Financial and Consumer Affairs Authority of Saskatchewan

FCAA is Saskatchewan’s financial and consumer marketplace regulator.

2016 Exemptions

  • 2016 Exemptions

            
    1948565 Ontario Inc. Decision pursuant to section 92 of The Securities Act, 1988

    April 20, 2016 - Decision pursuant to section 92 of The Securities Act, 1988 that 1948565 Ontario Inc. is no longer a reporting issuer.

        
    9416471 Canada Inc. Decision pursuant to section 92 of The Securities Act, 1988

    January 5, 2016 - Decision pursuant to section 92 of The Securities Act, 1988 that 9416471 Canada Inc. is no longer a reporting issuer.

        
    Amica Mature Lifestyles Inc. Decision pursuant to section 92 of The Securities Act, 1988

    January 11, 2016 - Decision pursuant to section 92 of The Securities Act, 1988 that Amica Mature Lifestyles Inc. is no longer a reporting issuer.

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

    May 5, 2016 - Decision pursuant to section 92 of The Securities Act, 1988 that Avala Resources Ltd. is no longer a reporting issuer.

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

    May 5, 2016 - Decision pursuant to section 92 of The Securities Act, 1988 that Boulder Energy Ltd. is no longer a reporting issuer.

        
    Brickburn Income Growth Class Decision pursuant to section 92 of The Securities Act, 1988

    June 23, 2016 - Decision pursuant to section 92 of The Securities Act, 1988 that Brickburn Income Growth Class is no longer a reporting issuer.

        
    Brickburn Small Cap Class Decision pursuant to section 92 of The Securities Act, 1988

    June 23, 2016 - Decision pursuant to section 92 of The Securities Act, 1988 that Brickburn Small Cap Class is no longer a reporting issuer.

        
    Canadian Scholarship Trust Plan II Decision pursuant to section 92 of The Securities Act, 1988

    January 6, 2016 - Decision pursuant to section 92 of The Securities Act, 1988 that Canadian Scholarship Trust Plan II is no longer a reporting issuer.

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

    February 9, 2016 - Decision pursuant to section 92 of The Securities Act, 1988 that Canamax Energy Ltd. is no longer a reporting issuer.

        
    Capital Power L.P. Decision pursuant to section 92 of The Securities Act, 1988

    February 2, 2016 - Decision pursuant to section 92 of The Securities Act, 1988 that Capital Power L.P. is no longer a reporting issuer.

        
    Capstone Power Corp. Decision pursuant to section 92 of The Securities Act, 1988

    June 8, 2016 - Decision pursuant to section 92 of The Securities Act, 1988 that Capstone Power Corp. is no longer a reporting issuer.

        
    Carlisle Goldfields Limited Decision pursuant to section 92 of The Securities Act, 1988

    January 26, 2016 - Decision pursuant to section 92 of The Securities Act, 1988 that Carlisle Goldfields Limited is no longer a reporting issuer.

        
    Caza Oil and Gas, Inc. Decision pursuant to section 92 of The Securities Act, 1988

    July 11, 2016 - Decision pursuant to section 92 of The Securities Act, 1988 that Caza Oil and Gas, Inc. is no longer a reporting issuer.

        
    Central GoldTrust Decision pursuant to section 92 of The Securities Act, 1988

    February 18, 2016 - Decision pursuant to section 92 of The Securities Act, 1988 that Central GoldTrust is no longer a reporting issuer.

        
    Churchill III Debenture Corp. Decision pursuant to section 92 of The Securities Act, 1988

    May 27, 2016 - Decision pursuant to section 92 of The Securities Act, 1988 that Churchill III Debenture Corp. is no longer a reporting issuer.

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

    January 22, 2016 - Decision pursuant to section 92 of The Securities Act, 1988 that CI Investments Inc. is no longer a reporting issuer.

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

    June 30, 2016 - Decision pursuant to section 92 of The Securities Act, 1988 that Claude Resources Inc. is no longer a reporting issuer.

        
    COM DEV International Ltd. Decision pursuant to section 92 of The Securities Act, 1988

    Feburary 26, 2016 - Decision pursuant to section 92 of The Securities Act, 1988 that COM DEV International Ltd. is no longer a reporting issuer.

        
    Concentra Financial Services Association Decision pursuant to section 43 of Multilateral Instrument 96-101 Trade Repositories and Derivatives Data Reporting

    July 29, 2016 - Decision pursuant to section 43 of Multilateral Instrument 96-101 Trade Repositories and Derivatives Data Reporting that Concentra Financial Services Association has been granted exemptive relief from the requirement to report valuation data.

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

    March 4, 2016 - Decision pursuant to section 92 of The Securities Act, 1988 that Eagle Energy Trust is no longer a reporting issuer.

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

    July 25, 2016 - Decision pursuant to section 92 of The Securities Act, 1988 that EastWest Gold Corporation is no longer a reporting issuer.

        
    First Asset CanBanc Split Corp. Decision pursuant to section 92 of The Securities Act, 1988

    March 9, 2016 - Decision pursuant to section 92 of The Securities Act, 1988 that First Asset CanBanc Split Corp. is no longer a reporting issuer.

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

    August 30, 2016 - Decision pursuant to section 92 of The Securities Act, 1988 that Glencore Canada Corporation is no longer a reporting issuer.

        
    Greystone Managed Investments Inc. and Greystone Capital Management Inc. Decision pursuant to section 83 of The Securities Act, 1988

    December 14, 2016 - Decision pursuant to section 83 of The Securities Act, 1988 that Greystone Managed Investments Inc. and Greystone Capital Management Inc. is exempted from sections 27 and 58 of the Act.

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

    May 27, 2016 - Decision pursuant to section 92 of The Securities Act, 1988 that Hycroft Mining Corporation is no longer a reporting issuer.

        
    IA Clarington Canadian Mid Cap Fund Decision pursuant to section 92 of The Securities Act, 1988

    January 29, 2016 - Decision pursuant to section 92 of The Securities Act, 1988 that IA Clarington Canadian Mid Cap Fund is no longer a reporting issuer.

        
    Invesco Canada Ltd. Decision pursuant to section 160 of The Securities Act, 1988

    August 25,2016 - Decision pursuant to section 160 of The Securities Act, 1988 granting discretionary relief in the case of Transactions from the Confirmation Requirement.

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

    February 19, 2016 - Decision pursuant to section 92 of The Securities Act, 1988 that Killam Properties Inc. is no longer a reporting issuer.

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

    May 30, 2016 - Decision pursuant to section 92 of The Securities Act, 1988 that Lake Shore Gold Corp. is no longer a reporting issuer.

        
    Manitou Springs Hotel Inc. Decision pursuant to section 92 of The Securities Act, 1988

    January 14, 2016 - Decision pursuant to section 92 of The Securities Act, 1988 that Manitou Springs Hotel Inc. is no longer a reporting issuer.

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

    March 29, 2016 - Decision pursuant to section 92 of The Securities Act, 1988 that Metals Plus Income Corp. is no longer a reporting issuer.

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

    May 30, 2016 - Decision pursuant to section 92 of The Securities Act, 1988 that Munbancorp Realty Inc. is no longer a reporting issuer.

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

    May 13, 2016 - Decision pursuant to section 92 of The Securities Act, 1988 that Opta Minerals Inc. is no longer a reporting issuer.

        
    Pacific Exploration & Production Corporation Approval pursuant to section 44(3) of The Securities Act, 1988

    September 21, 2016 - Approval pursuant to section 44(3) of The Securities Act, 1988.

        
    Pacific Exploration and Production Corporation Decision pursuant to subsection 44(3) of The Securities Act, 1988

    June 29, 2016 - Decision pursuant to subsection 44(3) of The Securities Act, 1988 that Pacific Exploration and Production Corporation has been granted permission to include the Listing Representations in the Circular.

        
    Perimeter Markets Inc. Decision pursuant to section 15.1 of NI 21-101 Marketplace Operation

    February 16, 2016 - The securities regulatory authority or regulator in each of the Jurisdictions has issued a Decision that Perimeter Markets Inc. is exempt from the requirement in section 15.1 of National Instrument 21-101 Marketplace Operation (NI 21-101) to annually engage a qualified party to conduct an independent systems review and prepare a report in accordance with established audit standards (collectively, an "ISR") for each year from 2015 to 2017 inclusive (the Exemptive Relief Sought).

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

    February 18, 2016 - Decision pursuant to section 92 of The Securities Act, 1988 that Petroamerica Oil Corp. is no longer a reporting issuer.

        
    St Andrew Goldfields Ltd. Decision pursuant to section 92 of The Securities Act, 1988

    February 18, 2016 - Decision pursuant to section 92 of The Securities Act, 1988 that St Andrew Goldfields Ltd. is no longer a reporting issuer.

        
    Symax Lift (Holding) Inc. Decision pursuant to section 92 of The Securities Act, 1988

    April 28, 2016 - Decision pursuant to section 92 of The Securities Act, 1988 that Symax Lift (Holding) Inc. is no longer a reporting issuer.

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

    February 1, 2016 - Decision pursuant to section 92 of The Securities Act, 1988 that TD Split Inc. is no longer a reporting issuer.

        
    The Bank of Nova Scotia Decision pursuant to section 83 of The Securities Act, 1988

    August 19, 2016 - Decision pursuant to section 83 of The Securities Act, 1988 that The Bank of Nova Scotia is exempted from the dealer registration requirement and the disclosure requirement.

        
    The Saskatchewan Pension Plan Order pursuant to section 83(1)(a) of The Securities Act, 1988

    December 20, 2016 - The Financial and Consumer Affairs Authority of Saskatchewan has issued an Order in the Matter of The Securities Act, 1988, SS 1988, c S-42.2 and in the Matter of The Saskatchewan Pension Plan.

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

    March 31, 2016 - The Financial Consumer Affairs Authority of Saskatchewan has made a decision pursuant to section 92 of The Securities Act, 1988 that Viterra Inc. is no longer a reporting issuer.

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

    May 13, 2016 - Decision pursuant to section 92 of The Securities Act, 1988 that Wedge Acquisition Holdings Inc. is no longer a reporting issuer.

        
    Xcite Energy Limited Decision pursuant to section 92 of The Securities Act, 1988

    March 29, 2016 - Decision pursuant to section 92 of The Securities Act, 1988 that Xcite Energy Limited 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

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