Alberta Gazette, Part I — Monday, August 15, 2005
Monday, August 15, 2005
Alberta — Gazette
The Alberta Gazette
Part I
Vol. 101 Edmonton, Monday, August 15, 2005 No. 15
PROCLAMATION
[GREAT SEAL]
CANADA
PROVINCE OF ALBERTA Norman Kwong, 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 all to Whom these Presents shall come
G R E E T I N G
WHEREAS
section 130 of the Family Law Act provides that that Act comes into force on Proclamation; and
WHEREAS it is expedient to proclaim the Family Law Act, except sections 113(4) and (5) and 114(2), (4), (6) and (7)(b), 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 the Family Law Act, except sections 113(4) and (5) and 114(2), (4), (6) and (7)(
b) in force on October 1, 2005.
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 NORMAN L. KWONG, Lieutenant Governor of Our Province of Alberta, in Our City of Edmonton in Our Province of Alberta, this 26th day of July in the Year of Our Lord Two Thousand Five and in the Fifty-fourth Year of Our Reign.
BY COMMAND Ron Stevens, Provincial Secretary.
APPOINTMENTS
(Provincial Court Act)
Designation of Assistant Chief Judge
August 1, 2005
The Honourable Judge Jack Gordon Easton
The above appointment is for a five-year term.
RESIGNATIONS & RETIREMENTS
(Justice of the Peace Act)
Resignation of Justice of the Peace
June 14, 2005
Kayla Hesse of Calgary
Naomi Cohen of Calgary
Priscilla Crowchild of Calgary
July 11, 2005
Diane Cleland of Calgary
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 Bow River Irrigation District, I hereby request that the Irrigation Secretariat forward a certified copy of this notice to the Registrar for Land Titles for the purposes of registration under
Section 22 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 notation added to the certificate of title:
LINC Number
Short Legal Description
as shown on title
Title Number
0022 262 513
South West 12-16-19-W4M
891 126 144
0022 262 547
North East 12-16-19-W4M
891 126 145
I certify the procedures required under
part 4 of the Irrigation Districts Act have been completed and the area of the Bow River Irrigation District should be changed according to the above list.
Laurie Hodge, Office Manager,
Irrigation Secretariat.
______________
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 for Land Titles for the purposes of registration under
Section 22 of the Land Titles Act and arrange for notice to be published in the Alberta Gazette.
The following parcels of land should be removed from the irrigation district and the notation removed from the certificate of title:
LINC Number
Short Legal Description
as shown on title
Title Number
4;6;12;11;SW
I certify 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.
______________
Notice to Irrigation Secretariat:
Change of Area of an Irrigation District
On behalf of the Western Irrigation District, I hereby request that the Irrigation Secretariat forward a certified copy of this notice to the Registrar for Land Titles for the purposes of registration under
Section 22 of the Land Titles Act and arrange for notice to be published in the Alberta Gazette.
The following parcels of land should be removed from the irrigation district and the notation removed from the certificate of title:
LINC Number
Short Legal Description
as shown on title
Title Number
9711654;5;28
7710634;4;43
7710634;5;8
9812887;5;5
9812349;3;2
8010030;9;15
7710634;5;14
I certify the procedures required under
part 4 of the Irrigation Districts Act have been completed and the area of the Western Irrigation District should be changed according to the above list.
Laurie Hodge, Office Manager,
Irrigation Secretariat.
Community Development
Order Designating Provincial Historic Resource
(Historical Resources Act)
File: Des. 2121
I, Gary G. Mar, Minister charged with the administration of the Historical Resources Act, R.S.A. 2000 C. H-9, do hereby:
1. Pursuant to
section 20, subsection (1) of that Act, designate the site known as:
Alequiers, comprising; a 1901 log residence with 1920 addition; furnishings and objects directly associated with Ted and Janet Schintz; a 1920s log horse barn; a 1920s log ice house; a well; a hillside dugout/root cellar; a hayfield; a vegetable garden area; landscape elements including flower beds, a stone fish pond and tree plantings, together with the land legally described as:
Portion of Descriptive Plan 041 4204, Block 1, Lot 1
As shown on Plan 051 0536
Showing area required for designation of historic site (Alequiers Provincial Historic Resource)
Excepting thereout all mines and minerals
and municipally located in the Municipal District of Foothills, near Longview, Alberta
as a Provincial Historic Resource,
2. Give notice that pursuant to
section 20, 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
section 20, subsections (11) and (12) 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 before any sale or other disposition of the historic resource, serve notice of the proposed sale or other disposition on 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 after the historic resource is transferred to the person.
Signed at Edmonton, July 13, 2005.
Gary G. Mar, Minister.
______________
Order Designating Provincial Historic Resource
(Historical Resources Act)
File: Des. 2175
I, Gary G. Mar, Minister charged with the administration of the Historical Resources Act, R.S.A. 2000 C. H-9, do hereby:
1. Pursuant to
section 20, subsection (1) of that Act, designate the site known as the Canadian Northern Railway Station Building and Roundhouse Site Complex, together with the land legally described as:
Meridian 4, Range 20, Township 35,
Section 26 all that portion of the south half described as follows: bounded on the northeast of the south westerly limit of Fourth Street South as shown on Subdivision Plan 1482 CL; bounded on the southeast by the north westerly limit of Road Plan 2484 EU; bounded on the south by the southern boundary of said
Section 26 and bounded on the northwest by a line drawn parallel to and 672 feet perpendicularly distant north westerly from the north westerly limit of the station grounds as shown on Railway Plan 8493 AI, containing 10.5 hectares (26 acres) more or less.
Excepting thereout:
Hectares Acres (more or less)
A) Plan 9120063 – Road 0.217 0.54
B) Plan 9620415 – Subdivision 2.247 5.55
Excepting thereout all mines and minerals and the right to work the same.
Plan Big Valley 872 2315
Area (A)
(Railway Roundhouse) containing 2.379 hectares, more or less.
Excepting thereout all mines and minerals.
and municipally located at Big Valley, Alberta
as a Provincial Historic Resource,
2. Give notice that pursuant to
section 20, 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
section 20, subsections (11) and (12) 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 before any sale or other disposition of the historic resource, serve notice of the proposed sale or other disposition on 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 after the historic resource is transferred to the person.
Signed at Edmonton, July 20, 2005.
Gary G. Mar, Minister.
Environment
Hosting Expenses Exceeding $600.00
For the quarter ending June 30, 2005
Function: Annual Mutual Issues Meeting
Purpose: Annual Mutual Issues meeting between the cities of Edmonton and Calgary, and Southern and Northern Region management teams. To bring forward and share new policies, issues that effect the four parties.
Amount: $830.88
Date: March 17, 2005
Location: Calgary
Function: Workshop on reviewing specific oil sands projects
Purpose: To provide Federal/Provincial Review Team a clear understanding of the respective mandates and legislative needs involved in reviewing specific oil sands projects.
Amount: $1,043.05
Date: March 23, 2005
Location: Edmonton
Function: Climate Change and Genetic Resources workshop organized by Alberta Forest Genetic Resources Council
Purpose: Alberta Environment sponsored this event as a Climate Change Adaptation activity with an educational and outreach and stakeholder engagement focus.
Amount: $780.85
Date: April 13, 2005
Location: Edmonton
Function: Environmental Leader’s Forum
Purpose: Environmental Leaders Forum with various stakeholders.
Amount: $2,110.25
Date: April 20, 2005
Location: Edmonton
Function: Electricity Project Team meeting
Purpose: Meeting of the Advisory group to communicate updates and progress on recommendations.
Amount: $721.91
Date: May 6, 2005
Location: Calgary
Function: Alberta Water Council meeting
Purpose: To discuss water management issues with the stakeholders.
Amount: $881.13
Date: May 6, 2005
Location: Ft. McMurray
Function: International Climate Change workshop
Purpose: Workshop to consolidate the Alberta approach to international climate change.
Amount: $1,035.00
Date: May 31, 2005
Location: Edmonton
Infrastructure and Transportation
Sale or Disposition of Land
(Government Organization Act)
Name of Purchaser: The City of Red Deer
Consideration: $1.00 plus a Storm Off-Site Levy credit of $622,000 to be applied to no less than 115 acres.
Land Description: Plan 0521881, Block 1, Lot 1PUL (Public Utility Lot) excepting thereout all mines and minerals.
Justice
Hosting Expenses Exceeding $600.00
For the period April 1 to June 30, 2005
Purpose/Function: Justice Policy Advisory Committee Meeting
Date: April 27, 2005
Amount: $1,255.11
Location: Edmonton, Alberta
Municipal Affairs
Hosting Expenses Exceeding $600.00
For the period April 1, 2005 to June 30, 2005
Function: Alberta Association of Municipal Districts and Counties (AAMD & C) 2005 Spring Convention – Minister’s Open House
Date: April 5, 2005
Amount: $3,675.90
Location: Edmonton, Alberta
Purpose: To promote the relationship with elected officials in municipalities from across the province.
Function: Standards Council of Canada (SCC) Information Forum
Date: April 27, 2005
Amount: $1,858.79
Location: Edmonton, Alberta
Purpose: To host a standardization information forum wherein the various jurisdictions are given the opportunity to share their respective mandated standards and regulations. Representatives can become better familiarized with how the standards relate to their areas, and gain a better appreciation of the value of utilizing and supporting standardization.
Function: Dinner held during The 85th Meeting of the Canadian National Committee of the International Electrotechnical Commission
Date: May 2, 2005
Amount: $1,000.00
Location: Edmonton, Alberta
Purpose: To provide participants an opportunity to network and share experiences. Alberta Beef was the main menu item to promote Alberta’s beef industry.
Function: Council of Canadian Fire Marshals and Fire Commissioners Annual Conference
Date: July 9-14, 2005
Amount: $10,000.00
Location: Calgary, Alberta
Purpose: To support members in their efforts to minimize losses from fire.
Function: 2005 Assessment Review Board Training
Date: May 11, 2005
Amount: $618.70
Location: Vermilion, Alberta
Purpose: To introduce the Assessment Review Board members and clerks to their roles and responsibilities within the assessment and property tax system in Alberta.
Alberta Securities Commission
Amendments to Alberta Securities Commission (General) Rules
(Effective September 14, 2005)
(Securities Act)
Made as a rule by the Alberta Securities Commission on June 8, 2005 pursuant to sections 223 and 224 of the Securities Act.
AMENDMENTS TO ALBERTA SECURITIES COMMISSION RULES
(GENERAL)
(Effective September 14, 2005)
PART 1 AMENDMENTS TO ALBERTA SECURITIES COMMISSION RULES (GENERAL)
1.1 Amendment - The Alberta Securities Rules (General) are amended by;
(
a) repealing sections 65, 66, 66.1, 66.2, 70, 122, 122.1, 122.2, 123.1 and 126.
(
b) amending
section 4 by
(
i) striking “Multilateral Instrument 45-102 Resale of Securities” and substituting “National Instrument 45-102 Resale of Securities” in the introduction and in clause (f); and
(ii) striking “pursuant to
section 131(1) of the Act” in subclause (ii) of
section 4(
f) and substituting “under an exemption referred to in these Rules”.
(
c) adding the following provision before
section 69:
68.1 Registration exemption for exempt purchaser - The dealer registration requirement does not apply to a trade of a security if the party purchasing as principal is recognized by the Commission as an exempt purchaser.
(
d) adding the following after
section 69:
69.1 Registration exemption for promoter - The dealer registration requirement does not apply to a trade by an issuer in securities of its own issue with a promoter of the issuer or by a promoter of an issuer in securities of the issuer with another promoter of the issuer.
69.2 Registration exemption for issuers under the Rural Utilities Act - The dealer registration requirement does not apply to a trade of a voting security of a corporation to which the Rural Utilities Act applies.
69.3 Registration exemption for cooperative membership shares - The dealer registration requirement does not apply to a trade of membership shares, including member loans deemed to be membership shares as defined in the Cooperatives Act, issued by a cooperative to which that Act applies, if the aggregate acquisition cost for membership shares and member loans
(
a) for the first 18 months following incorporation is not greater than $10,000 per member and not more than $1,000 of that amount is payable for membership shares, and
(
b) in any subsequent year is not greater than
(i) $5,000 for cooperatives with 100 members or less, or
(ii) $2,500 cooperatives with more than 100 members.
69.4 Registration exemption for cooperative investment shares - The dealer registration requirement does not apply to a trade in investment shares as defined in the Cooperatives Act, issued by a cooperative pursuant to that Act, other than a cooperative under Division 1 or 4 of
Part 18 of that Act, if
(
a) the investment shares are purchased only by members of the cooperative who have been members of the cooperative for at least 12 months before the share purchase, and
(
b) the aggregate acquisition cost to the members in any one year is not greater than
(i) $10,000 for cooperatives with 100 members or less, or
(ii) $5,000 for cooperatives with more than 100 members.
69.5 Transitional: exemption of trades
(1) In this section,
(a) "eligible party" means,
(
i) with respect to a trade in a previously traded
section 86(1)(
y) security,
(
A) in the case of a person or company disposing of a previously traded
section 86(1)(
y) security, the person or company that holds that security, and
(
B) in the case of a person or company acquiring a
previously traded
section 86(1)(
y) security, a person or company that already holds or has held a previously traded
section 86(1)(
y) security of the kind that is being acquired;
(ii) with respect to a trade in a previously traded
section 86(1)(
z) security,
(
A) in the case of a person or company disposing of a previously traded
section 86(1)(
z) security, the person or company that holds that security, and
(
B) in the case of a person or company acquiring a previously traded
section 86(1)(
z) security, a person or company that already holds or has held a previously traded
section 86(1)(
z) security of the kind that is being acquired;
(b) "previously traded
section 86(1)(
y) security" means a security that was traded pursuant to the exemption contained in
section 86(1)(
y) prior to the repeal of that provision by
section 9 of the Securities Amendment Act, 2003;
(c) "previously traded
section 86(1)(
z) security" means a security that was traded pursuant to the exemption contained in
section 86(1)(
z) prior to the repeal of that provision by
section 9 of the Securities Amendment Act, 2003.
(2) The dealer registration requirement does not apply to the following trades in securities:
(
a) with respect to a previously traded
section 86(1)(
y) security, a trade in that security if all the parties to that trade are eligible parties;
(
b) with respect to a previously traded
section 86(1)(
z) security, a trade in that security if all the parties to that trade are eligible parties.
(3) Section 86(2) of the Act, as it existed prior to its repeal by
section 14 of the Securities Amendment Act, 2005, applies to subsection (2) of this
section in the same manner as it applied to
section 86(1) prior to the repeal of that provision by
section 14 of the Securities Amendment Act, 2005.
(
e) adding the following provisions before
section 127.1
127.01 Prospectus exemption for exempt purchaser - The prospectus requirement does not apply to a distribution of a security if the party purchasing as principal is recognized by the Commission as an exempt purchaser.
127.02 Prospectus exemption for promoter - The prospectus requirement does not apply to a trade by an issuer in securities of its own issue with a promoter of the issuer or by a promoter of an issuer in securities of the issuer with another promoter of the issuer.
127.03 Prospectus exemptions for cooperatives and corporations under the Rural Utilities Act - The prospectus requirement does not apply to a distribution of securities referred to in sections 69.2, 69.3 and 69.4 of the Rules.
127.04 Transitional: exemption of trades
(1) In this section,
(a) "eligible party" means,
(
i) with respect to a trade in a previously traded
section 131(1)(
q) security,
(
A) in the case of a person or company disposing of a previously traded
section 131(1)(
q) security, the person or company that holds that security, and
(
B) in the case of a person or company acquiring a previously traded
section 131(1)(
q) security, a person or company that already holds or has held a previously traded
section 131(1)(
q) security of the kind that is being acquired;
(ii) with respect to a trade in a previously traded
section 131(1)(
r) security,
(
A) in the case of a person or company disposing of a previously traded
section 131(1)(
r) security, the person or company that holds that security, and
(
B) in the case of a person or company acquiring a previously traded
section 131(1)(
r) security, a person or company that already holds or has held a previously traded
section 131(1)(
r) security of the kind that is being acquired;
(b) "previously traded
section 131(1)(
q) security" means a security that was traded pursuant to the exemption contained in
section 131(1)(
q) prior to the repeal of that provision by
section 13 of the Securities Amendment Act, 2003;
(c) "previously traded
section 131(1)(
r) security" means a security that was traded pursuant to the exemption contained in
section 131(1)(
r) prior to the repeal of that provision by
section 13 of the Securities Amendment Act, 2003.
(2) The prospectus requirement does not apply to the following distributions:
(
a) with respect to a previously traded
section 131(1)(
q) security, a trade in that security if all the parties to that trade are eligible parties;
(
b) with respect to a previously traded
section 131(1)(
r) security, a trade in that security if all the parties to that trade are eligible parties.
(3) Section 131(2) of the Act, as it existed prior to its repeal by
section 19 of the Securities Amendment Act, 2005, applies to subsection (2) of this
section in the same manner as it applied to
section 131(1) prior to the repeal of that provision by
section 19 of the Securities Amendment Act, 2005.
(
f) repealing and restating
section 127.1 as follows:
127.1 Offering memorandum required for exempt purchaser and minimum amount investment exemptions
(1) If any document purporting to describe the business and affairs of the issuer and prepared for review by prospective purchasers to assist in making an investment decision in respect of the securities being sold is delivered to a purchaser under
section 127.01 of the Rules or
section 2.10 of National Exemption 45-106 Prospectus and Registration Exemptions (NI 45-106), in respect of an offering commenced on or after September 14, 2005, the issuer must deliver to the purchaser, at the same time or before the purchaser signs the agreement to purchase the security, an offering memorandum in a form that
(
a) complies with sections 2.9 (10) to (13) and 6.4 of NI 45-106, or
(
b) includes
(
i) the certificate required by
section 2.9(10) to (13) and
(ii) a statement describing the rights of actions provided by
section 204 of the Act and the time limits specified by
section 211 of the Act in which an action to enforce a right under
section 204 must be commenced.
(2) Subsection (1) does not apply if the documents delivered consist only of one or more of the following
(
a) an annual report, annual information form, interim report,
(
b) information circular, take-over bid circular, issuer bid circular, prospectus, or
(
c) continuous disclosure document, the content of which is prescribed by Alberta securities law,
that has been filed.
(3) The issuer must update the offering memorandum and any required update of a previously filed offering memorandum on or before the 10th day after each distribution under the offering memorandum or an update of the offering memorandum.
(
g) repealing and restating
section 127.2 as follows:
127.2 Offering memorandum filing requirements - An issuer that delivered an offering memorandum under
(
a) section 127.01 of the Rules,
(
b) section 2.10 of NI 45-106,
(
c) section 122.2 of the Rules, as it existed prior to its repeal on September 14, 2005,
(
d) section 131(
c) of the Act as it existed prior to its repeal by
section 19 of the Securities Amendment Act, 2005, or
(
e) section 131(d), (q), (r), (s), (
t) or (bb) of the Act, as they existed prior to their repeal by
section 13 of the Securities Amendment Act, 2003,
must file a copy of the offering memorandum and any required update of a previously filed offering memorandum on or before the 10th day after each distribution under the offering memorandum or an update of the offering memorandum.
(
h) repealing and restating
section 129.1 as follows:
129.1 Report of exempt distribution - An issuer that makes a distribution under
section 127.01 must, on or before the 10th day following completion of the distribution, file a report in accordance with Form 45-106F1 Report of Exempt Distribution.
(
i) repealing and restating
section 129.2 as follows:
129.2 Transitional provision re report of exempt distribution
(1) An issuer that makes a distribution under
(a)
section 131(1)(a), (d), (q), (r), (s), (t), (u), or (bb) of the Act, as they existed prior to their repeal by
section 13 of the Securities Amendment Act, 2003,
(
b) section 131(b), (c), (
l) or (
m) of the Act, as they existed prior to their repeal by
section 19 of the Securities Amendment Act, 2005,
(
c) section 122(
d) or 122.2 of the Rules as they existed prior to their repeal on September 14, 2005,
must, on or before the 10th day following completion of the distribution, file a report in accordance with Form 45-106F1 Report of Exempt Distribution.
PART 2 EFFECTIVE DATE
2.1 Effective Date - These amendments are effective September 14, 2005.
______________
Amended and Restated Rule 45-502 Trade with RESP
(Effective September 14, 2005)
(Securities Act)
Made as a rule by the Alberta Securities Commission on June 8, 2005 pursuant to sections 223 and 224 of the Securities Act.
ALBERTA SECURITIES COMMISSION
Rule 45-502 Trade with RESP
(Amended and restated effective September 14, 2005)
PART 1 RESTATED ASC RULE 45-502
1.1 Restatement - Alberta Securities Commission Rule 45-502 Trade with RRSP, RRIF or RESP has been restated to apply solely to RESPs:
ALBERTA SECURITIES COMMISSION RULE 45-502
TRADE WITH RESP
(incorporating amendments of September 14, 2005)
PART 1
DEFINITIONS
1.1 In this Rule:
(a) “Beneficiary” means an individual who is:
(
i) for the purpose of
section 2.1, the beneficiary of an RESP to which a security is traded pursuant to that section; or
(ii) for the purpose of
section 2.2, the beneficiary of RESP which trades in a security pursuant to that section;
(b) “prospectus exemption” means an exemption from the requirements of
section 110 of the Act;
(c) “RESP” means a registered education savings plan within the meaning of the term under the Income Tax Act (Canada).
PART 2 EXEMPTIONS FROM REGISTRATION AND PROSPECTUS REQUIREMENTS
2.1 Exemption for Trade to RESP by Beneficiary
Sections 75 and 110 of the Act do not apply to a trade in a security that was previously acquired under a prospectus exemption and that is subject to resale restrictions under National Instrument 45-102 Resale of Securities if the trade:
(
a) is made to an RESP by:
(
i) the Beneficiary;
(ii) a company that is, directly or indirectly, beneficially owned and controlled solely by the Beneficiary; or
(iii) another RESP of which the Beneficiary is the beneficiary; and
(
b) does not otherwise result in a change in the beneficial ownership of the security.
2.2 Exemption for Trade by RESP to Beneficiary
Sections 75 and 110 of the Act do not apply to a trade in a security that was previously acquired under a prospectus exemption and that is subject to resale restrictions in National Instrument 45-102 Resale of Securities if the trade:
(
a) is made by an RESP to:
(
i) the Beneficiary; or
(ii) a company that is, directly or indirectly, beneficially owned and controlled solely by the Beneficiary; and
(
b) does not otherwise result in a change in the beneficial ownership of the security.
2.3 Further Trade a Distribution
A further trade in a security that was previously acquired by an RESP in a trade made in reliance on the exemptions provided in
section 2.1, or previously disposed of by an RESP in a trade made in reliance on the exemptions provided in
section 2.2, shall be a distribution unless made in compliance with Alberta securities laws as if the person or company making the further trade had acquired the security on the date and in reliance on the prospectus exemption pursuant to which the security had been acquired by the person or company from whom the RESP acquired the security.
PART 3 EFFECTIVE DATE
3.1 Effective Date
This Rule comes into force on September 30, 1999.
PART 2 EFFECTIVE DATE
2.1 Effective Date - These amendments are effective September 14, 2005.
______________
Amendments to Rule 72-501 Distributions to Purchasers Outside Alberta
(Effective September 14, 2005)
(Securities Act)
Made as a rule by the Alberta Securities Commission on June 8, 2005 pursuant to sections 223 and 224 of the Securities Act.
AMENDMENTS TO ALBERTA SECURITIES COMMISSION RULE 72-501
Distributions to Purchasers Outside Alberta
(Effective September 14, 2005)
PART 1 AMENDMENTS TO ACS RULE 72-501
1.1 Amendment - Alberta Securities Commission Rule 72-501 Distributions to Purchasers Outside Alberta is amended by:
(
a) in
section 2.1, striking “sections 85 and 131” and substituting “sections 75 and 110”,
(
b) in
section 2.3, striking “Form 45-103F4” and substituting “Form 45-106 F1”,
(
c) in
section 3.1, striking “sections 54 and 81” and substituting “sections 75 and 110”,
(
d) in
section 3.2, by striking “in
section 2.5 of MI 45-102” and substituting “in
section 2.5 of National Instrument 45-102”, and
(
e) in
section 3.3, by striking “Form 45-103F4” and substituting “Form 45-106 F1”.
PART 2 EFFECTIVE DATE
2.1 Effective Date - These amendments are effective September 14, 2005.
______________
Amendments to National Instrument 33-105 Underwriting Conflicts
(Effective September 14, 2005)
(Securities Act)
Made as a rule by the Alberta Securities Commission on June 8, 2005 pursuant to sections 223 and 224 of the Securities Act.
AMENDMENTS TO NATIONAL INSTRUMENT 33-105 Underwriting Conflicts
(Effective September 14, 2005)
PART 1 AMENDMENTS TO NATIONAL INSTRUMENT 33-105
1.1 Amendment - National Instrument 33-105 Underwriting Conflicts (NI 33-105) is amended by:
(
a) in clause (
b) of
section 3.1, striking and replacing “a provision listed in Appendix B” with:
“section 2.8 of National Instrument 45-102 Resale of Securities”;
(
b) repealing and replacing Appendix A with:
Appendix A - Exempt Securities
Jurisdiction Securities Legislation Reference
All Sections 2.20, 2.21, 2.34 to 2.39 of National Instrument 45-106 Prospectus and Registration Exemptions
Alberta
Section 87(h), (h.1) and (h.2) of the Securities Act (Alberta)
British Columbia
Section 46 of the Securities Act (British Columbia)
Manitoba Subsection 19(2)(
g) and (
h) of the Securities Act (Manitoba)
Newfoundland and Labrador Subsections 36(2)(
h) and (
i) of the Securities Act (Newfoundland and Labrador)
Nova Scotia Clause 41(2)(
i) of the Securities Act (Nova Scotia)
Ontario Sections 2.4 to 2.6 of OSC Rule 45-501
Prince Edward Island Subsection 2(4)(
f) and (
g) of the Securities Act (Prince Edward Island)
Quebec
Section 41 of the Securities Act (Quebec)
Saskatchewan Subsection 39(2)(
i) and (
j) of The Securities Act, 1988 (Saskatchewan)
(
c) repealing Appendix B.
PART 2 EFFECTIVE DATE
2.1 Effective Date - This amendment is effective September 14, 2005.
______________
Amendments to National Instrument 45-101 Rights Offerings
(Effective September 14, 2005)
(Securities Act)
Made as a rule by the Alberta Securities Commission on June 8, 2005 pursuant to sections 223 and 224 of the Securities Act.
AMENDMENTS TO NATIONAL INSTRUMENT 45-101 Rights Offerings
(Effective September 14, 2005)
PART 1 AMENDMENTS TO NATIONAL INSTRUMENT 45-101
1.1 Amendment - National Instrument 45-101 Rights Offerings is amended by
(
a) repealing the definition of acceptance date in
Part 1 and substituting:
"acceptance date" means
(
i) the date that is 10 days after the date the issuer gives the notice referred to in the rights offering prospectus exemption, or
(ii) if the reviewing authority has objected to the proposed trade under the rights offering prospectus exemption, the date the reviewing authority notifies the issuer by written notice that it no longer objects to the use of the rights offering prospectus exemption;
(
b) repealing the definition of “rights offering” in
Part 1 and substituting:
“rights offering” means the issuance by an issuer to existing security holders of a right to purchase additional securities of the issuer’s own issue.
PART 2 EFFECTIVE DATE
2.1 Effective Date - This amendment is effective September 14, 2005.
______________
Amendments to Multilateral Instrument 45-102 Resale of Securities
Appendix A, Appendix D and Appendix E and Appendix F
(Effective September 14, 2005)
(Securities Act)
Made as a rule by the Alberta Securities Commission on June 8, 2005 pursuant to sections 223 and 224 of the Securities Act.
AMENDMENTS TO MULTILATERAL INSTRUMENT 45-102 Resale Of Securities
(Effective September 14, 2005)
PART 1 AMENDMENTS TO MULTILATERAL INSTRUMENT 45-102
1.1 Amendment - Multilateral Instrument 45-102 Resale of Securities (MI 45-102) is amended by:
(
a) in MI 45-102, striking “Multilateral Instrument 45-102” and substituting “National Instrument 45-102” as follows:
(
i) in the title of the instrument, and
(ii) in the title of Appendix B and C;
(
b) in
section 1.1,
(
i) repealing the definition of “former MI 45-102”,
(ii) repealing and replacing the definition of “MI 45-102” with:
“MI 45-102” means this Instrument prior to its amendment on September 14, 2005;
(iii) repealing and replacing the definition of “MI 45-103” with:
“MI 45-103” means Multilateral Instrument 45-103 Capital Raising Exemptions prior to its repeal on September 14, 2005;
(iv) repealing and replacing the definition of “MI 45-105” with the following:
“MI 45-105” means Multilateral Instrument 45-105 Trades to Employees, Senior Officers, Directors and Consultants prior to its repeal on September 14, 2005;
(
v) adding the following after the definition of “multiple convertible security”:
“NI 45-106” means National Instrument 45-106 Prospectus and Registration Exemptions;
(vi) repealing and replacing the definition of “private company” with the following:
“private company” has the same meaning as in securities legislation;
(vii) repealing and replacing the definition of “private issuer” with:
“private issuer” means, as the context requires,
(
a) a private issuer as defined in securities legislation,
(
b) a private issuer as defined in NI 45-106, or
(
c) in Ontario, for purposes of the definition of private issuer as it existed in 1998 OSC Rule 45-501 (as defined in the Ontario transitional provisions in Appendix
D) prior to its repeal on November 30, 2001, a person that
(
i) is not a reporting issuer or a mutual fund,
(ii) is an issuer all of whose issued and outstanding shares
(
A) are subject to restrictions on transfer contained in the constating documents of the issuer or one or more agreements among the issuer and the holders of its securities; and
(
B) are beneficially owned, directly or indirectly, by not more than 50 persons or companies counting any two or more joint registered holders as one beneficial owner, exclusive of persons
(
I) that are employed by the issuer or an affiliated entity of the issuer, or
(II) that beneficially owned, directly or indirectly, shares of the issuer while employed by it or an affiliated entity of it and at all times since ceasing to be so employed have continued to beneficially own, directly or indirectly, at least one share of the issuer, and
(iii) has not distributed any securities to the public;
(viii) repealing and replacing the definition of “SEDAR” with:
“SEDAR” has the same meaning as in National Instrument 13-101 System for Electronic Document Analysis and Retrieval (SEDAR);
(ix) adding the following after the definition of “SEDAR”:
“trade”, in Quebec, has the same meaning as in NI 45-106; and
(
c) amending
section 2.1 by striking “New Brunswick and the Yukon Territory” and substituting “and Yukon”;
(
d) amending item 3. of
section 2.5 (2) by adding “ or on or after September 14, 2005 in Quebec,” after “ March 30, 2004,”
(
e) amending item 3.(
a) and (
b) by adding “and, in Quebec, the securities regulatory authority,” after “regulator”,
(
f) amending
section 2.5(3) by adding “and, in Quebec, the securities regulatory authority,” after “regulator”,
(
g) repealing and replacing
section 2.7 with:
2.7 Exemption for a Trade if the Issuer Becomes a Reporting Issuer After the Distribution Date - Item 1 of subsection 2.5(2), 2.6(3) or 2.8(2) does not apply if the issuer became a reporting issuer after the distribution date by filing a prospectus in a jurisdiction listed in Appendix B and is a reporting issuer in a jurisdiction of Canada at the time of the trade.
(
h) amending
section 2.8 by repealing subsection (5);
(
i) amending
section 2.9 by repealing and replacing subsection (1) with:
(1) In determining the period of time that an issuer was a reporting issuer in a jurisdiction of Canada for the purposes of
section 2.5, 2.6 or 2.8, if the issuer was a party to an amalgamation, merger, continuation or arrangement, the selling security holder may include the period of time that one of the parties to the amalgamation, merger, continuation or arrangement was a reporting issuer in a jurisdiction of Canada immediately before the amalgamation, merger, continuation or arrangement.
(
j) in Form 45-102F1,
(
A) striking “MI 45-102” and substituting “NI 45-102” in the title and in the Notice to selling security holders - collection and use of personal information, and
(
B) adding the following Quebec contact information to the Notice to selling security holders - collection and use of personal information:
Autorité des marchés financiers
Tour de la Bourse
800 square Victoria
C.P. 246, 22e étage
Montréal, Québec H4Z 1G3
Attention: Responsable de l'accès à l'information
(
k) repealing Appendices A, D, E and F and replacing them with the attached appendices (new Appendices A, D, E and F).
PART 2 EFFECTIVE DATE
2.1 Effective Date - These amendments are effective September 14, 2005.
APPENDIX A
NATIONAL INSTRUMENT 45-102
RESALE OF SECURITIES
CONTROL DISTRIBUTIONS
JURISDICTION SECURITIES LEGISLATION REFERENCE
Alberta Definition of "control person" in
section 1(
l) and subclause (iii) of the definition of "distribution" contained in
section 1(
p) of the Securities Act (Alberta)
British Columbia Paragraph (
c) of the definition of "distribution" contained in
section 1(1) of the Securities Act (British Columbia)
Manitoba Paragraph (
b) of the definition of "primary distribution to the public" contained in subsection 1(1) of the Securities Act (Manitoba)
Newfoundland and Labrador Clause 2(1)(l)(iii) of the Securities Act (Newfoundland and Labrador)
New Brunswick Definition of “control person” and clause (
c) of the definition of “distribution” contained in subsection 1(1) of the Securities Act (New Brunswick)
Northwest Territories Definition of "control person" and paragraph (iii) of the definition of "distribution" contained in subsection 1(1) of Blanket Order No. 1 of the Registrar of Securities.
Nova Scotia Clause 2(1)(l)(iii) of the Securities Act (Nova Scotia)
Nunavut Definition of "control person" and paragraph (iii) of the definition of "distribution" contained in subsection 1(1) of Blanket Order No. 1 of the Registrar of Securities.
Ontario Paragraph (
c) of the definition of "distribution" contained in subsection 1(1) of the Securities Act (Ontario)
Prince Edward Island Clause (iii) of the definition of "distribution" in
section 1 of the Securities Act (Prince Edward Island)
Quebec Paragraph 9 of the definition of “distribution” contained in
section 5 of the Securities Act (Quebec)
Saskatchewan Subclauses 2(1)(r)(iii), (iv) and (
v) of The Securities Act, 1988 (Saskatchewan)
APPENDIX D
NATIONAL INSTRUMENT 45-102
RESALE OF SECURITIES
RESTRICTED PERIOD TRADES
(Section 2.3)
Except in Manitoba and the Yukon, the following exemptions from the prospectus requirement in NI 45-106:
* subsection 2.3(2) [Accredited investor]
* subsection 2.5(2) [Family, friends and business associates] (except in Ontario)
* subsection 2.7(2) [Founder, control person and family] (Ontario)
* subsection 2.8(2) [Affiliates]
* subsection 2.9(3) [Offering memorandum] (in British Columbia, New Brunswick, Nova Scotia, and Newfoundland and Labrador)
* subsection 2.9(5) [Offering memorandum] (in Alberta, Manitoba, Northwest Territories, Nunavut, Prince Edward Island, Quebec and Saskatchewan)
* subsection 2.10(2) [Minimum amount investment]
* subsection 2.12(2) [Asset acquisition]
* subsection 2.13(2) [Petroleum, natural gas and mining properties]
* subsection 2.14(2) [Securities for debt]
* subsection 2.19(2) [Additional investment in investment funds]
* subsection 2.30(2) [Isolated trade by issuer]
* subsection 2.40(2) [RRSP/RRIF], if the security acquired under
section 2.40 was initially acquired by an individual or an associate of the individual or an RRSP or RRIF established for or by that individual or under which that individual is a beneficiary under
(
a) one of the exemptions listed above,
(
b) an exemption from the prospectus requirement that specifies that the first trade is subject to
section 2.5 of this Instrument, or
(
c) an exemption from the prospectus requirement that specified prior to September 14, 2005 that the first trade was subject to
section 2.5 of MI 45-102
(
a) one of the exemptions listed above,
(
b) an exemption from the prospectus requirement that specifies that the first trade is subject to
section 2.5 of this Instrument, or
(
c) an exemption from the prospectus requirement that specified prior to September 14, 2005 that the first trade was subject to
section 2.5 of MI 45-102
section 5.2 [TSX Venture exchange offering], if the security acquired under
section 5.2 was acquired by
(
a) a purchaser that, at the time the security was acquired, was an insider or promoter of the issuer of the security, the issuer’s underwriter, or a member of the underwriter’s “professional group” (as defined in National Instrument 33-105 Underwriting Conflicts), or
(
b) any other purchaser who purchases securities in excess of $40,000.
as well as the following local exemptions from the prospectus requirement:
section 3.1 of Alberta Securities Commission Rule 72-501 Distributions to Purchasers Outside Alberta
* clauses 77(1)(
u) and (
w) and subclauses 77(1)(ab)(ii) and (iii) of the Securities Act (Nova Scotia)
* an exemption from the prospectus requirement in a jurisdiction of Canada that specifies that the first trade is subject to
section 2.5 of NI 45-102
Transitional Provisions
1. General: An exemption from the prospectus requirement listed in Appendix D of MI 45-102 in effect on March 30, 2004 or an exemption from the prospectus requirement that specified prior to September 14, 2005 that the first trade was subject to
section 2.5 of MI 45-102. The exemptions listed in Appendix D on March 30, 2004 were:
* Sections 131(1)(b), (c), (l), and (
m) of the Securities Act (Alberta)
Section 122(
d) and 122.2 of the Alberta Securities Commission Rules,
section 3.1 of Alberta Securities Commission Rule 72-501 Distributions to Purchasers Outside Alberta, subsections 3.1(2), 4.1(2), 4.1(4), and 5.1(2) of MI 45-103 or an exemption from the prospectus requirement that specifies that the first trade is subject to
section 2.5 of MI 45-102
Section 131(1)(f)(iii) of the Securities Act (Alberta), if the right to purchase, convert or exchange was previously acquired under one of the above-listed exemptions under the Securities Act (Alberta), the Alberta Securities Commission Rules or MI 45-103, or under an exemption from the prospectus requirement that specifies that the first trade is subject to
section 2.5 of MI 45-102
* Sections 74(2)(1) to (6), (16), (18), (19), (23) and (25) of the Securities Act (British Columbia)
* Sections 128(a), (b), (c), (e), (
f) and (
h) of the Securities Rules (British Columbia) and subsections 3.1(2), 4.1(2), 4.1(4), and 5.1(2) of MI 45-103 or an exemption from the prospectus requirement that specifies that the first trade is subject to
section 2.5 of MI 45-102
* Sections 74(2)(11)(ii), 74(2)(11)(iii) and 74(2)(13) of the Securities Act (British Columbia) if the security acquired by the selling security holder or the right to purchase, convert or exchange or otherwise acquire, was initially acquired by a person or company under any of the sections of the Securities Act (British Columbia), the Securities Rules (British Columbia) or MI 45-103 referred to in this Appendix, or under an exemption from the prospectus requirement that specifies that the first trade is subject to
section 2.5 of MI 45-102
Section 74(2)(12) of the Securities Act (British Columbia) if the security acquired by the selling security holder under the realization on collateral was initially acquired by a person or company under any of the sections of the Securities Act (British Columbia), the Securities Rules (British Columbia) or MI 45-103 referred to in this Appendix, or under an exemption from the prospectus requirement that specifies that the first trade is subject to
section 2.5 of MI 45-102
* Clauses 54(3)(
f) and (
g) and 73(1)(a), (b), (c), (d), (h), (l), (m), (
p) and (
q) of the Securities Act (Newfoundland and Labrador), subsections 3.1(2), 4.1(2), 4.1(4), and 5.1(2) of MI 45-103, or an exemption from the prospectus requirement that specifies that the first trade is subject to
section 2.5 of MI 45-102
* Subclause 73(1)(f)(iii) of the Securities Act (Newfoundland and Labrador) if the right to purchase, convert or exchange was previously acquired under one of the above listed exemptions under the Securities Act (Newfoundland and Labrador) or MI 45-103, or under an exemption from the prospectus requirement that specifies that the first trade is subject to
section 2.5 of MI 45-102
* Paragraphs 3(a), (b), (c), (k), (l), (m), (r), (s), (t), (u), (
w) and (
z) of Blanket Order No. 1 of the Registrar of Securities (Northwest Territories), subsections 3.1(2), 4.1(2), 4.1(4), 5.1(2) of MI 45-103 or an exemption from the prospectus requirement that specifies that the first trade is subject to
section 2.5 of MI 45-102
* Subparagraph 3(e)(iii) of Blanket Order No. 1 of the Registrar of Securities (Northwest Territories) if the right to purchase, convert or exchange was previously acquired under one of the above-listed exemptions under Blanket Order No. 1 of the Registrar of Securities (Northwest Territories) or MI 45-103, or under an exemption from the prospectus requirement that specifies that the first trade is subject to
section 2.5 of MI 45-102
* Clauses 77(1)(a), (b), (c), (d), (l), (m), (p), (q), (u), (w), (y), (ab) and (ad) of the Securities Act (Nova Scotia), subsections 3.1(2), 4.1(2), 4.1(4), and 5.1(2) of MI 45-103 or an exemption from the prospectus requirement that specifies that the first trade is subject to
section 2.5 of MI 45-102
* Subclause 77(1)(f)(iii) of the Securities Act (Nova Scotia) if the right to purchase, convert or exchange was previously acquired under one of the above listed exemptions under the Securities Act (Nova Scotia) or MI 45-103, or under an exemption from the prospectus requirement that specifies that the first trade is subject to
section 2.5 of MI 45-102
* Paragraphs 3(a), (b), (c), (k), (l), (m), (r), (s), (t), (u), (
w) and (
z) of Blanket Order No.1 of the Registrar of Securities (Nunavut), subsections 3.1(2), 4.1(2), 4.1(4), and 5.1(2) of MI 45-103 or an exemption from the prospectus requirement that specifies that the first trade is subject to
section 2.5 of MI 45-102
* Subparagraph 3(e)(iii) of Blanket Order No.1 of the Registrar of Securities (Nunavut) if the right to purchase, convert or exchange was previously acquired under one of the above-listed exemptions under Blanket Order No. 1 of the Registrar of Securities (Nunavut) or MI 45-103, or under an exemption from the prospectus requirement that specifies that the first trade is subject to
section 2.5 of MI 45-102
* Clauses 13(1)(a), (b), (c), (
g) and (
i) of the Securities Act (Prince Edward Island), subsections 3.1(2), 4.1(2), 4.1(4), and 5.1(2) of MI 45-103 or under an exemption from the prospectus requirement that specifies that the first trade is subject to
section 2.5 of MI 45-102
* Subclause 13(1)(e)(iii) of the Securities Act (Prince Edward Island) if the right to purchase, convert or exchange was previously acquired under one the above-listed exemptions under the Securities Act (Prince Edward Island) or under an exemption from the prospectus requirement that specifies that the first trade is subject to
section 2.5 of MI 45-102
* Clauses 81(1)(a), (b), (c), (d), (m), (n), (s), (t), (v), (w), (z), (bb) and (ee) of The Securities Act, 1988 (Saskatchewan) and subsections 3.1(2), 4.1(2), 4.1(4), and 5.1(2) of MI 45-103 or under an exemption from the prospectus requirement that specifies that the first trade is subject to
section 2.5 of MI 45-102
* Subclauses 81(1)(f)(iii) and (iv) of The Securities Act, 1988 (Saskatchewan) if the convertible security, exchangeable security or multiple convertible security was acquired under one of the exemptions of The Securities Act, 1988 (Saskatchewan) or MI 45-103 referred to in this Appendix or under an exemption from the prospectus requirement that specifies that the first trade is subject to
section 2.5 of MI 45-102
* Clause 81(1)(
e) of The Securities Act, 1988 (Saskatchewan) if the person or company from whom the securities were acquired obtained the securities under one of the exemptions of The Securities Act, 1988 (Saskatchewan) referred to in this Appendix
2. Quebec Provisions
* Sections 43, 47, 48 and 51 of the Securities Act (Quebec) as they read prior to their amendment or repeal by
section 7 and 8 of
An Act to amend the Securities Act and other legislative provisions
* Prospectus and registration exemptions granted pursuant to
section 263 of the Securities Act (Quebec) before March 30, 2004 if the exemption included as a condition a restricted period of 12 months
3. Ontario Provisions
Definitions
In this Appendix
“1998 OSC Rule 45-501” means the Ontario Securities Commission Rule 45-501 Exempt Distributions that came into force on December 22, 1998;
“2001 OSC Rule 45-501” means the Ontario Securities Commission Rule 45-501 Exempt Distributions that came into force on November 30, 2001;
“2004 OSC Rule 45-501” means the Ontario Securities Commission Rule 45-501 Exempt Distributions that came into force on January 12, 2004;
“2005 OSC Rule 45-501” means the Ontario Securities Commission Rule 45-501 Ontario Prospectus and Registration Exemptions that came into force on September 14, 2005;
“convertible security” means, in Ontario, a security of an issuer that is convertible into, or carries the right of the holder to purchase, or of the issuer to cause the purchase of, a security of the same issuer;
“exchangeable security” means, in Ontario, a security of an issuer that is exchangeable for, or carries the right of the holder to purchase, or the right of the issuer to cause the purchase of, a security of another issuer;
“exchange issuer” means, in Ontario, an issuer that distributes securities of a reporting issuer held by it in accordance with the terms of an exchangeable security of its own issue;
“multiple convertible security” means, in Ontario, a security of an issuer that is convertible into or exchangeable for, or carries the right of the holder to purchase, or of the issuer or exchange issuer to cause the purchase of, a convertible security, an exchangeable security or another multiple convertible security;
“OSC Rule 45-502” means Ontario Securities Commission Rule 45-502 Dividend or Interest Reinvestment and Stock Dividend Plans;
“Type 1 trade” means, in Ontario, a distribution in a security under an exemption from the prospectus requirement in:
(a) clause 72(1)(a), (b), (c), (d), (l), (m), (
p) or (
q) of the Securities Act (Ontario);
(
b) section 2.4, 2.5 or 2.11 of the 1998 OSC Rule 45-501;
(
c) section 2.3, 2.12, 2.13 or 2.14 of the 2001 OSC Rule 45-501; or
(
d) section 2.3, 2.12, 2.13, 2.14 or 2.16 of the 2004 OSC Rule 45-501; and
“underlying security” means, in Ontario, a security issued or transferred, or to be issued or transferred, in accordance with the terms of a convertible security, an exchangeable security or a multiple convertible security.
(
a) Securities Act (Ontario)
Clauses 72(1)(a), (b), (c), (d), (l), (m), (
p) and (
q) of the Securities Act (Ontario) and subclause 72(1)(f)(iii) of the Securities Act (Ontario) if the right to purchase, convert or exchange was previously acquired under one of the above-listed exemptions under the Securities Act (Ontario), or an exemption from the prospectus requirement that specifies that the first trade is subject to
section 2.5 of MI 45-102
(b) 2005 OSC Rule 45-501
Section 2.1 of the 2005 OSC Rule 45-501
Section 2.2 of the 2005 OSC Rule 45-501
(c) 2001 OSC Rule 45-501 and 2004 OSC Rule 45-501
Section 2.3 of the 2001 OSC Rule 45-501 and the 2004 OSC Rule 45-501
Section 2.11 of the 2001 OSC Rule 45-501 and the 2004 OSC Rule 45-501 if
section 2.5 of MI 45-102 would have been applicable to a first trade in that security by the person making the exempt distribution under
section 2.11 of the 2001 OSC Rule 45-501 or the 2004 OSC Rule 45-501.
Section 2.12 of the 2001 OSC Rule 45-501 and the 2004 OSC Rule 45-501
Section 2.13 of the 2001 OSC Rule 45-501 and the 2004 OSC Rule 45-501
Section 2.14 of the 2001 OSC Rule 45-501 and the 2004 OSC Rule 45-501
Section 2.16 of the 2004 OSC Rule 45-501
(d) 1998 OSC Rule 45-501
Section 2.4 of the 1998 OSC Rule 45-501
Section 2.5 of the 1998 OSC Rule 45-501
Section 2.11 of the 1998 OSC Rule 45-501
(
e) Other
Any provision under which an underlying security was distributed on conversion or exchange of a multiple convertible security, convertible security or exchangeable security acquired in a Type 1 trade or in a trade under
section 2.4, 2.5 or 2.11 of the 1998 OSC Rule 45-501.
APPENDIX E
NATIONAL INSTRUMENT 45-102
RESALE OF SECURITIES
SEASONING PERIOD TRADES
(Section 2.4)
Except in Manitoba and the Yukon, the following exemptions from the prospectus requirement in NI 45-106:
* subsection 2.1(2) [Rights offering]
* subsection 2.2(4) [Reinvestment plan]
* subsection 2.4(2) [Private issuer]
* subsection 2.11(2) [Business combination and reorganization]
* subsection 2.16(2) [Take-over bid and issuer bid]
* subsection 2.17(2) [Offer to acquire to security holder outside local jurisdiction]
* subsection 2.18(6) [Investment fund reinvestment]
* subsection 2.20(2) [Private investment club]
* subsection 2.21(3) [Private investment fund - loan and trust pools]
* subsection 2.24(4) [Employee, executive officer, director and consultant]
* subsection 2.26(3) [Trades among current or former employees, executive officers, directors or consultants of non-reporting issuer]
* subsection 2.27(4) [Permitted transferees]
* subsection 2.31(3) [Dividends and distributions]
* subsection 2.40(2) [RRSP/RRIF], if the security acquired under
section 2.40 was initially acquired by an individual or an associate of the individual or an RRSP or RRIF established for or by that individual or under which that individual is a beneficiary under
(
a) one of the exemptions listed above,
(
b) an exemption from the prospectus requirement that specifies that the first trade is subject to
section 2.6 of this Instrument, or
(
c) an exemption from the prospectus requirement that specified prior to September 14, 2005 that the first trade was subject to
section 2.6 of MI 45-102
(
a) one of the exemptions listed above,
(
b) an exemption from the prospectus requirement that specifies that the first trade is subject to
section 2.6 of this Instrument, or
(
c) an exemption from the prospectus requirement that specified prior to September 14, 2005 that the first trade was subject to
section 2.6 of this Instrument
* subsection 2.42 (3) [Conversion, exchange or exercise - security of a reporting issuer] for a security being traded in the circumstances referred to in clause (
b) of subsection 2.42
(1) as well as the following local exemptions from the prospectus requirement:
* Alberta Securities Commission Rule 45-502 Trade with RESP, if not included in Appendix D
* Nova Scotia Securities Commission Blanket Order No. 46
* Prince Edward Island Local Rule 45-510 - Exempt Distributions - Exemptions for Trades Pursuant to Take-over Bids and Issuer Bids.
* An exemption from the prospectus requirement in a jurisdiction of Canada that specifies that the first trade is subject to
section 2.6 of NI 45-102
Transitional Provisions
1. General:
An exemption from the prospectus requirement listed in Appendix E of MI 45-102 Resale of Securities in effect on March 30, 2004 or an exemption from the prospectus requirement that specified prior to September 14, 2005 that the first trade was subject to
section 2.6 of MI 45-102. The exemptions listed in Appendix E of MI 45-102 on March 30, 2004 were:
Section 131(1)(
f) if not included in Appendix D of this Instrument, sections 131(1)(h), (i), (j), (k), and (
y) of the Securities Act (Alberta) and sections 107(1) (j.1) and (k.1) prior to their repeal by
section 5 of the Securities Amendment Act, 1989 (Alberta), subsection 2.1(2) of MI 45-103 and sections 2.1, 2.2, 2.3 and 2.4 of MI 45-105 or under an exemption from the prospectus requirement that specifies that the first trade is subject to
section 2.6 of MI 45-102
Section 74(2)(11)(iii) if not included in Appendix D or F and sections 74(2)(7), (8) if not included in Appendix F, (9) to (11), (13), (22) and (24) of the Securities Act (British Columbia)
Section 128(
g) of the Securities Rules (British Columbia),
section 2.1(2) of MI 45-103 and sections 2.1, 2.2, 2.3 and 2.4 of MI 45-105 or under an exemption from the prospectus requirement that specifies that the first trade is subject to
section 2.6 of MI 45-102
Section 74(2)(12) of the Securities Act (British Columbia), if the security acquired by the selling security holder under the realization on collateral was initially acquired by a person or company under any of the sections of the Securities Act (British Columbia), the Securities Rules (British Columbia) or a multilateral instrument referred to in this Appendix or under an exemption from the prospectus requirement that specifies that the first trade is subject to
section 2.6 of MI 45-102
* Clauses 54(3) and 73(1)(
f) if not included in Appendix D or F of this Instrument, (
i) if not included in Appendix F, (j), (
k) and (
n) of the Securities Act (Newfoundland and Labrador), subsection 2.1(2) of MI 45-103 and sections 2.1, 2.2, 2.3 and 2.4 of MI 45-105 or under an exemption from the prospectus requirement that specifies that the first trade is subject to
section 2.6 of MI 45-102
* Paragraphs 3(e), (f), (g), (h), (i), (n), (x), (
y) and (mm) of Blanket Order No. 1 of the Registrar of Securities (Northwest Territories), except for a trade made under subparagraph 3(e)(iii) of Blanket Order No. 1 of the Registrar of Securities (Northwest Territories) that is included in Appendix D or F of this Instrument or a trade made under paragraph 3(
g) that is included in Appendix F of this Instrument, subsection 2.1(2) of MI 45-103 and sections 2.1, 2.2, 2.3 and 2.4 of MI 45-105 or under an exemption from the prospectus requirement that specifies that the first trade is subject to
section 2.6 of MI 45-102
* Clause 77(1)(
f) of the Securities Act (Nova Scotia) if not included in Appendix D or F of this Instrument, and clauses 77(1)(h), (
i) if not included in Appendix F, (j), (k), (n), (v), (va), (ac), (ae) and (af) of the Securities Act (Nova Scotia), and clause 78(1)(
a) of the Securities Act (Nova Scotia) as it relates to clause 41(2)(
j) of the Securities Act (Nova Scotia) and Blanket Order No. 37, 38 if not included in Appendix F, 46 and 45-503 if not included in Appendix F, subsection 2.1(2) of MI 45-103 and sections 2.1, 2.2, 2.3 and 2.4 of MI 45-105 or under an exemption from the prospectus requirement that specifies that the first trade is subject to
section 2.6 of MI 45-102
* Paragraphs 3(e), (f), (g), (h), (i), (n), (x), (
y) and (mm) of Blanket Order No. 1 of the Registrar of Securities (Nunavut), except for a trade made under subparagraph 3(e)(iii) of Blanket Order No. 1 of the Registrar of Securities (Nunavut) that is included in Appendix D or F of this Instrument or a trade made under paragraph 3(
g) that is included in Appendix F of this Instrument, subsection 2.1(2) of MI 45-103 and sections 2.1, 2.2, 2.3 and 2.4 of MI 45-105 or under an exemption from the prospectus requirement that specifies that the first trade is subject to
section 2.6 of MI 45-102
* Clauses 13(1)(
e) if not included in Appendix D or F of this Instrument, (
f) if not included in Appendix F, (
h) and (
k) of the Securities Act (Prince Edward Island) or
section 3.1 or 3.2 of Rule 45-501,
section 1.1 of Prince Edward Island Rule 45-502,
section 2.1 or 2.2 of Prince Edward Island Rule 45-506 or
section 2.1 or 2.2 of Prince Edward Island Rule 45-510, subsection 2.1(2) of MI 45-103 and sections 2.1, 2.2, 2.3 and 2.4 of MI 45-105 or under an exemption from the prospectus requirement that specifies that the first trade is subject to
section 2.6 of MI 45-102
* Clauses 81(1)(a.1), (
e) if not included in Appendix D of this Instrument, (
f) if not included in Appendix D or F of this Instrument, (f.1), (g), (h), (
i) if not included in Appendix F, (i.1), (j), (k), (o), (cc) and (dd) of The Securities Act, 1988 (Saskatchewan), subsection 2.1(2) of MI 45-103 and sections 2.1, 2.2, 2.3 and 2.4 of MI 45-105 or under an exemption from the prospectus requirement that specifies that the first trade is subject to
section 2.6 of MI 45-102
2. Quebec Provisions
* Sections 50 and 52 of the Securities Act (Quebec) as they read prior to their repeal by
section 8 of
An Act to amend the Securities Act and other legislative provisions
* Prospectus and registration exemptions granted pursuant to
section 263 of the Securities Act (Quebec) before March 30, 2004 if the exemption included as a condition a seasoning period of 12 months
3. Ontario provisions
Definitions
In this Appendix
“1998 OSC Rule 45-501” means the Ontario Securities Commission Rule 45-501 Exempt Distributions that came into force on December 22, 1998;
“2001 OSC Rule 45-501” means the Ontario Securities Commission Rule 45-501 Exempt Distributions that came into force on November 30, 2001;
“2004 OSC Rule 45-501” means the Ontario Securities Commission Rule 45-501 Exempt Distributions that came into force on January 12, 2004;
“2005 OSC Rule 45-501” means the Ontario Securities Commission Rule 45-501 Ontario Prospectus and Registration Exemptions that came into force on September 14, 2005;
“convertible security” means, in Ontario, a security of an issuer that is convertible into, or carries the right of the holder to purchase, or of the issuer to cause the purchase of, a security of the same issuer;
“exchangeable security” means, in Ontario, a security of an issuer that is exchangeable for, or carries the right of the holder to purchase, or the right of the issuer to cause the purchase of, a security of another issuer;
“exchange issuer” means, in Ontario, an issuer that distributes securities of a reporting issuer held by it in accordance with the terms of an exchangeable security of its own issue;
“multiple convertible security” means, in Ontario, a security of an issuer that is convertible into or exchangeable for, or carries the right of the holder to purchase, or of the issuer or exchange issuer to cause the purchase of, a convertible security, an exchangeable security or another multiple convertible security;
“OSC Rule 45-502” means Ontario Securities Commission Rule 45-502 Dividend or Interest Reinvestment and Stock Dividend Plans;
“OSC Rule 45-503” means Ontario Securities Commission Rule 45-503 Trades to Employees, Executives and Consultants;
“Type 1 trade” means, in Ontario, a distribution in a security under an exemption from the prospectus requirement in:
(a) clause 72(1)(a), (b), (c), (d), (l), (m), (
p) or (
q) of the Securities Act (Ontario);
(
b) section 2.4, 2.5 or 2.11 of the 1998 OSC Rule 45-501;
(
c) section 2.3, 2.12, 2.13 or 2.14 of the 2001 OSC Rule 45-501; or
(
d) section 2.3, 2.12, 2.13, 2.14 or 2.16 of the 2004 OSC Rule 45-501; and
“Type 2 trade” means, in Ontario, a distribution in a security under an exemption from the prospectus requirement in:
(a) clause 72(1)(
f) of the Securities Act (Ontario) other than a distribution to an associated consultant or investor consultant as defined in OSC Rule 45-503 or a distribution to an associated consultant or investor relations person as defined in MI 45-105;
(b) clause 72(1)(h), (i), (j), (
k) or (
n) of the Securities Act (Ontario); or
(
c) section 2.5, 2.8 or 2.15 of the 2001 OSC Rule 45-501; or
(
d) section 2.5, 2.8 or 2.15 of the 2004 OSC Rule 45-501; and
“underlying security” means, in Ontario, a security issued or transferred, or to be issued or transferred, in accordance with the terms of a convertible security, an exchangeable security or a multiple convertible security.
(
a) Securities Act (Ontario)
Clauses 72(1)(f), (
i) if not included in Appendix F, (j), (
k) and (
n) of the Securities Act (Ontario), except for a trade made under 72(1)(f)(iii) of the Securities Act (Ontario) that is:
(
i) included in Appendix D or F of this Instrument, or
(ii) contemplated by
section 6.5 of Ontario Securities Commission Rule 45-501 Exempt Distributions; and
an exemption from the prospectus requirement that specifies that the first trade is subject to
section 2.6 of MI 45-102
Clause 72(1)(
h) of the Securities Act (Ontario) except for a distribution under clause 72(1)(
h) of the Securities Act (Ontario) of an underlying security that was distributed on conversion or exchange of a multiple convertible security, convertible security or exchangeable security acquired in a Type 1 trade
(b) 2001 OSC Rule 45-501 and 2004 OSC Rule 45-501
Section 2.1 of the 2001 OSC Rule 45-501 and the 2004 OSC Rule 45-501
Section 2.5 of the 2001 OSC Rule 45-501 and the 2004 OSC Rule 45-501.
Section 2.6 of the 2001 OSC Rule 45-501 and the 2004 OSC Rule 45-501 if an underlying security was distributed under
section 2.6 of the 2001 OSC Rule 45-501 or the 2004 OSC Rule 45-501 on a forced conversion or exchange of a multiple convertible security, convertible security or exchangeable security acquired:
(
a) in a Type 2 trade;
(
b) under
section 2.2, 3.1, 3.2, 3.3, 5.1 or 8.1 of OSC Rule 45-503, other than a trade by an associated consultant or investor consultant as defined in OSC Rule 45-503; or
(
c) under a provision in
Part 2 of MI 45-105.
Section 2.7 of the 2001 OSC Rule 45-501 and the 2004 OSC Rule 45-501 if an underlying security was distributed under
section 2.7 of the 2001 OSC Rule 45-501 or the 2004 OSC Rule 45-501 on a forced conversion or exchange of a multiple convertible security, convertible security or exchangeable security acquired:
(
a) in a Type 2 trade;
(
b) under
section 2.2, 3.1, 3.2, 3.3, 5.1 or 8.1 of OSC Rule 45-503, other than a trade by an associated consultant or investor consultant as defined in OSC Rule 45-503; or
(
c) under a provision in
Part 2 of MI 45-105.
Section 2.8 of the 2001 OSC Rule 45-501 and the 2004 OSC Rule 45-501.
Section 2.11 of the 2001 OSC Rule 45-501 and the 2004 OSC Rule 45-501 if
section 2.6 of MI 45-102 would have been applicable to a first trade in that security by the person making the exempt distribution under
section 2.11 of the 2001 OSC Rule 45-501 or the 2004 OSC Rule 45-501.
Section 2.15 of the 2004 OSC Rule 45-501
(c) 1998 OSC Rule 45-501
Section 2.7 of the 1998 OSC Rule 45-501
Section 2.8 of the 1998 OSC Rule 45-501
Section 2.9 of the 1998 OSC Rule 45-501 if an underlying security was distributed under
section 2.9 of the 1998 OSC Rule 45-501 on a forced conversion or exchange of a multiple convertible security, convertible security or exchangeable security acquired by the holder in a Type 2 trade
Section 2.10 of the 1998 OSC Rule 45-501 if an underlying security was distributed under
section 2.10 of the 1998 OSC Rule 45-501 on a forced conversion or exchange of a multiple convertible security, convertible security or exchangeable security acquired by the holder in a Type 2 trade
Section 2.17 of the 1998 OSC Rule 45-501
Subsection 2.18(1) of the 1998 OSC Rule 45-501 after the issuer had ceased to be a private issuer for the purposes of the Securities Act (British Columbia)
(
d) Other
Sections 2.1 and 3.1 of Ontario Securities Commission Rule 45-502.
APPENDIX F
NATIONAL INSTRUMENT 45-102
RESALE OF SECURITIES
UNDERWRITERS
(Section 2.13)
Subsection 2.33(2) [Acting as underwriter] of NI 45-106 and subsection 2.11(2) [Business combination and reorganization] or 2.42 (3) [Conversion, exchange or exercise] of NI 45-106, if the original security was acquired under subsection 2.33(2) of NI 45-106 or one of the underwriter exemptions in the transitional provisions listed below
Transitional Provisions:
An exemption from the prospectus requirement listed in Appendix F of MI 45-102 as Appendix F read on March 30, 2004. Exemptions listed in Appendix F of MI 45-102 on March 30, 2004 were:
Section 74(2)(15) of the Securities Act (British Columbia) and
section 74(2)(8) or 74(2)(11)(iii) of the Securities Act (British Columbia) if the original security was acquired under
section 74(2)(15) of the Securities Act (British Columbia)
* Clause 73(1)(
r) of the Securities Act (Newfoundland and Labrador) and
section 73(1)(
i) or 73(1)(f)(iii) of the Securities Act (Newfoundland and Labrador) if the original security was acquired under
section 73(1)(
r) of the Securities Act (Newfoundland and Labrador)
* Paragraph 3(
v) of Blanket Order No. 1 of the Registrar of Securities (Northwest Territories) and paragraph 3(
g) or subparagraph 3(e)(iii) of Blanket Order No. 1 of the Registrar of Securities (Northwest Territories) if the original security was acquired under paragraph 3(
v) of Blanket Order No. 1 of the Registrar of Securities (Northwest Territories)
* Clause 77(1)(
r) of the Securities Act (Nova Scotia) and clause 77(1)(
i) or 77(1)(f)(iii) of the Securities Act (Nova Scotia) or Blanket Order No. 38 or 45-503 if the original security was acquired under clause 77(1)(
r) of the Securities Act (Nova Scotia)
* Paragraph 3(
v) of Blanket Order No. 1 of the Registrar of Securities (Nunavut) and paragraph 3(
g) or subparagraph 3(e)(iii) of Blanket Order No. 1 of the Registrar of Securities (Nunavut) if the original security was acquired under paragraph 3(
v) of Blanket Order No. 1 of the Registrar of Securities (Nunavut)
* Clause 72(1)(f)(iii) of the Securities Act (Ontario) if the original security was acquired under clause 72(1)(
r) of the Securities Act (Ontario)
* Clause 72(1)(
i) of the Securities Act (Ontario) if the original security was acquired under clause 72(1)(
r) of the Securities Act (Ontario)
* Clause 72(1)(
r) of the Securities Act (Ontario)
Section 2.1 of Prince Edward Island Rule 45-509 and subclause 13(1)(e) (iii) or clause 13(1)(
f) of the Securities Act (Prince Edward Island) or
section 1.1 of Prince Edward Island Rule 45-502 if the original security was acquired under
section 2.1 of Prince Edward Island Rule 45-509
Section 55 of the Securities Act Quebec) as it read prior to its repeal by
section 8 of
An Act to amend the Securities Act and other legislative provisions
* Clause 81(1)(
u) of The Securities Act, 1988 (Saskatchewan) and clause 81(1)(
i) or subclause 81(1)(f)(iii) of The Securities Act, 1988 (Saskatchewan) if the original security was acquired under clause 81(1)(
u) of The Securities Act, 1988 (Saskatchewan)
______________
Amendments to National Instrument 62-103
The Early Warning System and Related Take-over Bid
and Insider Reporting Issues
(Effective September 14, 2005)
(Securities Act)
Made as a rule by the Alberta Securities Commission on June 8, 2005 pursuant to sections 223 and 224 of the Securities Act.
AMENDMENTS TO NATIONAL INSTRUMENT 62-103
The Early Warning System and Related Take-over Bid and Insider Reporting Issues
(Effective September 14, 2005)
PART 1 AMENDMENTS TO NATIONAL INSTRUMENT 62-103
1.1 Amendment – National Instrument 62-103 The Early Warning System and Related Take-over Bid and Insider Reporting Issues is amended by:
(
a) in the definition of “applicable provisions” in
section 1.1, striking clause (f);
(
b) repealing subsection (1) of
section 6.1 and substituting:
(1) An entity is exempt from the early warning requirements and the obligation to report under
Part 4 in connection with an increase in the securityholding percentage of the entity in a class of securities of a reporting issuer that arises without any action being taken by the entity and solely from a reduction in outstanding securities that occurs as a result of redemptions, retractions or other repurchases by the reporting issuer, that affect or are offered to all security holders of the relevant class.
(
c) repealing subsection (2) of
section 6.1 and substituting:
(2) An entity is exempt from the early warning requirements and the obligation to report under
Part 4 in connection with a decrease in the securityholding percentage of the entity in a class of securities of a reporting issuer that arises without any action being taken by the entity and solely from an increase in outstanding securities that occurs as a result of treasury issuances of securities by the reporting issuer.
(
d) in Appendix A
(
i) under the Alberta securities legislative reference, striking and replacing “Clause 1(f)(iii) of the Securities Act (Alberta)” with:
“Clause 1(p)(iii) of the Securities Act (Alberta)”
(ii) under the New Brunswick securities legislative reference, striking and replacing “Paragraph (
b) of the definition of “primary distribution to the public” contained in
section 1 of the Securities Frauds Prevention Act (New Brunswick)” with:
“Paragraph (
c) of the definition of “distribution” contained in
section 1(1) of the Securities Act (New Brunswick)” and
(iii) adding the following jurisdiction and securities legislative reference after Ontario:
“Quebec Subparagraph 9 of the definition of “distribution” contained in
section 5 of the Securities Act (Quebec)”
(
e) in Appendix B
(
i) under the Alberta securities legislative reference, striking and replacing “Subsections 141(1), 141(2) and 141(3) of the Securities Act (Alberta)” with:
“Subsections 176(1), 176(2) and 176(3) of the Securities Act (Alberta)”
(ii) adding the following jurisdiction and securities legislative reference after Manitoba:
“New Brunswick Subsection 126(1) and (2) of the Securities Act (New Brunswick)”
PART 2 EFFECTIVE DATE
2.1 Effective Date - These amendments are effective September 14, 2005.
______________
Repeal of National Instrument 32-0101
Small Securityholder Selling and Purchase Arrangements
and
National Instrument 62-101
Control block Distribution Issues
and
Multilateral Instrument 45-103
Capital Raising Exemptions
and
Multilateral Instrument 45-105
Trade to Employees, Senior Officers, Directors, and Consultants
(Effective September 14, 2005)
(Securities Act)
Made as a rule by the Alberta Securities Commission on June 8, 2005 pursuant to sections 223 and 224 of the Securities Act.
REPEAL OF
National Instrument 32-101
Small Securityholder Selling and Purchase Arrangements
and
National Instrument 62-101
Control Block Distribution Issues
and
Multilateral Instrument 45-103
Capital Raising Exemptions
and
Multilateral Instrument 45-105
Senior Officers, Directors, and Consultants
(Effective September 14, 2005)
PART 1 REPEAL OF NATIONAL INSTRUMENT 32-101
1.1 Repeal - National Instrument 32-101 Small Securityholder Selling and Purchase Arrangements is repealed.
PART 2 REPEAL OF NATIONAL INSTRUMENT 62-101
2.1 Repeal - National Instrument 62-101 Control Block Distribution Issues is repealed.
PART 3 REPEAL OF MULTILATERAL INSTRUMENT 45-103
3.1 Repeal - Multilateral Instrument 45-103 Capital Raising Exemptions is repealed.
PART 4 REPEAL OF MULTILATERAL INSTRUMENT 45-105
4.1 Repeal - Multilateral Instrument 45-105 Trades to Employees, Senior Officers, Directors, and Consultants is repealed.
PART 5 EFFECTIVE DATE
5.1 Effective Date - These repeals are effective September 14, 2005.
Seniors and Community Supports
Persons with Developmental Disabilities
Hosting Expenses Exceeding $600.00
For the period April 1, 2005 to June 30, 2005
Function: Norm McLeod Awards Night
Date: June 8, 2005
Amount: $5,096.80
Purpose: Annual banquet to honour award winners for PDD clients, staff, caregivers, and families from across the province.
Location: Edmonton, Alberta
Function: Annual Spring Celebration/Award Night
Date: May 13, 2005
Amount: $4,913.44
Purpose: Annual Spring Celebration/Award Night for the achievement of PDD clients from northwest Alberta.
Location: Grande Prairie, Alberta
Solicitor General and Public Security
Hosting Expenses Exceeding $600.00
For the period April 1, 2005 to June 30, 2005
Purpose/Function: Family Violence Police Training
Date: January 11 & 12, 2005
Amount: $3,300.00
Location: Red Deer, Alberta
Purpose/Function: Crime Prevention 2005 Award Ceremony
Date: May 14, 2005
Amount: $1,116.00
Location: Calgary, Alberta
Purpose/Function: Family Violence Police Training
Date: May 30 & 31, 2005
Amount: $3,982.76
Location: Fort McMurray, Alberta
Sustainable Resource Development
Alberta Fishery Regulations, 1998
Notice of Variation Order 16-2005
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 16-2005 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 16-2005 commercial fishing is permitted in accordance with the following schedule.
SCHEDULE
PART 1
Item - 1
Column 1 Waters – In respect of:
(6) Bistcho Lake (124-6-W6)
Column 2 Gear - Gill net not less than 114 mm mesh
Column 3 Open Time - 08:00 hours November 20, 2005 to 16:00 hours December 20, 2005.
Column 4 Species and Quota - 1) Lake whitefish: 59,000 kg; 2) Walleye: 14,000 kg; 3) Yellow perch: 1 kg; 4) Northern pike: 19,500 kg; 5) Tullibee: 1 kg; 6) Lake trout: 1 kg.
Column 1 Waters – In respect of:
(10) Burnt Lake (67-03-W4)
Column 2 Gear - Gill net not less than 140 mm mesh
Column 3 Open Time - 08:00 hours December 1, 2005 to 16:00 hours December 4, 2005;08:00 hours December 8, 2005 to 16:00 hours December 11, 2005.
Column 4 Species and Quota - 1) Lake whitefish: 4,500 kg; 2) Walleye: 400 kg; 3) Yellow perch: 1 kg; 4) Northern pike: 1,000 kg; 5) Tullibee: 4,500 kg; 6) Lake trout: 1 kg.
Column 1 Waters – In respect of:
(12) Burnt Lake No. 2 (23,27-95-23-W4)
Column 2 Gear - Gill net not less than 152 mm mesh
Column 3 Open Time - 08:00 hours January 8, 2006 to 16:00 hours January 16, 2006.
Column 4 Species and Quota - 1) Lake whitefish: 4,500 kg; 2) Walleye: 1 kg; 3) Yellow perch: 1 kg; 4) Northern pike: 1 kg; 5) Tullibee: 1 kg; 6) Lake trout: 1 kg.
Column 1 Waters – In respect of:
(13) Calling Lake (72-22-W4)
Column 2 Gear - Gill net not less than 140 mm mesh
Column 3 Open Time - A. In respect of Calling Lake excluding the following portions:-that portion less than less than 50 feet (16.1 m):08:00 hours January 16, 2006 to 16:00 hours January 20, 2006.
B. In respect of all other waters: Closed
Column 4 Species and Quota - 1) Lake whitefish: 60,000 kg; 2) Walleye: 375 kg; 3) Yellow perch: 1,800 kg; 4) Northern pike: 1,500 kg; 5) Tullibee: 100,000 kg; 6) Lake trout: 1 kg.
Column 1 Waters – In respect of:
(26) Equisetum Lake (89-5-W5)
Column 2 Gear - Gill net not less than 140 mm mesh
Column 3 Open Time - 08:00 hours December 1, 2005 to 16:00 hours December 4, 2005.
Column 4 Species and Quota - 1) Lake whitefish: 1,300 kg; 2) Walleye: 100 kg; 3) Yellow perch: 1 kg; 4) Northern pike: 300 kg; 5) Tullibee: 1,300 kg; 6) Lake trout: 1 kg.
Column 1 Waters – In respect of:
(28.1) Fawcett Lake (76-26-W4) - excluding that portion in 5,6,7,8-73-26-W4
Column 2 Gear - Gill net not less than 140 mm mesh
Column 3 Open Time - 08:00 hours September 11, 2005 to 16:00 hours September 13, 2005.
Column 4 Species and Quota - 1) Lake whitefish: 8,000kg; 2) Walleye: 900 kg; 3) Yellow perch: 1 kg; 4) Northern pike: 900 kg; 5) Tullibee: 8,000 kg; 6) Lake trout: 1 kg.
Column 1 Waters – In respect of:
(44) Ipiatik Lake (73-7-W4)
Column 2 Gear - Gill net not less than 140 mm mesh
Column 3 Open Time - 08:00 hours February 1, 2006 to 16:00 hours February 19, 2006.
Column 4 Species and Quota - 1) Lake whitefish: 6,800 kg; 2) Walleye: 1 kg; 3) Yellow perch: 1 kg; 4) Northern pike: 2,000 kg; 5) Tullibee: 1 kg; 6) Lake trout: 1 kg.
Column 1 Waters – In respect of:
(46) Island Lake (67-24-W4)
Column 2 Gear - Gill net not less than 152 mm mesh
Column 3 Open Time - 08:00 hours February 13, 2006 to 16:00 hours February 14, 2006.
Column 4 Species and Quota - 1) Lake whitefish: 4,500 kg; 2) Walleye: 200 kg; 3) Yellow perch: 1 kg; 4) Northern pike: 450 kg; 5) Tullibee: 1 kg; 6) Lake trout: 1 kg.
Column 1 Waters – In respect of:
(50.1) Kehiwin Lake (59-7-W4)- excluding that portion south of a line drawn from the southwest corner of 12-31-58-6-W4 to the point of land in 10-36-58-7-W4
Column 2 Gear - Gill net not less than 140 mm mesh
Column 3 Open Time - 08:00 hours November 28, 2005 to 16:00 hours December 10, 2005.
Column 4 Species and Quota - 1) Lake whitefish: 1 kg; 2) Walleye: 50 kg; 3) Yellow perch: 1 kg; 4) Northern pike: 100 kg; 5) Tullibee: 6,800 kg; 6) Lake trout: 1 kg.
Column 1 Waters – In respect of:
(59) Long Lake (89-4-W5)
Column 2 Gear - Gill net not less than 140 mm mesh
Column 3 Open Time - 08:00 hours December 4, 2005 to 16:00 hours December 8, 2005.
Column 4 Species and Quota - 1) Lake whitefish: 2,500 kg; 2) Walleye: 200 kg; 3) Yellow perch: 1 kg; 4) Northern pike: 400 kg; 5) Tullibee: 2,500 kg; 6) Lake trout: 1 kg.
Column 1 Waters – In respect of:
(72) Moose Lake (61-7-W4)
Column 2 Gear - Gill net not less than 152 mm mesh
Column 3 Open Time - 08:00 hours October 12, 2005 to 16:00 hours October 14, 2005;08:00 hours October 17, 2005 to 16:00 hours October 19, 2005;08:00 hours October 22, 2005 to 16:00 hours October 24, 2005.
Column 4 Species and Quota - 1) Lake whitefish: 18,000 kg; 2) Walleye: 250 kg; 3) Yellow perch: 100 kg; 4) Northern pike: 400 kg; 5) Tullibee: 9,050 kg; 6) Lake trout: 1 kg.
Column 1 Waters – In respect of:
(78) North Wabasca (81-26-W4)
Column 2 Gear - Gill net not less than 140 mm mesh
Column 3 Open Time - A. In respect of North Wabasca Lake excluding the following portions:- that portion which is greater than 3 meters (10 feet) deep ; - that portion south of a line drawn from a cutline of the west side (N 1/2 35-26-80-W4) to a point of land on the east side (SE ¼ 5-25-81-W4): 08:00 hours September 6, 2005 to 16:00 hours September 20, 2005.
B. In respect of all other waters: Closed
Column 4 Species and Quota - 1) Lake whitefish: 10,000 kg; 2) Walleye: 850 kg; 3) Yellow perch: 200 kg; 4) Northern pike: 12,000 kg; 5) Tullibee: 6,800 kg; 6) Lake trout: 1 kg.
Column 1 Waters – In respect of:
(80) Orloff Lake (73-23-W4)
Column 2 Gear - Gill net not less than 140 mm mesh
Column 3 Open Time - 08:00 hours January 2, 2006 to 16:00 hours January 5, 2006.
Column 4 Species and Quota - 1) Lake whitefish: 9,500 kg; 2) Walleye: 450 kg; 3) Yellow perch: 1 kg; 4) Northern pike: 1,150 kg; 5) Tullibee: 15,850 kg; 6) Lake trout: 1 kg.
Column 1 Waters – In respect of:
(85) Primrose Lake (67-1-W4)
Column 2 Gear - Gill net not less than 140 mm mesh
Column 3 Open Time - 12:00 hours July 8, 2005 to 16:00 hours July 10, 2005;08:00 hours December 27, 2005 to 16:00 hours January 6, 2006.
Column 4 Species and Quota - 1) Lake whitefish: 18,800 kg; 2) Walleye: 7,050 kg; 3) Yellow perch: 1 kg; 4) Northern pike: 4,800 kg; 5) Tullibee: 1 kg; 6) Lake trout: 1 kg.
Column 1 Waters – In respect of:
(90) Rock Island Lake (75-22-W4
Column 2 Gear - Gill net not less than 140 mm mesh
Column 3 Open Time - 08:00 hours January 5, 2006 to 16:00 hours January 8, 2006.
Column 4 Species and Quota - 1) Lake whitefish: 3,250 kg; 2) Walleye: 350 kg; 3) Yellow perch: 1 kg; 4) Northern pike: 850 kg; 5) Tullibee: 9,050 kg; 6) Lake trout: 1 kg.
Column 1 Waters – In respect of:
(102) Smoke Lake (62-20-W5)
Column 2 Gear - Gill net 152 mm mesh
Column 3 Open Time - 08:00 hours February 20, 2006 to 16:00 hours February 21, 2006.
Column 4 Species and Quota - 1) Lake whitefish: 5,000 kg; 2) Walleye: 100 kg; 3) Yellow perch: 1 kg; 4) Northern pike: 400 kg; 5) Tullibee: 1 kg; 6) Lake trout: 1 kg.
Column 1 Waters – In respect of:
(103) Snipe Lake (71-19-W5)
Column 2 Gear - Gill net not less than 152 mm mesh
Column 3 Open Time - A. In respect of Snipe Lake excluding the following portions:- that portion within 400 m of shore:08:00 hours March 16, 2006 to 16:00 hours March 20, 2006.
B. In respect of all other waters: Closed
Column 4 Species and Quota - 1) Lake whitefish: 80,000 kg; 2) Walleye: 800 kg; 3) Yellow perch: 900 kg; 4) Northern pike: 2,000 kg; 5) Tullibee: 1 kg; 6) Lake trout: 1 kg.
Column 1 Waters – In respect of:
(105) Spencer Lake (67-1-W4)
Column 2 Gear - Gill net not less than 140 mm mesh
Column 3 Open Time - 08:00 hours December 15, 2005 to 16:00 hours December 22, 2005.
Column 4 Species and Quota - 1) Lake whitefish: 28,000 kg; 2) Walleye: 250 kg; 3) Yellow perch: 450 kg; 4) Northern pike: 900 kg; 5) Tullibee: 1 kg; 6) Lake trout: 1 kg.
Column 1 Waters – In respect of:
(122) Utikuma Lake (79-10-W5)
Column 2 Gear - Gill net not less than 140 mm mesh
Column 3 Open Time - 008:00 hours January 11, 2006 to 16:00 hours January 14, 2006.
Column 4 Species and Quota - 1) Lake whitefish: 150,000 kg; 2) Walleye: 500 kg; 3) Yellow perch: 500 kg; 4) Northern pike: 30,000 kg; 5) Tullibee: 3,000 kg; 6) Lake trout: 1 kg.
Column 1 Waters – In respect of:
(130) Winagami Lake (76-18-W5)
Column 2 Gear - Gill net not less than 152 mm mesh
Column 3 Open Time - A. In respect of Winagami Lake excluding the following portions:- that portion east of a line drawn from the outlet in NW21-76-18-W5 to the Winagami Lake Provincial Park boat launch in NE35-76-18-W5; - that portion north and east of a line from the Provincial Park Boat launch in NE 35-76-18-W5 to a point of land in the South Heart Outlet channel in NE9-77-18-W5; and -that portion less than 800 meters from the shore:08:00 hours March 6, 2006 to 16:00 hours March 9, 2006.
B. In respect of all other waters: Closed
Column 4 Species and Quota - 1) Lake whitefish: 100,000 kg; 2) Walleye: 400 kg; 3) Yellow perch: 100 kg; 4) Northern pike: 3,000 kg; 5) Tullibee: 1 kg; 6) Lake trout: 1 kg.
Column 1 Waters – In respect of:
(131) Wolf Lake (66-7-W4)
Column 2 Gear - Gill net not less than 140 mm mesh
Column 3 Open Time - 08:00 hours January 10, 2006 to 16:00 hours January 15, 2006.
Column 4 Species and Quota - 1) Lake whitefish: 12,000 kg; 2) Walleye: 100 kg; 3) Yellow perch: 900 kg; 4) Northern pike: 200 kg; 5) Tullibee: 1 kg; 6) Lake trout: 1 kg.
______________
Alberta Fishery Regulations, 1998
Notice of Variation Order 17-2005
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 17-2005 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 17-2005 commercial fishing is permitted in accordance with the following schedule.
SCHEDULE
PART 1
Item - 1
Column 1 Waters – In respect of:
(29) Cowoki Lake (19-13-W4)
Column 2 Gear - Gill net not less than 140 mm mesh
Column 3 Open Time - 08:00 hours February 13, 2006 to 16:00 hours February 17, 2006.
Column 4 Species and Quota - 1) Lake whitefish: 9,050 kg; 2) Walleye: 1 kg; 3) Yellow perch: 1 kg; 4) Northern pike: 500 kg; 5) Tullibee: 1 kg; 6) Lake trout: 1 kg.
Column 1 Waters – In respect of:
(51) Keho Reservoir (11-23-W4)
Column 2 Gear - Gill net not less than 140 mm mesh
Column 3 Open Time - 08:00 hours October 18, 2005 to 16:00 hours October 19, 2005.
Column 4 Species and Quota - 1) Lake whitefish: 18,000 kg; 2) Walleye: 450 kg; 3) Yellow perch: 1 kg; 4) Northern pike: 900 kg; 5) Tullibee: 1 kg; 6) Lake trout: 1 kg.
Column 1 Waters – In respect of:
(56) Little Bow Lake (14-20-W4)
Column 2 Gear - Gill net not less than 140 mm mesh
Column 3 Open Time - 08:00 hours February 6, 2006 to 16:00 hours February 10, 2006.
Column 4 Species and Quota - 1) Lake whitefish: 13,600 kg; 2) Walleye: 125 kg; 3) Yellow perch: 1 kg; 4) Northern pike: 450 kg; 5) Tullibee: 1 kg; 6) Lake trout: 1 kg.
Column 1 Waters – In respect of:
(64) McGregor Lake (18-22-W4)
Column 2 Gear - Gill net not less than 140 mm mesh
Column 3 Open Time - A. In respect of McGregor Lake excluding the following portions:- that portion north of the southern boundaries of sections 25 and 26-18-22-W4 and 30-18-21-W4;- that portion which is south of secondary road 531: 08:00 hours February 27, 2005 to 16:00 hours March 31, 2006.
B. In respect of all other waters: Closed.
Column 4 Species and Quota - 1) Lake whitefish: 68,182 kg; 2) Walleye: 455 kg; 3) Yellow perch: 1 kg; 4) Northern pike: 1,350 kg; 5) Tullibee: 1 kg; 6) Lake trout: 1 kg.
Column 1 Waters – In respect of:
(74) Murray Lake (10-7-W4)
Column 2 Gear - Gill net not less than 140 mm mesh
Column 3 Open Time - 08:00 hours on the day after the date of ice breakup in 2006 as determined by an officer to 16:00 hours the next following Wednesday.
Column 4 Species and Quota - 1) Lake whitefish: 4,550 kg; 2) Walleye: 200 kg; 3) Yellow perch: 1 kg; 4) Northern pike: 450 kg; 5) Tullibee: 1 kg; 6) Lake trout: 1 kg.
Column 1 Waters – In respect of:
(76) Lake Newell (17-15-W4)
Column 2 Gear - Gill net not less than 127 mm mesh
Column 3 Open Time - A. In respect of Lake Newell excluding the following portions :a) - that portion north of a line drawn from L.S.D. 3-26-17-15-W4 (oil service road) to a point in L.S.D. 15-7-17-14-W (the northern tip of the mouth into Jackfish Bay); and b) - that portion that is 183 metres (200 yds.) or greater from the wetted perimeter of Lake Newell south of the line as described in (a):08:00 hours November 6, 2005 to 16:00 hours November 18, 2005.
B. In respect of all other waters: Closed.
Column 4 Species and Quota - 1) Lake whitefish: 90,500 kg; 2) Walleye: 635 kg; 3) Yellow perch: 1 kg; 4) Northern pike: 3,400 kg; 5) Tullibee: 1 kg; 6) Lake trout: 1 kg.
Column 1 Waters – In respect of:
(97) Scope Reservoir (13-14-W4)
Column 2 Gear - Gill net not less than 140 mm mesh
Column 3 Open Time - 08:00 hours on the day after the date of ice breakup in 2006 as determined by an officer to 16:00 hours the next following Wednesday.
Column 4 Species and Quota - 1) Lake whitefish: 9,050 kg; 2) Walleye: 125 kg; 3) Yellow perch: 1 kg; 4) Northern pike: 450 kg; 5) Tullibee: 1 kg; 6) Lake trout: 1 kg.
Column 1 Waters – In respect of:
(98.1) Sherburne Lake (9-14-W4)-excluding that portion west of a line which bisects 23,26-9-14-W4
Column 2 Gear - Gill net not less than 140 mm mesh
Column 3 Open Time - 08:00 hours January 16, 2006 to 17:00 hours January 20, 2006 (between 07:00 hours and 17:00 hours each day)
Column 4 Species and Quota - 1) Lake whitefish: 9,050 kg; 2) Walleye: 100 kg; 3) Yellow perch: 1 kg; 4) Northern pike: 300 kg; 5) Tullibee: 1 kg; 6) Lake trout: 1 kg.
Column 1 Waters – In respect of:
(115) Unnamed Reservoir locally known as Tilley B Reservoir (18-12-W4)
Column 2 Gear - Gill net not less than 140 mm mesh
Column 3 Open Time - 08:00 hours February 20, 2006 to 16:00 hours February 22, 2006;08:00 hours February 27, 2006 to 16:00 hours March 1, 2006.
Column 4 Species and Quota - 1) Lake whitefish: 31,800 kg; 2) Walleye: 200 kg; 3) Yellow perch: 1 kg; 4) Northern pike: 900 kg; 5) Tullibee: 1 kg; 6) Lake trout: 1 kg.
Column 1 Waters – In respect of:
(120) Unnamed Lake (2,3,7,8,9,10-10-12-W4) and (1,12-10-13-W4)
Column 2 Gear - Gill net not less than 140 mm mesh
Column 3 Open Time - 08:00 hours January 30, 2006 to 16:00 hours February 3, 2006.
Column 4 Species and Quota - 1) Lake whitefish: 18,000 kg; 2) Walleye: 200 kg; 3) Yellow perch: 1 kg; 4) Northern pike: 900 kg; 5) Tullibee: 1 kg; 6) Lake trout: 1 kg.
______________
Alberta Fishery Regulations, 1998
Notice of Variation Order 18-2005
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 18-2005 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.
SCHEDULE
PART 1
Item - 3
Column 1 Waters – In respect of:
(3) Cold Lake (64-1-W4)Excluding the following portions:- That portion from where the southern boundary of the Cold Lake I.R. intersects the west shoreline in L.S.D. 4-2-64-2-W4 due east to the first 6 metre (20 foot) depth contour then north along that depth contour to a point due east of the most easterly point of land in L.S.D. 13-2-64-2-W4, then west to the shoreline; and- That portion from the point where the east boundary of the Cold Lake I.R. intersects the shoreline in L.S.D. 2-19-63-1-W4 due north to the first 6 metre (20 foot) depth contour then northeast along that depth contour to a point due west of the most westerly point in L.S.D. 10-19-63-1-W4, then east to the shoreline.
Column 2 Gear - Trap net
Column 3 Open Time - 08:00 hours September 15, 2005 to 16:00 hours October 31, 2005.
Column 4 Species and Quota - 1) Lake whitefish: 50,000 kg; 2) Walleye: 25 kg; 3) Yellow perch: 1 kg; 4) Northern pike: 25 kg; 5) Tullibee: 24,000 kg; 6) Lake trout: 25 kg.
______________
Alberta Fishery Regulations, 1998
Notice of Variation Order 19-2005
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 19-2005 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 19-2005 commercial fishing is permitted in accordance with the following schedule.
This Variation Order applies to the holders of Metis Commercial Fishing Licences.
SCHEDULE
PART 2
Item - 1
Column 1 Waters – In respect of:
(4) Utikuma Lake (79-10-W5)
Column 2 Gear - Gill net not less than 140 mm mesh
Column 3 Open Time - 08:00 hours January 2, 2006 to 16:00 hours January 7, 2006.
Column 4 Species and Quota - 1) Lake whitefish: 150,000 kg; 2) Walleye: 500 kg; 3) Yellow perch: 500 kg; 4) Northern pike: 30,000 kg; 5) Tullibee: 3,000 kg; 6) Lake trout: 1 kg.
______________
Alberta Fishery Regulations, 1998
Notice of Variation Order 20-2005
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 20-2005 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 20-2005 commercial fishing is permitted in accordance with the following schedule.
SCHEDULE
PART 1
Item - 1
Column 1 Waters – In respect of:
(2) Athabasca Lake (117-1-W4)
Column 2 Gear - Gill net not less than 102 mm mesh
Column 3 Open Time - 08:00 hours May 27, 2005 to 16:00 hours July 15, 2005;08:00 hours December 1, 2005 to 16:00 hours March 1, 2006.
Column 4 Species and Quota – 1) Lake whitefish: 50,000 kg; 2) Walleye: 90,000 kg; 3) Yellow perch: 1 kg; 4) Northern pike: 45,000 kg; 5) Tullibee: 1 kg; 6) Lake trout: 10,000 kg.
ADVERTISEMENTS
Public Sale of Land
(Municipal Government Act)
City of Airdrie
Notice is hereby given that, under the provisions of the Municipal Government Act, the City of Airdrie will offer for sale, by public auction, at the City of Airdrie Council Chambers, 400 Main Street SE, Airdrie, Alberta, on Friday, October 7, 2005, at 1:30 p.m., the following lands or designated manufactured homes:
Lot
Block
Plan
Additional Legal
Stall 17
Stall 18
Stall 29
Each parcel or designated manufactured home will be offered for sale, subject to a reserve bid and to the reservations and conditions contained in the existing Certificate of Title.
Terms: Cash or Certified Cheque at time of sale.
The City of Airdrie may, after the public auction, become the owner of any parcel of land or designated manufactured home not sold at 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 Airdrie, Alberta, July 27, 2005.
Jana Sider, Municipal Treasurer.
______________
Birch Hills County
Notice is hereby given that, under the provisions of the Municipal Government Act, Birch Hills County will offer for sale, by public auction, in the office of Birch Hills County, Birch Hills Service Centre, Main Street, Wanham Alberta, on Monday, October 3, 2005, at 1:00 p.m., the following land:
C. of T.
Legal Description
Hamlet
012 076 939
6168HW; Lot 2
Wanham
The parcel will be offered for sale, subject to a reserve bid and to the reservations and conditions contained in the existing Certificate of Title.
Terms of the sale are: cash or certified cheque, 10% deposit (non-refundable to successful bidder) balance within 30 days.
Birch Hills County may, after the public auction, become the owner of any parcel of land not sold at the public auction.
Reserving thereout all mines and minerals.
Redemption may be effected by payment of all arrears of taxes and costs at any time prior to the sale.
Dated at Wanham, Alberta, June 8, 2005.
Irene Cooper, Chief Administrative Officer.
______________
Kneehill County
Notice is hereby given that, under the provisions of the Municipal Government Act, Kneehill County will offer for sale, by public auction, in the Kneehill County Office, 232 Main Street, Three Hills, Alberta on Tuesday, October 25, 2005, at 1:00 p.m. the following lands:
Legal Description
Title Number
SW 6-31-24-4 (Plan 0212260 Blk 1 Lot 1)
021 229 929
Pt. NW 24-32-27-4
991 136 305
Lot
Block
Plan
Title Number
31-34
5050AK
961 306 566
35-36
5050AK
971 184 456
4127EH
751 091 996
4127EH
163A185
4127EH
163A186
10-11
4127EH
991 018 770
12-13
3208FO
031 262 891
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.
Kneehill County may, after the public auction, become the owner of any parcel of land not sold at the public auction.
Terms: Cash/Cheque.
Redemption may be effected by payment of all arrears of taxes and costs at any time prior to the sale.
Dated at Three Hills, Alberta, July 7, 2005.
Lavinia Henderson, Director of Finance.
______________
Yellowhead County
Notice is hereby given that, under the provisions of the Municipal Government Act, Yellowhead County will offer for sale, by public auction, in the Yellowhead County office, 2716 – 1 Avenue, Edson, Alberta, on Wednesday, September 28, 2005, at 10:00 a.m., the following lands:
Tax Roll
Legal Description
Title Number
Acreage
NE 26-53-09-W5
44.99
SE 26-53-09-W5
157.95
NW 30-56-13-W5
81.28
SE 18-53-14-W5
152.88
NW 13-53-16-W5
012377914+2
120.83
SE 23-53-16-W5
149.03
NE 15-49-21-W5
Plan 9823083 Block 5 Lot 5A
ROBB
982186478+7
LOT
SW 03-54-17-W5
Plan 3137RS Lot 2
LOT
NE 25-53-14-W5
87.45
SE 15-56-15-W5
882294147+1
157.98
SW 09-55-12-W5
160.01
SE 26-53-14-W5
8.84
NW 04-53-10-W5
Plan 9423132 Lot 1
LOT
SE 30-53-07-W5
Plan 8120712 Block 1 Lot 12
EVANSBURG
LOT
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.
These parcels are being offered for sale on an “as is, where is” basis, and Yellowhead County makes no representation and gives no warranty whatsoever as to the adequacy of services, soil conditions, land use districting, building and development conditions, absence or presence of environmental contamination, vacant possession, or the developability of the subject property for any intended use by the Purchaser.
Yellowhead County may, after the public auction, become the owner of any parcel of land not sold at 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 Edson, Alberta, July 14, 2005.
Marianne Whitehead, Director Corporate Services.
______________
Municipal District of Greenview #16
Notice is hereby given that, under the provisions of the Municipal Government Act, the Municipal District of Greenview #16 will offer for sale, by public auction, in the Council Chambers of the Municipal District of Greenview #16 office, 4707 – 50 Street, Valleyview, Alberta, on Monday, September 26, 2005, at 9:00 a.m., the following lands:
Legal
Plan
Lot
C. of T.
Reserve Bid
NE-10-75-24-W5
$32,000.00
NW-10-75-24-W5
$29,000.00
SE-27-71-26-W5
$89,000.00
PT-00-70-24-W5
$ 8,500.00
SW-06-71-24-W5
$93,000.00
NW-29-70-24-W5
992064697+1
$74,000.00
SW-04-70-22-W5
154-T-281
$115,000.00
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 Municipal District of Greenview #16 may, after the public auction, become the owner of any parcel of land not sold at the public auction.
Terms: 10% down payment at public auction; balance at finalization. All payments must be made by Cash or Certified Cheque.
Redemption may be effected by payment of all arrears of taxes and costs at any time prior to the sale.
Dated at Valleyview, Alberta, July 25, 2005.
Gordon Frank, Municipal Manager.
______________
Town of Didsbury
Notice is hereby given that, under the provisions of the Municipal Government Act, the Town of Didsbury will offer for sale, by public auction, in the Town Office, 2037–19 Avenue, Didsbury, Alberta, on Friday, September 30, 2005, at 2:00 p.m., the following lands:
Lot
Block
Plan
Title No.
Unit 3
Unit 4
Unit 5
Unit 6
Unit 7
Unit 8
Unit 9
Unit 10
Unit 11
Unit 12
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 land is being offered for sale on an “as is, where is” basis, and the Town of Didsbury makes no representation and gives no warranty whatsoever as to the adequacy of services, soil conditions, land use districting, building and development conditions, absence or presence of environmental contamination, vacant possession, or the developability of the subject land for any intended use by the Purchaser.
The Town of Didsbury may, after the public auction, become the owner of any parcel of land not sold at the public auction.
Terms: Cash or certified cheque.
Redemption may be effected by payment of all arrears of taxes and costs at any time prior to the sale.
Dated at Didsbury, Alberta, July 29, 2005.
Roy Brown, Interim Chief Administrative Officer.
______________
Town of Okotoks
Notice is hereby given that, under the provisions of the Municipal Government Act, the Town of Okotoks will offer for sale, by public auction, in Council Chambers, 10 McRae Street, Okotoks, Alberta on Friday, October 14, 2005, at 10:00 a.m. the following lands:
Lot
Block
Plan
Each parcel will be offered for sale subject to a reserve bid and encumbrances to the reservations and conditions contained in the existing Certificate of Title.
The Town of Okotoks may, after the public auction, become the owner of any parcel of land not sold at the public auction.
Terms: Cash or certified cheque.
Redemption may be effected by payment of all arrears of taxes and costs at any time prior to the sale.
Dated at Okotoks, Alberta, July 20, 2005.
Allen Jenkins, Municipal Treasurer.
______________
Town of Stettler
Notice is hereby given that, under the provisions of the Municipal Government Act, the Town of Stettler will offer for sale, by public auction, in the Town of Stettler Council Chambers, 4840 – 50 Street, Stettler, Alberta, on Monday, September 26, 2005, at 1:00 p.m., the following lands:
Lot
Block
Plan
C. of T.
925X
2442AE
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 land is being offered for sale on an “as is, where is” basis, and the Town of Stettler makes no representation and gives no warranty whatsoever as to the adequacy of services, soil conditions, land use districting, building and development conditions, absence or presence of environmental contamination, or the developability of the subject property for any intended use by the purchaser.
Terms: Cash or Certified Cheque.
The Town of Stettler may, after the public auction, become the owner of any parcel of land not sold at 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 Stettler, Alberta, July 20, 2005.
Greg Switenky, Director of Finance & Administration.
______________
Village of Caroline
Notice is hereby given that, under the provisions of the Municipal Government Act, the Village of Caroline will offer for sale, by public auction, in the Village Administration Office, 5004 – 50 Avenue, Caroline, Alberta, on Friday, September 30, 2005, at 2:00 p.m., the following lands:
Roll #
Lot
Block
Plan
C. of T.
325 HW
63 0 211
4574HW
052 013 894
6976ET
002 287 970
6976ET
992 189 298
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 Caroline may, after the public auction, become the owner of any parcel of land not sold at the public auction.
Terms: Cash or certified cheque.
Redemption may be effected by payment of all arrears of taxes and costs at any time prior to the sale.
Dated at Caroline, Alberta, July 27, 2005.
Eleanor Pengelly, Municipal Administrator.
Alberta Government Services
____________________
Corporate Registry
____________________
Registrar’s Periodical
ALBERTA GOVERNMENT SERVICES
Corporate Registrations, Incorporations, and Continuations
(Business Corporations Act, Cemetery Companies Act, Companies Act, Cooperatives Act, Credit Union Act, Loan and Trust Corporations Act, Religious Societies’ Land Act, Rural Utilities Act, Societies Act, Partnership Act)
02 DESIGNS LTD. Named Alberta Corporation Incorporated 2005 JUL 09 Registered Address: 108 CRANFIELD CIRCLE SE, CALGARY ALBERTA, T3M 1H1. No: 2011807613.
0692281 B.C. LTD. Other Prov/Territory Corps Registered 2005 JUL 04 Registered Address: 2500, 10104 - 103 AVENUE, EDMONTON ALBERTA, T5J 1V3. No: 2111798522.
0727973 B.C. LTD. Other Prov/Territory Corps Registered 2005 JUL 08 Registered Address: UNIT 36-101 10001 101 AVE, GRANDE PRAIRIE ALBERTA, T8V 0X9. No: 2111807349.
0728984 B.C. LTD. Other Prov/Territory Corps Registered 2005 JUL 05 Registered Address: 42 GLENSIDE DR. SW, CALGARY ALBERTA, T3E 4K5. No: 2111801409.
101024620 SASKATCHEWAN LTD. Other Prov/Territory Corps Registered 2005 JUL 05 Registered Address: #1250, 639 - 5TH AVENUE SW, CALGARY ALBERTA, T2P 0M9. No: 2111801813.
101052007 SASKATCHEWAN LTD. Other Prov/Territory Corps Registered 2005 JUL 13 Registered Address: 3010, 205 - 5 AVENUE S.W., CALGARY ALBERTA, T2P 2V7. No: 2111815201.
101065136 SASKATCHEWAN LTD. Other Prov/Territory Corps Registered 2005 JUL 05 Registered Address: 4602 - 50 AVENUE, LLOYDMINSTER ALBERTA, T9V 0W3. No: 2111800427.
1174365 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2005 JUL 05 Registered Address: 1013 5TH AVENUE, WAINWRIGHT ALBERTA, T9W 1L6. No: 2011743651.
1174904 ALBERTA INC. Numbered Alberta Corporation Incorporated 2005 JUL 08 Registered Address: 1200, 700 - 2ND STREET S.W., CALGARY ALBERTA, T2P 4V5. No: 2011749047.
1174956 ALBERTA INC. Numbered Alberta Corporation Incorporated 2005 JUL 08 Registered Address: 1200, 700 - 2ND STREET S.W., CALGARY ALBERTA, T2P 4V5. No: 2011749567.
1175352 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2005 JUL 05 Registered Address: 91 SANDRINGHAM WAY NW, CALGARY ALBERTA, T3K 3V7. No: 2011753528.
1175544 ALBERTA ULC Numbered Alberta Corporation Incorporated 2005 JUL 11 Registered Address: 2900 - 10180 101 STREET, EDMONTON ALBERTA, T5J 3V5. No: 2011755440.
1175691 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2005 JUL 11 Registered Address: 4TH FLR., 4943 - 50TH STREET, RED DEER ALBERTA, T4N 1Y1. No: 2011756919.
1175752 ALBERTA ULC Numbered Alberta Corporation Incorporated 2005 JUL 11 Registered Address: 2900 - 10180 101 STREET, EDMONTON ALBERTA, T5J 3V5. No: 2011757529.
1178414 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2005 JUL 04 Registered Address: 903B, 48TH AVENUE SE, CALGARY ALBERTA, T2G 2A7. No: 2011784143.
1178569 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2005 JUL 04 Registered Address: 4300, 888 - 3 STREET SW, CALGARY ALBERTA, T2P 5C5. No: 2011785694.
1178570 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2005 JUL 04 Registered Address: 4300, 888 - 3 STREET SW, CALGARY ALBERTA, T2P 5C5. No: 2011785702.
1178644 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2005 JUL 05 Registered Address: 67 COUGAR RIDGE CIRCLE SW, CALGARY ALBERTA, T2E 8V3. No: 2011786445.
1178887 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2005 JUL 04 Registered Address: 903B - 48 AVENUE SE, CALGARY ALBERTA, T2G 2A7. No: 2011788870.
1178974 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2005 JUL 04 Registered Address: 903B - 48 AVENUE SE, CALGARY ALBERTA, T2G 2A7. No: 2011789746.
1179017 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2005 JUL 04 Registered Address: 200, 9914 MORRISON STREET, FORT MCMURRAY ALBERTA, T9H 4A4. No: 2011790173.
1179153 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2005 JUL 02 Registered Address: 115 HAMPSTEAD GREEN NW, CALGARY ALBERTA, T3A 6H1. No: 2011791536.
1179170 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2005 JUL 13 Registered Address: 7324 93A STREET, GRANDE PRAIRIE ALBERTA, T8V 6H5. No: 2011791700.
1179196 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2005 JUL 08 Registered Address: 6028 NORFOLK DR. NW, CALGARY ALBERTA, T3K 5J9. No: 2011791965.
1179269 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2005 JUL 13 Registered Address: 903B - 48 AVENUE SE, CALGARY ALBERTA, T2G 2A7. No: 2011792690.
1179304 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2005 JUL 04 Registered Address: #1, 3295 DUNMORE ROAD SE, MEDICINE HAT ALBERTA, T1B 3R2. No: 2011793045.
1179387 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2005 JUL 11 Registered Address: 5006 - 50 ST., BARRHEAD ALBERTA, T7N 1A4. No: 2011793870.
1179460 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2005 JUL 04 Registered Address: 171 NEW BRIGHTON CIRCLE SE, CALGARY ALBERTA, T2Z 4B4. No: 2011794605.
1179723 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2005 JUL 14 Registered Address: 200, 9803 - 101 AVENUE, GRANDE PRAIRIE ALBERTA, T8V 0X6. No: 2011797236.
1179778 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2005 JUL 01 Registered Address: #7 RIVERVIEW DR, REDCLIFF ALBERTA, T0J 2P0. No: 2011797780.
1179782 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2005 JUL 07 Registered Address: 213 RIVERCREST CRESCENT, ST. ALBERT ALBERTA, T8N 3B9. No: 2011797822.
1179783 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2005 JUL 07 Registered Address: APT. 1907, 9825 - 103 STREET, EDMONTON ALBERTA, T5K 2M3. No: 2011797830.
1179788 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2005 JUL 02 Registered Address: 3103 139 AVE NW, EDMONTON ALBERTA, T5Y 1R4. No: 2011797889.
1179793 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2005 JUL 02 Registered Address: 19 VENTURA LANE NE, CALGARY ALBERTA, T2E 8H1. No: 2011797939.
1179795 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2005 JUL 02 Registered Address: 9907 171 AVENUE NW, EDMONTON ALBERTA, T5X 4X2. No: 2011797954.
1179803 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2005 JUL 04 Registered Address: 923 - 117 ST., EDMONTON ALBERTA, T6J 6Z7. No: 2011798036.
1179806 ALBERTA INC. Numbered Alberta Corporation Incorporated 2005 JUL 04 Registered Address: 404-10216-124 STREET, EDMONTON ALBERTA, T5N 4A3. No: 2011798069.
1179818 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2005 JUL 04 Registered Address: #730, 1015 - 4TH STREET S.W., CALGARY ALBERTA, T2R 1J4. No: 2011798184.
1179820 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2005 JUL 04 Registered Address: 4805 - 13 AVENUE NW, EDMONTON ALBERTA, T6L 6R6. No: 2011798200.
1179821 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2005 JUL 04 Registered Address: 2500, 10123 - 99 STREET, EDMONTON ALBERTA, T5J 3H1. No: 2011798218.
1179823 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2005 JUL 07 Registered Address: 3400, 350 - 7TH AVENUE SW, CALGARY ALBERTA, T2P 3N9. No: 2011798234.
1179824 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2005 JUL 04 Registered Address: SE 7 104 18 W5 No: 2011798242.
1179828 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2005 JUL 04 Registered Address: 11624 145 STREET, EDMONTON ALBERTA, T5M 1V8. No: 2011798283.
1179843 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2005 JUL 04 Registered Address: 8921 103 AVE, GRANDE PRAIRIE ALBERTA, T8X 1G4. No: 2011798432.
1179844 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2005 JUL 04 Registered Address: 152, 10403 - 122 ST., EDMONTON ALBERTA, T5N 4C1. No: 2011798440.
1179854 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2005 JUL 04 Registered Address: 520 COACH GROVE ROAD S.W., CALGARY ALBERTA, T3H 1J4. No: 2011798549.
1179858 ALBERTA INC. Numbered Alberta Corporation Incorporated 2005 JUL 04 Registered Address: 206-2519 17 ST SW, CALGARY ALBERTA, T2T 4M9. No: 2011798580.
1179859 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2005 JUL 04 Registered Address: 65 HARVEST OAK DR NE, CALGARY ALBERTA, T3K 4V2. No: 2011798598.
1179860 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2005 JUL 04 Registered Address: 5813 - 47 AVENUE, BEAUMONT ALBERTA, T4X 1N9. No: 2011798606.
1179861 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2005 JUL 04 Registered Address: SE 14 51 6 W5 No: 2011798614.
1179866 ALBERTA INC. Numbered Alberta Corporation Incorporated 2005 JUL 04 Registered Address: 80 WOODGLEN CLOSE SW, CALGARY ALBERTA, T2W 4N1. No: 2011798663.
1179871 ALBERTA INC. Numbered Alberta Corporation Incorporated 2005 JUL 04 Registered Address: 37 SUN HARBOUR CRESCENT SE, CALGARY ALBERTA, T2X 3B2. No: 2011798713.
1179883 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2005 JUL 04 Registered Address: #600, 12220 STONY PLAIN ROAD, EDMONTON ALBERTA, T5N 3Y4. No: 2011798838.
1179891 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2005 JUL 04 Registered Address: APT. 10, 9938 - 80 AVENUE NW, EDMONTON ALBERTA, T6E 6L4. No: 2011798911.
1179894 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2005 JUL 04 Registered Address: 13236 38 STREET NW, EDMONTON ALBERTA, T5A 3G4. No: 2011798945.
1179897 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2005 JUL 04 Registered Address: 630, 11012 MACLEOD TRAIL S, CALGARY ALBERTA, T2J 6A5. No: 2011798978.
1179898 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2005 JUL 04 Registered Address: SUITE 212, 3132 PARSONS ROAD, EDMONTON ALBERTA, T6N 1L6. No: 2011798986.
1179905 ALBERTA INC. Numbered Alberta Corporation Incorporated 2005 JUL 04 Registered Address: 216 OMAND DR NW, EDMONTON ALBERTA, T6R 1N1. No: 2011799059.
1179908 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2005 JUL 04 Registered Address: 6919 HUNTRIDGE HILL NE, CALGARY ALBERTA, T2K 4A4. No: 2011799083.
1179912 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2005 JUL 04 Registered Address: 18227 76 AVE NW, EDMONTON ALBERTA, T5T 4R2. No: 2011799125.
1179916 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2005 JUL 04 Registered Address: 5108 53 ST, DRAYTON VALLEY ALBERTA, T7A 1S7. No: 2011799166.
1179925 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2005 JUL 04 Registered Address: #202, 4825 - 47TH STREET, RED DEER ALBERTA, T4N 1R3. No: 2011799257.
1179931 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2005 JUL 04 Registered Address: 83 HIDDEN RANCH TERRANCE NW, CALGARY ALBERTA, T3A 5Z4. No: 2011799315.
1179936 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2005 JUL 04 Registered Address: NW 36 33 20 W4 No: 2011799364.
1179937 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2005 JUL 04 Registered Address: 537 - 7TH STREET SOUTH, LETHBRIDGE ALBERTA, T1J 2G8. No: 2011799372.
1179953 ALBERTA INC. Numbered Alberta Corporation Incorporated 2005 JUL 04 Registered Address: 4627 VIRGINIA DR NW, CALGARY ALBERTA, T3A 0P2. No: 2011799539.
1179956 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2005 JUL 04 Registered Address: 2500, 10303 JASPER AVENUE, EDMONTON ALBERTA, T5J 3N6. No: 2011799562.
1179962 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2005 JUL 04 Registered Address: 9720 92A ST, GRANDE PRAIRIE ALBERTA, T8V 4N5. No: 2011799620.