2014 Exemptions

2014 Exemptions

1810040 ALBERTA LTD. Decision pursuant to section 92 of The Securities Act, 1988

June 5, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that 1810040 ALBERTA LTD. is no longer a reporting issuer.

    
360 VOX Corporation Decision pursuant to section 92 of The Securities Act, 1988

July 29, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that 360 VOX Corporation is no longer a reporting issuer.

    
Acquisition Glacier II Inc. Decision pursuant to section 92 of The Securities Act, 1988

March 21, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that Acquisition Glacier II Inc.is no longer a reporting issuer.

    
Aequitas Innovations Inc. and Aequitas Neo Exchange Inc. Decision pursuant to section 160 of The Securities Act, 1988

December 3, 2014 - Decision pursuant to section 160 of The Securities Act, 1988 that Aequitas Innovations Inc. and Aequitas Neo Exchange Inc. are exempt from the requirement to be recognized as a stock exchange, an exchange, or a self regulatory organization.

    
American Bonanza Gold Corp. Decision pursuant to section 92 of The Securities Act, 1988

November 19, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that American Bonanza Gold Corp. is no longer a reporting issuer.

    
American Resource Corporation Limited Decision pursuant to section 92 of The Securities Act, 1988

March 3, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that American Resource Corporation Limited is no longer a reporting issuer.

    
AQR Capital Management, LLC decision pursuant to section 83

June 27, 2014 -The Financial and Consumer Affairs Authority of Saskatchewan (FCAA) has issued a decision pursuant to section 83 of The Securities Act, 1988 in the Matter of AQR Capital Management, LLC.

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

March 14, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that Atrium Innovations Inc. is no longer a reporting issuer.

    
Augusta Resource Corporation Decision pursuant to section 92 of The Securities Act, 1988

November 4, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that Augusta Resource Corporation is no longer a reporting issuer.

    
Aurora Oil & Gas Limited Decision pursuant to section 92 of The Securities Act, 1988

August 13, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that Aurora Oil & Gas Limited is no longer a reporting issuer.

    
Azumah Resources Limited Decision pursuant to section 92 of The Securities Act, 1988

March 28, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that Azumah Resources Limited is no longer a reporting issuer.

    
Bell Aliant Inc., Bell Aliant Preferred Equity Inc., Bell Aliant Regional Communications Inc., and Bell Aliant Regional Communications, Limited Partnership Decision pursuant to section 92 of The Securities Act, 1988

December 18, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that Bell Aliant Inc., Bell Aliant Preferred Equity Inc., Bell Aliant Regional Communications Inc., and Bell Aliant Regional Communications, Limited Partnership Decision are no longer reporting issuers.

    
BLF Limited Partnership Decision pursuant to section 92 of The Securities Act, 1988

October 22, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that BLF Limited Partnership is no longer a reporting issuer.

    
BLF Real Estate Investment Trust Decision pursuant to section 92 of The Securities Act, 1988

October 1, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that BLF Real Estate Investment Trust is no longer a reporting issuer.

    
Brigus Gold Corp. Decision pursuant to section 92 of The Securities Act, 1988

March 28, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that Brigus Mining Corp. is no longer a reporting issuer.

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

May 16, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that Broadway Credit Card Trust is no longer a reporting issuer.

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

July 2, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that Canada Bread Company, Limited is no longer a reporting issuer.

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

June 25, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that Canada Fluorspar Inc. is no longer a reporting issuer.

    
Canadian Malartic Corporation Decision pursuant to section 92 of The Securities Act, 1988

July 17, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that Canadian Malartic Corporation is no longer a reporting issuer.

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

March 17, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that Cangene Corporation is no longer a reporting issuer.

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

December 22, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that Cayden Resources Inc. is no longer a reporting issuer.

    
Champion Iron Mines Limited Decision pursuant to section 92 of The Securities Act, 1988

May 2, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that Champion Iron Mines Limited is no longer a reporting issuer.

    
Channel Resources Ltd. Decision pursuant to section 92 of The Securities Act, 1988

February 21, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that Channel Resources Ltd.is no longer a reporting issuer.

    
Coast Wholesale Appliances Inc. Decision pursuant to section 92 of The Securities Act, 1988

November 3, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that Coast Wholesale Appliances Inc. is no longer a reporting issuer.

    
Costal Energy Company Decision pursuant to section 92 of The Securities Act, 1988

February 27, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that Costal Energy Company is no longer a reporting issuer.

    
DDS Wireless International Inc. Decision pursuant to section 92 of The Securities Act, 1988

July 25, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that DDS Wireless International Inc. is no longer a reporting issuer.

    
Desjardins Financial Corporation Inc. Notice pursuant to section 11.9 of NI 31-103


July 11, 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).

    
Dunav Resources Ltd. Decision pursuant to section 92 of The Securities Act, 1988

November 14, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that Dunav Resources Ltd. is no longer a reporting issuer.

    
Edgecrest Capital Holdings Inc. Notice pursuant to section 11.9 of NI 31-103

February 6, 2014 - Financial and Consumer Affairs Authority of Saskatchewan (FCAA) approval letter regarding Notice pursuant to sections 11.9 and 11.10 of National Instrument 31-103 Registration Requirements, Exemptions and Ongoing Registrant Obligations (NI 31-103).

    
Elemental Minerals Limited Decision pursuant to section 92 of The Securities Act, 1988

October 31, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that Elemental Minerals Limited is no longer a reporting issuer.

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

November 14, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that Elgin Mining Inc. is no longer a reporting issuer.

    
First Uranium Corporation Decision pursuant to section 92 of The Securities Act, 1988

February 13, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that First Uranium Corporation is no longer a reporting issuer.

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

January 29, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that Flint Energy Services Ltd. is no longer a reporting issuer.

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

October 16, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that FortisBC Holdings Inc. is no longer a reporting issuer.

    
Geneba Properties N.V. Decision pursuant to section 92 of The Securities Act, 1988

May 30, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that Geneba Properties N.V. is no longer a reporting issuer.

    
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.

    
Global Diversified Investment Grade Income Trust Decision pursuant to section 92 of The Securities Act, 1988

November 6, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that Global Diversified Investment Grade Income Trust is no longer a reporting issuer.

    
Granite Europe Limited Partnership Decision pursuant to section 92 of The Securities Act, 1988

October 15, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that Granite Europe Limited Partnership is no longer a reporting issuer.

    
Granite Real Estate Inc. Decision pursuant to section 92 of The Securities Act, 1988

October 15, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that Granite Real Estate Inc. is no longer a reporting issuer.

    
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.

    
Greystone Managed Investments Inc. Decision pursuant to NI 31-103

February 26, 2014 - The Financial and Consumer Affairs Authority of Saskatchewan has made a Decision pursuant to Nation Instrument 31-103 Registration Requirements, Exemptions and Ongoing Registrant Obligations In The Matter of Greystone Managed Investments Inc.

    
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).

    
Huntingdon Capital Corp. Decision pursuant to section 92 of The Securities Act, 1988

December 19, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that Huntingdon Capital Corp. is no longer a reporting issuer.

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

February 5, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that International Securities Corporation is no longer a reporting issuer.

    
ISG Capital Corporation Decision pursuant to section 92 of The Securities Act, 1988

October 3, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that ISG Capital Corporation is no longer a reporting issuer.

    
JDS Uniphase Canada Ltd. Decision pursuant to section 92 of The Securities Act, 1988

April 25, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that JDS Uniphase Canada Ltd. is no longer a reporting issuer.

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

February 3, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that Kimber Resources Inc. is no longer a reporting issuer.

    
Lone Pine Resources Inc. Decision pursuant to section 92 of The Securities Act, 1988

January 30, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that Lone Pine Resources Inc. is no longer a reporting issuer.

    
Longview Oil Corp. Decision pursuant to section 92 of The Securities Act, 1988

August 11, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that Longview Oil Corp. is no longer a reporting issuer.

    
Lumina Copper Corp. Decision pursuant to section 92 of The Securities Act, 1988

October 6, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that Lumina Copper Corp. is no longer a reporting issuer.

    
Mackie Research Financial Corporation Notice pursuant to section 11.9 of NI 31-103

November 27, 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).

    
McGraw-Hill Ryerson Limited Decision pursuant to section 92 of The Securities Act, 1988

July 29, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that McGraw-Hill Ryerson Limited is no longer a reporting issuer.

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

March 27, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that McWatters Mining Inc. is no longer a reporting issuer.

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

June 5, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that MEGA Brands Inc. is no longer a reporting issuer.

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

July 2, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that MGM Energy Corp. is no longer a reporting issuer.

    
Morgan Stanley & Co. LLC Decision pursuant to section 83of The Securities Act, 1988

February 20, 2014 - The Financial and Consumer Affairs Authority of Saskatchewan has made a Decision pursuant to section 83 of The Securities Act, 1988 that Morgan Stanley & Co. LLC is exempt, with provisions, from the requirement to be registered as a dealer in order to trade exchange contracts, cleared over-the-counter derivatives and cleared swaps with or for permitted clients as defined in section 1.1 of National Instrument 31-103 Registration Requirements, Exemptions and Ongoing Registrant Obligations  on exchanges located outside of Saskatchewan.

    
N-45° First CMBS Issuer Corporation Decision pursuant to section 92 of The Securities Act, 1988

March 24, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that Securities – N-45° First CMBS Issuer Corporation is no longer a reporting issuer.

    
The Financial and Consumer Affairs Authority of Saskatchewan Decision pursuant to sections 83 and 160 of The Securities Act, 1988 in the Matter of Natural Gas Exchange Inc.

May 16, 2014 - The Financial and Consumer Affairs Authority of Saskatchewan (FCAA) has issued a Decision pursuant to sections 83 and 160 of The Securities Act, 1988 in the Matter of Natural Gas Exchange Inc.

    
Needham & Company, LLC Decision pursuant to section 92 of The Securities Act, 1988

August 22, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that Needham & Company, LLC is no longer a reporting issuer.

    
New Dawn Mining Corp. Decision pursuant to section 92 of The Securities Act, 1988

January 20, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that New Dawn Mining Corp. is no longer a reporting issuer.

    
New Moon Minerals Corp. Decision pursuant to section 92 of The Securities Act, 1988

May 28, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that New Moon Minerals Corp. is no longer a reporting issuer.

    
Newmont Mining Corporation of Canada Limited Decision pursuant to section 92 of The Securities Act, 1988

March 28, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that Newmont Mining Corporation of Canada is no longer a reporting issuer.

    
Nord Gold N.V. Decision pursuant to section 92 of The Securities Act, 1988

April 15, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that Nord Gold N.V. is no longer a reporting issuer.

    
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.

    
NOVA Chemicals Corporation Decision pursuant to section 92 of The Securities Act, 1988

March 1, 2013 - Decision pursuant to section 92 of The Securities Act, 1988 that NOVA Chemicals Corporation is no longer a reporting issuer.

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

February 11, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that Novus Energy Inc. is no longer a reporting issuer.

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

May 16, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that Otelco Inc. is no longer a reporting issuer.

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

March 25, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that Paladin Labs Inc. is no longer a reporting issuer.

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

April 24, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that Patheon Inc. is no longer a reporting issuer.

    
PGNX Capital Corp. Decision pursuant to section 92 of The Securities Act, 1988

August 15, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that PGNX Capital Corp. is no longer a reporting issuer.

    
Plazacorp Retail Properties Ltd. Decision pursuant to section 92 of The Securities Act, 1988

February 6, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that Plazacorp Retail Properties Ltd. is no longer a reporting issuer.

    
PMI Gold Corporation Decision pursuant to section 92 of The Securities Act, 1988

March 7, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that PMI Gold Corporation is no longer a reporting issuer.

    
Prairie West Terminal Ltd. Decision pursuant to section 92 of The Securities Act, 1988

June 24, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that Prairie West Terminal Ltd. is no longer a reporting issuer.

    
RBC Capital Trust II Decision pursuant to section 92 of The Securities Act, 1988

February 17, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that RBC Capital Trust II is no longer a reporting issuer.

    
Reckitt Benckiser Group plc and Indivior plc Decision pursuant to section 44 of The Securities Act, 1988

November 12, 2014 - Decision pursuant to section 44 of The Securities Act, 1988

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

August 29, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that Royal Host Inc. is no longer a reporting issuer.

    
Royal Oak Ventures Inc. Decision pursuant to section 92 of The Securities Act, 1988

January 21, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that Royal Oak Ventures Inc. is no longer a reporting issuer.

    
Sandstorm Metals & Energy Ltd. Decision pursuant to section 92 of The Securities Act, 1988

June 26, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that Sandstorm Metals & Energy Ltd. is no longer a reporting issuer.

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

June 6, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that Santonia Energy Inc. is no longer a reporting issuer.

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

March 21, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that SCORE Trust is no longer a reporting issuer.

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

October 9, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that Shahuindo Gold Limited is no longer a reporting issuer.

    
Slate U.S. Opportunity (No. 2) Realty Trust Decision pursuant to section 92 of The Securities Act, 1988

May 27, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that Slate U.S. Opportunity (No. 2) Realty Trust is no longer a reporting issuer.

    
Tarku Resources Ltd. Decision pursuant to section 92 of The Securities Act, 1988

June 26, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that Tarku ResourcesLtd. is no longer a reporting issuer.

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

August 11, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that The Brick Ltd. is no longer a reporting issuer.

    
The Investment Industry Regulatory Organization of Canada - Approval of Revised Strip Bond Information Statement

June 4, 2014 - Decision pursuant to section 160 of The Securities Act, 1988 approving the Revised Strip Bond Information Statement  from the Investment Industry Regulatory Organization of Canada.

    
The Trendlines Group Ltd. Decision pursuant to section 92 of The Securities Act, 1988

November 28, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that The Trendlines Group Ltd. is no longer a reporting issuer.

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

May 26, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that Tigray Resources Inc. is no longer a reporting issuer.

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

June 18, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that Touchstone Energy Inc. is no longer a reporting issuer.

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

August 28, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that Tranzeo Wireless Technologies Inc. is no longer a reporting issuer.

    
Tuscany International Drilling Inc. Decision pursuant to section 92 of The Securities Act, 1988

October 7, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that Tuscany International Drilling Inc. is no longer a reporting issuer.

    
Viterra Inc. and Glencore PLC Decision pursuant to NI 51-102, NI 52-109, NI 52-110, NI 55-102, NI 55-104 and NI 58-101

May 30, 2014 - The Financial and Consumer Affairs Authority of Saskatchewan (FCAA) has issued a Decision pursuant to National Instrument 51-102 – Continuous Disclosure Obligations, National Instrument 52-109 – Certification of Disclosure in Issuers’ Annual and Interim Filings, National Instrument 52-110 – Audit Committees, National Instrument 55-102 – System for Electronic Disclosure by Insiders, National Instrument 55-104 – Insider Reporting Requirements and Exemptions and National Instrument 58-101 – Disclosure of Corporate Governance Practices in the Matter of Viterra Inc. and Glencore PLC.

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

May 26, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that Vitran Corporation Inc. is no longer a reporting issuer.

    
West Street Capital Corporation Decision pursuant to section 92 of The Securities Act, 1988

January 22, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that West Street Capital Corporation is no longer a reporting issuer.

    
Weyburn Inland Terminal Ltd. Decision pursuant to section 92 of The Securities Act, 1988

March 31, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that Weyburn Inland Terminal Ltd. is no longer a reporting issuer.

    
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.

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

February 5, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that WSP Canada Inc. is no longer a reporting issuer.

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

June 11, 2014 - Decision pursuant to section 92 of The Securities Act, 1988 that Zedi Inc. 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