Alberta Gazette — 30 April (i)
0430 i
Alberta — Gazette
THE ALBERTA GAZETTE,
PART I, APRIL 30, 2001
The Alberta Gazette
PART 1
_______________________________________________________________________
_______________________________________________________________________
Vol. 97 EDMONTON, MONDAY, APRIL 30, 2001 No.8
_______________________________________________________________________
_______________________________________________________________________
PROCLAMATION
[GREAT SEAL]
CANADA
PROVINCE OF ALBERTA Lois E. Hole, Lieutenant Governor.
ELIZABETH THE SECOND, by the Grace of God, of the United Kingdom, Canada,
and Her Other Realms and Territories, QUEEN, Head of the Commonwealth,
Defender of the Faith
P R O C L A M A T I O N
To OUR FAITHFUL, the MEMBERS elected to serve in the Legislative Assembly
of Our Province of Alberta and to each and every one of you GREETING
Rod Wacowich, A/Deputy Minister of Justice and
A/Deputy Attorney General
WHEREAS
section 79 of the Justice Statutes Amendment Act, 2000 provides
that that Act comes into force on Proclamation; and
WHEREAS it is expedient to proclaim
section 77 of that Act in force:
NOW KNOW YE THAT by and with the advice and consent of Our Executive
Council of Our Province of Alberta, by virtue of the provisions of the said
Act hereinbefore referred to and of all other power and authority
whatsoever in Us vested in that behalf, We have ordered and declared and do
hereby proclaim
section 77 of the Justice Statutes Amendment Act, 2000 in
force on April 4, 2001.
IN TESTIMONY WHEREOF We have caused these Our Letters to be made Patent and
the Great Seal of Our Province of Alberta to be hereunto affixed.
WITNESS: THE HONOURABLE LOIS E. HOLE, Lieutenant Governor of Our Province
of Alberta, in Our City of Edmonton in Our Province of Alberta, this 4th
day of April in the Year of Our Lord Two Thousand One and in the Fiftieth
Year of Our Reign.
BY COMMAND David Hancock, Provincial Secretary.
APPOINTMENTS
PROVINCIAL COURT JUDGES ACT
Appointment of Supernumerary Judge
June 12, 2001
The Honourable Judge Anton Peter Demong
The above appointment is for a term of 2 years from commencement date
______________________________________________________________________
GOVERNMENT NOTICES
AGRICULTURE, FOOD AND RURAL DEVELOPMENT
FORM 15
(Irrigation Districts Act)
(Section 88)
NOTICE TO IRRIGATION SECRETARIAT:
CHANGE OF AREA OF AN IRRIGATION DISTRICT
On behalf of the Lethbridge Northern Irrigation District, I hereby request
that the Irrigation Secretariat forward a certified copy of this notice to
the Registrar of Land Titles for the purposes of registration under
section
23 of the Land Titles Act and arrange for notice to be published in the
Alberta Gazette.
The following parcels of land should be ADDED to the irrigation district
and the appropriate notation added to the certificate of title:
Short Legal Description
Title Number
4; 24; 11; 5; NE
891 248 517 +1
4; 21; 12; 29; NW
140I152
4; 21; 12; 25; ; 4, 5
981 003 989
4; 21; 12; 25; ; 3, 6
981 003 989 +1
I certify that the procedures required under
Part 4 of the Irrigation
Districts Act have been completed and the area of the Lethbridge Northern
Irrigation District should be changed according to the above list.
Laurie Hodge, Office Manager.
Irrigation Secretariat.
FORM 15
(Irrigation Districts Act)
(Section 88)
NOTICE TO IRRIGATION SECRETARIAT:
CHANGE OF AREA OF AN IRRIGATION DISTRICT
On behalf of the St. Mary River Irrigation District, I hereby request that
the Irrigation Secretariat forward a certified copy of this notice to the
Registrar of Land Titles for the purposes of registration under
section 23
of the Land Titles Act and arrange for notice to be published in the
Alberta Gazette.
The following parcels of land should be ADDED to the irrigation district
and the appropriate notation added to the certificate of title:
Short Legal Description
Title Number
4; 15; 9; 24; NE
951 108 609
4; 15; 9; 24; SE
951 108 609
4; 15; 9; 24; NW
951 108 609
4; 19; 10; 36; SE
951 228 456
4; 18; 8; 18; SE
141 X 216
I certify that the procedures required under
Part 4 of the Irrigation
Districts Act have been completed and the area of the St. Mary River
Irrigation District should be changed according to the above list.
Laurie Hodge, Office Manager.
Irrigation Secretariat.
______________________________________________________________________
COMMUNITY DEVELOPMENT
NOTICE OF INTENTION TO DESIGNATE PROVINCIAL HISTORIC RESOURCE
(Historical Resources Act)
File: Des. 2039
Notice is hereby given that sixty days from the date of service of this
Notice and its publication in the Alberta Gazette, the Minister of
Community Development intends to make an Order that the structure known as
the St. Mary's School that was constructed in 1909, together with the land
legally described as descriptive plan 9211492, block 18, lot 1A, excepting
thereout all mines and minerals
and municipally located at 1916-2 Street SW, Calgary, Alberta
be designated as a Provincial Historic Resource under
section 16 of the
Historical Resources Act, R.S.A. 1980 c.H-8 as amended.
The reason for the designation are as follows:
St. Mary's School, constructed in 1909 in Calgary's Mission district is
both the first and oldest purpose built Catholic School in the city. The
school itself was established in 1885 and its early history is closely
linked with that of the Roman Catholic community in the area. The
historical significance of the St. Mary's School lies in its association
with the Francophone community in south Calgary which was prominent prior
to the turn of the century, but which was quickly submerged during the boom
years prior to World War I. It is also significant in its representation of
Calgary's enormous growth at this time and is one of few girls' schools to
have operated in Alberta during the early part of the 20th century. The St.
Mary's School is a symbol of early religious educational institutions in
the city and the province. The school remains as prominent landmark within
the religious enclave of the "Mission District".
It is therefore considered that the preservation and protection of the
resource is in the public interest.
Dated April 10, 2001.
Dr. W.J. Byrne, Assistant Deputy Minister.
______________________________________________________________________
ORDER DESIGNATING PROVINCIAL HISTORIC RESOURCE
(Historical Resources Act)
File: Des 1919
1, Gene Zwozdesky, Minister charged with the administration of the
Historical Resources Act, R.S.A. 1980, c.H-8 as amended, do hereby:
1. Pursuant to
section 16, subsection (1) of that Act, designate the
structure known as the William Roper Hull Ranche House, together with the
land legally described as portion of south west quarter of
section 36,
township 22, range 1, W5M, as shown on
Schedule A, attached, and
municipally located in Zone A, Fish Creek Provincial Park, Calgary, Alberta
as a Provincial Historic Resource,
2. Give notice that pursuant to
section 16, subsection (9) of that Act,
no person shall destroy, disturb, alter, restore, or repair any Provincial
Historic Resource or remove any historic object from a Provincial Historic
Resource without the written approval of the Minister.
3. Give notice that pursuant to
section 18, subsection (
c) of that Act,
no sale or other disposition of property that is the subject of an order
under
section 16(1) may be made without giving the Minister at least 60
days' notice.
Signed at Edmonton, April 3, 2001.
Gene Zwozdesky, Minister.
File: Des 0203
1, Gene Zwozdesky, Minister charged with the administration of the
Historical Resources Act, R.S.A. 1980, c.H-8 as amended, do hereby:
1. Pursuant to
section 16, subsection (1) of that Act, designate the
structures known as the Strathmore Hotel, together with the land legally
described as plan (I), block 68, lots 1 and 2, excepting thereout: of said
lot 2, all that portion thereof lying to the west of a straight line
connecting a point on the north boundary of said lot, 30.10 feet east of
the north west corner of said lot measured along said north boundary with a
point on the south boundary of said lot distant 29.1 feet east from the
south west corner of said lot measured along said south boundary, and
municipally located at 10302-82 Avenue, Edmonton, Alberta
as a Provincial Historic Resource,
2. Give notice that pursuant to
section 16, subsection (9) of that Act,
no person shall destroy, disturb, alter, restore, or repair any Provincial
Historic Resource or remove any historic object from a Provincial Historic
Resource without the written approval of the Minister.
3. Further give notice that the following provisions of that Act now
apply in case of sale or inheritance of the above mentioned resource:
(11) the owner of an historic resource that is subject to an order
under subsection (1) shall at least 30 days prior to the sale or any other
disposition of the historic resource, serve notice of the proposed or other
disposition upon the Minister,
(12) when a person inherits an historic resource that is subject to
an order under subsection (1), that person shall notify the Minister of the
inheritance within 15 days of the historic resource being transferred to
him.
Signed at Edmonton March 27, 2001.
Gene Zwozdesky, Minister.
_______________________
File: Des 2032
1, Gene Zwozdesky, Minister charged with the administration of the
Historical Resources Act, R.S.A. 1980, c.H-8 as amended, do hereby:
1. Pursuant to
section 16, subsection (1) of that Act, designate the
structures known as The Canadian Bank of Commerce Building, together with
the land legally described as plan 4175R, block 6, lots 1 and 2, excepting
thereout all coal, and municipally located at Innisfree, Alberta
as a Provincial Historic Resource,
2. Give notice that pursuant to
section 16, subsection (9) of that Act,
no person shall destroy, disturb, alter, restore, or repair any Provincial
Historic Resource or remove any historic object from a Provincial Historic
Resource without the written approval of the Minister.
3. Further give notice that the following provisions of that Act now
apply in case of sale or inheritance of the above mentioned resource:
(11) the owner of an historic resource that is subject to an order
under subsection (1) shall at least 30 days prior to the sale or any other
disposition of the historic resource, serve notice of the proposed or other
disposition upon the Minister,
(12) when a person inherits an historic resource that is subject to
an order under subsection (1), that person shall notify the Minister of the
inheritance within 15 days of the historic resource being transferred to
him.
Signed at Edmonton March 21, 2001.
Gene Zwozdesky, Minister.
______________________________________________________________________
ORDER DESIGNATING REGISTERED HISTORIC RESOURCE
(Historical Resources Act)
File: Des 2029
1, Gene Zwozdesky, Minister charged with the administration of the
Historical Resources Act, R.S.A. 1980, c.H-8 as amended, do hereby:
1. Pursuant to
section 15, subsection (1) of that Act, designate the
structure known as the Vilna Pool Hall and Barber Shop, together with the
land legally described as plan 1022CL, Block 1, Lot 7, excepting thereout
all mines and minerals, and municipally located at 5028-50 Street, Vilna,
Alberta
as a Registered Historic Resource,
2. Give notice that pursuant to
section 15, subsection (5) of that Act,
no person shall destroy, disturb, alter, restore, or repair any Registered
Historic Resource or remove any historic object from a Registered Historic
Resource until the expiration of 90 days from the date of serving notice on
the Minister of any proposed action, unless the Minister sooner consents to
the proposed action.
Signed at Edmonton, Alberta, March 28, 2001.
Gene Zwozdesky, Minister.
______________________________________________________________________
INFRASTRUCTURE
SALE OR DISPOSITION OF LAND
(Government Organization Act)
Name of Purchaser: 654702 Alberta Ltd.
Consideration: $1,150,500
Land Description: Plan 7510258, Block A. Area: 6.27 hectares (15.5 acres)
more or less. Excepting thereout all mines and minerals, located in the
City of Medicine Hat.
Name of Purchaser: Alberta Mini Storage Inc.
Consideration: $240,000
Land Description: Plan 8220753, Block 10, Lot 1B. Area: 1.65 hectares (4.08
acres) more or less. Excepting thereout all mines and minerals, located in
the Town of Rainbow Lake.
Name of Purchaser: Volker Stevin Contracting Ltd.
Consideration: $125,100
Land Description: Plan 7610659, Block 1, Lot 1. Area: 1.91 hectares (4.72
acres). Excepting thereout all mines and minerals and the right to work the
same, located in the Town of Bow Island.
______________________________________________________________________
ALBERTA OPPORTUNITY COMPANY
LOAN AUTHORIZATIONS FOR THE MONTH OF MARCH, 2001
(Alberta Opportunity Fund Act)
414261 Alberta Ltd. Pincher Creek. Holding company.
Majority Owners: Abraham Henry Plett.
Loan Authorized: $105,000.
Purpose: Equipment, Restructure debt.
681890 Alberta Ltd. Calgary. Gravel hauling.
Majority Owners: Donald James Temple.
Loan Authorized: $60,000.
Purpose: Working capital, Restructure debt.
752373 Alberta Ltd. Calgary. Sheet metal fabrication.
Majority Owners: Bill Grant, Dorothy Grant, Richard Grant, John Reitmeier,
Elaine Reitmeier.
Loan Authorized: $990,000.
Purpose: Land & building.
856319 Alberta Ltd. Lacombe. Supplier of premises.
Majority Owners: Corey Lynn Gish, Shawn Lawrence Rice.
Loan Authorized: $230,000.
Purpose: Land & building.
905625 Alberta Ltd. Bentley. Autobody shop.
Majority Owners: Rick Hanna, Sherry Hanna.
Loan Authorized: $100,000.
Purpose: Purchase existing business.
911346 Alberta Ltd. Peace River. Autobody shop.
Majority Owners: Barry Coombes, Lorena Coombes.
Loan Authorized: $270,000.
Purpose: Purchase existing business.
917092 Alberta Ltd. Grande Prairie. Subway.
Majority Owner: J'son Miller, Shawna Miller, Ron Loutitt, Yvonne Loutitt.
Loan Authorized: $145,000.
Purpose: Purchase existing business.
928097 Alberta Ltd. Edmonton. Ultrasonic cleaning.
Majority Owners: Paul Roger Gagnon.
Loan Authorized: $60,000.
Purpose: Purchase existing business.
Allen Bros. Trucking Ltd. Peace River. Trucking of waste.
Majority Owners: Donald Gordon Allen, David George Allen.
Loan Authorized: $25,000.
Purpose: Working capital.
Auto Trim Design of Calgary Inc. Calgary. Auto cosmetics.
Majority Owners: John Hiebert.
Loan Authorized: $85,000.
Guarantee Authorized: $75,000.
Purpose: Equipment, Working capital.
B. J.'s Gym Ltd. Calgary. Gym/Health club.
Majority Owners: Bradley Joseph Annis, Georgina Louise Annis.
Loan Authorized: $450,000.
Purpose: Building, Equipment, Working capital, Restructure debt.
Bev Siegel Developments Inc. Buck Lake. Motel-restaurant-lounge.
Majority Owners: Beverly Anne Yanchuk.
Loan Authorized: $500,000.
Purpose: Construct new facility.
Crooked Creek General Store
(2001) Ltd. Crooked Creek. General store & gas
bar.
Majority Owners: Richard Cloakey, Vickie Cloakey.
Loan Authorized: $122,000.
Purpose: Purchase existing business.
Dart Electrical Systems Ltd. Wetaskiwin. Electrical contractor.
Majority Owners: Howard Richard Nichols.
Loan Authorized: $75,000.
Purpose: Working capital, Restructure debt.
Jacques Upholstery and Manufacturing Ltd. Red Deer. Upholstery.
Majority Owners: Murray Carl Grovet, Robert Joseph Smith.
Loan Authorized: $371,200.
Purpose: Land and Building.
Lauzon's Woodshop & Construction Ltd. Rocky Mountain House. Manufacturing
cedar gazebos.
Majority Owners: Ronald Jean-Baptiste Lauzon, Giselle Marie Lauzon.
Loan Authorized: $173,000.
Purpose: Equipment, Working capital, Leasehold improvements.
Maryn International Ltd. Calgary. Manufacturer of specialty lubricants.
Majority Owners: James Orest Ochitwa, Eldon Mark Bishop.
Loan Authorized: $400,000.
Purpose: Working capital.
McCool, T. St. Paul. Construction.
Majority Owners: Tom James McCool.
Loan Authorized: $10,000.
Purpose: Working capital.
River Valley Sand & Gravel Ltd. Grande Prairie. Hot shots, Bulk cement.
Majority Owners Braden Quinn Rycroft.
Loan Authorized: $150,000.
Purpose: Equipment.
Tri-Force (Alberta) Construction Ltd. Edmonton. Construction contractor.
Majority Owners Domenic Gulli.
Loan Authorized: $370,000.
Purpose: Equipment, Working capital.
Wheels of Dreams Auto Mall Inc. Calgary. Flea market & Classic car sales.
Majority Owners Barrie Smith.
Loan Authorized: $135,000
Purpose: Working capital, Leasehold improvements.
Yanos Aerospace Inc. Cochrane. Data systems, Engine designers &
overhaulers.
Majority Owners Ronald Thomas Yanos, Maurice Anthony Dee.
Loan Authorized: $225,000.
Purpose: Working capital.
______________________________________________________________________
SAFETY CODES COUNCIL
JOINT MUNICIPAL ACCREDITATION - AMENDMENT
(Safety Codes Act)
Pursuant to
section 23 of the Alberta Safety Codes Act, it is hereby
ordered that the municipalities listed in this order, having satisfied the
administer the Safety Codes Act within their jurisdiction effective January
1, 1998 for Gas, all parts of the Canadian Gas Association, Propane and
Natural Gas Codes, Alberta Amendments and Regulations, excluding Propane
and Natural Gas Highway Vehicle Conversions, excluding any or all things,
processes or activities owned by or under the care and control of
Corporations accredited by the Safety Codes Council for the Member
Municipalities listed in the Appendix.
Accreditation No. J000120, Order No. O00000249, March 20, 2001
APPENDIX - ELECTRICAL
Pallister Regional Municipal Services
Members of Joint Accreditation
Village of Veteran
Village of Munson
Village of Morrin
Village of Linden
Village of Halkirk
Village of Empress
Village of Delia
Village of Consort
Village of Carbon
Village of Acme
Village of Trochu
Village of Castor
Special Area No. 4
Special Area No. 3
Special Area No. 2
Starland County
Municipal District of Acadia No. 34
County of Paintearth No. 18
Village of Cereal
Town of Oyen
Town of Coronation
Town of Hanna
Village of Youngstown
_______________________
Pursuant to
section 23 of the Alberta Safety Codes Act, it is hereby
ordered that the municipalities listed in this order, having satisfied the
administer the Safety Codes Act within their jurisdiction effective January
1, 1998 for Plumbing, all parts of the Canadian Plumbing Code, Alberta
Amendments and Regulations, including Private Sewage Treatment and Disposal
Systems, excluding any or all things, processes or activities owned by or
under the care and control of Corporations accredited by the Safety Codes
Council for the Member Municipalities listed in the Appendix.
Accreditation No. J000120, Order No. O00000249, March 20, 2001
APPENDIX - ELECTRICAL
Pallister Regional Municipal Services
Members of Joint Accreditation
Village of Veteran
Village of Munson
Village of Morrin
Village of Linden
Village of Halkirk
Village of Empress
Village of Delia
Village of Consort
Village of Carbon
Village of Acme
Village of Trochu
Village of Castor
Special Area No. 4
Special Area No. 3
Special Area No. 2
Starland County
Municipal District of Acadia No. 34
County of Paintearth No. 18
Village of Cereal
Town of Oyen
Town of Coronation
Town of Hanna
Village of Youngstown
_______________________
Pursuant to
section 23 of the Alberta Safety Codes Act, it is hereby
ordered that the municipalities listed in this order, having satisfied the
administer the Safety Codes Act within their jurisdiction effective January
1, 1998 for Electrical, excluding any or all things, processes or
activities owned by or under the care and control of Corporations
accredited by the Safety Codes Council for the Member Municipalities listed
in the Appendix.
Accreditation No. J000120, Order No. O00000249, March 20, 2001
APPENDIX - ELECTRICAL
Pallister Regional Municipal Services
Members of Joint Accreditation
Village of Veteran
Village of Munson
Village of Morrin
Village of Linden
Village of Halkirk
Village of Empress
Village of Delia
Village of Consort
Village of Carbon
Village of Acme
Village of Trochu
Village of Castor
Special Area No. 4
Special Area No. 3
Special Area No. 2
Starland County
Municipal District of Acadia No. 34
County of Paintearth No. 18
Village of Cereal
Town of Oyen
Town of Coronation
Town of Hanna
Village of Youngstown
______________________________________________________________________
JOINT MUNICIPAL ACCREDITATION - CANCELLATION
(Safety Codes Act)
Pursuant to
section 23(3)(
c) of the Alberta Safety Codes Act, it is hereby
ordered that
- City of Drumheller and Municipal District of Badlands No. 7,
Accreditation No. J000100, Order No. R00000295, March 20, 2001
Having voluntarily withdrawn from the accreditation issued November 2, 1995
to administer the Safety Codes Act for the discipline of Building is
revoked for new work undertaken and the municipality is to cease
administration within their jurisdiction under this accreditation effective
January 1, 1998.
_______________________
Pursuant to
section 23(3)(
c) of the Alberta Safety Codes Act, it is hereby
ordered that
- Municipal District of Badlands No. 7, Accreditation No. J000120,
Order No. R00000297, March 20, 2001
Having voluntarily withdrawn from the accreditation issued September 4,
1995 to administer the Safety Codes Act for the discipline of Electrical is
revoked for new work undertaken and the municipality is to cease
administration within their jurisdiction under this accreditation effective
January 1, 1998.
_______________________
Pursuant to
section 23(3)(
c) of the Alberta Safety Codes Act, it is hereby
ordered that
- Municipal District of Badlands No. 7, Accreditation No. J000120,
Order No. R00000298, March 20, 2001
Having voluntarily withdrawn from the accreditation issued November 2, 1995
to administer the Safety Codes Act for the discipline of Gas is revoked for
new work undertaken and the municipality is to cease administration within
their jurisdiction under this accreditation effective January 1, 1998.
_______________________
Pursuant to
section 23(3)(
c) of the Alberta Safety Codes Act, it is hereby
ordered that
- Municipal District of Badlands No. 7, Accreditation No. J000120,
Order No. R00000299, March 20, 2001
Having voluntarily withdrawn from the accreditation issued November 2, 1995
to administer the Safety Codes Act for the discipline of Plumbing is
revoked for new work undertaken and the municipality is to cease
administration within their jurisdiction under this accreditation effective
January 1, 1998.
______________________________________________________________________
MUNICIPAL ACCREDITATION
(Safety Codes Act)
Pursuant to
section 23 of the Alberta Safety Codes Act, it is hereby
ordered that
- Town of Drumheller, Accreditation No. M000126, Order No. O00001330,
March 20, 2001
authorized to administer the Safety Codes Act within their jurisdiction
effective January 1, 1998 for Building, all parts of the Alberta Building
Code, excluding Industrial Relocatable Structures,
section 7.7 - Medical
Gas, and subsection 1.5.10 - Asbestos Abatement, also excluding any or all
things, processes or activities owned by or under the care and control of
Corporations accredited by the Safety Codes Council
______________________________________________________________________
MUNICIPAL ACCREDITATION - CANCELLATION
(Safety Codes Act)
Pursuant to
section 23(3)(
c) of the Alberta Safety Codes Act, it is hereby
ordered that
- Municipal District of Badlands No. 7, Accreditation No. M000127,
Order No. R00000296, March 20, 2001
Having voluntarily withdrawn from the accreditation issued December 29,
1995 to administer the Safety Codes Act for the discipline of Fire is
revoked for new work undertaken and the municipality is to cease
administration within their jurisdiction under this accreditation effective
January 1, 1998.
______________________________________________________________________
ALBERTA SECURITIES COMMISSION
NATIONAL INSTRUMENT 81-101
MUTUAL FUND PROSPECTUS DISCLOSURE
AMENDMENTS TO FORM 81-101F1
CONTENTS OF SIMPLIFIED PROSPECTUS
AND
FORM 81-101F2
CONTENTS OF ANNUAL INFORMATION FORM
PART 1 AMENDMENTS TO NATIONAL INSTRUMENT 81-101
1.1 Amendments to National Instrument 81-101
(1) National Instrument 81-101 is amended by the deletion of the
definition of "material contract" in
section 1.1 and the substitution of
the following:
"material contract" means, for a mutual fund, a contract
listed in the annual information form of the mutual fund in response to
Item 16 of Form 81-101F2 Contents of Annual Information Form;"
(2) National Instrument 81-101 is amended by the deletion of the
words "made by" and the substitution of the word "of" in subparagraphs
2.3(1)(b)(i), 2.3(2)(a)(i), 2.3(3)(a)(i), 2.3(4)(a)(
i) and 2.3(5)(a)(i).
(3) National Instrument 81-101 is amended by the addition of the
following as subsection 2.3(6):
"
(6) Despite any other provision of this section, a mutual
fund may delete commercial or financial information from the copy of an
agreement of the mutual fund, its manager or trustee with a portfolio
adviser or portfolio advisers of the mutual fund filed under this
section
if the disclosure of that information could reasonably be expected to
(
a) prejudice significantly the competitive position of
a party to the agreement; or
(
b) interfere significantly with negotiations in which
parties to the agreement are involved.".
PART 2 AMENDMENTS TO FORM 81-101F1
2.1 Amendments to Form 81-101F1
(1) The "General Instructions" of Form 81-101F1 are amended by the
addition of the following sentence at the end of subsection (2):
"However, subsection 1.3(3) of National Instrument 81-102 does
not apply to this Form."
(2) The "General Instructions" of Form 81-101F1 are amended by the
addition of the following immediately after subsection (20):
"Multi-Class Mutual Funds
(21) A mutual fund that has more than one class or series that
are referable to the same portfolio may treat each class or series as a
separate mutual fund for purposes of this Form, or may combine disclosure
of one or more of the classes or series in one simplified prospectus. If
disclosure pertaining to more than one class or series is combined in one
simplified prospectus, separate disclosure in response to each Item in this
Form must be provided for each class or series unless the responses would
be identical for each class or series.
(22) As provided in National Instrument 81-102, a section,
part, class or series of a class of securities of a mutual fund that is
referable to a separate portfolio of assets is considered to be a separate
mutual fund. Those principles are applicable to National Instrument 81-101
and this Form.".
(3) Item 1 of Part A of Form 81-101F1 is amended by
(
a) the deletion of subsection 1.1(2) and the substitution of
the following:
"
(2) Indicate on the front cover the name of the mutual
fund to which the simplified prospectus pertains. If the mutual fund has
more than one class or series of securities, indicate the name of each of
those classes or series covered in the simplified prospectus."; and
(
b) the deletion of subsection 1.2(2) and the substitution of
the following:
"
(2) Indicate on the front cover the names of the mutual
funds and, at the option of the mutual funds, the name of the mutual fund
family, to which the document pertains. If the mutual fund has more than
one class or series of securities, indicate the name of each of those
classes or series covered in the simplified prospectus.".
(4) Item 6 of Part B of Form 81-101F1 is amended by the addition of
the following as subsection (5):
"
(5) For an index mutual fund,
(
a) disclose the name or names of the permitted index
or permitted indices on which the investments of the index mutual fund are
based,
(
b) briefly describe the nature of that permitted index
or those permitted indices,
(
c) for the 12 month period immediately preceding the
date of the simplified prospectus,
(
i) indicate whether one or more securities
represented more than 10 percent of that permitted index or those permitted
indices,
(ii) identify that security or securities, and
(iii) disclose the maximum percentage of the
permitted index or permitted indices that that security or those securities
represented in the 12 month period, and
(
d) disclose the percentage of the permitted index that
the security or securities referred to in paragraph (
c) represented at the
most recent date for which that information is available.".
(5) Item 7 of Part B of Form 81-101F1 is amended by the addition of
the following as subsection (8):
"
(8) If the mutual fund intends to enter into securities
lending, repurchase or reverse repurchase transactions under sections 2.12,
2.13 or 2.14 of National Instrument 81-102
(
a) state that the mutual fund may enter into
securities lending, repurchase or reverse repurchase transactions; and
(
b) briefly describe
(
i) how those transactions are or will be entered
into in conjunction with other strategies and investments of the mutual
fund to achieve the mutual fund's investment objectives;
(ii) the types of those transactions to be entered
into and give a brief description of the nature of each type, and
(iii) the limits of the mutual fund's entering into
of those transactions.".
(6) Item 9 of Part B of Form 81-101F1 is amended by
(
a) the addition of the following as subsections (5), (6) and
(7):
"
(5) For an index mutual fund, disclose that the mutual
fund may, in basing its investment decisions on one or more permitted
indices, have more of its net assets invested in one or more issuers than
is usually permitted for mutual funds, and disclose the risks associated
with that fact, including the possible effect of that fact on the liquidity
and diversification of the mutual fund, its ability to satisfy redemption
requests and on the volatility of the mutual fund.
(6) If, at any time during the 12 month period
immediately preceding the date of the simplified prospectus, more than 10
percent of the net assets of a mutual fund were invested in the securities
of an issuer, other than a government security or a security issued by a
clearing corporation, disclose
(
a) the name of the issuer and the securities;
(
b) the maximum percentage of the net assets of
the mutual fund that securities of that issuer represented during the 12
month period; and
(
c) disclose the risks associated with these
matters, including the possible or actual effect of that fact on the
liquidity and diversification of the mutual fund, its ability to satisfy
redemption requests and on the volatility of the mutual fund.
(7) If the mutual fund is to enter into securities
lending, repurchase or reverse repurchase transactions, describe the risks
associated with the mutual fund entering into those transactions.";
(
b) the addition of the following as Instruction (6):
"In responding to subsection (6) above, it is
necessary to disclose only that at a time during the 12 month period
referred to, more than 10 percent of the net assets of the mutual fund were
invested in the securities of an issuer. Other than the maximum percentage
required to be disclosed under paragraph (6)(b), the mutual fund is not
required to provide particulars or a
summary of any such occurrences.".
(7) Item 11.1 of Part B of Form 81-101F1 is amended by
(
a) the addition of the following as subsection (8):
"
(8) A reference to "the inception of a mutual fund" in
Item 11 refers to the time at which the mutual fund first began
distributing its securities under a simplified prospectus."; and
(
b) the deletion of subparagraph 11.3(3)(b)(iii).
(8) Item 13.2 of Part B of Form 81-101F1 is amended by
(
a) the deletion of the words "and operating expenses" in
paragraph 13.2(2)(c); and
(
b) the addition of the following as subsection (4):
"
(4) If the management expense ratio of the mutual fund is
composed, in part, of fees charged directly to investors, include
disclosure of that fact. The management expense ratio used in calculating
the disclosure to be provided under this Item should be the management
expense ratio that includes these fees directly charged to investors; that
is, the management expense ratio calculated in accordance with the general
rules of
Part 16 of National Instrument 81-102."; and
(
c) the renumbering of existing subsection (4) as subsection
(5), and the addition of the words "which are not included in the
calculation of management expense ratio" at the end of that subsection.
PART 3 AMENDMENTS TO FORM 81-101F2
3.1 Amendments to Form 81-101F2
(1) The "General Instructions" of Form 81-101F2 are amended by the
addition of the following sentence at the end of subsection (2):
"However, subsection 1.3(3) of National Instrument 81-102 does
not apply to this Form.".
(2) The "General Instructions" of Form 81-101F2 are amended by the
addition of the following immediately after subsection (13):
"Multi-Class Mutual Funds
(14) A mutual fund that has more than one class or series that
are referable to the same portfolio may treat each class or series as a
separate mutual fund for purposes of this Form, or may combine disclosure
of one or more of the classes or series in one annual information form. If
disclosure pertaining to more than one class or series is combined in one
annual information form, separate disclosure in response to each Item in
this Form must be provided for each class or series unless the responses
would be identical for each class or series.
(15) As provided in National Instrument 81-102, a section,
party, class or series of a class of securities of a mutual fund that is
referable to a separate portfolio of assets is considered to be a separate
mutual fund. Those principles are applicable to National Instrument 81-101
and this Form.".
(3) Item 1 of Form 81-101F2 is amended by
(
a) the deletion of subsection 1.1(2) and the substitution of
the following:
"
(2) Indicate on the front cover the name of the mutual
fund to which the annual information form pertains. If the mutual fund has
more than one class or series of securities, indicate the name of each of
those classes or series covered in the annual information form."; and
(
b) the deletion of subsection 1.2(2) and the substitution of
the following:
"
(2) Indicate on the front cover the names of the mutual
funds and, at the option of the mutual funds, the name of the mutual fund
family to which the document pertains. If the mutual fund has more than
one class or series of securities, indicate the name of each of those
classes or series covered in the document.".
(4) Item 12 of Form 81-101F2 is amended by the addition of the
following as subsections (4) and (5):
"
(4) If the mutual fund intends to enter into securities
lending, repurchase or reverse repurchase transactions, describe the
policies and practices of the mutual fund to manage the risks associated
with those transactions.
(5) In the disclosure provided under subsection (4), include
disclosure of
(
a) the involvement of an agent to administer the
transactions on behalf of the mutual fund, and the details of the
instructions provided by the mutual fund to the agent under the agreement
between the mutual fund and the agent;
(
b) whether there are written policies and procedures
in place that set out the objectives and goals for securities lending,
repurchase transactions or reverse repurchase transactions, and the risk
management procedures applicable to the mutual fund's entering into of
those transactions;
(
c) who is responsible for setting and reviewing the
agreement referred to in paragraph (
a) and the policies and procedures
referred to in paragraph (b), how often the policies and procedures are
reviewed, and the extent and nature of the involvement of the board of
directors or trustee in the risk management process;
(
d) whether there are limits or other controls in place
on the entering into of those transactions by the mutual fund and who is
responsible for authorizing those limits or other controls on those
transactions;
(
e) whether there are individuals or groups that
monitor the risks independent of those who enter into those transactions on
behalf of the mutual fund; and
(
f) whether risk measurement procedures or simulations
are used to test the portfolio under stress conditions.".
(5) Item 15 of Form 81-101F2 is amended by the addition of the
following as subsection (3):
"
(3) For a mutual fund that is a trust, describe the
arrangements, including the amounts paid and expenses reimbursed, under
which compensation was paid or payable by the mutual fund during the most
recently completed financial year of the mutual fund for the services of
the trustee or trustees of the mutual fund.".
PART 4 EFFECTIVE DATE
4.1 Effective Date - This Amendment comes into force on May 2, 2001.
AMENDMENT TO
NATIONAL INSTRUMENT 81-102
MUTUAL FUNDS
PART 1 AMENDMENTS
1.1 Amendments
(1) Section 1.1 of National Instrument 81-102 Mutual Funds is
amended by
(
a) the addition of the following as paragraphs 5 and 6 of
the definition of "cash cover":
"5. Securities purchased by the mutual fund in a
reverse repurchase transaction under
section 2.14, to the extent of the
cash paid for those securities by the mutual fund.
6. Commercial paper that has a term to maturity of 365
days or less and an approved credit rating and that was issued by a person
or company other than a government or permitted supranational agency.";
(
b) the deletion of the definition of "index mutual fund" and
the substitution of the following:
"index mutual fund" means a mutual fund that has adopted
fundamental investment objectives that require the mutual fund to
(
a) hold the securities that are included in a
permitted index or permitted indices of the mutual fund in substantially
the same proportion as those securities are reflected in that permitted
index or those permitted indices, or
(
b) invest in a manner that causes the mutual fund to
replicate the performance of that permitted index or those permitted
indices;";
(
c) the addition of the following definition:
"permitted index" means, in relation to a mutual fund, a
market index that is
(
a) both
(
i) administered by an organization that is not
affiliated with any of the mutual fund, its manager, its portfolio adviser
or its principal distributor, and
(ii) available to persons or companies other than
the mutual fund, or
(
b) widely recognized and used;";
(
d) the addition of the following definition:
" `qualified security' means
(
a) an evidence of indebtedness that is issued, or
fully and unconditionally guaranteed as to principal and interest, by
a jurisdiction,
(ii) the government of the United States of
America, the government of one of the states of the United States of
America, the government of another sovereign state, or a permitted
supranational agency, if, in each case, the evidence of indebtedness has an
approved credit rating, or
(iii) a Canadian financial institution or a
financial institution that is not incorporated or organized under the laws
of Canada or of a jurisdiction if, in either case, evidences of
indebtedness of that issuer or guarantor that are rated as short term debt
by an
approved credit rating organization have an approved credit
rating, or
(
b) commercial paper that has a term to maturity of 365
days or less and an approved credit rating and that was issued by a person
or company other than a government or permitted supranational agency;" and
(
e) the deletion of item 1 of paragraph (
b) of the definition
of "sales communication", and the renumbering of existing items 2 through 6
of that paragraph as items 1 through 5.
(2) National Instrument 81-102 is amended by the renumbering of
section 1.3 as subsection 1.3(1), and by the addition of the following as
subsections 1.3(2) and (3):
"
(2) A mutual fund that renews or extends a securities
lending, repurchase or reverse repurchase transaction is entering into a
securities lending, repurchase or reverse repurchase agreement for the
purposes of
section 2.12, 2.13 or 2.14.".
(3) In this Instrument, a reference to a "simplified
prospectus" includes a prospectus, a reference to a "preliminary simplified
prospectus" includes a preliminary prospectus and a reference to a "pro
forma simplified prospectus" includes a pro forma prospectus.
(3) National Instrument 81-102 is amended by
(
a) the deletion of the words "prospectus or" in each of
paragraph 1.2(a), paragraph 8.1(a), paragraph 17.3(2)(
a) and paragraph
20.4(b);
(
b) the addition of the word "simplified" immediately before
the word "prospectus" in paragraph 1.2(b); and
(
c) the deletion of the words "preliminary prospectus or" and
"prospectus or" in subsection 15.4(9).
(4) Section 2.1 of National Instrument 81-102 Mutual Funds is
amended by the addition of the following as subsections 2.1(5), (6) and
(7):
"
(5) Despite subsection (1), an index mutual fund, the name of
which includes the word "index", may purchase a security, enter into a
specified derivatives transaction or purchase index participation units if
required to allow the index mutual fund to satisfy its fundamental
investment objectives.
(6) An index mutual fund shall not rely on the relief
provided by subsection (5) unless
(
a) its simplified prospectus contains the disclosure
referred to in subsection (5) of Item 6 and subsection (5) of Item 9 of
Part B of Form 81-101F1 Contents of Simplified Prospectus; and
(
b) the index mutual fund has provided to its
securityholders written notice given not less than 60 days before it first
relies on the relief provided by subsection (5), that discloses that it
may, from time to time, rely on that relief and that contains the
disclosure referred to in paragraph (a).
(7) Paragraph (6)(
b) does not apply if each simplified
prospectus of the index mutual fund since its inception contains the
disclosure referred to in paragraph (6)(a).
(5) National Instrument 81-102 is amended by the deletion of
subsections 2.7(1) and (2) and the substitution of the following:
"
(1) A mutual fund shall not purchase an option that is not a
clearing corporation option or a debt-like security or enter into a swap or
a forward contract unless
(
a) in the case of an option, swap or forward contract,
the option, swap or contract has a remaining term to maturity of
(
i) three years or less, or
(ii) between three and five years if, at the time
of the transaction, the option, swap or contract provides the mutual fund
with a right, at its election, to eliminate its exposure under the option,
swap or contract no later than three years after the mutual fund has
purchased the option or entered into the swap or contract; and
(
b) at the time of the transaction, the option,
debt-like security, swap or contract, or equivalent debt of the
counterparty, or of a person or company that has fully and unconditionally
guaranteed the obligations of the counterparty in respect of the option,
debt-like security, swap or contract, has an approved credit rating.
(2) If the credit rating of an option that is not a clearing
corporation option, the credit rating of a debt-like security, swap or
forward contract, or the credit rating of the equivalent debt of the writer
or guarantor of the option, debt-like security, swap or contract, falls
below the level of approved credit rating while the option, debt-like
security, swap or contract is held by a mutual fund, the mutual fund shall
take the steps that are reasonably required to close out its position in
the option, debt-like security, swap or contract in an orderly and timely
fashion.".
(6) National Instrument 81-102 is amended by the addition of the
following as
section 2.12:
"2.12 Securities Loans
(1) Despite any other provision of this Instrument, a mutual
fund may enter into a securities lending transaction as lender if the
following conditions are satisfied for the transaction:
1. The transaction is administered and supervised in
the manner required by sections 2.15 and 2.16.
2. The transaction is made under a written agreement
that implements the requirements of this section.
3. Securities are loaned by the mutual fund in
exchange for collateral.
4. The securities transferred, either by the mutual
fund or to the mutual fund as collateral, as part of the transaction are
immediately available for good delivery under applicable legislation.
5. The collateral to be delivered to the mutual fund
at the beginning of the transaction
(
a) is received by the mutual fund either before
or at the same time as it delivers the loaned securities; and
(
b) has a market value equal to at least 102
percent of the market value of the loaned securities.
6. The collateral to be delivered to the mutual fund
is one or more of
(
a) cash;
(
b) qualified securities;
(
c) securities that are immediately convertible
into, or exchangeable for, securities of the same issuer, class or type,
and the same term, if applicable, as the securities that are being loaned
by the mutual fund, and in at least the same number as those loaned by the
mutual fund; or
(
d) irrevocable letters of credit issued by a
Canadian financial institution that is not the counterparty, or an
affiliate of the counterparty, of the mutual fund in the transaction, if
evidences of indebtedness of the Canadian financial institution that are
rated as short term debt by an approved credit rating organization have an
approved credit rating.
7. The collateral and loaned securities are marked to
market on each business day, and the amount of collateral in the possession
of the mutual fund is adjusted on each business day to ensure that the
market value of collateral maintained by the mutual fund in connection with
the transaction is at least 102 percent of the market value of the loaned
securities.
8. If an event of default by a borrower occurs, the
mutual fund, in addition to any other remedy available under the agreement
or applicable law, has the right under the agreement to retain and dispose
of the collateral to the extent necessary to satisfy its claims under the
agreement.
9. The borrower is required to pay promptly to the
mutual fund amounts equal to and as compensation for all dividends and
interest paid, and all distributions made, on the loaned securities during
the term of the transaction.
10. The transaction is a "securities lending
arrangement" under
section 260 of the ITA.
11. The mutual fund is entitled to terminate the
transaction at any time and recall the loaned securities within the normal
and customary settlement period for securities lending transactions in the
market in which the securities are lent.
12. Immediately after the mutual fund enters into the
transaction, the aggregate market value of all securities loaned by the
mutual fund in securities lending transactions and not yet returned to it
or sold by the
mutual fund in repurchase transactions under
section 2.13 and not
yet repurchased does not exceed 50 percent of the total assets of the
mutual fund, and for such purposes collateral held by the mutual fund for
the loaned securities and cash held by the mutual fund for the sold
securities shall not be included in total assets.
(2) A mutual fund may hold all cash delivered to it as the
collateral in a securities lending transaction or may use the cash to
purchase
(
a) qualified securities having a remaining term to
maturity no longer than 90 days;
(
b) securities under a reverse repurchase agreement
permitted by
section 2.14; or
(
c) a combination of the securities referred to in
paragraphs (
a) and (b).
(3) A mutual fund, during the term of a securities lending
transaction, shall hold all, and shall not invest or dispose of any,
non-cash collateral delivered to it as collateral in the transaction.".
(7) National Instrument 81-102 is amended by the addition of the
following as
section 2.13:
"2.13 Repurchase Transactions
(1) Despite any other provision of this Instrument, a mutual
fund may enter into a repurchase transaction if the following conditions
are satisfied for the transaction:
1. The transaction is administered and supervised in
the manner required by sections 2.15 and 2.16.
2. The transaction is made under a written agreement
that implements the requirements of this section.
3. Securities are sold for cash by the mutual fund,
with the mutual fund assuming an obligation to repurchase the securities
for cash.
4. The securities transferred by the mutual fund as
part of the transaction are immediately available for good delivery under
applicable legislation.
5. The cash to be delivered to the mutual fund at the
beginning of the transaction
(
a) is received by the mutual fund either before
or at the same time as it delivers the sold securities; and
(
b) is in an amount equal to at least 102 percent
of the market value of the sold securities.
6. The sold securities are marked to market on each
business day, and the amount of sale proceeds in the possession of the
mutual fund is adjusted on each business day to ensure that the amount of
cash maintained by the mutual fund in connection with the transaction is at
least 102 percent of the market value of the sold securities.
7. If an event of default by a purchaser occurs, the
mutual fund, in addition to any other remedy available under the agreement
or applicable law, has the right under the agreement to retain or dispose
of the sale proceeds delivered to it by the purchaser to the extent
necessary to satisfy its claims under the agreement.
8. The purchaser of the securities is required to pay
promptly to the mutual fund amounts equal to and as compensation for all
dividends and interest paid, and all distributions made, on the sold
securities during the term of the transaction.
9. The transaction is a "securities lending
arrangement" under
section 260 of the ITA.
10. The term of the repurchase agreement, before any
extension or renewal that requires the consent of both the mutual fund and
the purchaser, is not more than 30 days.
11. Immediately after the mutual fund enters into the
transaction, the aggregate market value of all securities loaned by the
mutual fund in securities lending transactions under
section 2.12 and not
yet returned to it or sold by the mutual fund in repurchase transactions
and not yet repurchased does not exceed 50 percent of the total assets of
the mutual fund, and for such purposes collateral held by the mutual fund
for the loaned securities and the cash held by the mutual fund for the sold
securities shall not be included in total assets.
(2) A mutual fund may hold cash delivered to it as
consideration for sold securities in a repurchase transaction or may use
the cash to purchase
(
a) qualified securities having a remaining term to
maturity no longer than 30 days;
(
b) securities under a reverse repurchase agreement
permitted by
section 2.14; or
(
c) a combination of the securities referred to in
paragraphs (
a) and (b).".
(8) National Instrument 81-102 is amended by the addition of the
following as
section 2.14:
"2.14 Reverse Repurchase Transactions
(1) Despite any other provision of this Instrument, a mutual
fund may enter into a reverse repurchase transaction if the following
conditions are satisfied for the transaction:
1. The transaction is administered and supervised in
the manner required by sections 2.15 and 2.16.
2. The transaction is made under a written agreement
that implements the requirements of this section.
3. Qualified securities are purchased for cash by the
mutual fund, with the mutual fund assuming the obligation to resell them
for cash.
4. The securities transferred as part of the
transaction are immediately available for good delivery under applicable
legislation.
5. The securities to be delivered to the mutual fund
at the beginning of the transaction
(
a) are received by the mutual fund either before
or at the same time as it delivers the cash used by it to purchase those
securities; and
(
b) have a market value equal to at least 102
percent of the cash paid for the securities by the mutual fund.
6. The purchased securities are marked to market on
each business day, and either the amount of cash paid for the purchased
securities or the amount of purchased securities in the possession of the
seller or the mutual fund is adjusted on each business day to ensure that
the market value of purchased securities held by the mutual fund in
connection with the transaction is not less than 102 percent of the cash
paid by the mutual fund.
7. If an event of default by a seller occurs, the
mutual fund, in addition to any other remedy available in the agreement or
applicable law, has the right under the agreement to retain or dispose of
the purchased securities delivered to it by the seller to the extent
necessary to satisfy its claims under the agreement.
8. The transaction is a "securities lending
arrangement" under
section 260 of the ITA.
9. The term of the reverse repurchase agreement,
before any extension or renewal that requires the consent of both the
seller and the mutual fund, is not more than 30 days.
(9) National Instrument 81-102 is amended by the addition of the
following as
section 2.15:
"2.15 Agent for Securities Lending, Repurchase and Reverse
Repurchase Transactions
(1) The manager of a mutual fund shall appoint an agent
or agents to act on behalf of the mutual fund in administering the
securities lending and repurchase transactions entered into by the mutual
fund.
(2) The manager of a mutual fund may appoint an agent
or agents to act on behalf of the mutual fund to administer the reverse
repurchase transactions entered into by the mutual fund.
(3) The custodian or a sub-custodian of the mutual fund
shall be the agent appointed under subsection (1) or (2).
(4) The manager of a mutual fund shall not authorize an
agent to enter into a securities lending, repurchase or, if applicable,
reverse repurchase transactions on behalf of the mutual fund until the
agent enters into a written agreement with the manager and the mutual fund
in which
(
a) the mutual fund and the manager provide
instructions to the agent on the parameters to be followed in entering into
the type of transactions to which the agreement pertains;
(
b) the agent agrees to comply with this
Instrument, accepts the standard of care referred to in subsection (5) and
agrees to ensure that all transactions entered into by it on behalf of the
mutual fund will comply with this Instrument; and
(
c) the agent agrees to provide to the mutual
fund and the manager regular, comprehensive and timely reports summarizing
the mutual fund's securities lending, repurchase and reverse repurchase
transactions, as applicable.
(5) An agent appointed under this section, in
administering the securities lending, repurchase and, if applicable,
reverse repurchase transactions of the mutual fund shall exercise the
degree of care, diligence and skill that a reasonably prudent person would
exercise in the circumstances.".
(10) National Instrument 81-102 is amended by the addition of the
following as
section 2.16:
"2.16 Controls and Records
(1) A mutual fund shall not enter into transactions under
sections 2.12, 2.13 or 2.14 unless,
(
a) for transactions to be entered into through an
agent appointed under
section 2.15, the manager has reasonable grounds to
believe that the agent has established and maintains appropriate internal
controls and procedures and records; and
(
b) for reverse repurchase transactions directly
entered into by the mutual fund without an agent, the manager has
established and maintains appropriate internal controls, procedures and
records.
(2) The internal controls, procedures and records referred to
in subsection (1) shall include
(
a) a list of approved borrowers, purchasers and
sellers based on generally accepted creditworthiness standards;
(
b) as applicable, transaction and credit limits for
each counterparty; and
(
c) collateral diversification standards.
(3) The manager of a mutual fund shall, on a periodic basis
not less frequently than annually,
(
a) review the agreements with any agent appointed
under
section 2.15 to determine if the agreements are in compliance with
this Instrument;
(
b) review the internal controls described in
subsection (2) to ensure their continued adequacy and appropriateness;
(
c) make reasonable enquiries as to whether the agent
is administering the securities lending, repurchase or reverse repurchase
transactions of the mutual fund in a competent and responsible manner, in
conformity with the requirements of this Instrument and in conformity with
the agreement between the agent, the manager and the mutual fund entered
into under subsection 2.15(4);
(
d) review the terms of any agreement between the
mutual fund and an agent entered into under subsection 2.15(4) in order to
determine if the instructions provided to the agent in connection with the
securities lending, repurchase or reverse repurchase transactions of the
mutual fund continue to be appropriate; and
(
e) make or cause to be made any changes that may be
necessary to ensure that
(
i) the agreements with agents are in compliance
with this Instrument,
(ii) the internal controls described in subsection
(2) are adequate and appropriate,
(iii) the securities lending, repurchase or reverse
repurchase transactions of the mutual fund are administered in the manner
described in paragraph (c), and
(iv) the terms of each agreement between the
mutual fund and an agent entered into under subsection 2.15(4) are
appropriate.".
(11) National Instrument 81-102 is amended by the addition of the
following as
section 2.17:
"2.17 Commencement of Securities Lending, Repurchase and
Reverse Repurchase Transactions by a Mutual Fund
(1) A mutual fund shall not enter into securities
lending, repurchase or reverse repurchase transactions unless
(
a) its simplified prospectus contains the
disclosure required for mutual funds entering into those types of
transactions; and
(
b) the mutual fund has provided to its
securityholders, not less than 60 days before it begins entering into those
types of transactions, written notice that discloses its intent to begin
entering into those types of transactions and the disclosure required for
mutual funds entering into those types of transactions.
(2) Paragraph (1)(
b) does not apply to a mutual fund
that has entered into reverse repurchase agreements as permitted by a
decision of the securities regulatory authority or regulator.
(12) National Instrument 81-102 is amended by the deletion of
section 4.2 and the substitution of the following:
"4.2 Self-Dealing
(1) A mutual fund shall not purchase a security from,
sell a security to, or enter into a securities lending, repurchase or
reverse repurchase transaction under
section 2.12, 2.13 or 2.14 with, any
of the following persons or companies:
1. The manager, portfolio adviser or trustee of
the mutual fund.
2. A partner, director or officer of the mutual
fund or of the manager, portfolio adviser or trustee of the mutual fund.
3. An associate or affiliate of a person or
company referred to in paragraph 1 or 2.
4. A person or company, having fewer than 100
securityholders of record, of which a partner, director or officer of the
mutual fund or a partner, director or officer of the manager or portfolio
adviser of the mutual fund is a partner, director, officer or
securityholder.
(2) Subsection (1) applies in the case of a sale of a
security to, or a purchase of a security from, a mutual fund only if the
person or company that would be selling to, or purchasing from, the mutual
fund would be doing so as principal.".
(13) National Instrument 81-102 is amended by the deletion of
subsection 4.4(5), the substitution of subsection (5) below as the new
subsection (5) and the addition of subsection (6) below as subsection (6):
"
(5) This
section does not apply to any losses to a mutual
fund or securityholder arising out of an action or inaction by
(
a) a director of the mutual fund; or
(
b) a custodian or sub-custodian of the mutual fund,
except as set out in subsection (6).
(6) This
section applies to any losses to a mutual fund or
securityholder arising out of an action or inaction by a custodian or
sub-custodian acting as agent of the mutual fund in administering the
securities lending, repurchase or reverse repurchase transactions of the
mutual fund.".
(14) National Instrument 81-102 is amended by
(
a) the addition of the words "or regulator" immediately
after the words "securities regulatory authority" in subsections 5.5(1),
5.5(2) and 5.6(1) and
section 5.9; and
(
b) the addition of the following as subsection 5.5(3):
"
(3) Despite subsection (1), in Ontario only the
regulator may grant an approval referred to in subsection (1)."
(15) Paragraph 6.3(3)(
b) of National Instrument 81-102 is amended by
striking out "subsidiary" and substituting "affiliate".
(16) National Instrument 81-102 is amended by
(
a) changing the title of
section 6.8 to "Custodial
Provisions relating to Derivatives and Securities Lending, Repurchase and
Reverse Repurchase Agreements";
(
b) the deletion of subsection 6.8(4) and the substitution of
the following:
"
(4) The agreement by which portfolio assets of a mutual
fund are deposited in accordance with subsection (1), (2) or (3) shall
require the person or company holding portfolio assets of the mutual fund
so deposited to ensure that its records show that that mutual fund is the
beneficial owner of the portfolio assets."; and
(
c) by the addition of the following as subsection 6.8(5):
"
(5) A mutual fund may deliver portfolio assets to a
person or company in satisfaction of its obligations under a securities
lending, repurchase or reverse purchase agreement that complies with this
Instrument if the collateral, cash proceeds or purchased securities that
are delivered to the mutual fund in connection with the transaction are
held under the custodianship of the custodian or a sub-custodian of the
mutual fund in compliance with this Part.".
(17) National Instrument 81-102 is amended by the deletion of the
words "immediately before the close of business" in paragraph 9.4(4)(a).
(18) National Instrument 81-102 is amended by the deletion of
subsection 11.4(1) and the substitution of the following:
"
(1) Sections 11.1 and 11.2 do not apply to members of The
Investment Dealers Association of Canada, The Montreal Exchange, The
Toronto Stock Exchange or the Canadian Venture Exchange Inc.".
(19) National Instrument 81-102 is amended by the deletion of
subsection 12.1(4) and the substitution of the following:
"(4) Subsection (3) does not apply to members of The
Investment Dealers Association of Canada, The Montreal Exchange, The
Toronto Stock Exchange or the Canadian Venture Exchange Inc.".
(20) National Instrument 81-102 is amended by the deletion of
subsection 15.4(12).
(21) National Instrument 81-102 is amended by the deletion of
subparagraph 15.6(a)(
i) and the substitution of the following:
"(
i) the mutual fund has distributed securities under a
simplified prospectus in a jurisdiction for 12 consecutive months, or the
asset allocation service has been operated for at least 12 consecutive
months and has invested only in participating funds each of which has
distributed securities under a simplified prospectus in a jurisdiction for
at least 12 consecutive months, or".
(22) National Instrument 81-102 is amended by the addition of the
following as
section 15.14:
"Sales Communication - Multi-Class Mutual Funds - A sales
communication for a mutual fund that distributes different classes or
series of securities that are
referable to the same portfolio shall not contain performance data
unless the sales communication complies with the following requirements:
1. The sales communication clearly specifies the class
or series of security to which any performance data contained in the sales
communication relates.
2. If the sales communication refers to more than one
class or series of security and provides performance data for any one class
or series, the sales communication shall provide performance data for each
class or series of security referred to in the sales communication and
shall clearly explain the reasons for different performance data among the
classes or series.
3. A sales communication for a new class or series of
security and an existing class or series of security shall not contain
performance data for the existing class or series unless the sales
communication clearly explains any differences between the new class or
series and the existing class or series that could affect performance.".
(23) Section 16.1 of National Instrument 81-102 is amended by the
deletion of subparagraph (1)(a)(
i) and the substitution of the following:
"(
i) the total expenses of the mutual fund, before
income taxes, for the financial year, as shown on its income statement,".
(24) National Instrument 81-102 is amended by the addition of the
following as subsection 16.1(4):
"
(4) The requirements to provide note disclosure contained in
subsections (2) and (3) do not apply if a mutual fund provides its
management expense ratio to a service provider that will arrange for public
dissemination of the management expense ratio, if the mutual fund
indicates, as applicable, that management fees have been waived or that
management fees were paid directly by investors during the period for which
the management expense ratio was calculated.".
(25) National Instrument 81-102 is amended by the renumbering of
existing subsections 16.1(4), (5), (6), (7) and (8) as subsections 16.1(5),
(6), (7), (8) and (9), respectively.
(26) National Instrument 81-102 is amended by the deletion of
section 16.2 and the substitution of the following:
"16.2 Fund of Funds Calculation
(1) For the purposes of subparagraph 16.1(1)(a)(i), the
total expenses of a mutual fund that invests in securities of one or more
other mutual funds is equal to the sum of:
(
a) the total expenses incurred by the mutual fund that
are for the period that the calculation of management expense ratio is made
and that are attributable to its investment in each underlying mutual fund,
as calculated by
(
i) multiplying the total expenses of each
underlying mutual fund, before income taxes, for the period, by
(ii) the average proportion of securities of the
underlying mutual fund held by the mutual fund during the period,
calculated by
(
A) adding together the proportion of
securities of the underlying mutual fund held by the mutual fund on each
day in the period, and
(
B) dividing the amount obtained under
clause (
A) by the number of days in the period; and
(
b) the total expenses of the mutual fund, before
income taxes, for the period."
(2) A mutual fund that has exposure to one or more other
mutual funds through the use of specified derivatives in a financial year
shall calculate its management expense ratio for the financial year in the
manner described in subsection (1), treating each mutual fund to which it
has exposure as an "underlying mutual fund" under subsection (1).
(3) Subsection (2) does not apply if the specified
derivatives do not expose the mutual fund to expenses that would be
incurred by a direct investment in the relevant mutual funds.
(4) Despite subsection 16.1(5), management fees rebated by an
underlying fund to a mutual fund that invests in the underlying fund shall
be deducted from total expenses of the underlying fund if the rebate is
made for the purpose of avoiding duplication of fees between the two mutual
funds.
(27) National Instrument 81-102 is amended by the addition of the
following as
section 16.3:
"16.3 Application of
Section 16.1 -
Section 16.1 does not apply
to a mutual fund in respect of a financial year that ended before February
1, 2000 if the management expense ratio for that financial year is
disclosed and calculated in accordance with securities legislation
applicable to mutual funds on January 31, 2000.".
(28) National Instrument 81-102 is amended by the deletion of
section 20.3 and the substitution of the following:
"20.3 Reports to Securityholders - This Instrument does not
apply to reports to securityholders
(
a) printed before February 1, 2000; or
(
b) that include only financial statements that relate
to financial periods that ended before February 1, 2000.".
PART 2 EFFECTIVE DATE
2.1 Effective Date - This Amendment comes into force on May 2, 2001.
SELF-REGULATORY ORGANIZATION MEMBERSHIP
FOR MUTUAL FUND DEALERS
AMENDMENTS TO ALBERTA
SECURITIES COMMISSION RULE
SECTION 16
PART 1 Amendments
1.1 Amendments
(1) Alberta Securities Commission Rule s.16 is amended by
(
a) striking out subsection 16(
c) and replacing it with
the following:
(
c) a mutual fund dealer, being a person or company
(
i) registered to trade exclusively in the
shares or units of mutual funds, and
(ii) that is a member of a self-regulatory
organization or exchange that is recognized by the Commission for the
purpose of this clause;
PART 2 Effective Date
2.1 Effective Date
This Amendment comes into force on May 1, 2001.
______________________________________________________________________
SUSTAINABLE RESOURCE DEVELOPMENT
HOSTING EXPENSES EXCEEDING $600.
For the quarter ending March 31, 2001
Function: Central Flyway Waterfowl Technical Committee Meeting
Purpose: Provide coffee and refreshments for the members
Amount: $934.08
Location: March 3-9, 2001
Date: Edmonton, Alberta
______________________________________________________________________
Alberta Fishery Regulations, 1998
Notice of Variation Order 02-2001
Commercial Fishing Seasons
The close times and quotas set out in
Schedule 8 to the Alberta Fishery
Regulations, 1998 in respect of the waters listed in the
Schedule to this
Notice have been varied by Variation Order 02-2001 by the Director of
Fisheries Management in accordance with
section 3 of the Alberta Fishery
Regulations, 1998.
Where fishing with gill nets is permitted during an open season established
by the Order, the gill net mesh size has been specified in the Order.
Pursuant to Variation Order 02-2001 commercial fishing is permitted in
accordance with the following schedule.
This Variation Order opens a commercial fishery for holders of a Metis
Commercial Fishing Licence.
SCHEDULE
PART 2
Item - 1.
Column 1 Waters - In respect of:
(4) Utikuma Lake (79-10-W5)
Column 2 Gear - Gill net 89 mm mesh; Gill net 102 mm mesh
Column 3 Open Time - A. In respect of Utikuma Lake excluding the following
portion: - that portion which is greater than 1.8 m (6 feet) deep and is
greater than 200 m off shore, as defined by an officer: 08:00 hours April
17, 2001 to 16:00 hours June 1, 2001. B. In respect of all other waters:
closed.
Column 4 Species and Quota - 1) Lake whitefish: 5,000 kg; 2) Walleye: 500
kg; 3) Yellow perch: 5,000 kg; 4) Northern pike: 50,000 kg; 5) Tullibee:
5,000 kg; 6) Lake trout: 1 kg
_______________________
Notice of Variation Order 03-2001
Commercial Fishing Seasons
The close times and quotas set out in
Schedule 8 to the Alberta Fishery
Regulations in respect of the waters listed in the
Schedule to this Notice
have been varied by Variation Order 03-2001 by the Director of Fisheries
Management in accordance with
section 3 of the Alberta Fishery Regulations.
Where fishing with gill nets is permitted during an open season established
by the Order, the gill net mesh size has been specified in the Order.
Pursuant to Variation Order 03-2001 commercial fishing is permitted in
accordance with the following schedule.
SCHEDULE
PART 1
Item - 1.
Column 1 Waters - In respect of:
(122) Utikuma Lake (79-10-W5)
Column 2 Gear - Gill net 89 mm mesh; Gill net 102 mm mesh
Column 3 Open Time - A. In respect of Utikuma Lake excluding the following
portion: - that portion which is greater than 1.8 m (6 feet) deep and is
greater than 400 m off the line of emergent vegetation; - that portion of
Sandy Bay southwest of a line between the road on the north side of the
inlet (NW1/4 4-79-10-W5M) to the point of land on the south side of the
inlet (SW1/4 4-79-10-W5M):08:00 hours April 17, 2001 to 16:00 hours June 1,
2001. B. In respect of all other waters: closed.
Column 4 Species and Quota - 1) Lake whitefish: 10,000 kg; 2) Walleye: 500
kg; 3) Yellow perch: 5,000 kg; 4) Northern pike: 65,000 kg; 5) Tullibee:
5,000 kg; 6) Lake trout: 1 kg
_______________________
Notice of Variation Order 04-2001
Commercial Fishing Seasons
The close times and quotas set out in
Schedule 8 to the Alberta Fishery
Regulations in respect of the waters listed in the
Schedule to this Notice
have been varied by Variation Order 04-2001 by the Director of Fisheries
Management in accordance with
section 3 of the Alberta Fishery Regulations.
Where fishing with gill nets is permitted during an open season established
by the Order, the gill net mesh size has been specified in the Order.
Pursuant to Variation Order 04-2001 commercial fishing is permitted in
accordance with the following schedule.
SCHEDULE
PART 2
Item - 1.
Column 1 Waters - In respect of:
(4) Utikuma Lake (79-10-W5)
Column 2 Gear - Gill net 89 mm mesh; Gill net 102 mm mesh
Column 3 Open Time - A. In respect of Utikuma Lake excluding the following
portion: - that portion which is greater than 1.8 m (6 feet) deep and is
greater than 400 m off the line of emergent vegetation: 08:00 hours April
17, 2001 to 16:00 hours June 1, 2001. B. In respect of all other waters:
closed.
Column 4 Species and Quota - 1) Lake whitefish: 10,000 kg; 2) Walleye: 500
kg; 3) Yellow perch: 5,000 kg; 4) Northern pike: 65,000 kg; 5) Tullibee:
5,000 kg; 6) Lake trout: 1 kg
______________________________________________________________________
ADVERTISEMENTS
INSURANCE NOTICE
(Insurance Act)
AXA CORPORATE SOLUTIONS ASSURANCE
Notice is hereby given that AXA Corporate Solutions Assurance has taken out
a licence in the Province of Alberta and is authorized to transact the
following classes of insurance:
Accident and Sickness, Aircraft, Automobile, Boiler and Machinery, Credit,
Fidelity, Hail, Legal expense, Liability, Marine, Property and Surety.
Effective April 2, 2001.
8-9 Jean-Marie Nessi, President.
_______________________
HUTTERIAN BRETHREN GENERAL INSURANCE CORPORATION
Notice is hereby given that Hutterian Brethren General Insurance
Corporation has taken out a licence in the Province of Alberta and is
authorized to transact the following classes of Insurance:
Accident, Boiler and Machinery, Fidelity, Liability, Property and Surety
Effective April 4, 2001.
8-9 David A. Martin, Chief Agent in Canada.
_______________________
MD LIFE INSURANCE COMPANY
Notice is hereby given that MD Life Insurance Company has taken out a
licence in the
Province of Alberta and is authorized to transact the following classes of
insurance:
Life
Effective April 4, 2001.
8-9
_______________________
SSQ LIFE INSURANCE COMPANY INC.
Notice is hereby given that SSQ Life Insurance Company Inc. has taken out a
licence in the Province of Alberta, and is authorized to transact the
following classes of Insurance.
Accident & Sickness - Life
Effective March 19, 2001.
7-8 Pierre Genest, President and Chief Executive Officer.
_______________________
SWISS RE LIFE & HEALTH CANADA
Notice is hereby given that Swiss Re Life & Health Canada has taken out a
licence in the Province of Alberta, and is authorized to transact the
following classes of Insurance:
Accident & Sickness and Life
Effective March 26, 2001.
7-8 Martin Kirr, Senior Vice President.
_______________________
THE PERSONAL DIRECT INSURANCE COMPANY OF CANADA
LA PERSONNELLE DIRECTE, COMPAGNIE D'ASSURANCE DU CANADA
CERTAS DIRECT INSURANCE COMPANY, and in French,
CERTAS DIRECT, COMPAGNIE D'ASSURANCE
By virtue of Supplementary letters patent dated March 14, 2001, the name of
The Personal Direct Insurance Company of Canada, La Personnelle directe,
compagnie d'assurance du Canada was changed to Certas Direct Insurance
Company, and in french Certas direct, compagnie d'assurance.
7-8 Michael J. Mychailyshyn, General Counsel.
______________________________________________________________________
IRRIGATION DISTRICT NOTICE
RATE ENFORCEMENT RETURN
(Irrigation Districts Act)
EASTERN IRRIGATION DISTRICT
Notice is hereby given that the Court of Queen's Bench of the Judicial
District of Medicine Hat has fixed Thursday, May 31, 2001 as the day on
which at 1:30 p.m., the Court will sit at the Courthouse, Medicine Hat,
Alberta for the purpose of confirmation of the Rate Enforcement Return for
the Eastern Irrigation District covering rates assessed for the year 1999.
Dated at Brooks, Alberta, March 26, 2001.
8-9 Earl Wilson, P. Eng., General Manager.
_______________________
WESTERN IRRIGATION DISTRICT
Notice is hereby given that a Justice of the Court of Queen's Bench of
Alberta has fixed Friday, May 25, 2001 as the day on which, at the hour of
10:00 a.m., or so soon thereafter as the application can be heard, the
Court will sit in Chambers, at the Court House, 611-4 Street SW, Calgary,
Alberta for the confirmation of the Enforcement Return for the Western
Irrigation District, in connection with the arrears of Irrigation Rates for
the years 1999 and previous.
Dated at Strathmore, Alberta, March 29, 2001.
7-8 Jim Webber, P., Eng. General Manager.
______________________________________________________________________
NOTICE OF APPLICATION FOR PRIVATE BILL
AN ACT TO AMEND
THE CONGREGATION OF THE MOST HOLY REDEEMER ACT
Notice is hereby given that petitions by the Congregation of the Most Holy
Redeemer (incorporated by a private Act, being
chapter 72 of the Statutes
of Alberta, 1925) will be submitted to the Lieutenant Governor of Alberta
and to the Legislative Assembly of Alberta at its session commencing April
10, 2001, for amendments to that Act:
to change the requirement that all members of the Corporation be
residents of Alberta, to a requirement that all members be residents of
Canada;
to include a French version of the corporate name;
to expand the objects of the Corporation and enable it to carry on
those objects outside Alberta; and
to provide it with the powers of a natural person.
Any persons whose rights or property are materially affected by the
proposed legislation may contact the Legislative Assembly in writing no
later than the 15th day following the date of this notice should they wish
to make a representation relevant to this application. Correspondence
should be addressed to the Office of the Parliamentary Counsel,
800 Legislature Annex, 9718-107 Street, Edmonton, Alberta, T5K 1E4.
Telephone (780) 422-4837.
Dated at Edmonton, Alberta, this 30th day of April, 2001.
Congregation of the Most Holy Redeemer
8106 Jasper Avenue
Edmonton, Alberta T5H 3S1
NOTICE OF CERTIFICATE OF INTENT TO DISSOLVE
(Business Corporations Act)
Notice is hereby given that a Certificate of Intent to Dissolve was issued
to 819566 Alberta Ltd. on March 27, 2001.
Dated at Edmonton, Alberta, April 3, 2001.
Robert A. Engels, Solicitor.
_______________________
Notice is hereby given that a Certificate of Intent to Dissolve was issued
to Robins Southern Printing
(1982) Ltd. on March 30, 2001.
Dated at Lethbridge, Alberta, April 2, 2001.
J. Terrence Huzil, Solicitor.
______________________________________________________________________
NOTICE OF DISSOLUTION OF PARTNERSHIP
(Partnership Act)
Notice is hereby given that the partnership between Lesley Toomey and
Quinten Brown, carrying on business under the name Kidz Canada, was
dissolved effective March 16, 2001 pursuant to the Partnership Act
(Alberta).
Dated at Edmonton, Alberta, March 21, 2001.
7-8
______________________________________________________________________
PUBLIC SALE OF LAND
(Municipal Government Act)
COUNTY OF ATHABASCA NO. 12
Notice is hereby given that under the provisions of the Municipal
Government Act, the County of Athabasca No. 12 will offer for sale, by
public auction, in the County Administration Building, 3602-48 Avenue,
Athabasca, Alberta on Friday, June 29, 2001 at 10 a.m. the following lands:
Legal
Acres
Title#
Pt. NE-21-67-18-4, Plan 581 HW, Block 1, Lot 3
Pt. NW-16-65-22-4, Plan 822 0036, Block 4, Lot 12
3.04
SW-24-63-20-4
156.07
SE-34-66-20-4
155.51
922369229+1
SW-09-72-16-4
160.00
Pt. SW-01-64-20-4, Plan 1604 HW, Block 2, Lot 1
Pt. SW-01-64-20-4, Plan 1604 HW, Block 2, Lot 2
962095830+1
Pt. NW-29-65-20-4
3.00
228-M-184
Pt. NE-36-71-17-4, Plan 5177 NY, Block 1, Lot 2
NE-25-65-22-4
159.00
162-E-231
Pt. NE-25-65-23-4
10.45
Each parcel will be offered for sale subject to a reserve bid and to the
reservations and conditions contained in the existing certificate of title.
Conditions: Sale subject to the approval of Sales Agreement.
The County of Athabasca No. 12 may, after the public auction, become the
owner of any parcel of land that is not sold at the public auction.
Terms: Cash or certified cheque. 10% deposit and balance within 30 days of
date of public auction. G.S.T. may apply.
Redemption may be effected by payment of all arrears of taxes and costs at
any time prior to the sale.
Dated at Athabasca, Alberta, April 2, 2001.
Brian Pysyk, Municipal Treasurer.
_______________________
CYPRESS COUNTY
Notice is hereby given that under the provisions of the Municipal
Government Act, Cypress County will offer for sale, by public auction, in
the Council Chambers, Dunmore, Alberta on Friday, June 22, 2001 at 10 a.m.
the following lands:
Lot
Block
Plan
C of T
35-36
610W
741 020 415D
901 272 721
Pt of Sec
Sec
Twp
Rge
Area
C of T
4.00
120J6
8.14
001 173 434
Each parcel will be offered for sale subject to a reserve bid and to the
reservations and conditions contained in the existing certificate of title.
Cypress County may, after the public auction, become the owner of any
parcel of land that is not sold at the public auction.
Terms: Cash.
Redemption may be effected by payment of all arrears of taxes and costs at
any time prior to the sale.
Dated at Dunmore, Alberta, April 2, 2001.
Keith Bender, Designated Officer.
_______________________
MUNICIPAL DISTRICT OF SPIRIT RIVER NO. 133
Notice is hereby given that under the provisions of the Municipal
Government Act, the Municipal District of Spirit River No. 133 will offer
for sale, by public auction, in the Municipal Office, Council Chambers,
Spirit River, Alberta on Thursday, June 21, 2001 at 2 p.m. the following
lands:
Lot
Plan
Roll Number
C of T
972 371 153
This parcel will be offered for sale subject to a reserve bid and to the
reservations and conditions contained in the existing certificate of title.
The parcel is being offered for sale on an "as is, where is" basis, and the
Municipal District of Spirit River No. 133 makes no representation and
gives no warranty whatsoever as to the adequacy of services, soil
conditions, land use districting, building and environmental contamination,
or the developability of the subject land for any intended use by the
Purchaser.
No bid will be accepted where the bidder attempts to attach conditions
be considered other than those specified by the Municipal District of
Spirit River No. 133. No further information is available at the auction
regarding the lands to be sold.
The Municipal District of Spirit River No. 133 may, after the public
auction, become the owner of any parcel of land that is not sold at the
public auction.
Terms: Cash or certified cheque. 10% deposit and balance payable within 30
days of the date of the Public Auction.
Redemption may be effected by payment of all arrears of taxes and costs at
any time prior to the sale.
Dated at Spirit River, Alberta, April 10, 2001.
Ken Hollinger, Municipal Administrator.
_______________________
TOWN OF CORONATION
Notice is hereby given that under the provisions of the Municipal
Government Act, the Town of Coronation will offer for sale, by public
auction, in the Town Administration Building, 5006 Royal Street,
Coronation, Alberta on Monday, June 27, 2001 at 2 p.m. the following lands:
Lot
Block
Plan
17, 18
8149AH
802-1520
33 to 38
802-2216
4989AM
Each parcel will be offered for sale subject to a reserve bid and to the
reservations and conditions contained in the existing certificate of title.
The Town of Coronation may, after the public auction, become the owner of
any parcel of land that is not sold at the public auction.
Terms: Cash.
Redemption may be effected by payment of all arrears of taxes and costs at
any time prior to the sale.
Dated at Coronation, Alberta, April 2, 2001.
Terence Schneider, Municipal Administrator.
_______________________
TOWN OF FORT MACLEOD
Notice is hereby given that under the provisions of the Municipal
Government Act, the Town of Fort Macleod will offer for sale, by public
auction, in the Council Chambers at the Town Office, Fort Macleod, Alberta
on Monday, June 25, 2001 at 10 a.m. the following lands:
Title
Lot
Block
Plan
931 182 027
14 LK
931 182 027 +1
14 LK
Each parcel will be offered for sale subject to a reserve bid and to the
reservations and conditions contained in the existing certificate of title.
The Town of Fort Macleod may, after the public auction, become the owner of
any parcel of land that is not sold at the public auction.
Terms: Cash.
Redemption may be effected by payment of all arrears of taxes and costs at
any time prior to the sale.
Dated at Fort Macleod, Alberta, April 6, 2001.
Lane McLaren, Municipal Manager.
VILLAGE OF DELBURNE
Notice is hereby given that under the provisions of the Municipal
Government Act, the Village of Delburne will offer for sale, by public
auction, in the Village Office, Delburne, Alberta on Tuesday, June 19, 2001
at 1 p.m. the following lands:
Plan
Block
Lot
LINC
Title No
1923 HW
0019 006 155
872 023 099
Each parcel will be offered for sale subject to a reserve bid and to the
reservations and conditions contained in the existing certificate of title.
The Village of Delburne may, after the public auction, become the owner of
any parcel of land that is not sold at the public auction.
Terms: Cash, letter of credit from a banking institution, certified cheque
or money order.
Redemption may be effected by payment of all arrears of taxes and costs at
any time prior to the sale.
Dated at Delburne, Alberta, April 19, 2001.
Debbie Bobocel, Municipal Administrator.
_______________________
VILLAGE OF PARADISE VALLEY
Notice is hereby given that under the provisions of the Municipal
Government Act, the Village of Paradise Valley will offer for sale, by
public auction, in the Village Office, Paradise Valley, Alberta on Tuesday,
June 12, 2001 at 3:30 p.m. the following lands:
Lot
Block
Plan
Portion of B
1982 EO
Each parcel will be offered for sale subject to a reserve bid and to the
reservations and conditions contained in the existing certificate of title.
The Village of Paradise Valley may, after the public auction, become the
owner of any parcel of land that is not sold at the public auction.
Terms: Cash.
Redemption may be effected by payment of all arrears of taxes and costs at
any time prior to the sale.
Dated at Paradise Valley, Alberta, April 17, 2001.
Connie L. Wilkinson, Municipal Administrator.
VILLAGE OF WILLINGDON
Notice is hereby given that under the provisions of the Municipal
Government Act, the Village of Willingdon will offer for sale, by public
auction, in the Village Office, Willingdon, Alberta on Tuesday, June 12,
2001 at 11 a.m. the following lands:
Lot
Block
Plan
5920MC
Each parcel will be offered for sale subject to a reserve bid and to the
reservations and conditions contained in the existing certificate of title.
The Village of Willingdon may, after the public auction, become the owner
of any parcel of land that is not sold at the public auction.
Terms: Cash.
Redemption may be effected by payment of all arrears of taxes and costs at
any time prior to the sale.
Dated at Willingdon, Alberta, March 27, 2001.
Olivia Walcheske, Administrator.
ALBERTA GOVERNMENT SERVICES
_______________
CORPORATE REGISTRY
_______________
REGISTRAR'S PERIODICAL
ALBERTA GOVERNMENT SERVICES
CORPORATE REGISTRY
REGISTRAR'S PERIODICAL
CORPORATE REGISTRATIONS, INCORPORATIONS, AND CONTINUATIONS
(Business Corporations Act, Cemetery Companies Act, Companies Act,
Co-operative Associations Act, Credit Union Act, Loan and Trust
Corporations Act, Religious Societies' Land Act, Rural Utilities Act,
Societies Act, Partnership Act)
______________________________________________________________________
101005711 SASKATCHEWAN LTD. Other Prov/Territory Corps Registered 2001 MAR
22 Registered Address: 29 WESTOVER CRES, BOX 1407, CLARESHOLM ALBERTA, T0L
0T0. No: 219256005.
101018091 SASKATCHEWAN LTD. Other Prov/Territory Corps Registered 2001 MAR
26 Registered Address: 5105-49 STREET, P.O. BOX 500, LLOYDMINSTER/ SK
ALBERTA, S9V 0Y6. No: 219261591.
106 AVENUE PROPERTY LTD. Named Alberta Corporation Incorporated 2001 MAR 19
Registered Address: 400-10240 124 ST NW, EDMONTON ALBERTA, T5N 3W6. No:
114TH STREET APARTMENTS LTD. Named Alberta Corporation Incorporated 2001
MAR 28 Registered Address: 400-10240 124 ST NW, EDMONTON ALBERTA, T5N 3W6.
No: 209265347.
2020 MANAGEMENT INC. Named Alberta Corporation Incorporated 2001 MAR 20
Registered Address: 1400, 10303 JASPER AVENUE, EDMONTON ALBERTA, T5J 3N6.
No: 209251537.
23 SOLUTIONS INC. Named Alberta Corporation Incorporated 2001 MAR 20
Registered Address: 15236 - 52 STREET, EDMONTON ALBERTA, T5A 4Y1. No:
3 FOR 1 OPTICAL (CALGARY #1) INC. Named Alberta Corporation Incorporated
2001 MAR 30 Registered Address: 1019 RUNDLEVIEW DRIVE, CANMORE ALBERTA, T1W
2P5. No: 209270107.
3049924 NOVA SCOTIA COMPANY Other Prov/Territory Corps Registered 2001 MAR
22 Registered Address: 4500, 855 - 2 STREET S.W., CALGARY ALBERTA, T2P 4K7.
No: 219256690.
3DDD OILFIELD SERVICES LTD. Named Alberta Corporation Incorporated 2001 MAR
21 Registered Address: 11809 96A STREET, GRANDE PRAIRIE ALBERTA, T8V 3R2.
No: 209254275.
575764 B.C. LTD. Other Prov/Territory Corps Registered 2001 MAR 21
Registered Address: BOX 69, CAROLINE ALBERTA, T0M 0M0. No: 219255379.
586857 B.C. LTD. Other Prov/Territory Corps Registered 2001 MAR 29
Registered Address: 1200, 700 - 2ND STREET S.W., CALGARY ALBERTA, T2P 4V5.
No: 219268844.
620 CONNAUGHT LTD. Named Alberta Corporation Incorporated 2001 MAR 30
Registered Address: 213 PEMBINA AVENUE, HINTON ALBERTA, T7V 2B3. No:
620241 BRITISH COLUMBIA LTD. Other Prov/Territory Corps Registered 2001 MAR
21 Registered Address: 2700, 10155 - 102 STREET, EDMONTON ALBERTA, T5J 4G8.
No: 219253242.
7-WOLF HOLDINGS LTD. Named Alberta Corporation Incorporated 2001 MAR 27
Registered Address: 111 2A AVENUE S.W., HIGH RIVER ALBERTA, T1V 1P6. No:
920518 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 24
Registered Address: 1335 41 ST SE, CALGARY ALBERTA, T2A 1K7. No: 209205186.
920780 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 25
Registered Address: 1500, 888 - 3RD STREET S.W., CALGARY ALBERTA, T2P 5C5.
No: 209207802.
921265 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 27
Registered Address: 34 MARQUIS MEADOWS PLACE, CALGARY ALBERTA, T2P 2G6. No:
921919 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 22
Registered Address: 3036 UTAH DRIVE NW, CALGARY ALBERTA, T2N 4A1. No:
922540 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 20
Registered Address: 765, 101 - 6 AVE SW, CALGARY ALBERTA, T2P 3P4. No:
923499 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 29
Registered Address: 48 PARKVIEW DRIVE, CALMAR ALBERTA, T0C 0V0. No:
923849 ALBERTA INC. Numbered Alberta Corporation Incorporated 2001 MAR 20
Registered Address: 239 ARBOUR BUTTE ROAD N.W., CALGARY, ALBERTA, T3G 4L7.
No: 209238492.
924350 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 19
Registered Address: #202, 4310- 17TH AVENUE SE, CALGARY ALBERTA, T2A 0T4.
No: 209243500.
924351 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 21
Registered Address: 500-10655 SOUTHPORT ROAD SW, CALGARY ALBERTA, T2W 4Y1.
No: 209243518.
924352 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 27
Registered Address: 2223 GLENMOUNT DRIVE SW, CALGARY ALBERTA, T3E 4C1. No:
924384 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 16
Registered Address: 2401 TD TOWER, 10088 102 AVENUE, EDMONTON ALBERTA, T5J
2Z1. No: 209243849.
924442 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 16
Registered Address: 5015-50 STREET, VEGREVILLE ALBERTA, T9C 1R2. No:
924489 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 16
Registered Address: 2600, 10180-101 STREET, EDMONTON ALBERTA, T5J 3Y2. No:
924548 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 26
Registered Address: #1900, 350 - 7TH AVENUE SW, CALGARY ALBERTA, T2P 3N9.
No: 209245489.
924607 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 16
Registered Address: 712, 10711 SASKATCHEWAN DRIVE, EDMONTON ALBERTA, T6E
4S4. No: 209246073.
924617 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 16
Registered Address: 2401 TD TOWER, 10088 102 AVENUE, EDMONTON ALBERTA, T5J
2Z1. No: 209246172.
924618 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 16
Registered Address: 1955, 10155 - 102 STREET, EDMONTON ALBERTA, T5J 4G8.
No: 209246180.
924619 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 16
Registered Address: 1955, 10155 - 102 STREET, EDMONTON ALBERTA, T5J 4G8.
No: 209246198.
924621 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 16
Registered Address: 1955, 10155 - 102 STREET, EDMONTON ALBERTA, T5J 4G8.
No: 209246214.
924622 ALBERTA INC. Numbered Alberta Corporation Incorporated 2001 MAR 16
Registered Address: 4336 74 STREET, EDMONTON ALBERTA, T6K 0W2. No:
924623 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 16
Registered Address: 4500, 855 - 2ND STREET S.W., CALGARY ALBERTA, T2P 4K7.
No: 209246230.
924630 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 16
Registered Address: 228-4144A 97 ST NW, EDMONTON ALBERTA, T6E 5Y6. No:
924633 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 16
Registered Address: 1624 - 50 AVENUE SW, CALGARY ALBERTA, T2T 2V9. No:
924637 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 16
Registered Address: 545 SHAWINIGAN DRIVE S.W., CALGARY ALBERTA, T2Y 2Z5.
No: 209246370.
924641 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 16
Registered Address: #600, 220 - 4 STREET SOUTH, LETHBRIDGE ALBERTA, T1J
4J7. No: 209246412.
924643 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 16
Registered Address: 1601 333 11 AVENUE SW, CALGARY ALBERTA, T2R 1L9. No:
924645 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 16
Registered Address: 5107 - 48 STREET, LLOYDMINSTER ALBERTA, T9V 0H9. No:
924647 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 16
Registered Address: #600, 220 - 4 STREET SOUTH, LETHBRIDGE ALBERTA, T1J
4J7. No: 209246479.
924650 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 16
Registered Address: 71 BOW RIDGE ROAD, COCHRANE ALBERTA, T4C 1V3. No:
924660 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 16
Registered Address: 1110, 10080 JASPER AVENUE, EDMONTON ALBERTA, T5J 1V9.
No: 209246602.
924661 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 16
Registered Address: 3000, 237 - 4 AVENUE S.W., CALGARY ALBERTA, T2P 4X7.
No: 209246610.
924662 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 16
Registered Address: 908 4 AVENUE, FOX CREEK ALBERTA, T0H 1P0. No:
924675 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 16
Registered Address: 1314 SHOPPERS PARK MALL, GRANDE CACHE ALBERTA, T0E 0Y0.
No: 209246750.
924691 ALBERTA INC. Numbered Alberta Corporation Incorporated 2001 MAR 19
Registered Address: 1130, 1015 - 4TH STREET S.W., CALGARY ALBERTA, T2R 1J4.
No: 209246917.
924692 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 16
Registered Address: #400, 10235 - 101 STREET, EDMONTON ALBERTA, T5J 3G1.
No: 209246925.
924703 ALBERTA INC. Numbered Alberta Corporation Incorporated 2001 MAR 16
Registered Address: 4428B-17 AVE NW, CALGARY ALBERTA, T3B 0N8. No:
924718 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 16
Registered Address: NW-22-56-25-W4 No: 209247188.
924722 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 16
Registered Address: 100, 10328 - 81 AVENUE, EDMONTON ALBERTA, T6E 1X2. No:
924727 ALBERTA INC. Numbered Alberta Corporation Incorporated 2001 MAR 16
Registered Address: 4 STONESHIRE CRESCENT, SPRUCE GROVE ALBERTA, T7Z 3C9.
No: 209247279.
924732 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 16
Registered Address: 200 WEST TOWER, 14310 - 111 AVE., EDMONTON ALBERTA, T5M
3Z7. No: 209247329.
924740 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 16
Registered Address: 4215 BOWLEN ST. NW, CALGARY ALBERTA, T2L LP8. No:
924741 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 16
Registered Address: 602, 734 - 7TH AVENUE S.W., CALGARY ALBERTA, T2P 3P8.
No: 209247410.
924745 ALBERTA INC. Numbered Alberta Corporation Incorporated 2001 MAR 16
Registered Address: 300, 2303 - 4 STREET SW, CALGARY ALBERTA, T2S 2S7. No:
924746 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 16
Registered Address: #700, 603 - 7TH AVENUE S.W., CALGARY ALBERTA, T2P 2T5.
No: 209247469.
924748 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 16
Registered Address: 10432 JASPER AVENUE, EDMONTON ALBERTA, T5J 1Z3. No:
924752 ALBERTA INC. Numbered Alberta Corporation Incorporated 2001 MAR 16
Registered Address: 300, 2303 - 4 STREET SW, CALGARY ALBERTA, T2S 2S7. No:
924754 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 16
Registered Address: 602, 734 - 7TH AVENUE S.W., CALGARY ALBERTA, T2P 3P8.
No: 209247543.
924755 ALBERTA INC. Numbered Alberta Corporation Incorporated 2001 MAR 16
Registered Address: 300, 2303 - 4 STREET SW, CALGARY ALBERTA, T2S 2S7. No:
924758 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 16
Registered Address: 2604 38 STREET N.E., CALGARY ALBERTA, T1Y 3K1. No:
924759 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 16
Registered Address: 602, 734 - 7TH AVENUE S.W., CALGARY ALBERTA, T2P 3P8.
No: 209247592.
924763 ALBERTA INC. Numbered Alberta Corporation Incorporated 2001 MAR 19
Registered Address: C/O KLER HORIZONS INC. 17 RADISSON CRT SE, MEDICINE HAT
ALBERTA, T1B 2X5. No: 209247634.
924764 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 16
Registered Address: MILNE & COMPANY, 300 - 10655 SOUTHPORT ROAD SW, CALGARY
ALBERTA, T2W 4Y1. No: 209247642.
924770 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 16
Registered Address: 602, 734 - 7TH AVENUE S.W., CALGARY ALBERTA, T2P 3P8.
No: 209247709.
924772 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 16
Registered Address: 9011 - 137 AVENUE NW, EDMONTON ALBERTA, T5E 1Y3. No:
924777 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 16
Registered Address: 3700, 400 - 3RD AVENUE SW, CALGARY ALBERTA, T2P 4H2.
No: 209247774.
924778 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 16
Registered Address: 5003 49TH STREET, WASKATENAU ALBERTA, T0A 3P0. No:
924780 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 16
Registered Address: 10132 112 AVENUE, GRANDE PRAIRIE ALBERTA, T8V 1V7. No:
924781 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 16
Registered Address: 602, 734 - 7TH AVENUE S.W., CALGARY ALBERTA, T2P 3P8.
No: 209247816.
924782 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 16
Registered Address: 3700, 400 - 3RD AVENUE SW, CALGARY ALBERTA, T2P 4H2.
No: 209247824.
924784 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 16
Registered Address: # 204, 3716 - 61ST AVENUE SE, CALGARY ALBERTA, T2C 1Z4.
No: 209247840.
924794 ALBERTA INC. Numbered Alberta Corporation Incorporated 2001 MAR 20
Registered Address: 27 SILVERGROVE CRES NW, CALGARY ALBERTA, T3B 4M6. No:
924795 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 16
Registered Address: 15 WOODGLEN WAY SW, CALGARY ALBERTA, T2W 4W8. No:
924797 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 16
Registered Address: 23 PARK CREST, WEST COVE ALBERTA, T0E 0C0. No:
924801 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 16
Registered Address: 4708 48 AVENUE, EVANSBURG ALBERTA, T0E O5O. No:
924833 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 17
Registered Address: 5808-190A STREET, EDMONTON ALBERTA, T6M 2G5. No:
924836 ALBERTA INC. Numbered Alberta Corporation Incorporated 2001 MAR 17
Registered Address: 3-2006 URQUHART RD NW, CALGARY ALBERTA, T2N 4C5. No:
924839 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 17
Registered Address: 1302 38 STREET SE, CALGARY ALBERTA, T2A 1G5. No:
924843 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 18
Registered Address: #200, 2312 - 4 STREET SW, CALGARY ALBERTA, T2S 1X2. No:
924844 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 18
Registered Address: #200, 2312 - 4 STREET SW, CALGARY ALBERTA, T2S 1X2. No:
924845 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 18
Registered Address: #200, 2312 - 4 STREET SW, CALGARY ALBERTA, T2S 1X2. No:
924846 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 18
Registered Address: #200, 2312 - 4 STREET SW, CALGARY ALBERTA, T2S 1X2. No:
924847 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 18
Registered Address: #200, 2312 - 4 STREET SW, CALGARY ALBERTA, T2S 1X2. No:
924848 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 18
Registered Address: 1901 TORONTO DOMINION TOWER, 10088 102 AVENUE, EDMONTON
ALBERTA, T5J 2Z1. No: 209248483.
924849 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 18
Registered Address: #200, 2312 - 4 STREET SW, CALGARY ALBERTA, T2S 1X2. No:
924851 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 18
Registered Address: #200, 2312 - 4 STREET SW, CALGARY ALBERTA, T2S 1X2. No:
924852 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 18
Registered Address: #200, 2312 - 4 STREET SW, CALGARY ALBERTA, T2S 1X2. No:
924853 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 18
Registered Address: #200, 2312 - 4 STREET SW, CALGARY ALBERTA, T2S 1X2. No:
924854 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 18
Registered Address: 1901 TORONTO DOMINION TOWER, 10088 102 AVENUE, EDMONTON
ALBERTA, T5J 2Z1. No: 209248541.
924855 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 18
Registered Address: #200, 2312 - 4 STREET SW, CALGARY ALBERTA, T2S 1X2. No:
924860 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 19
Registered Address: APT H, 3378 SPRUCE DRIVE SW, CALGARY ALBERTA, T3C 3A2.
No: 209248608.
924863 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 20
Registered Address: 208 FERNANDO PLACE NE, CALGARY ALBERTA, T1Y 7J1. No:
924867 ALBERTA INC. Numbered Alberta Corporation Incorporated 2001 MAR 19
Registered Address: 700, 10655 SOUTHPORT ROAD S.W., CALGARY ALBERTA, T2W
4Y1. No: 209248673.
924868 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 19
Registered Address: 320 EDMONTON CENTER, 10205 101 STREET, EDMONTON
ALBERTA, T5J 4H5. No: 209248681.
924870 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 19
Registered Address: 104 CASTLEDALE CRES NE, CALGARY ALBERTA, T3J 1X4. No:
924883 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 19
Registered Address: 3000, 700 - 9TH AVENUE S.W., CALGARY ALBERTA, T2P 3V4.
No: 209248830.
924888 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 19
Registered Address: 12056 25 AVE, EDMONTON ALBERTA, T6J 4G6. No: 209248889.
924894 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 19
Registered Address: #1010, 530 - 8TH AVENUE S.W., CALGARY ALBERTA, T2P 3S8.
No: 209248947.
924904 ALBERTA INC Numbered Alberta Corporation Incorporated 2001 MAR 19
Registered Address: 3209 7TH STREET SW, CALGARY ALBERTA, T2T 2X8. No:
924907 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 19
Registered Address: 1905-31 AVENUE SW, CALGARY ALBERTA, T2T 1T1. No:
924908 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 19
Registered Address: 3200, 10180 - 101 STREET, EDMONTON ALBERTA, T5J 3W8.
No: 209249085.
924909 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 27
Registered Address: 2319, 10770 WINTERBURN ROAD NW, EDMONTON ALBERTA, T5S
1T5. No: 209249093.
924912 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 19
Registered Address: 6820 98 AVENUE, EDMONTON ALBERTA, T6A 0A5. No:
924921 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 19
Registered Address: 3200, 10180 101 ST, EDMONTON ALBERTA, T5J 3W8. No:
924922 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 19
Registered Address: 35 ALTON ST., RED DEER ALBERTA, T4R 2G9. No: 209249226.
924923 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 19
Registered Address: 3200, 10180 101 STREET, EDMONTON ALBERTA, T5J 3W8. No:
924927 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 19
Registered Address: 3200, 10180 101 STREET, EDMONTON ALBERTA, T5J 3W8. No:
924934 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 19
Registered Address: #406, 2675-36TH STREET N.E., CALGARY ALBERTA, T1Y 6H6.
No: 209249341.
924946 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 19
Registered Address: 537 - 7 STREET SOUTH, LETHBRIDGE ALBERTA, T1J 2G8. No:
924950 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 19
Registered Address: 5107, 205 HERITAGE DRIVE S.E., CALGARY ALBERTA, T2H
2J8. No: 209249507.
924953 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 19
Registered Address: 1710, 540 - 5 AVENUE S.W., CALGARY ALBERTA, T2P 0M2.
No: 209249531.
924954 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 19
Registered Address: 3717 47 STREET, RED DEER ALBERTA, T4N 1N4. No:
924956 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 19
Registered Address: 504, 4909 - 49 STREET, RED DEER ALBERTA, T4N 1V1. No:
924962 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 19
Registered Address: 104-CASTLEGLEN RD. NE, CALGARY ALBERTA, T3J 1T1. No:
924968 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 19
Registered Address: 87 PASADENA GARDENS NE, CALGARY ALBERTA, T1Y 6M1. No:
924982 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 20
Registered Address: 4 BUTTERFIELD CR, ST. ALBERT ALBERTA, T8N 2W7. No:
924990 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 19
Registered Address: #2250, 10104 103 AVENUE, EDMONTON ALBERTA, T5J 0H8. No:
924992 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 19
Registered Address: 303 12007 139 AVE, EDMONTON ALBERTA, T5X 3T1. No:
924993 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 19
Registered Address: #600, 220 - 4 STREET SOUTH, LETHBRIDGE ALBERTA, T1J
4J7. No: 209249937.
924994 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 19
Registered Address: 504 - 5TH STREET SOUTH, LETHBRIDGE ALBERTA, T1K 6L3.
No: 209249945.
925002 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 19
Registered Address: 10263 - 178 STREET, EDMONTON ALBERTA, T5S 1M3. No:
925004 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 19
Registered Address: #2250, 10104 103 AVENUE, EDMONTON ALBERTA, T5J 0H8. No:
925012 ALBERTA INC. Numbered Alberta Corporation Incorporated 2001 MAR 19
Registered Address: 192 WESTON DRIVE, SPRUCE GROVE ALBERTA, T7X 1TI. No:
925013 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 19
Registered Address: #2250, 10104 103 AVENUE, EDMONTON ALBERTA, T5J 0H8. No:
925024 ALBERTA INC. Numbered Alberta Corporation Incorporated 2001 MAR 19
Registered Address: #201, 93 MCLEOD AVENUE, SPRUCE GROVE ALBERTA, T7X 2Z9.
No: 209250240.
925028 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 19
Registered Address: SW-15-48-4-W5 No: 209250281.
925031 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 19
Registered Address: 3717 - 47 STREET, RED DEER ALBERTA, T4N 1N4. No:
925035 ALBERTA INC. Numbered Alberta Corporation Incorporated 2001 MAR 19
Registered Address: 1130, 1015 - 4TH STREET S.W., CALGARY, ALBERTA, T2R
1J4. No: 209250356.
925036 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 19
Registered Address: 3712 RICHMOND ROAD SW, CALGARY ALBERTA, T3E 4N9. No:
925037 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 19
Registered Address: #220, 3016- 19TH STREET NE, CALGARY ALBERTA, T2E 6Y9.
No: 209250372.
925042 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 19
Registered Address: 1031, 14405 - 127 STREET, EDMONTON ALBERTA, T6V 1A8.
No: 209250422.
925063 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 19
Registered Address: 194 CLAREVIEW ROAD, EDMONTON ALBERTA, T5A 3Y5. No:
925082 ALBERTA CORP Numbered Alberta Corporation Incorporated 2001 MAR 19
Registered Address: 2833 EDENWOLD HEIGHTS NW, CALGARY ALBERTA, T3A 3Y5. No:
925097 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 20
Registered Address: 5006 - 50 STREET, BARRHEAD ALBERTA, T7N 1A4. No:
925102 ALBERTA INC. Numbered Alberta Corporation Incorporated 2001 MAR 20
Registered Address: 850 10201 SOUTHPORT ROAD SW, CALGARY ALBERTA, T2W 4X9.
No: 209251024.
925104 ALBERTA LTD Numbered Alberta Corporation Incorporated 2001 MAR 20
Registered Address: 820 BAY VIEW CRES, STRATHMORE ALBERTA, T1P 1E2. No:
925105 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 20
Registered Address: 307 LYNNVIEW ROAD S.E., CALGARY ALBERTA, T2C 3A6. No:
925108 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 20
Registered Address: C200, 9705 HORTON ROAD S.W., CALGARY ALBERTA, T2V 2X5.
No: 209251081.
925127 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 20
Registered Address: 3550 CATALINA BLVD NE, CALGARY ALBERTA, T1Y 6W5. No:
925132 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 20
Registered Address: 3712 - 10 AVENUE NW, EDMONTON ALBERTA, T6L 2L1. No:
925134 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 20
Registered Address: #219, 6203 - 28 AVENUE, EDMONTON ALBERTA, T6L 6K3. No:
925150 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 20
Registered Address: 209 4A STREET, FOX CREEK ALBERTA, T0H 1P0. No:
925160 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 20
Registered Address: #2250, 10104 103 AVENUE, EDMONTON ALBERTA, T5J 0H8. No:
925161 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 20
Registered Address: 14732 106A AVE, EDMONTON ALBERTA, T5N 1E8. No:
925170 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 20
Registered Address: #2250, 10104 103 AVENUE, EDMONTON ALBERTA, T5J 0H8. No:
925178 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 21
Registered Address: ROYAL CANADIAN LEGION NO. 17 702 2 ST SW, MEDICINE HAT
ALBERTA, T1A 0E1. No: 209251784.
925182 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 20
Registered Address: SW 12, 106, 16 W 5 No: 209251826.
925193 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 20
Registered Address: 460, 630 - 4 AVENUE S.W., CALGARY ALBERTA, T2P 0J9. No:
925200 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 20
Registered Address: 141 SHAWFIELD BAY SW, CALGARY ALBERTA, T2Y 2W4. No:
925204 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 20
Registered Address: 701, 10060 JASPER AVENUE, EDMONTON ALBERTA, T5J 3R8.
No: 209252048.
925212 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 20
Registered Address: 1400, 350 - 7TH AVENUE S.W., CALGARY ALBERTA, T2P 3N9.
No: 209252121.
925214 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 20
Registered Address: 3706 131A AVE, EDMONTON ALBERTA, T5A 4Y8. No:
925222 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 20
Registered Address: 104B-2 ALBERTA DRIVE, FORT MCMURRAY ALBERTA, T9H 1P4.
No: 209252220.
925224 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 20
Registered Address: 283 FALSHIRE WAY NE, CALGARY ALBERTA, T3J 2B3. No:
925226 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 21
Registered Address: 200-9914 MORRISON STREET, FORT MCMURRAY ALBERTA, T9H
4A4. No: 209252261.
925229 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 20
Registered Address: 104B-2 ALBERTA DRIVE, FORT MCMURRAY ALBERTA, T9H 1P4.
No: 209252295.
925241 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 20
Registered Address: 214, 9914 MORRISON STREET, FORT MCMURRAY ALBERTA, T9H
4A4. No: 209252410.
925251 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 20
Registered Address: 1900, 715 - 5 AVENUE S.W., CALGARY ALBERTA, T2P 2X6.
No: 209252519.
925257 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 20
Registered Address: 225-WHEATLAND TRAIL, STRATHMORE ALBERTA, T1P 1K3. No:
925265 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 21
Registered Address: 625 18 STREET NORTH, LETHBRIDGE ALBERTA, T1H 4X6. No:
925273 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 20
Registered Address: 4819C - 48TH AVE., RED DEER ALBERTA, T4N 3T2. No:
925291 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 20
Registered Address: 4505 40A ST, ST. PAUL ALBERTA, T0A 3A2. No: 209252915.
925305 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 20
Registered Address: 11309 LEONARD STREET, GRANDE CACHE ALBERTA, T0E 0Y0.
No: 209253053.
925313 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 21
Registered Address: 10209 - 111 STREET, EDMONTON ALBERTA, T5K 2V6. No:
925323 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 21
Registered Address: 5401A - 50 AVENUE, TABER ALBERTA, T1G 1V2. No:
925332 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 21
Registered Address: 5220 - 50 AVENUE, WETASKIWIN ALBERTA, T9A 0S8. No:
925338 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 21
Registered Address: #201, 4702 - 49 AVENUE, RED DEER ALBERTA, T4N 6L5. No:
925339 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 21
Registered Address: 172 CORAL SPRINGS CLOSE NE, CALGARY ALBERTA, T3J 3S6.
No: 209253392.
925357 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 21
Registered Address: 329 CORAL SPRINGS PLACE NE, CALGARY ALBERTA, T3J 3P2.
No: 209253574.
925365 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 21
Registered Address: 35 ALTON STREET, RED DEER ALBERTA, T4R 2G9. No:
925378 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 21
Registered Address: 5401A - 50 AVENUE, TABER ALBERTA, T1G 1V2. No:
925384 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 21
Registered Address: 196-3 AVE WEST, DRUMHELLER ALBERTA, TOJ OYO. No:
925390 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 21
Registered Address: #201, 7 PERRON STREET, ST. ALBERT ALBERTA, T8N 1E3. No:
925393 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 22
Registered Address: 920 ROCKY MOUNTAIN PLAZA, 615 MACLEOD TRAIL S, CALGARY
ALBERTA, T2G 4T8. No: 209253939.
925405 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 21
Registered Address: 1760, THE PHIPPS-MCKINNON BLDG., 10020 101A AVENUE,
EDMONTON ALBERTA, T5J 3G2. No: 209254051.
925407 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 21
Registered Address: 5401A - 50 AVENUE, TABER ALBERTA, T1G 1V2. No:
925411 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 21
Registered Address: 511, 816 - 4 AVENUE SW, CALGARY ALBERTA, T2P 2Y1. No:
925423 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 21
Registered Address: #101, 5001 - 49 AVENUE, BONNYVILLE ALBERTA, T9N 2J3.
No: 209254234.
925429 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 21
Registered Address: 21 MARTINVIEW CLOSE NE, CALGARY ALBERTA, T3J 2R2. No:
925436 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 21
Registered Address: #205, 2411 - 4TH STREET N.W., CALGARY ALBERTA, T2M 2Z8.
No: 209254366.
925442 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 MAR 21
Registered Address: 219 - 10 STREET, WAINWRIGHT ALBERTA, T9W 1N7. No:
925462 ALBERTA LTD. Numbered Alberta Corporation Incorp