax:  (306) 787-5899
Email: dallas.smith@gov.sk.ca

 


 

Securities – Notice of First Appearance in the matter of Paradigm Portfolio Management Corporation, Kyle Kozuska, Ryan John Smith

September 12, 2014 - Notice of First Appearance in the matter of Paradigm Portfolio Management Corporation, Kyle Kozuska, Ryan John Smith.

 

For more information please contact:

Dallas Smith, Legal Counsel
Securities Division
Financial and Consumer Affairs Authority of Saskatchewan
Suite 601, 1919 Saskatchewan Drive
Regina, Saskatchewan  S4P 4H2
Phone:  (306) 787-5843
Fax:  (306) 787-5899
Email: dallas.smith@gov.sk.ca

 


 

Securities – Order in the matter of Landbankers International MX, S.A. De C.V

September 11, 2014 - Securities – Order in the matter of Landbankers International MX, S.A. De C.V.

 

For more information please contact:

Dallas Smith, Legal Counsel
Securities Division
Financial and Consumer Affairs Authority of Saskatchewan
Suite 601, 1919 Saskatchewan Drive
Regina, Saskatchewan  S4P 4H2
Phone:  (306) 787-5843
Fax:  (306) 787-5899
Email: dallas.smith@gov.sk.ca

 


 

Securities – Canadian Securities Regulators move forward with harmonized regulatory approach for take-over bids in Canada

September 11, 2014 - The Canadian Securities Administrators (CSA) today published CSA Notice 62-306 Update on Proposed National Instrument 62-105 Security Holder Rights Plans and the Autorité des marchés financiers (AMF) Consultation Paper An Alternative Approach to Securities Regulators’ Intervention in Defensive Tactics.

 

For more information please contact:

Sonne Udemgba, Deputy Director, Legal
Securities Division
Financial and Consumer Affairs Authority of Saskatchewan
Suite 601, 1919 Saskatchewan Drive
Regina, Saskatchewan  S4P 4H2
Phone:  (306) 787-5879
Fax:  (306) 787-5899
Email:  sonne.udemgba@gov.sk.ca

 


 

Securities – CSA Notice - Update on Proposed National Instrument 62-105 Security Holder Rights Plans and AMF Consultation Paper An Alternative Approach to Securities Regulators’ Intervention in Defensive Tactics

September 11, 2014 - The Canadian Securities Administrators (CSA) Notice 62-306 - Update on Proposed National Instrument 62-105 Security Holder Rights Plans and AMF Consultation Paper An Alternative Approach to Securities Regulators’ Intervention in Defensive Tactics.

 

For more information please contact:

Sonne Udemgba, Deputy Director, Legal
Securities Division
Financial and Consumer Affairs Authority
Suite 601, 1919 Saskatchewan Drive
Regina, Saskatchewan  S4P 4H2
Phone:  (306) 787-5879
Fax:  (306) 787-5899
Email:  sonne.udemgba@gov.sk.ca

 


 

Securities – The Securities Commission (Adoption of National Instruments) Amendment Regulations, 2014 (No.3) come into force

September 5, 2014 - The Securities Commission (Adoption of National Instruments) Amendment Regulations, 2014 (No.3) comes into force on January 1, 2015.

 

For more information contact:

Sonne Udemgba, Deputy Director, Legal
Securities Division
Financial and Consumer Affairs Authority
Suite 601, 1919 Saskatchewan Drive
Regina, Saskatchewan  S4P 4H2
Phone:  (306) 787-5879
Fax:  (306) 787-5899
Email: sonne.udemgba@gov.sk.ca

 


 

Securities – Nordion (Canada) Inc. Decision pursuant to section 92 of The Securities Act, 1988

September 3, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that Nordion (Canada) Inc. is no longer a reporting issuer.

 

 

Securities Division

Suite 601, 1919 Saskatchewan Drive

Regina, Saskatchewan S4P 4H2

Tel: (306)787-5645

Fax: (306)787-5899

Email: fcaa@gov.sk.ca

Agree Term