July 2015

July 2015

 

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Securities – Alltec Ridley Inc. (formrly Ridley Inc. and continued to Delaware as the Applicant). Decision pursuant to section 92 of The Securities Act, 1988

July 23, 2015 - Decision pursuant to section 92 of The Securities Act, 1988 that Alltech Ridley Inc.(formerly, Ridley Inc. and continued to Delaware as the Applicant) is no longer a reporting issuer.

 


 

Securities – Decision in the matter of Fred Louis Sebastian

July 23, 2015 - The Financial and Consumer Affairs Authority of Saskatchewan (FCAA) issued a decision in the matter of Fred Louis Sebastian.

 

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 – Mega Precious Metals Inc. Decision pursuant to section 92 of The Securities Act, 1988

July 22, 2015 - Decision pursuant to section 92 of The Securities Act, 1988 that Mega Precious Metals Inc. is no longer a reporting issuer.

 


 

Securities – Jov Financial Solutions Inc. at al Decision pursuant to section 92 of The Securities Act, 1988

July 21, 2015 - Decision pursuant to section 92 of The Securities Act, 1988 that Jov Financial Solutions Inc. at al. is no longer a reporting issuer.

 


 

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

July 21, 2015 - Decision pursuant to section 92 of The Securities Act, 1988 that Rockcliff Resources Inc., is no longer a reporting issuer.

 


 

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

July 20, 2015 - Decision pursuant to section 92 of The Securities Act, 1988 that Hartco Inc., is no longer a reporting issuer.

 


 

Securities – CSA Staff Notice 11-329 Withdrawal of Notices and Revocation of Omnibus/Blanket Orders

July 16, 2015 - This Notice formally withdraws a number of CSA notices and announces the revocation and withdrawal of parallel orders and a policy. The withdrawn materials may remain available for historical research purposes on some CSA members’ websites.

 


 

Securities – Revocation Order in the Matter of General Orders 31-904, 31-907, 31-916, 31-917 and 31-920

July 16, 2015 - The Financial and Consumer Affairs Authority of Saskatchewan has issued a Revocation Order revoking General Orders 31-904 Exemption from certain sections of National Instrument 31-103 in connection with transition and grandfathering matters, 31-907 Exemption from section 3.3 of National Instrument 31-103 Registration Requirements and Exemptions for representatives of scholarship plan dealers, 31-916 Exemption from the Registration Requirement in NI 31-103 for International Dealers (GO 31-916), 31-917 Exemption from the Registration Requirement in NI 31-103 for International Advisors, and 31-920 Order Extending Transitional Relief from Investment Fund Manager Registration Requirement Pursuant to Sections 16.5 and 16.6 of National Instrument 31-103 Registration Requirements, Exemptions and Ongoing Registrant Obligations.

 


 

Securities – CSA Staff Notice 51-344 Continuous Disclosure Review Program Activities for the fiscal year ended March 31, 2015

July 16, 2015 - This notice contains the results of the reviews conducted by the Canadian Securities Administrators within the scope of their Continuous Disclosure Review Program (CD Review Program). The goal of the program is to improve the completeness, quality and timeliness of continuous disclosure provided by reporting issuers (issuers) in Canada. This program was established to assess the compliance of continuous disclosure (CD) documents and to help issuers understand and comply with their obligations under the CD rules so that investors receive high quality disclosure.

In this notice, we summarize the results of the CD Review Program for the fiscal year ended March 31, 2015. To raise awareness about the importance of filing compliant CD documents, Appendix A includes information about areas where common deficiencies were noted, with examples in certain instances, to help issuers address these deficiencies as well as best practices.

 

For more information contact:

Tony Herdzik, Deputy Director, Corporate Finance
Securities Division
Financial and Consumer Affairs Authority of Saskatchewan
Suite 601, 1919 Saskatchewan Drive
Regina, Saskatchewan  S4P 4H2
Phone:  (306) 787-5849
Fax:  (306) 787-5899
Email: tony.herdzik@gov.sk.ca

 


 

Securities – NorthWest International Healthcare Properties Real Estate Investment Trust. Decision pursuant to section 92 of The Securities Act, 1988

June 16, 2015 - Decision pursuant to section 92 of The Securities Act, 1988 that NorthWest International Healthcare Properties Real Estate Investment Trust, is no longer a reporting issuer.

 


 

Securities – Allana Potash Corp. Decision pursuant to section 92 of The Securities Act, 1988

July 15, 2015 - Decision pursuant to section 92 of The Securities Act, 1988 that Allana Potash Corp., is no longer a reporting issuer.

 


 

Securities – Revocation Order in the Matter of Moon Lake Golf and Country Club Ltd.

July 15, 2015 - The Financial and Consumer Affairs Authority of Saskatchewan (FCAA) has issued an Order in the matter of Moon Lake Golf and Country Club Ltd. advising that the cease trade order dated May 13, 2015 is revoked.

 

For more information contact:

Tony Herdzik, Deputy Director, Corporate Finance
Securities Division
Financial and Consumer Affairs Authority of Saskatchewan
Suite 601, 1919 Saskatchewan Drive
Regina, Saskatchewan  S4P 4H2
Phone:  (306) 787-5849
Fax:  (306) 787-5899
Email: tony.herdzik@gov.sk.ca

 


 

Securities – Uranerz Energy Corporation Decision pursuant to section 92 of The Securities Act, 19

July 15, 2015 - Decision pursuant to section 92 of The Securities Act, 1988 that Uranerz Energy Corporation, is no longer a reporting issuer.

 


 

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

July 14, 2015 - Decision pursuant to section 92 of The Securities Act, 1988 that Vicwest Inc. is no longer a reporting issuer.

 


 

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

July 3, 2015 - Decision pursuant to section 92 of The Securities Act, 1988 that Soltoro Ltd. is no longer a reporting issuer.

 


 

Securities – Israel Chemicals Ltd. Decision pursuant to section 92 of The Securities Act, 1988

July 2, 2015 - Decision pursuant to section 92 of The Securities Act, 1988 that Israel Chemicals Ltd. 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