2012 Exemptions

2012 Exemptions


20-20 Technologies Inc. Decision pursuant to section 92 of The Securities Act, 1988

October 22, 2012 - Decision pursuant to section 92 of The Securities Act, 1988 that 20-20 Technologies Inc. is no longer a reporting issuer.

    
2329258 Ontario Ltd. approval of notice pursuant to National Instrument 31-103

September 28, 2012 - Saskatchewan Financial Services Commission (SFSC) approval letter issued to 2329258 Ontario Ltd. pursuant to National Instrument 31-103 Registration Requirements, Exemptions and Ongoing Registrant Obligations (NI 31-103) on the same terms and conditions as the Ontario Securities Commission.

    
2930862 Canada Inc. Decision pursuant to section 92 of The Securities Act, 1988

July 6, 2012 - Decision pursuant to section 92 of The Securities Act, 1988 that 2930862 Canada Inc. is no longer a reporting issuer.

    
Aeroquest International Limited Decision pursuant to section 92 of the Securities Act, 1988

June 12, 2012 - Decision pursuant to section 92 of the Securities Act, 1988 that Aeroquest International Limitedis no longer a reporting issuer.

    
Algonquin Credit Card Trust Decision pursuant to section 92 of The Securities Act, 1988

August 14, 2012 - Decision pursuant to section 92 of The Securities Act, 1988 that Algonquin Credit Card Trust is no longer a reporting issuer.

    
Allied Gold Mining PLC and St Barbara Limited Decision pursuant to section 92 of The Securities Act, 1988

November 2, 2012 - Decision pursuant to section 92 of The Securities Act, 1988 that Allied Gold Mining PLC and St Barbara Limited are no longer reporting issuers.

    
Alpha Trading Systems Limited Partnership and Alpha Exchange Inc. - Decision pursuant to section 160 of the Securities Act, 1988

March 13, 2012 - Decision pursuant to section 160 of the Securities Act, 1988 - Relief from the requirement to be recognized as a stock exchange, an exchange or a self regulatory organization with provisions.

    
Altrinsic Global Advisors, LLC approval of notice pursuant to National Instrument 31-103

May 11, 2012 - Saskatchewan Financial Services Commission (SFSC) approval letter issued to Altrinsic Global Advisors, LLC pursuant to National Instrument 31-103 Registration Requirements, Exemptions and Ongoing Registrant Obligations (NI 31-103) on the same terms and conditions as the Ontario Securities Commission.

    
Anvil Mining Limited - Decision pursuant to section 92 of the Securities Act, 1988

March 29, 2012 - Decision pursuant to section 92 of the Securities Act, 1988 that Anvil Mining Limited is no longer a reporting issuer.

    
Arbor Memorial Services Inc. Decision pursuant to section 92 of The Securities Act, 1988

December 21, 2012 - Decision pursuant to section 92 of The Securities Act, 1988 that Arbor Memorial Services Inc. is no longer a reporting issuer.

    
Barrick Energy Inc. Decision pursuant to section 92 of The Securities Act, 1988

November 14, 2012 - Decision pursuant to section 92 of The Securities Act, 1988 that Barrick Energy Inc. is no longer a reporting issuer.

    
Burgeonvest Financial Corporation approval of notice pursuant to National Instrument 31-103

September 18, 2012 - Saskatchewan Financial Services Commission (SFSC) approval letter issued to Burgeonvest Financial Corporation pursuant to National Instrument 31-103 Registration Requirements, Exemptions and Ongoing Registrant Obligations (NI 31-103), in regards to the proposed acquisition of beneficial ownership of Burgeonvest Bick Corporation, on the same terms and conditions as the Ontario Securities Commission.

    
Caldwell Global Financial Services Fund and Caldwell Meisels Canada Fund Decision pursuant to section 92 of The Securities Act, 1988

October 15, 2012 - Decision pursuant to section 92 of The Securities Act, 1988 that Caldwell Global Financial Services Fund and Caldwell Meisels Canada Fund are no longer a reporting issuers.

    
CANMARC Real Estate Investment Trust - Decision pursuant to section 92 of the Securities Act, 1988

March 27, 2012 - Decision pursuant to section 92 of the Securities Act, 1988 that CANMARC Real Estate Investment Trust is no longer a reporting issuer.

    
Cell-Loc Location Technologies Inc. Decision Pursuant to Section 92 of The Securities Act,1988

January 4, 2012 –  Decision pursuant to section 92 of The Securities Act, 1988 that Cell-Loc Location Technologies Inc. is no longer a reporting issuer.

    
Centamin Egypt Limited Decision pursuant to section 92 of The Securities Act, 1988

February 9, 2012 − Decision pursuant to section 92 of The Securities Act, 1988 that Centamin Egypt Limited is no longer a reporting issuer.

    
CI Financial Corp. and Lawrence Park Capital Partners Ltd. Notice pursuant to NI 31-103

March 2, 2012 − CI Financial Corp. proposed acquisition of Lawrence Park Capital Partners Ltd. - Notice pursuant to section of National Instrument 31-103 Registration Requirements, Exemptions and Ongoing Registrant Obligations (NI 31-103).

    
Compton Petroleum Corporation Decision pursuant to section 92 of The Securities Act, 1988

October 18, 2012 - Decision pursuant to section 92 of The Securities Act, 1988 Compton Petroleum Corporation is no longer a reporting issuer.

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

November 13, 2012 - Decision pursuant to section 92 of The Securities Act, 1988 that CoventreeInc. is no longer a reporting issuer.

    
Cryptologic Exchange Corporation Decision pursuant to section 92 of The Securities Act, 1988

July 25, 2012 - Decision pursuant to section 92 of The Securities Act, 1988 that Cryptologic Exchange Corporation is no longer a reporting issuer.

    
Cryptologic LImited Decision pursuant to section 92 of The Securities Act, 1988

August 13, 2012 - Decision pursuant to section 92 of The Securities Act, 1988 that Cryptologic LImited is no longer a reporting issuer.

    
Diversified Private Equity Corp. Decision pursuant to section 92 of the Securities Act, 1988

June 13, 2012 - Decision pursuant to section 92 of the Securities Act, 1988 that Diversified Private Equity Corp. is no longer a reporting issuer.

    
Dundee Corporation - Notice pursuant to section 11.10 of National Instrument 31-103 Registration Requirements, Exemptions and Ongoing Registrant Oblligations

January 31, 2012 - Dundee Corporation - Approval letter issued pursuant to section 11.10 of National Instrument 31-103 Registration Requirements, Exemptions and Ongoing Registrant Oblligations.

    
Eldorado Gold Yukon Corp. - Decision pursuant to section 92 of the Securities Act, 1988

March 26, 2012 - Decision pursuant to section 92 of the Securities Act, 1988 that Eldorado Gold Yukon Corp. is no longer a reporting issuer.

    
Extorre Gold Mines Limited Decision pursuant to section 92 of The Securities Act, 1988

September 28, 2012 - Decision pursuant to section 92 of The Securities Act, 1988 that Extorre Gold Mines Limited is no longer a reporting issuer.

    
Extract Resources Limited Decision pursuant to section 92 of the Securities Act, 1988

June 18, 2012 - Decision pursuant to section 92 of the Securities Act, 1988 that Extract Resources Limited is no longer a reporting issuer.

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

August 13, 2012 - Decision pursuant to section 92 of The Securities Act, 1988 that Fibrek Inc. is no longer a reporting issuer.

    
Frontera Copper Corporation Decision pursuant to section 92 of the Securities Act, 1988

May 9, 2012 - Decision pursuant to section 92 of the Securities Act, 1988 that Frontera Copper Corporation is no longer a reporting issuer.

    
Futuremed Healthcare Products Corporation - Decision pursuant to section 92 of the Securities Act, 1988

March 29, 2012 - Decision pursuant to section 92 of the Securities Act, 1988 that Futuremed Healthcare Products Corporation is no longer a reporting issuer.

    
Gazit America Inc. Decision pursuant to section 92 of The Securities Act, 1988

August 31, 2012 - Decision pursuant to section 92 of The Securities Act, 1988 that Gazit America Inc. is no longer a reporting issuer.

    
Geomark Exploration Ltd. Decision pursuant to section 92 of The Securities Act, 1988

November 5, 2012 - Decision pursuant to section 92 of The Securities Act, 1988 that Geomark Exploration Ltd. is no longer a reporting issuer.

    
Great Western Minerals Group Ltd. - Decision pursuant to section 44 of the Securities Act, 1988

March 19, 2012 - Decision pursuant to section 44 of the Securities Act, 1988.

    
Hahn Investment Stewards & Company Inc. - Approval of Notice pursuant to NI 31-103

March 30, 2012 - Hahn Investment Stewards & Company Inc. Approval of Notice of proposed transaction pursuant to National Instrument 31-103 Registration Requirements, exemptions and Ongoing Registrant Obligations.

    
HSBC Financial Corporation Decision pursuant to section 92 of the Securities Act, 1988

June 8, 2012 - Decision pursuant to section 92 of the Securities Act, 1988 that HSBC Financial Corporation is no longer a reporting issuer.

    
ICAP Corporates LLC Decision pursuant to section 83 of the Securities Act, 1988

May 3, 2012 - Saskatchewan Financial Services Commission (SFSC) today issued a Passport Decision pursuant to section 83 of The Securities Act, 1988 that ICAP Corporates LLC is exempt, with provisions, from the requirement to be registered as a dealer in order to trade exchange contracts with permitted clients as defined in section 1.1 of National Instrument 31-103 Registration Requirements, Exemptions and Ongoing Registrant Obligations on exchanges located outside Saskatchewan.

    
InnVest Operations Trust Decision pursuant to section 92 of The Securities Act, 1988

August 10, 2012 - Decision pursuant to section 92 of The Securities Act, 1988 that InnVest Operations Trust is no longer a reporting issuer.

    
Kasten Energy Inc. Decision pursuant to section 92 of the Securities Act, 1988

April 27, 2012 - Decision pursuant to section 92 of the Securities Act, 1988 that Kasten Energy Inc. is no longer a reporting issuer.

    
Lakeside Steel Inc. Decision pursuant to section 92 of the Securities Act, 1988

Arpil 20, 2012 - Decision pursuant to section 92 of the Securities Act, 1988 that Lakeside Steel Inc. is no longer a reporting issuer.

    
Luxfer Canada Limited Decision pursuant to section 92 of The Securities Act, 1988

November 5, 2012 - Decision pursuant to section 92 of The Securities Act, 1988 that Luxfer Canada Limited is no longer a reporting issuer.

    
Mackie Research Financial Corporation approval of notice pursuant to National Instrument 31-103

December 6, 2012 - The Financial and Consumer Affairs Authority of Saskatchewan (FCAA) approval letter issued regarding the proposed acquisition of NCP Northland Capital Partners Inc. by Mackie Research Financial Corporation Notice pursuant to section 11.9 of National Instrument 31-103 Registration Requirements, Exemptions and Ongoing Registrant Obligations (NI 31-103) on the same terms and conditions as the Ontario Securities Commission.

    
Macquarie Capital Markets Canada Ltd. Decision pursuant to section 160 of The Securities Act, 1988

October 3, 2012 - Decision pursuant to section 160 of The Securities Act, 1988 in the Matter of Macquarie Capital Markets Canada Ltd.

    
Magma Metals Limited Decision pursuant to section 92 of The Securities Act, 1988

August 20, 2012 - Decision pursuant to section 92 of The Securities Act, 1988 that Magma Metals Limited is no longer a reporting issuer.

    
Manulife Financial Capital Trust Decision pursuant to section 92 of The Securities Act, 1988

July 24, 2012 - Decision pursuant to section 92 of The Securities Act, 1988 that Manulife Financial Capital Trust is no longer a reporting issuer.

    
March Networks Corporation Decision pursuant to section 92 of the Securities Act, 1988

May 31, 2012 - Decision pursuant to section 92 of The Securities Act, 1988 that March Networks Corporation is no longer a reporting issuer.

    
Marquest Asset Management Inc. approval of notice pursuant to National Instrument 31-103

August 20, 2012 - Saskatchewan Financial Services Commission (SFSC) approval letter issued to Marquest Asset Management Inc. pursuant to National Instrument 31-103 Registration Requirements, Exemptions and Ongoing Registrant Obligations (NI 31-103) on the same terms and conditions as the Ontario Securities Commission.

    
Marquest Asset Management Inc. approval of notice pursuant to subsection 11.10 of NI 31-103

December 7, 2012 - Financial and Consumer Affairs Authority of Saskatchewan (FCAA) approval letter issued to Marquest Asset Management Inc. pursuant to National Instrument 31-103 Registration Requirements, Exemptions and Ongoing Registrant Obligations (NI 31-103) on the same terms and conditions as the Ontario Securities Commission.

    
Merrill Lynch Canada Inc. Decision pursuant to section 160 of The Securities Act, 1988

October 31, 2012 - NP 11-203– Process for Exemptive Relief Applications in Multiple Jurisdictions – Hybrid Application – Merrill Lynch Canada Inc. granted relief from the trade confirmation and statement of account requirements in securities laws where acting solely as execution-only broker in the context of “give-up” trades – Relief granted with respect to give-up trades for institutional customers, provided that a give-up trade agreement is executed with institutional customer and clearing broker and that clearing broker agrees to provide the customers with statements which include give-up trade details.

    
Minefinders Corporaiton Decision pursuant to section 92 of The Securities Act, 1988

May 11, 2012 - Decision pursunt to section 92 of The Securities Act, 1988 that Minefinders Corporation is no longer a reporting issuer.

    
Minera Andes Inc. Decision pursuant to section 92 of the Securities Act, 1988

February 22, 2012 − Decision pursuant to section 92 of The Securities Act, 1988 that Minera Andes Inc. is no longer a reporting issuer.

    
Miranda Technologies Inc. Decision pursuant to section 92 of The Securities Act, 1988

August 13, 2012 - Decision pursuant to section 92 of The Securities Act, 1988 that Miranda Technologies Inc. is no longer a reporting issuer.

    
MOSAID Technologies Incorporated Decision pursuant to section 92 of The Securities Act, 1988

February 13, 2012 − Decision pursuant to section 92 of The Securities Act, 1988 that MOSAID Technologies Incorporated is no longer a reporting issuer.

    
NAL Energy Corporation Decision pursuant to section 92 of The Securities Act, 1988

June 25, 2012 - Decision pursuant to section 92 of The Securities Act, 1988 that NAL Energy Corporation is no longer a reporting issuer.

    
Natcan Investment Management Inc. approval of notice pursuant to National Instrument 31-103

March 28, 2012 - Saskatchewan Financial Services Commission (SFSC) approval letter issued to Natcan Investment Management Inc. pursuant to National Instrument 31-103 Registration Requirements, Exemptions and Ongoing Registrant Obligations (NI 31-103) on the same terms and conditions as l'Autorite des marches financiers.

    
National Bank Financial Inc. Decision pursuant to section 160 of The Securities Act, 1988

December 14, 2012 - Decision pursuant to section 92 of The Securities Act, 1988 that National Bank Financial Inc. is no longer a reporting issuer.

    
National Bank Securities Inc. and Natcan Investment Management Inc. Notice pursuant to section 11.10 of NI 31-103

February 29, 2012 − National Bank Securities Inc. and Natcan Investment Management Inc. Approval letter issued putsuant to section 11.10 of National Instrument 31-103 Registration Requirements, Exemptions and Ongoing Registrant Obligations.

    
NB Split Corp. - Decision pursuant to section 92 of the Securities Act, 1988

March 20, 2012 - Decision pursuant to section 92 of the Securities Act, 1988 that NB Split Corp. is no longer a reporting issuer.

    
New Flyer Industries Canada ULC Decision pursuant to section 92 of The Securities Act, 1988

September 19, 2012 - Decision pursuant to section 92 of The Securities Act, 1988 that New Flyer Industries Canada ULC is no longer a reporting issuer.

    
Newmont Canada FN Holdings Limited Decision pursuant to section 92 of The Securities Act, 1988

February 10, 2012 - Decision pursuant to section 92 of The Securities Act, 1988 that Newmont Canada FN Holdings Limited is no longer a reporting issuer.

    
NWQ U.S. Large Cap Value Fund Decision pursuant to section 92 of The Securities Act, 1988

July 25, 2012 - Decision pursuant to section 92 of The Securities Act, 1988 that NWQ U.S. Large Cap Value Fund is no longer a reporting issuer.

    
Online Energy Inc. Decision pursuant to section 92 of The Securities Act, 1988

November 27, 2012 - Decision pursuant to section 92 of The Securities Act, 1988 that Online Energy Inc. is no longer a reporting issuer.

    
Open Range Energy Corp. Decision pursuant to section 92 of The Securities Act, 1988

September 13, 2012 - Decision pursuant to section 92 of The Securities Act, 1988 that Open Range Energy Corp. is no longer a reporting issuer.

    
Pacific Northern Gas Ltd. - Decision pursuant to section 92 of the Securities Act, 1988

March 9, 2012 - Decision pursuant to section 92 of the Securities Act, 1988 that Pacific Northern Gas Ltd. is no longer a reporting issuer.

    
Pembina NGL Corporation Decision pursuant to section 92 of the Securities Act, 1988

Arpil 24, 2012 - Decision pursuant to section 92 of the Securities Act, 1988 that Pembina NGL Corporation is no longer a reporting issuer.

    
PetroMagdalena Energy Corp. Decision pursuant to section 92 of The Securities Act, 1988

August 30, 2012 - Decision pursuant to section 92 of The Securities Act, 1988 that PetroMagdalena Energy Corp. is no longer a reporting issuer.

    
Pier 21 Asset Management Inc. - Notice pursuant to section 11.9 of National Instrument 31-103 Registration Requirements, Exemptions and Ongoing Registrant Oblligations

January 17, 2012 - Pier 21 Asset Management Inc. - Approval letter issued pursuant to section 11.9 of National Instrument 31-103 Registration Requirements, Exemptions and Ongoing Registrant Oblligations.

    
Pier 21 Asset Management Inc. approval of notice pursuant to National Instrument 31-103

May 9, 2012 - Saskatchewan Financial Services Commission (SFSC) approval letter issued to Pier 21 Asset Management Inc. pursuant to National Instrument 31-103 Registration Requirements, Exemptions and Ongoing Registrant Obligations (NI 31-103) on the same terms and conditions as l'Autorite des marches financiers.

    
Pier 21Asset Management Inc. approval of notice pursuant to National Instrument 31-103

September 7, 2012 - Saskatchewan Financial Services Commission (SFSC) approval letter issued to Pier 21 Asset Management Inc. pursuant to National Instrument 31-103 Registration Requirements, Exemptions and Ongoing Registrant Obligations (NI 31-103) on the same terms and conditions as the Ontario Securities Commission.

    
Prime Restaurants Inc. - Decision Pursuant to section 92 of The Securities Act, 1988

January 30, 2012 - Decision Pursuant to section 92 of The Securities Act, 1988 that Prime Restaurants Inc. is no longer a reporting issuer.

    
Pure Energy Services Ltd. Decision pursuant to section 92 of The Securities Act, 1988

October 30, 2012 - Decision pursuant to section 92 of The Securities Act, 1988 that Pure Energy Services Ltd. is no longer a reporting issuer.

    
Quadra FNX Mining Ltd. - Decision pursuant to section 92 of the Securities Act, 1988

March 28, 2012 - Decision pursuant to section 92 of the Securities Act, 1988 that Quadra FNX Mining Ltd. is no longer a reporting issuer.

    
RBC Subordinated Notes Trust Decision pursuant to section 92 of The Securities Act, 1988

October 23, 2012 - Decision pursuant to section 92 of The Securities Act, 1988 that RBC Subordinated Notes Trust is no longer a reporting issuer.

    
Return on Innovation Management Ltd. et al approval pursuant to section 44(3) of The Securities Act, 1988

July 17, 2012 - Permission requested granted to Return on Innovation Management Ltd. et al pursuant to section 44(3) of The Securities Act, 1988.

    
RuggedCom Inc. Decision pursuant to section 92 of the Securities Act, 1988

May 1, 2012 - Decision pursuant to section 92 of the Securities Act, 1988 that RuggedCom Inc. is no longer a reporting issuer.

    
Score Media Inc. Decision pursuant to section 92 of The Securities Act, 1988

November 20, 2012 - Decision pursuant to section 92 of The Securities Act, 1988 that Score Media Inc. is no longer a reporting issuer.

    
Scotiabank Subordinated Notes Trust Decision pursuant to section 92 of The Securities Act, 1988

December 27, 2012 - Decision pursuant to section 92 of The Securities Act, 1988 that Scotiabank Subordinated Notes Trust is no longer a reporting issuer.

    
Sears Holdings Corporation approval pursuant to section 44(3) of the Securities Act, 1988

June 12, 2012 - Permission requested granted to Sears Holdings Corporation application pursuant to section 44(3) of the Securities Act, 1988.

    
Semtech Canada Inc. Decision pursuant to section 92 of the Securities Act, 1988

Arpil 10, 2012 - Decision pursuant to section 92 of the Securities Act, 1988 that Semtech Canada Inc. is no longer a reporting issuer.

    
Silver Birch Corporation Decision pursuant to section 92 of the Securities Act, 1988

Arpil 25, 2012 - Decision pursuant to section 92 of the Securities Act, 1988 that Silver Birch Corporation is no longer a reporting issuer.

    
Sino-Forest Corporation Decision pursuant to section 92 of The Securities Act, 1988

December 21, 2012 - Decision pursuant to section 92 of The Securities Act, 1988 that Sino-Forest Corporation is no longer a reporting issuer.

    
Sinopec Daylight Energy Ltd. Decision pursuant to section 92 of The Securities Act, 1988

February 9, 2012 - Decision pursuant to section 92 of The Securities Act, 1988 that Sinopec Daylight Energy Ltd. is no longer a reporting issuer.

    
Sprott Asset Management LP approval of notice pursuant to National Instrument 31-103

July 11, 2012 - Saskatchewan Financial Services Commission (SFSC) approval letter issued to Sprott Asset Management LP pursuant to National Instrument 31-103 Registration Requirements, Exemptions and Ongoing Registrant Obligations (NI 31-103) on the same terms and conditions as The Ontario Securities Commission.

    
Telefonos de Mexico, S.A.B. de C.V. Decision pursuant to section 92 of The Securities Act, 1988

June 27, 2012 - Decision pursuant to section 92 of The Securities Act, 1988 that Telefonos de Mexico, S.A.B. de C.V. is no longer a reporting issuer.

    
Terrane Metals Corp. Decision pursuant to section 92 of The Securities Act, 1988

September 14, 2012 - Decision pursuant to section 92 of The Securities Act, 1988 that Terrane Metals Corp. is no longer a reporting issuer.

    
Titan Uranium Inc. - Decision pursuant to section 92 of the Securities Act, 1988

March 20, 2012 - Decision pursuant to section 92 of the Securities Act, 1988 that Titan Uranium Inc. is no longer a reporting issuer.

    
TMX Group Inc. Decision pursuant to section 92 of The Securities Act, 1988

October 26, 2012 - Decision pursuant to section 92 of The Securities Act, 1988 that TMX Group Inc. is no longer a reporting issuer.

    
Trelawney Augen Acquisition Corp. Decision pursuant to section 92 of The Securities Act, 1988

August 17, 2012 - Decision pursuant to section 92 of The Securities Act, 1988 that Trelawney Augen Acquisition Corp. is no longer a reporting issuer.

    
Trelawney Mining and Exploration Inc. Decision pursuant to section 92 of The Securities Act, 1988

August 17, 2012 - Decision pursuant to section 92 of The Securities Act, 1988 that Trelawney Mining and Exploration Inc. is no longer a reporting issuer.

    
US Gold Canadian Acquisition Corporation Decision pursuant to section 92 of The Securities Act, 1988

July 5, 2012 - Decision pursuant to section 92 of The Securities Act, 1988 that US Gold Canadian Acquisition Corporation is no longer a reporting issuer.

    
Vaaldiam Mining Inc. Decision pursuant to section 92 of The Securities Act, 1988

August 9, 2012 - Decision pursuant to section 92 of The Securities Act, 1988 that Vaaldiam Mining Inc. is no longer a reporting issuer.

    
WGI Heavy Minerals, Incorporated Decision pursuant to section 92 of The Securities Act, 1988

November 23, 2012 - Decision pursuant to section 92 of The Securities Act, 1988 that WGI Heavy Minerals, Incorporated is no longer a reporting issuer.

    
Wild Stream Exploration Inc. Decision pursuant to section 92 of the Securities Act, 1988

April 12, 2012 - Decision pursuant to section 92 of the Securities Act, 1988 that Wild Stream Exploration Inc. is no longer a reporting issuer.

    
Xceed Mortgage Trust Decision pursuant to section 92 of The Securities Act, 1988

September 27, 2012 - Decision pursuant to section 92 of The Securities Act, 1988 that Xceed Mortgage Trust is no longer a reporting issuer.

Securities Division

4th Floor, 2365 Albert Street

Regina, SK, S4P 4K1

Tel: (306)787-5645

Fax: (306)787-5899

Email: fcaa@gov.sk.ca

Agree Term