Alberta Gazette — 15 October (i)
1015 i
Alberta — Gazette
The Alberta Gazette
PART 1
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Vol. 97EDMONTON, MONDAY, OCTOBER 15, 2001No. 19
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GOVERNMENT NOTICES
AGRICULTURE, FOOD AND RURAL DEVELOPMENT
FORM 15
(Irrigation Districts Act)
(Section 88)
NOTICE TO IRRIGATION SECRETARIAT:
CHANGE OF AREA OF AN IRRIGATION DISTRICT
On behalf of the Lethbridge Northern Irrigation District, I hereby request that the Irrigation Secretariat forward a certified copy of this notice to the Registrar of Land Titles for the purposes of registration under
section 23 of the Land Titles Act and arrange for notice to be published in the Alberta Gazette.
The following parcels of land should be ADDED to the irrigation district and the appropriate notation added to the certificate of title:
Short Legal Description,Title Number
4;21;12;6;NW,011 138 787
4;21;12;7;SW,011 138 787 + 1
I certify that the procedures required under
Part 4 of the Irrigation Districts Act have been completed and the area of the Lethbridge Northern Irrigation District should be changed according to the above list.
Laurie Hodge, Office Manager.
Irrigation Secretariat.
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On behalf of the St. Mary River Irrigation District, I hereby request that the Irrigation Secretariat forward a certified copy of this notice to the Registrar of Land Titles for the purposes of registration under
section 23 of the Land Titles Act and arrange for notice to be published in the Alberta Gazette.
The following parcels of land should be ADDED to the irrigation district and the appropriate notation added to the certificate of title:
Short Legal Description,Title Number
4;7;11;34;SE,122 B 31
4;7;11;34;NW,122 B 27
I certify that the procedures required under
Part 4 of the Irrigation Districts Act have been completed and the area of the St. Mary River Irrigation District should be changed according to the above list.
Laurie Hodge, Office Manager.
Irrigation Secretariat.
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On behalf of the Taber Irrigation District, I hereby request that the Irrigation Secretariat forward a certified copy of this notice to the Registrar of Land Titles for the purposes of registration under
section 23 of the Land Titles Act and arrange for notice to be published in the Alberta Gazette.
The following parcels of land should be ADDED to the irrigation district and the appropriate notation added to the certificate of title:
Short Legal Description,Title Number
NE 18-9-16 W4,991 099 570 +3
NW 18-9-16 W4,991 099 570 + 4
SW 19-9-16 W4,991 099 570 + 1
NE/NW/SW 17-9-15 W4,123C3
NW 13-10-16 W4,941 181 057 + 1
Pt. LSD 1 & 8, SE 11-10-16 W4,951 114 909 + 1
NW 36-10-16 W4,751 038 186
SE 15-10-15 W4,991 110 243 + 1
Pt SE 15-10-15 W4,971 288 990
I certify that the procedures required under
Part 4 of the Irrigation Districts Act have been completed and the area of the Taber Irrigation District should be changed according to the above list.
Laurie Hodge, Office Manager.
Irrigation Secretariat.
_______________________
On behalf of the Western Irrigation District, I hereby request that the Irrigation Secretariat forward a certified copy of this notice to the Registrar of Land Titles for the purposes of registration under
section 23 of the Land Titles Act and arrange for notice to be published in the Alberta Gazette.
The following parcels of land should be ADDED to the irrigation district and the appropriate notation added to the certificate of title:
Short Legal Description,Title Number
NW 19-25-27-W4,981 060 343
SW 19-25-27-W4,981 060 343 + 1
SW 18-23-24-W4,991 005 676
SW 01-23-23-W4,132K26
The following parcels of land should be REMOVED from the irrigation district and the notation removed from the certificate of title:
Short Legal Description,Title Number
9911250;;1,991 104 509
SE 27-25-23-W4,951 081 966 + 5
Plan 9912977, Block 1,001 356 583
Plan 9310289, Block 1 (NW 13-24-24-W4),001 105 976
I certify that 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.
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GOVERNMENT SERVICES
VITAL STATISTICS
CERTIFICATE OF CHANGE OF PERSONAL NAME
(Change of Name Act)
All Notice of Change of Personal Names for 2001 can be viewed in print versions of the
Alberta Gazette or on QP Source Professional.
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INFRASTRUCTURE
SALE OR DISPOSITION OF LAND
(Government Organization Act)
Name of Purchaser: Shane Plamondon and Tanya Plamondon
Consideration: $30,000
Land Description: Meridian 4, range 14, township 67,
section 3. All that portion of the north east quarter described as follows: commencing at a point on the east boundary thereof 140 metres northerly from the south east corner; thence westerly and at right angles to the said east boundary 407 metres; thence northerly and parallel to the east boundary to a point on the south west boundary of subdivision plan 7520974; thence south easterly along the said south west boundary to a point on the said east boundary; thence southerly to the point of commencement, containing 40 acres more or less. Excepting thereout all mines and minerals, located in the County of Lakeland.
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ALBERTA OPPORTUNITY COMPANY
LOAN AUTHORIZATIONS FOR THE MONTH OF AUGUST, 2001
(Alberta Opportunity Fund Act)
395496 Alberta Ltd. Calgary. Automotive mechanical repair shop.
Majority Owners: Tomasz Goszczynski.
Loan Authorized: $525,000.
Purpose: Purchase existing business.
926830 Alberta Ltd. Fawcett. Truck stop & motel.
Majority Owners: Douglas Lee, Marianne Lee.
Loan Authorized: $680,000.
Purpose: Purchase existing business.
Airdrie Auto & RV Sales Ltd. Airdrie. Travel trailers sales & service.
Majority Owners: Thomas Nicklefork.
Loan Authorized: $495,000.
Purpose: Land & building.
Alomar Building Products Inc. Calgary. Brick & stone distributor.
Majority Owners: Mark Hergott.
Loan Authorized: $120,000.
Purpose: Inventory.
B & N Sales and Rentals Ltd. Brooks. Pipeline supplies/sales, equipment rentals.
Majority Owners: Carrie Nielson, Lonny Rushka, Ernst Oilfield Services Ltd. (Cecil Ernst).
Loan Authorized: $350,000.
Purpose: Land & building.
Cold Lake Ventures Ltd. Cold Lake. Supplier of premises.
Majority Owners: Murray Murphy.
Loan Authorized: $550,000.
Purpose: Land & building.
Compass Animal Health Inc. Edmonton. Animal health product wholesale.
Majority Owner: Bob Taylor, Todd Shaw, Jeff Kufeldt.
Guarantee Authorized: $225,000.
Purpose: Support bank operating line of credit.
Jemalibo Inc. Wainwright. Restaurant & pub.
Majority Owners: Jean Heath, Alexander Heath.
Loan Authorized: $160,000.
Purpose: Purchase existing business.
Lockridge, J. & L. Ponoka. Specialty food store.
Majority Owners: Joseph Lockridge, Lailani Lockridge.
Loan Authorized: $5,000.
Purpose: Equipment.
Richcraft Enterprises Ltd. & 625829 Alberta Ltd. De Winton. Furniture manufacturer.
Majority Owners: William Peters, Mary Peters.
Loan Authorized: $400,000.
Purpose: Restructure debt, Equipment.
Rycroft Holdings Inc. Edson. Motel.
Majority Owners: Boo-Yong Lee, Byung-Soon Lee.
Loan Authorized: $475,000.
Purpose: Purchase existing business.
Triton Manufacturing Inc. Calgary. Sheet metal manufacturing.
Majority Owners: Leslie Darwent, Perry Poropat.
Loan Authorized: $100,000.
Purpose: Working capital.
Xie, A. Bassano. Accounting services.
Majority Owners: Ann Xie.
Loan Authorized: $25,000.
Purpose: Building. SAFETY CODES COUNCIL
AGENCY ACCREDITATION - AMENDMENT
(Safety Codes Act)
Pursuant to
section 26 of the Alberta Safety Codes Act, it is hereby ordered that
- Emerson Electric Canada Limited, Kenonic Controls Division, Accreditation No. A000280, Order No. O00001047, September 11, 2001
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Pursuant to
section 26 of the Alberta Safety Codes Act, it is hereby ordered that
- Emerson Electric Canada Limited, Kenonic Controls Division, Accreditation No. A000280, Order No. O00001065, September 11, 2001
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Pursuant to
section 26 of the Alberta Safety Codes Act, it is hereby ordered that
- Emerson Electric Canada Limited, Kenonic Controls Division, Accreditation No. A000280, Order No. O00001066, September 11, 2001
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Pursuant to
section 26 of the Alberta Safety Codes Act, it is hereby ordered that
- Emerson Electric Canada Limited, Kenonic Controls Division, Accreditation No. A000280, Order No. O00001067, September 11, 2001
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CORPORATE ACCREDITATION - AMENDMENT
(Safety Codes Act)
Pursuant to
section 24 of the Alberta Safety Codes Act, it is hereby ordered that
- Agrium., Accreditation No. C000142, Order No. O00000443, September 12, 2001
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Pursuant to
section 24 of the Alberta Safety Codes Act, it is hereby ordered that
- Conoco Canada Resources Ltd., Accreditation No. C000203, Order No. O00000731, September 12, 2001
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Pursuant to
section 24 of the Alberta Safety Codes Act, it is hereby ordered that
- Sensor Environmental Services Ltd., Accreditation No. C000203, Order No. O00000731, August 15, 2001
Having been charged with the care and control of the operation of the Swan Hills Treatment Centre is authorized to administer the Safety Codes Act within their jurisdiction effective January 1, 2001 for Electrical.
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JOINT MUNICIPAL ACCREDITATION - AMENDMENT
(Safety Codes Act)
Accreditation No. J000115, Order No. O00000576, September 12, 2001
Municipal District of Bonnyville No. 87, Town of Bonnyville, City of Cold Lake, Village of Glendon, Summer Village of Bonnyville Beach, Summer Village of Pelican Narrows
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MUNICIPAL ACCREDITATION
(Safety Codes Act)
Pursuant to
section 23 of the Alberta Safety Codes Act, it is hereby ordered that
- Westlock County, Accreditation No. M000370, Order No. O00001348, September 14, 2001
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Pursuant to
section 23 of the Alberta Safety Codes Act, it is hereby ordered that
- Westlock County, Accreditation No. M000370, Order No. O00001349, September 14, 2001
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Pursuant to
section 23 of the Alberta Safety Codes Act, it is hereby ordered that
- Westlock County, Accreditation No. M000370, Order No. O00001350, September 14, 2001
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Pursuant to
section 23 of the Alberta Safety Codes Act, it is hereby ordered that
- Westlock County, Accreditation No. M000370, Order No. O00001351, September 14, 2001
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MUNICIPAL ACCREDITATION - AMENDMENT
(Safety Codes Act)
Pursuant to
section 23 of the Alberta Safety Codes Act, it is hereby ordered that
- Municipal District of Acadia No. 34, Accreditation No. M000334, Order No. O00000654, September 11, 2001
ALBERTA SECURITIES COMMISSION
NATIONAL INSTRUMENT 55-102
SYSTEM FOR ELECTRONIC DISCLOSURE BY INSIDERS (SEDI)
PART 1-
DEFINITIONS AND
INTERPRETATION
1.1
Definitions - In this Instrument
"access key" means an alpha-numeric code issued by SEDI or the SEDI operator in respect of an insider that files an insider profile in SEDI format or in respect of a SEDI issuer that files an issuer profile supplement in SEDI format;
"class" includes a series of a class;
"filing agent" means a person or company that is authorized by a SEDI filer to make a SEDI filing on behalf of the SEDI filer;
"insider profile" means the information that is required under Form 55-102F1;
"insider report" means a report required to be filed under the insider reporting requirement;
"issuer event" means a stock dividend, stock split, consolidation, amalgamation, reorganization, merger or other similar event that affects all holdings of a class of securities of an issuer in the same manner, on a per share basis;
"issuer event report" means the information that is required under Form 55-102F4;
"issuer profile supplement" means the information that is required under Form 55-102F3;
"paper format" means information printed on paper;
"SEDI" means the online computer system providing for the transmission, receipt, review and dissemination of insider reports and related information filed electronically, which is known as the System for Electronic Disclosure by Insiders;
"SEDI filer" means a person or company that is required to make a SEDI filing in accordance with this Instrument;
"SEDI filing" means information that is filed under securities legislation or securities directions in SEDI format, or the act of filing information under securities legislation or securities directions in SEDI format, as the context indicates;
"SEDI format" means information entered electronically in SEDI using the SEDI software application located at the SEDI web site;
"SEDI issuer" means a reporting issuer, other than a mutual fund, that is required to comply with National Instrument 13-101 System for Electronic Document Analysis and Retrieval (SEDAR), including a foreign issuer referred to under paragraph 2 of subsection 2.1(1) of that Instrument;
"SEDI operator" means CDS INC. or a successor appointed by the securities regulatory authority to operate SEDI;
"SEDI software application" means the software on the SEDI web site that provides SEDI users with the functionality to make SEDI filings;
"SEDI user" means an individual who has registered in accordance with subsection 2.5(2);
"SEDI web site" means the web site maintained by the SEDI operator for the filing of information in SEDI format;
"transfer report" means
(
a) in Alberta, Saskatchewan, Ontario, Nova Scotia or Newfoundland, a report required to be filed by an insider of a reporting issuer under securities legislation if the insider transfers securities of the reporting issuer into the name of an agent, nominee or custodian; or
(
b) in Quebec, a report required to be filed by an insider of a reporting issuer under securities legislation if the insider registers or causes to be registered any security of the reporting issuer in the name of a third person;
"user registration form" means the information that is required under Form 55-102F5.
PART 2 - SEDI FILING REQUIREMENTS
2.1 Filing of Insider Profile
(1) An insider of a SEDI issuer shall file an insider profile or an amended insider profile in SEDI format before the insider files an insider report in SEDI format in respect of that SEDI issuer.
(2) An insider profile shall contain the information required under Form 55-102F1.
(3) An insider that has filed an insider profile under subsection (1) shall file an amended insider profile in SEDI format containing the information required under Form 55-102F1
(
a) if there is a change in the insider's name or the insider's relationship to any SEDI issuer disclosed in the insider's most recently filed insider profile, or
if the insider ceases to be an insider of any such SEDI issuer, within 10 days after the occurrence of the event, or
(
b) if there has been any other change in the information disclosed in the insider's most recently filed insider profile, at the time that the insider next files an amended insider profile or an insider report in SEDI format.
(4) An insider that is required to file an insider profile in SEDI format shall not file more than one insider profile.
2.2 Filing of Insider Reports in SEDI Format
(1) An insider of a SEDI issuer that is required by securities legislation to file an insider report in that capacity shall file the insider report in SEDI format through a SEDI user.
(2) For greater certainty, a SEDI user under subsection (1) includes the insider if that insider becomes registered as a SEDI user on or before the time that the insider report is due to be filed.
(3) An insider report that is filed in SEDI format shall contain the information required under Form 55-102F2.
2.3 Filing of Issuer Profile Supplement
(1) A SEDI issuer shall file an issuer profile supplement in SEDI format within three business days after the date that it becomes a SEDI issuer.
(2) An issuer profile supplement that is required to be filed under subsection (1) shall contain the information required under Form 55-102F3.
(3) A SEDI issuer shall file an amended issuer profile supplement in SEDI format immediately if
(
a) the SEDI issuer issues any security or class of securities that is not disclosed in its issuer profile supplement;
(
b) there is any change in the designation of any security or class of securities of the SEDI issuer disclosed or required to be disclosed in its issuer profile supplement;
(
c) any security or class of securities of the SEDI issuer disclosed or required to be disclosed in its issuer profile supplement has ceased to be outstanding and is not subject to issuance at a future date; or
(
d) there is any other change in the information disclosed or required to be disclosed in its issuer profile supplement.
2.4 Filing of Issuer Event Report
(1) A SEDI issuer shall file an issuer event report in SEDI format no later than one business day following the occurrence of an issuer event.
(2) An issuer event report that is required to be filed under subsection (1) shall contain the information required under Form 55-102F4.
2.5 SEDI Users
(1) An individual who is a SEDI filer, a filing agent, or an authorized representative of a SEDI filer or filing agent, may use SEDI for the purpose of making SEDI filings.
(2) Before using SEDI to make SEDI filings, an individual referred to in subsection (1) shall register as a SEDI user by
(
a) completing and submitting a user registration form in SEDI format; and
(
b) delivering a copy of the completed user registration form in paper format to the SEDI operator for verification by the SEDI operator.
(3) A user registration form under subsection (2) shall contain the information required under Form 55-102F5 and the paper format copy of the user registration form under paragraph (2)(
b) shall contain the manual or facsimile signature of the individual being registered.
(4) The paper format copy of the user registration form referred to in paragraph (2)(
b) shall be delivered to the SEDI operator by prepaid mail, personal delivery or facsimile at the address or facsimile number indicated on the printed copy of Form 55-102F5, as applicable.
PART 3 - FILING OF REPORTS IN PAPER FORMAT
3.1 Filing of Insider Reports in Paper Format
(1) An insider report that is not required to be filed in SEDI format under this Instrument shall be filed in paper format.
(2) An insider report that is required to be filed in paper format shall be prepared in accordance with Form 55-102F6, subject to any provision of securities legislation that permits the use of an alternative form of report in the particular circumstances.
(3) An insider report that is prepared in accordance with Form 55-102F6 shall be manually signed and shall be filed either
(
a) by prepaid mail or personal delivery to the address of the securities regulatory authority set forth on Form 55-102F6; or
(
b) by facsimile to the facsimile number of the securities regulatory authority set forth on Form 55-102F6.
3.2 Filing of Transfer Reports in Paper Format
(1) In Alberta, Saskatchewan, Ontario, Quebec, Nova Scotia or Newfoundland, a transfer report shall be filed in paper format and shall be prepared in accordance with Form 55-102F6.
(2) A transfer report that is prepared in accordance with Form 55-102F6 shall be annually signed and shall be filed either
(
a) by prepaid mail or personal delivery to the address of the securities regulatory authority set forth on Form 55-102F6; or
(
b) by facsimile to the facsimile number of the securities regulatory authority set forth on Form 55-102F6.
PART 4 - SEDI FILING EXEMPTION
4.1 Temporary Hardship Exemption
(1) If unanticipated technical difficulties or failure by a SEDI issuer to file its issuer profile supplement prevent the timely submission of an insider report in SEDI format, a SEDI filer shall file the insider report in paper format as soon as practicable and in any event no later than two business days after the day on which the insider report was required to be filed.
(2) An insider report filed in paper format under subsection (1) shall be prepared in accordance with Form 55-102F6 and shall include the following legend in capital letters at the top of the front page:
IN ACCORDANCE WITH
SECTION 4.1 OF NATIONAL INSTRUMENT 55-102 SYSTEM FOR ELECTRONIC DISCLOSURE BY INSIDERS (SEDI), THIS INSIDER REPORT IS BEING FILED IN PAPER FORMAT UNDER A TEMPORARY HARDSHIP EXEMPTION.
(3) The requirements of securities legislation relating to paper format filings of insider reports apply to a filing under subsection (1) except that signatures to the paper format document may be in typed form rather than manual format.
(4) If an insider report is filed in paper format in the manner and within the time prescribed in this section, the date by which the information is required to be filed under securities legislation is extended to the date on which the filing is made in paper format.
(5) If a SEDI filer makes a paper format filing under this section, the SEDI filer shall file the insider report in SEDI format as soon as practicable after the unanticipated technical difficulties have been resolved or the insider has become aware that the SEDI issuer has filed its issuer profile supplement, whichever is applicable.
PART 5 - PREPARATION AND TRANSMISSION OF SEDI FILINGS
5.1 Manner of Effecting SEDI Filings - A SEDI filing shall be prepared and transmitted using the SEDI software application located at the SEDI web site.
5.2 Access Key - After an issuer profile supplement or an insider profile has been filed by or for a SEDI filer, all information filed in SEDI format by or for the SEDI filer shall be authenticated using the SEDI filer's access key.
5.3 Format of Information and Number of Copies - A requirement in securities legislation relating to the format in which a report or other information to be filed must be printed or specifying the number of copies of a report or other information that must be filed does not apply to a SEDI filing made in accordance with this Instrument.
PART 6 - EXEMPTION
6.1 Exemption
(1) The regulator or the securities regulatory authority may grant an exemption from this Instrument, in whole or in part, subject to such conditions or restrictions as may be imposed in the exemption.
(2) Despite subsection (1), in Ontario only the regulator may grant such an exemption.
PART 7 - TRANSITION TO ELECTRONIC FILING
7.1 SEDI Issuers - An issuer that is a SEDI issuer on October 29, 2001 shall file an issuer profile supplement in SEDI format within five business days after that date.
7.2 Transactions Before Effective Date - If, at any time on or after November 13, 2001, an insider of a SEDI issuer is filing an insider report, including an amended insider report, in respect of a relationship to, or a transaction in securities of, the SEDI issuer which arose or occurred prior to that date, the insider shall file the insider report in SEDI format.
PART 8 - EFFECTIVE DATE
8.1 Effective Date
(1) Except for sections 2.1, 2.2, 2.4, 3.1 and 3.2, this Instrument comes into force on October 29, 2001.
(2) Sections 2.1, 2.2, 2.4, 3.1 and 3.2 come into force on November 13, 2001.
FORM 55-102F1
Insider Profile
An insider profile filed in SEDI format shall contain the information prescribed below. The information shall be entered using the online version of this form accessible by SEDI users at the SEDI web site (www.sedi.ca). All references to web pages, fields and lists relate to the online version of the form.
If the insider is an individual, start entering information on the web page titled "Create insider profile (Form 55-102F1) - Enter individual information". If the individual insider has submitted a SEDI user registration form, select "Copy your user registration information" to avoid re-entering the insider's personal information. If the insider is not an individual, select "Enter company information" and start entering information on the web page titled "Create insider profile (Form 55-102F1) - Enter company information".
1. Insider's full legal name
Provide the full legal name of the insider. Use upper and lower case letters as applicable. Do not use initials, nicknames or abbreviations. If the insider is an individual, complete the "Insider family name" and the "Insider given names" fields. If the insider is not an individual, provide the full legal name of the insider in the "Insider company name" field.
2. Name of insider representative (if applicable)
If the insider is not an individual, provide the full legal name of an individual representative of the insider using the "Family name" and "Given names" fields. Use upper and lower case letters as applicable. Do not use initials, nicknames or abbreviations.
3. Insider's address
If the insider is an individual, provide the insider's principal residential address. Otherwise, provide the business address where the insider's representative (provided in item 2 above) is employed. In either case, select or provide the country and provide the address (street name and number, etc.), the municipality (city, town, etc.), province, territory or state and postal or zip code, as applicable. A post office box or similar mailing address is not acceptable.
4. Insider's telephone number
Provide a daytime telephone number for the insider (if the insider is an individual) or for the insider's representative (if the insider is not an individual).
5. Insider's fax number (if applicable)
If available, provide a fax number for the insider (if the insider is an individual) or for the insider's representative (if the insider is not an individual).
6. Insider's e-mail address (if applicable)
If available, provide an e-mail address for the insider (if the insider is an individual) or for the insider's representative (if the insider is not an individual).
8. Confidential question and answer
Provide a "confidential question" and an answer to the confidential question for use in verifying the identity of the insider or the insider's representative if a request is being made to the SEDI operator for a new insider access key. Keep a record of the confidential question and answer in a secure location.
9. Add name(
s) of reporting issuer(
s) If the insider has ceased to be an insider of a reporting issuer added previously to the insider profile, see item 12 below.
10. Insider's relationship to reporting issuer
For each reporting issuer added under item 9 above, disclose all of the insider's relationships to that reporting issuer by selecting from the list of relationship types provided.
11. Date the insider became an insider or date of previous paper filing
For each reporting issuer added under item 9 above, if the insider has not filed an insider report in respect of the reporting issuer since becoming an insider, provide the date on which the insider became an insider of the reporting issuer. Alternatively, if the insider has previously filed an insider report in paper format in respect of the reporting issuer, provide the date of the insider's last paper filing in respect of the reporting issuer.
12. Date the insider ceased to be an insider
If the insider has ceased to be an insider of a reporting issuer added previously to the insider profile, amend the insider profile by providing the date on which the insider ceased to be an insider of the reporting issuer in the fields provided for this purpose on the web page titled "Amend insider profile - Amend issuer information."
Optional Information
An insider profile filed in SEDI format may, at the option of the insider, contain the following additional information:
13. Additional contact information
For each reporting issuer added to the insider profile, the insider may provide another address at which the insider prefers to be contacted (such as a business address) or may provide contact information for another individual who is to be contacted by the securities regulatory authority instead of the insider. To provide additional contact information, check the applicable box under "Optional information" on the web page titled "Create insider profile - Enter information about the insider's relationship to the issuer".
14. Add name(
s) of registered holder(
s) of securities
If the insider is required to file an insider report in respect of securities owned indirectly or over which control or direction is exercised, the insider must provide the name of the registered holder of the securities at the time the insider report is filed. To assist the insider in complying with this requirement, for each reporting issuer added to the insider's profile the insider may add the name(
s) of the registered holder(
s) of securities of the reporting issuer that the insider is required to provide in an insider report.
To add the name(
s) of the registered holder(
s) for the reporting issuer, check the applicable box under "Optional information" on the web page titled "Create insider profile - Enter information about the insider's relationship to the issuer". Any name added to the insider's profile in this manner may be selected when an insider report is prepared in SEDI format and registered holder information is required. The full legal name of the registered holder must be provided in each case.
Securities beneficially owned directly but held through a nominee such as a broker or book-based depository are considered direct holdings.
Amending Insider Profile To Add a Reporting Issuer
If an insider that has previously filed an insider profile is required to file an insider report in SEDI format in respect of a reporting issuer that is not already disclosed in the insider profile, amend the insider profile to add the name of the reporting issuer, to disclose all of the insider's relationships to the reporting issuer and to provide the date the insider became an insider or the date of the previous paper filing, as applicable. Provide the information required in items 9, 10 and 11 above.
Certification
Prior to submitting an insider profile, the insider or the insider's agent must certify that the information is true and complete in every respect by selecting "Certify" on the web page titled "Create insider profile - Certify and file insider profile" and following the instructions provided for this purpose. In the case of an agent, the certification is based on the agent's best knowledge, information and belief but the insider is still responsible for ensuring that the information filed by the agent is true and complete. It is an offence to submit information that, in a material respect and at the time and in the light of the circumstances in which it is submitted, is misleading or untrue.
Notice Collection and Use of Personal Information
The personal information required under this form is collected on behalf of and used by the securities regulatory authorities set out below for purposes of the administration and enforcement of certain provisions of the securities legislation in British Columbia, Alberta, Saskatchewan, Manitoba, Ontario, Quebec, Nova Scotia and Newfoundland. Some of the required information will be made public pursuant to the securities legislation in each of the jurisdictions indicated above.
Other required information will remain confidential and will not be disclosed to any person or company except to any of the securities regulatory authorities or their authorized representatives. If you have any questions about the collection and use of this information, you may contact the securities regulatory authority in any jurisdiction(
s) in which the required information is filed, at the address(es) or telephone number(
s) set out below. In Quebec, questions may also be addressed to the Commission d'accŠs … l'information du Qu‚bec (1-888-528-7741, web site: www.cai.gouv.qc.ca).
Alberta Securities Commission
4th Floor, 300-5th Avenue S.W.
Calgary, AB T2P 3C4
Attention: Information Officer
Telephone: (403) 297-6454,British Columbia Securities Commission
P.O. Box 10142, Pacific Centre
701 West Georgia Street
Vancouver, BC V7Y 1L2
Attention: Supervisor, Insider Reporting
Telephone: (604) 899 6500 or
(800) 373 6393 (in BC)
The Manitoba Securities Commission
1130-405 Broadway
Winnipeg, MB R3C 3L6
Attention: Director, Legal
Telephone: (204) 945-4508,Securities Commission of Newfoundland
P.O. Box 8700
2nd Floor, West Block
Confederation Building
St. John's, NFLD A1B 4J6
Attention: Director of Securities
Telephone: (709) 729-4189
Nova Scotia Securities Commission
2nd Floor, Joseph Howe Building
1690 Hollis Street
P.O. Box 458
Halifax, NS B3J 3J9
Attention: FOI Officer
Telephone: (902) 424-7768,Ontario Securities Commission
Suite 1903,
Box 5520 Queen Street West
Toronto, ON M5H 3S8
Attention: FOI Coordinator
Telephone: (416) 593-8314
Commission des valeurs mobiliŠres du Qu‚bec
Stock Exchange Tower
P.O. Box 246, 22nd Floor
800 Victoria Square
Montr‚al, PQ H4Z 1G3
Attention: Responsable de l'accŠs … l'information
Telephone: (514) 940-2150 or (800) 361-5072 (in Quebec),Saskatchewan Securities Commission
800-1920 Broad Street
Regina, SK S4P 3V7
Attention: Director
Telephone: (306) 787-5645
FORM 55-102F2
Insider Report
An insider report filed in SEDI format shall contain the information prescribed below. The information shall be entered using the online version of this form accessible by SEDI users at the SEDI web site (www.sedi.ca). All references to web pages, fields and lists relate to the online version of the form.
If a position or transaction being reported by the insider involves an option, warrant, right or other derivative, the information prescribed by items 18 to 25 below must be included in the insider report, if applicable.
For each reporting issuer in respect of which one or more positions or transactions are being reported by an insider, start by navigating to the web page titled "File insider report (Form 55-102 F2) Select issuer" and then provide the information required in the circumstances.
1. Name of reporting issuer
Provide the name of the reporting issuer for the securities that are the subject of the insider report by selecting the reporting issuer's name from the list of one or more reporting issuer names added previously to the insider's profile. If the name of the applicable reporting issuer does not appear in the list, the insider's profile must be amended to add the name of the applicable reporting issuer before the insider report can be completed. A separate insider report must be completed for each reporting issuer in respect of which the insider has a reporting obligation.
2. Amended insider report
If the insider is amending information contained in an insider report filed previously in SEDI format, the amended insider report shall contain all of the information required to be disclosed in the previous insider report in its amended form.
If the insider is amending information contained in an insider report filed previously in paper format, select "Amend paper filing" on the "Amend insider transaction" web page and complete a new insider report in SEDI format containing all of the information required to be disclosed in the previous paper filing in its amended form. In the "General remarks" field on the "File insider report - Enter transaction information"
web page, provide the date on which the previous paper filing was made.
3. Review issuer information
Review the information contained in the insider's profile with respect to the selected reporting issuer to ensure that it is correct. If required, select "Amend" to file an amended insider profile.
4. Review new issuer event reports
If the reporting issuer has filed an issuer event report that has not previously been viewed or that has been previously flagged for further viewing, the issuer event report will be displayed for review by or on behalf of the insider. If the insider's holdings of securities of the reporting issuer have been affected by an issuer event, the change in holdings must be reported.
5. Security designation
For each position or transaction being reported, provide the security designation for the applicable security or class of securities. For this purpose, select the applicable security designation from the list shown for the reporting issuer's outstanding securities.
If the applicable security designation does not appear in the list, check the "archived security designation" list containing designations of securities of the reporting issuer that are no longer outstanding and that may no longer be issued. Alternatively, check the "Insider defined security" list that will contain one or more security designations for the reporting issuer if any have been defined previously by or for the insider. In either case, if the applicable securities designation appears in the list, select it.
If the applicable security designation does not appear in any of the lists described above, the insider must define the applicable security designation. For this purpose, select the appropriate "Security category" by choosing "Debt", "Equity", "Issuer Derivative" or "Third Party Derivative" from the list provided.
For purposes of the insider reporting requirement, "issuer derivative" means a derivative issued by the reporting issuer to which the insider reporting requirement relates and "third party derivative" means a derivative issued by a person or company other than the reporting issuer to which the insider reporting requirement relates. The security category selected will determine the nature of the information that is required to be reported in relation to positions or transactions involving the applicable security designation.
Next, create the "insider defined" security designation by selecting the most appropriate "Security name" from the list provided and, if applicable, use the "Additional description" field to enter any additional words used to describe the specific security or class of securities. For example, to provide the security designation of "Class A Preferred Shares, Series 1", select "Preferred Shares" from the "Security name" list and then type "Class A, Series 1" in the "Additional description" field.
Important Note: If the security or class of securities being designated is a security that has been issued by the reporting issuer, it is important to try to avoid creating an "insider defined" security designation. If a security designation has not been created by the reporting issuer in respect of a security or class of securities issued by the reporting issuer, contact the reporting issuer to request that the security designation be added to the list of security designations for the reporting issuer's outstanding securities in its issuer profile supplement.
However, you must create an "insider defined" security designation if this becomes necessary to ensure that the insider report is filed on a timely basis.
Derivatives: If the security or class of securities being designated is an issuer derivative or a third party derivative, provide the security designation for the derivative and the security designation for the underlying security. See item 18 below. In addition, if the security or class of securities being designated is a third party derivative, the insider will have to provide the applicable security designation in all cases.
6. Ownership type
Indicate whether the securities in respect of which a position or transaction is being reported are (1) beneficially owned directly, (2) beneficially owned indirectly or (3) controlled or directed. Securities beneficially owned directly but held through a nominee such as a broker or book-based depository are considered direct holdings.
7. Identity of registered holder of securities where ownership is indirect or where control or direction is exercised
If beneficial ownership of the securities is indirect or if control or direction is exercised over the securities, provide the name of the registered holder of the securities. If the name of the registered holder has been previously added to the insider's profile in respect of the reporting issuer, select the name of the registered holder from the list shown. Otherwise, enter the full legal name of the registered holder in the field provided.
8. Opening balance of securities held (initial SEDI report only)
If the insider is filing an initial report in respect of securities held on becoming an insider or is reporting a change in a security or class of securities previously reported only in paper format, for each security or class of securities held directly or by a particular registered holder, disclose the initial number or amount of securities so held in the field provided for this purpose on the web page titled "File insider report - Opening balance on initial SEDI report (Non-Derivatives)", or the corresponding web page for derivatives, as applicable. For debt securities, provide the aggregate nominal value of the securities held.
If an opening balance of securities held is required to be disclosed, the information with respect to the "date of transaction" and "nature of transaction" required under items 9 and 10 below will be generated by the SEDI software application. The "date of the transaction" will be the date the insider became an insider or the date of the previous paper filing, whichever has been reported in the insider profile.
If the insider has previously filed a report in SEDI disclosing the balance of the security or class of securities held directly or by a particular registered holder, the opening balance of the security or class of securities so held is generated by the SEDI software application based on all previous reports filed in respect of the particular holding.
If an initial SEDI report involves the holding of a derivative, see item 19 below.
9. Date of transaction
Provide the date of each transaction being reported using the fields provided for this purpose. Provide the "trade date" not the "settlement date".
10. Nature of transaction
Indicate the nature of each transaction being reported by selecting the most appropriate transaction type from the list provided for this purpose.
11. Number or value of securities acquired
Disclose the number or value of securities acquired for each transaction involving an acquisition of securities. For debt securities, provide the aggregate nominal value. If the transaction involved the acquisition of an option, warrant, right or other derivative, see items 21 and 22 below.
12. Number or value of securities disposed of
Disclose the number or value of securities disposed of for each transaction involving a disposition of securities. For debt securities, provide the aggregate nominal value. If the transaction involved the disposition of an option, warrant, right or other derivative, see items 21 and 22 below.
13. Unit price or exercise price
Disclose the price per security paid or received by the insider for each transaction being reported, if applicable. Do not reduce the price being reported to reflect the amount of any commission paid. If the insider acquired or disposed of a security upon the exercise of an option, warrant, right or other derivative, report the exercise price per security. If the insider acquired or disposed of an option, warrant, right or other derivative, see item 23 below.
If the transaction involved consideration other than cash, provide the approximate fair value of the consideration in Canadian dollars and describe the consideration in the "General remarks" field. If no consideration was paid or received by the insider, check "Not applicable".
14. Currency
If the price paid or received in any transaction was in a currency other than Canadian dollars, provide the amount in that other currency and select the other currency from the list provided for this purpose.
15. Closing balance of securities held
After each new transaction being reported in respect of a security or class of securities held directly or through a particular registered holder has been entered, a new balance of the security or class of securities held directly or by the particular registered holder will be generated automatically by SEDI prior to filing. If the insider believes that the closing balance reported by SEDI is not correct, the closing balance calculated by the insider must be reported in the field provided for this purpose.
The insider shall make all reasonable efforts to reconcile the balance calculated by SEDI with the balance believed by the insider to be correct. An incorrect balance may have resulted from an error in a previous insider report or from a failure to report a previous transaction.
16. General remarks
Provide additional information if necessary to provide an accurate description of each position and/or transaction in securities being reported. Information provided in this field will be accessible by the public.
17. Private remarks to securities regulatory authority
Using the field provided, the insider may disclose additional information with respect to the position or transaction being reported to staff of the securities regulatory authority. Information provided in this field will not be accessible by the public.
Holdings or Transactions Involving Derivatives
If a holding or transaction being reported by the insider involves an issuer derivative or a third party derivative, the additional information prescribed below shall be disclosed, if applicable. For this purpose, "issuer derivative" means a derivative issued by the reporting issuer to which the insider reporting requirement relates, and "third party derivative" means a derivative issued by a person or company other than the reporting issuer to which the insider reporting requirement relates.
18. Security designation of derivative and underlying security
Provide the security designation for the derivative in the manner described under item 5 above. Next, select the appropriate security category for the underlying security from the list provided and then provide the security designation for the underlying security in a similar manner to that described under item 5 above. If the security or class of securities being designated is a third party derivative, the insider will have to define the applicable security designation in all cases. If the derivative security has been defined by the insider, the underlying security must also be defined by the insider.
19. Opening balance of derivative securities or contracts held (initial SEDI report only)
If the insider is filing an initial report disclosing an option, warrant, right or other derivative held on becoming an insider or is reporting a change in such a derivative not previously reported in SEDI format, for each such derivative position so held directly or by a particular registered holder, disclose the initial number of derivative securities or contracts held in the field provided for this purpose.
20. Opening balance of equivalent number of underlying securities (initial SEDI report only)
If the insider is filing an initial report of an option, warrant, right or other derivative held on becoming an insider or is reporting a change in any such derivative not previously reported in SEDI format, for each such derivative position held directly or by a particular registered holder, disclose the actual or notional number or amount of underlying securities that may be acquired or disposed of upon exercise or settlement of such derivative. If the underlying securities are debt securities, provide the aggregate nominal value of the actual or notional amount of underlying debt securities that may be acquired or disposed of upon exercise or settlement of such derivative.
21. Number of derivative securities or contracts acquired or disposed of
Disclose the number of derivative securities or contracts acquired for each transaction involving an acquisition of a derivative or the number of derivative securities or contracts disposed of for each transaction involving a disposition of a derivative.
22. Equivalent number of underlying securities acquired or disposed of
For each transaction involving an acquisition or disposition of a derivative, disclose the actual or notional number or amount of underlying securities that may be acquired or disposed of upon exercise or settlement of the derivative. If the underlying securities are debt securities, provide the aggregate nominal value of the equivalent amount of underlying debt securities that may be acquired or disposed of upon exercise or settlement of the derivative.
23. Unit price of derivative
Disclose the premium or other amount paid or received by the insider in connection with the acquisition or disposition of the derivative (per contract if applicable). If the premium or other amount paid or received was in a currency other than Canadian dollars, provide the amount in that other currency and select the other currency from the list provided for this purpose.
24. Conversion or exercise price of derivative
Provide the conversion or exercise price of the derivative by entering the amount in the field provided for this purpose (per underlying security if applicable). If the conversion or exercise price is in a currency other than Canadian dollars, select the relevant currency from the list provided for this purpose. If the conversion or exercise price of the derivative will adjust on one or more specified dates, provide the details of the adjustment terms in the "General remarks" field.
25. Date of expiry or maturity of derivative
If the derivative expires or matures on a given date, specify the date of expiry or maturity using the fields provided for this purpose.
Certification
Prior to filing an insider report, the insider or the insider's agent must certify that the information is true and complete in every respect. In the case of an agent, the certification is based on the agent's best knowledge, information and belief but the insider is still responsible for ensuring that the information filed by the agent is true and complete. It is an offence to submit information that, in a material respect and at the time and in the light of the circumstances in which it is submitted, is misleading or untrue.
Notice Collection and Use of Personal Information
The personal information required under this form is collected on behalf of and used by the securities regulatory authorities set out below for purposes of the administration and enforcement of certain provisions of the securities legislation in British Columbia, Alberta, Saskatchewan, Manitoba, Ontario, Quebec, Nova Scotia and Newfoundland. Some of the required information will be made public pursuant to the securities legislation in each of the jurisdictions indicated above.
Other required information will remain confidential and will not be disclosed to any person or company except to any of the securities regulatory authorities or their authorized representatives. If you have any questions about the collection and use of this information, you may contact the securities regulatory authority in any jurisdiction(
s) in which the required information is filed, at the address(es) or telephone number(
s) set out below. In Quebec, questions may also be addressed to the Commission d'accŠs … l'information du Qu‚bec (1-888-528-7741, web site: www.cai.gouv.qc.ca).
Alberta Securities Commission
4th Floor, 300-5th Avenue S.W.
Calgary, AB T2P 3C4
Attention: Information Officer
Telephone: (403) 297-6454,British Columbia Securities Commission
P.O. Box 10142, Pacific Centre
701 West Georgia Street
Vancouver, BC V7Y 1L2
Attention: Supervisor, Insider Reporting
Telephone: (604) 899-6500 or
(800) 373-6393 (in BC)
The Manitoba Securities Commission
1130-405 Broadway
Winnipeg, MB R3C 3L6
Attention: Director, Legal
Telephone: (204) 945-4508
,Securities Commission of Newfoundland
P.O. Box 8700
2nd Floor, West Block
Confederation Building
St. John's, NFLD A1B 4J6
Attention: Director of Securities
Telephone: (709) 729-4189
Nova Scotia Securities Commission
2nd Floor, Joseph Howe Building
1690 Hollis Street
P.O. Box 458
Halifax, NS B3J 3J9
Attention: FOI Officer
Telephone: (902) 424-7768
,Ontario Securities Commission
Suite 1903, Box 5520 Queen Street West Toronto, Ontario M5H 3S8
Attention: FOI Coordinator
Telephone: (416) 593-8314
Commission des valeurs mobiliŠres du Qu‚bec
Stock Exchange Tower
P.O. Box 246, 22nd Floor
800 Victoria Square
Montr‚al, PQ H4Z 1G3
Attention: Responsable de l'accŠs … l'information
Telephone: (514) 940-2150 or
(800) 361-5072 (in Quebec),Saskatchewan Securities Commission
800-1920 Broad Street
Regina, SK S4P 3V7
Attention: Director
Telephone: (306) 787-5645
FORM 55-102F3
Issuer Profile Supplement
An issuer profile supplement filed in SEDI format shall contain the information prescribed below. The information shall be entered using the online version of this form accessible by SEDI users at the SEDI web site (www.sedi.ca). All references to web pages, fields and lists relate to the online version of the form.
1. Name of reporting issuer
2. Name of insider affairs contact
Provide the full legal name of an individual who will act as "insider affairs contact" for the reporting issuer. Use the "Family name" and "Given names" fields for this purpose. Use upper and lower case letters as applicable. Do not use initials, nicknames or abbreviations. SEDI will automatically deliver an e-mail message to the e-mail address provided for the insider affairs contact each time an insider profile or an amended insider profile is filed by or on behalf of a person or company disclosing an insider relationship with the reporting issuer.
This is intended to assist the reporting issuer in identifying any incorrect or inappropriate SEDI filings made in respect of the reporting issuer. Insider affairs contact information is not accessible by the public.
3. Address of insider affairs contact
Provide a business address for the insider affairs contact. Indicate the country and provide the address (street name and number, etc.), the municipality (city, town, etc.), province, territory or state and postal or zip code, as applicable. A post office box or similar mailing address is not acceptable.
4. Telephone number and e-mail address of insider affairs contact
Provide a business telephone number and a business e-mail address for the insider affairs contact.
5. Fax number of insider affairs contact (if applicable)
If available, provide a business fax number for the insider affairs contact.
6. Confidential question and answer
Provide a "confidential question" and an answer to the confidential question for use in identifying the issuer's representative if a request is being made to the SEDI operator for a new issuer access key. Keep a record of the confidential question and answer in a secure location.
7. Security designations
Provide the security designation for each outstanding security and each class of outstanding securities of the reporting issuer being profiled. For each security or class of securities, select the appropriate "Security category" by choosing "Debt", "Equity" or "Issuer Derivative" from the list provided. Then provide a designation of the security or class of securities using the fields provided for this purpose, as follows. First, select the "Security name" from the list of generic security names provided.
Second, if applicable, enter any additional words used to describe the specific security or class of securities. For example, to provide the designation of "Class A Preferred Shares, Series 1", select "Preferred Shares" from the "Security name" field and then type "Class A, Series 1" in the "Additional description" field.
If the security whose designation is being added is an issuer derivative, provide the designation of the underlying security or class of underlying securities in addition to the designation of the issuer derivative itself. First, select the applicable securities category for the underlying security and then provide the designation for the underlying security using the "Security name" and "Additional description" fields in the same manner as described above.
8. Amending a security designation
If there is any change in the security designation disclosed previously for a security or class of securities of the reporting issuer that is outstanding or that may be issued in the future, use the "Amend security designation" function to amend the applicable security designation in the issuer profile supplement. Select the applicable security designation to be amended and a web page with pre-populated fields containing the existing security designation information will be displayed for purposes of making the necessary amendment(s).
Note that a security designation should only be amended for corrections or for changes that do not result in the security or class of securities ceasing to exist. If a security or class of securities ceases to exist and is replaced by another security or class of securities, the "old" security must be archived in the manner described under item 9 below and a security designation must be added for the "new" security in the manner described under item 7 above.
If the security or class of securities affected by the change is an underlying security for an issuer derivative, use the "Amend security designation" function to amend the security designation of the underlying security as well.
9. Archiving a security designation
If any security or class of securities designated previously by the reporting issuer has ceased to be outstanding and the security or class of securities may no longer be issued, use the "Archive security designation" function to remove the relevant security designation from the reporting issuer's list of "outstanding securities" and place it in the reporting issuer's list of "archived securities". Archived security designations may not be reactivated if the applicable security or class of securities is re-issued or becomes subject to the issuance. In such circumstances, a new security designation must be added to the issuer profile supplement in the manner described under item 7 above.
Notice Collection and Use of Personal Information
The personal information required under this form is collected on behalf of and used by the securities regulatory authorities set out below for purposes of the administration and enforcement of certain provisions of the securities legislation in British Columbia, Alberta, Saskatchewan, Manitoba, Ontario, Quebec, Nova Scotia and Newfoundland. Some of the required information will be made public pursuant to the securities legislation in each of the jurisdictions indicated above.
Other required information will remain confidential and will not be disclosed to any person or company except to any of the securities regulatory authorities or their authorized representatives. If you have any questions about the collection and use of this information, you may contact the securities regulatory authority in any jurisdiction(
s) in which the required information is filed, at the address(es) or telephone number(
s) set out below. In Quebec, questions may also be addressed to the Commission d'accŠs … l'information du Qu‚bec (1-888-528-7741, web site: www.cai.gouv.qc.ca).
Alberta Securities Commission
4th Floor, 300-5th Avenue S.W.
Calgary, AB T2P 3C4
Attention: Information Officer
Telephone: (403) 297-6454,British Columbia Securities Commission
P.O. Box 10142, Pacific Centre
701 West Georgia Street
Vancouver, BC V7Y 1L2
Attention: Supervisor, Insider Reporting
Telephone: (604) 899-6500 or
(800) 373-6393 (in BC)
The Manitoba Securities Commission
1130-405 Broadway
Winnipeg, MB R3C 3L6
Attention: Director, Legal
Telephone: (204) 945-4508,Securities Commission of Newfoundland
P.O. Box 8700
2nd Floor, West Block
Confederation Building
St. John's, NFLD A1B 4J6
Attention: Director of Securities
Telephone: (709) 729-4189
Nova Scotia Securities Commission
2nd Floor, Joseph Howe Building
1690 Hollis Street
P.O. Box 458
Halifax, NS B3J 3J9
Attention: FOI Officer
Telephone: (902) 424-7768,Ontario Securities Commission
Suite 1903,
Box 5520 Queen Street West
Toronto, Ontario M5H 3S8
Attention: FOI Coordinator
Telephone: (416) 593-8314
Commission des valeurs mobiliŠres du Qu‚bec
Stock Exchange Tower
P.O. Box 246, 22nd Floor
800 Victoria Square
Montr‚al, PQ H4Z 1G3
Attention: Responsable de l'accŠs … l'information
Telephone: (514) 940-2150 or (800) 361-5072 (in Quebec),Saskatchewan Securities Commission
800-1920 Broad Street
Regina, SK S4P 3V7
Attention: Director
Telephone: (306) 787-5645
FORM 55-102F4
Issuer Event Report
An issuer event report in SEDI format shall contain the information prescribed below. The information shall be entered using the online version of this form accessible by SEDI users at the SEDI web site (www.sedi.ca). All references to web pages, fields and lists relate to the online version of the form.
1. Issuer event type
Starting at the web page titled "File issuer event report Form 55-102F4", select the "Issuer event type" that appropriately describes the issuer event from the list of transactions and other events provided for this purpose. If an appropriate issuer event type is not provided in the list, select "Other Issuer Event" and enter an appropriate generic term for the type of issuer event being reported in the "Other issuer event type" field provided for this purpose.
2. Effective date of issuer event
Disclose the effective date of the issuer event using the fields provided for this purpose.
3. Issuer event title
Provide a descriptive title for the issuer event that will distinguish the issuer event from other issuer events of the same type. For example, in the case of a merger, refer to another merging issuer, or in the case of a stock split, indicate the approximate date.
4. Issuer event details
Describe the issuer event in plain language. Provide the security designation of each security or class of securities of the issuer affected by the issuer event and explain the adjustment or other change in holdings that affected insiders of the issuer would be required to report as a result of the issuer event. If applicable, provide the ratio by which each security or class of securities affected has been or will be adjusted by the issuer event.
If the required adjustment(
s) will result in a fractional number of securities when applied to the number of securities held by affected insiders, indicate whether the number of securities held by the insider shall be rounded up or down.
If the issuer event involved the creation of a new security or class of securities or the formation of a new reporting issuer, disclose this information. If applicable, amend the issuer profile supplement for the reporting issuer.
Optional Information
An issuer event report filed in SEDI format may, at the option of the reporting issuer, contain the following additional information:
5. Private remarks to securities regulatory authority
Using the field provided, the issuer may disclose additional information concerning the issuer event to staff of the securities regulatory authority. Information provided in this field will not be accessible by the public
FORM 55-102F5
SEDI User Registration Form
An individual who intends to use SEDI to file information with the securities regulatory authority is required to complete and submit a user registration form in SEDI format containing the information prescribed below. The information must be entered using the online version of this form accessible at the SEDI web site (www.sedi.ca). To access the online user registration form, select "Register as a SEDI user" on the navigation bar at the top of the web page titled "Welcome to SEDI".
1. Full legal name of SEDI user
Provide your family name and your given names. Use upper and lower case letters as applicable. Do not use initials, nicknames or abbreviations.
2. Name of employer and position of SEDI user
If you are acting on behalf of an employer, provide the full legal name of your employer and your position with that employer.
3. Address of SEDI user
If you are an insider, provide your principal residential address. Otherwise, provide the business address where you are employed. A post office box or other mailing address is not sufficient.
4. SEDI user's telephone number
Provide your daytime telephone number.
5. SEDI user's fax number
If available, provide your fax number.
6. SEDI user's e-mail address
If available, provide your e-mail address.
7. Check the appropriate box for SEDI user classification
Indicate whether you expect to access SEDI as an insider, an agent and/or an issuer's representative by checking the appropriate box or boxes. The type of user classification will determine the amount of functionality you will have in the SEDI application software.
8. Confidential question and answer
Provide a "confidential question" and an answer to the confidential question for use in verifying your identity if a request in your name is being made to the SEDI operator for a new password.
Certification
Prior to submitting the completed online user registration form, you must certify that the information is true in all material respects and you must agree to update the information submitted as soon as practicable following any material change in the information.
Delivery of Signed Copy to SEDI Operator
Before you may make a valid SEDI filing, you must deliver a manually signed paper copy of the completed user registration form to the SEDI operator for verification purposes. To satisfy this requirement, it is preferred that you print a copy of the online user registration form once you have certified and submitted it. You must deliver a manually signed and dated copy of the completed user registration form via prepaid mail, personal delivery or facsimile to the SEDI operator at the following address or fax number, as applicable:
CDS INC.
Attention: SEDI Administrator
85 Richmond Street West
Toronto, Ontario M5H 2C9
Facsimile: 1-866-729-8011
or, if you are resident in the province of Quebec, to the SEDI operator at the address above, or to:
CDS INC.
Attention: SEDI Administrator
600 boul. de Maisonneuve Ouest
Montreal, Quebec H3A 3J2
or at such other address(es) or fax number(
s) as may be provided on the SEDI web site (www.sedi.ca).
Questions
Questions may be directed to CDS INC. at 1-800-219-5381 or such other number as may be provided on the SEDI web site.
Notice Collection and Use of Personal Information
The personal information that you provide on this form is used to facilitate your access to and use of the SEDI system and is not used for any other purpose. The signed copy of the completed form that you deliver to CDS INC. (the SEDI operator) is retained by CDS INC. as evidence of your registration as a SEDI user. The information you provide on this form will not be disclosed to any third party except any of the securities regulatory authorities or their authorized representatives for purposes of the administration or enforcement of securities legislation in the applicable jurisdictions.
For information about the use of the information collected on this form or if you would like to obtain access to the information you have submitted, contact the CDS SEDI Administrator at the address or telephone number provided above. In Quebec, questions may also be addressed to the Commission d'accŠs … l'information du Qu‚bec (1-888-528-7741, web site: www.cai.gouv.qc.ca).
SEDI User Registration Form
Note: Before an individual registering as a SEDI user may make a valid SEDI filing, the registering individual must deliver a manually signed paper copy of the completed user registration form to the SEDI operator for verification purposes. It is preferred that the registering individual print a copy of the online version using the "Print" function provided for this purpose in SEDI.
The signed paper copy must be delivered by prepaid mail, personal delivery or facsimile to: CDS INC., Attention: SEDI Administrator, 85 Richmond Street West, Toronto, Ontario M5H 2C9, Facsimile: 1-866-729-8011 or, if you are resident in the province of Quebec, to the SEDI operator at the address above, or to CDS INC., Attention: SEDI Administrator, 600 boul. de Maisonneuve Ouest, Montreal, Quebec H3A 3J2.
Section 1 SEDI User Information
Family Name:
,Given Names (in full):
Employer name and position (if applicable):
Address (street name and number, etc.):,Municipality (city, town etc.):
Province, territory or state:,Country:,Postal code or zip code:
,,,,,,,,
Telephone number:
( ),Fax number (if available):
( )
E-mail address (if available):
Section 2 SEDI User Classification
Check the appropriate box or boxes:
Insider Agent Issuer representative
Section 3 Certification of SEDI User
I certify that the foregoing information is true in all material respects. I agree to update the information submitted on this form in SEDI as soon as practicable following any material change in the information. I agree that an executed copy of Form 55-102F5, if delivered to CDS INC. by facsimile, shall have the same effect as an originally executed copy delivered to CDS INC.
Signature of SEDI User
,Date:
AMENDMENT TO
ALBERTA SECURITIES COMMISSION
RULE
PART 1 Amendment
Section 182 of the Alberta Securities Commission Rules is amended by deleting the provision in its entirety and substituting the following:
Every report required to be filed under
section 147 of the Act shall be completed in accordance with National Instrument 55-102 System for Electronic Disclosure by Insiders (SEDI).
PART 2 Effective Date
This amendment comes into force on November 13, 2001.
AMENDMENT TO
ALBERTA SECURITIES COMMISSION
RULE
PART 1 Amendment
Section 186.1 of the Alberta Securities Commission Rules is amended by deleting the provision in its entirety and substituting the following:
A person or company may file a report under
section 150 of the Act by sending a report to the Commission by way of facsimile at the number specified by the Commission.
PART 2 Effective Date
This amendment comes into force on November 13, 2001.
AMENDMENT TO
ALBERTA SECURITIES COMMISSION
RULE
PART 1 Amendment
By amending
Section 197 of the Alberta Securities Commission Rules by adding the following at the beginning of the subsection:
Except as otherwise provided under Alberta securities laws,
PART 2 Effective Date
This amendment comes into force on November 13, 2001.
AMENDMENT TO
ALBERTA SECURITIES COMMISSION RULE
PART 1 Amendment
Section 197.1 of the Alberta Securities Commission Rules is amended by deleting the provision in its entirety and substituting the following:
Notwithstanding the requirement for manual or facsimile signatures in
section 117, 160, 169 and 197 of the Rules, a document to be filed in electronic format under the rule entitled National Instrument 13-101 - System for Electronic Document Analysis and Retrieval (SEDAR) that is subject to any of those provisions shall be signed in the manner required under that rule.
PART 2 Effective Date
This amendment comes into force on November 13, 2001.
REPEAL OF
ALBERTA SECURITIES COMMISSION RULE
Section 185 of the Alberta Securities Commission Rules is repealed, with effect on November 13, 2001.
_______________________________________________________________________
SUSTAINABLE RESOURCE DEVELOPMENT
Alberta Fishery Regulations, 1998
Notice of Variation Order 25-2001
Commercial Fishing Seasons
The close times and quotas set out in
Schedule 8 to the Alberta Fishery Regulations in respect of the waters listed in the
Schedule to this Notice have been varied by Variation Order 25-2001 by the Director of Fisheries Management in accordance with
section 3 of the Alberta Fishery Regulations.
Where fishing with gill nets is permitted during an open season established by the Order, the gill net mesh size has been specified in the Order.
Pursuant to Variation Order 25-2001 commercial fishing is permitted in accordance with the following schedule.
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 easternly 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 17, 2001 to 16:00 hours November 23, 2001
Column 4 Species and Quota -1) Lake whitefish: 30,000 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 26-2001
Commercial Fishing Seasons
The close times and quotas set out in
Schedule 8 to the Alberta Fishery Regulations in respect of the waters listed in the
Schedule to this Notice have been varied by Variation Order 26-2001 by the Director of Fisheries Management in accordance with
section 3 of the Alberta Fishery Regulations.
Where fishing with gill nets is permitted during an open season established by the Order, the gill net mesh size has been specified in the Order.
Pursuant to Variation Order 26-2001 commercial fishing is permitted in accordance with the following schedule.
SCHEDULE
PART 1
Item - 1.
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 11, 2001 to 16:00 hours November 14, 2001; 08:00 hours November 18, 2001 to 16:00 hours November 21, 2001; and 08:00 hours November 25, 2001 to 16:00 hours November 28, 2001. B. In respect of all other waters: Closed
Column 4 Species and Quota -1) Lake whitefish: 68,100 kg; 2) Walleye: 375 kg;
3) Yellow perch: 1 kg; 4) Northern pike: 1,940 kg; 5) Tullibee: 1 kg; 6) Lake trout: 1 kg
_______________________
Alberta Fishery Regulations, 1998
Notice of Variation Order 27-2001
Commercial Fishing Seasons
The close times and quotas set out in
Schedule 8 to the Alberta Fishery Regulations in respect of the waters listed in the
Schedule to this Notice have been varied by Variation Order 27-2001 by the Director of Fisheries Management in accordance with
section 3 of the Alberta Fishery Regulations.
Where fishing with gill nets is permitted during an open season established by the Order, the gill net mesh size has been specified in the Order.
Pursuant to Variation Order 27-2001 commercial fishing is permitted in accordance with the following schedule.
SCHEDULE
PART 1
Item - 1.
Column 1 Waters - In respect of:
(51) Keho Lake (11-23-W4)
Column 2 Gear - Gill net 140 mm mesh
Column 3 Open Time - 08:00 hours October 29, 2001 to 16:00 hours November 2, 2001
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
Item - 1.
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 11, 2002 to 16:00 hours February 15, 2002
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
Item - 1.
Column 1 Waters - In respect of:
(61) Louisianna No. 13 Lake (17-11-W4)
Column 2 Gear - Gill net not less than 140 mm mesh
Column 3 Open Time - 08:00 hours March 18, 2002 to 16:00 hours March 22, 2002
Column 4 Species and Quota -1) Lake whitefish: 450 kg; 2) Walleye: 20 kg;
3) Yellow perch: 1 kg; 4) Northern pike: 50 kg; 5) Tullibee: 1 kg; 6) Lake trout: 1 kg
Item - 1.
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 November 5, 2001 to 16:00 hours November 9, 2001. B. In respect of all other waters: closed.
Column 4 Species and Quota -1) Lake whitefish: 45,500 kg; 2) Walleye: 200 kg;
3) Yellow perch: 1 kg; 4) Northern pike: 675 kg; 5) Tullibee: 1 kg; 6) Lake trout: 1 kg
Item - 1.
Column 1 Waters - In respect of:
(64.1) McGregor Lake (18-22-W4) - excluding that portion north of secondary road 531
Column 2 Gear - Gill net not less than 140 mm mesh
Column 3 Open Time - 08:00 hours January 14, 2002 to 16:00 hours January 15, 2002
Column 4 Species and Quota -1) Lake whitefish: 9,050 kg; 2) Walleye: 100 kg;
3) Yellow perch: 1 kg; 4) Northern pike: 225 kg; 5) Tullibee: 1 kg; 6) Lake trout: 1 kg
Item - 1.
Column 1 Waters - In respect of:
(91) Rolling Hills Lake (16-14-W4)
Column 2 Gear - Gill net not less than 140 mm mesh
Column 3 Open Time - 08:00 hours February 25, 2002 to 16:00 hours March 1, 2002
Column 4 Species and Quota -1) Lake whitefish: 9,050 kg; 2) Walleye: 110 kg;
3) Yellow perch: 1 kg; 4) Northern pike: 300 kg; 5) Tullibee: 1 kg; 6) Lake trout: 1 kg
Item - 1.
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 21, 2002 to 17:00 hours January 25, 2002 (between 06:00 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
Item - 1.
Column 1 Waters - In respect of:
(106) Stafford Reservoir (8-18-W4)
Column 2 Gear - Gill net not less than 140 mm mesh
Column 3 Open Time - 08:00 hours October 22, 2001 to 16:00 hours October 26, 2001
Column 4 Species and Quota -1) Lake whitefish: 13,600 kg; 2) Walleye: 95 kg;
3) Yellow perch: 1 kg; 4) Northern pike: 220 kg; 5) Tullibee: 1 kg; 6) Lake trout: 1 kg
Item - 1.
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 March 11, 2002 to 16:00 hours March 15, 2002
Column 4 Species and Quota -1) Lake whitefish: 31,800 kg; 2) Walleye: 1 kg;
3) Yellow perch: 1 kg; 4) Northern pike: 900 kg; 5) Tullibee: 1 kg; 6) Lake trout: 1 kg
Item - 1.
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 February 4, 2002 to 16:00 hours February 8, 2002
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 28-2001
Commercial Fishing SeasonsThe 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 28-2001 by the Director of Fisheries Management in accordance with
section 3 of the Alberta Fishery Regulations.
Where fishing with gill nets is permitted during an open season established by the Order, the gill net mesh size has been specified in the Order.
Pursuant to Variation Order 28-2001 commercial fishing is permitted in accordance with the following schedule.
SCHEDULE
PART 1
Item - 1.
Column 1 Waters - In respect of:
(55) Lesser Slave Lake (74-11-W5)
a) In respect of the north shore of Lesser Slave Lake:
I) that portion which is between the point of land on the west side of SW 18-75-13-W5 (locally known as Pat's Point) and the east side ofNW 10-75-10-W5, no closer than 500 meters of Narrows Creek; and ii) that portion which is less than 3.6 m (12 feet)
Column 2 Gear - Gill net 140 mm mesh
Column 3 Open Time - 08:00 hours September 21, 2001 to 16:00 hours October 12, 2001
Column 4 Species and Quota -1) Lake whitefish: 290,000 kg; 2) Walleye: 8,000 kg;
3) Yellow perch: 1,000 kg; 4) Northern pike: 25,000 kg; 5) Tullibee: 10,000 1 kg; 6) Lake trout: 1 kg
Column 1 Waters -
b) In respect of all other waters other waters
Column 2 Gear - Gill net
Column 3 Open Time - Closed
Column 4 Species and Quota -1) Lake whitefish: 1 kg; 2) Walleye: 1 kg;
3) Yellow perch: 1 kg; 4) Northern pike: 1 kg; 5) Tullibee: 1 kg; 6) Lake trout: 1 kg
_______________________
Alberta Fishery Regulations, 1998
Notice of Variation Order 29-2001
Commercial Fishing Seasons
The close times and quotas set out in
Schedule 8 to the Alberta Fishery Regulations in respect of the waters listed in the
Schedule to this Notice have been varied by Variation Order 29-2001 by the Director of Fisheries Management in accordance with
section 3 of the Alberta Fishery Regulations.
Where fishing with gill nets is permitted during an open season established by the Order, the gill net mesh size has been specified in the Order.
Pursuant to Variation Order 29-2001 commercial fishing is permitted in accordance with the following schedule.
SCHEDULE
PART 1
Item - 1.
Column 1 Waters - In respect of:
(9.1) Buck Lake (46-5-W5) - excluding the following portions: - that portion south of a line drawn from the northernmost point of land in NW11-46-6-W5 to the northernmost point of land in NW12-46-6-W5; - that portion south of a line drawn from the northernmost point of land in NW12-46-6-W5 to the nearest point of land in SE13-46-6-W5; - that portion east of a line drawn from the westernmost point of land in SW25-46-6-W5 to the point where the northern shoreline is intersected by the western boundary of 36-46-6-W5
Column 2 Gear -Gill net not less than 152 mm mesh
Column 3 Open Time - 08:00 hours January 3, 2001 to 16:00 hours January 4, 2002
Column 4 Species and Quota -1) Lake whitefish: 20,000 kg; 2) Walleye: 250 kg;
3) Yellow perch: 250 kg; 4) Northern pike: 250 kg; 5) Tullibee: 1 kg; 6) Lake trout: 1 kg
Item - 1.
Column 1 Waters - In respect of:
(54.1) Lac Ste. Anne (55-3-W5) - excluding that portion southeast of a line drawn from the water tower in Gunn Townsite to the point of land in 10-20-54-3-W5
Column 2 Gear - Gill net not less than 140 mm mesh
Column 3 Open Time - 08:00 hours March 11, 2002 to 16:00 hours March 12, 2002;
08:00 hours March 18, 2002 to 16:00 hours March 20, 2002
Column 4 Species and Quota -1) Lake whitefish: 45,000 kg; 2) Walleye: 450 kg;
3) Yellow perch: 900 kg; 4) Northern pike: 2,200 kg; 5) Tullibee: 1 kg; 6) Lake trout: 1 kg
Item - 1.
Column 1 Waters - In respect of:
(124) Wabamun Lake (53-5-W5)
Column 2 Gear - Gill net not less than 140 mm mesh
Column 3 Open Time - 08:00 hours February 25, 2002 to 16:00 hours February 28, 2002; 08:00 hours March 4, 2002 to 16:00 hours March 7, 2002
Column 4 Species and Quota -1) Lake whitefish: 68,000 kg; 2) Walleye: 500 kg;
3) Yellow perch: 500 kg; 4) Northern pike: 5,400 kg; 5) Tullibee: 1 kg; 6) Lake trout: 1 kg
_______________________________________________________________________
ADVERTISEMENTS
INSURANCE NOTICE
(Insurance Act)
CHRYSLER INSURANCE COMPANY
DAIMLERCHRYSLER INSURANCE COMPANY
By virtue of Amendment to Articles of Incorporation dated June 30, 2001, the name of Chrysler Insurance Company was changed to Daimlershrysler Insurance Company.
18-19 Tracy L. Hackman, Secretary.
_______________________
HARTFORD INSURANCE COMPANY OF CANADA
LANGDON INSURANCE COMPANY and in french
SOCIETE D'ASSURANCE LANGDON
By virtue of amending letters patent under the Insurance Companies Act (Canada) dated August 1, 2001, the name of Hartford Insurance Company of Canada was changed to Langdon Insurance Company and in french Societe d'assurance Langdon.
18-19 Ian C. Wismer, Secretary.
_______________________________________________________________________
NOTICE OF CERTIFICATE OF INTENT TO DISSOLVE
(Business Coporations Act)
Notice is hereby given that a Certificate of Intent to Dissolve was issued to Outwest Productions Inc. on September 25, 2001.
Dated at Calgary, Alberta, September 25, 2001.
James W. Dunphy, Barrister & Solicitor.
Notice is hereby given that a Certificate of Intent to Dissolve was issued to Spirits of Dover Inc. on September 25, 2001.
Dated at Calgary, Alberta, September 25, 2001.
James W. Dunphy, Barrister & Solicitor.
_______________________
Notice is hereby given that a Certificate of Intent to Dissolve was issued to Lee Creek Development Corporation on September 25, 2001.
Dated at Calgary, Alberta, September 25, 2001.
James W. Dunphy, Barrister & Solicitor._______________________________________________________________________
NOTICE TO CREDITORS
OF CANADIAN COMPLETION SERVICES LTD.
AND MULTI-LINE COMBINATION SERVICES INC.
(Business Corporations Act)
Take notice that Canadian Completion Services Ltd. and Multi-Line Combination Services Inc. propose to amalgamate.
Any creditor objecting to the proposed amalgamation must submit its objection and reasons therefore, in writing, to:
Darcy G. Anderson, Barrister & Solicitor, 200-215 10 Ave SW, Calgary, Alberta, T2R 0A4, Fax No. (403) 266-5969.
Creditors have 30 days from the date of publication of this notice to object.
_______________________________________________________________________
PUBLIC SALE OF LAND
(Municipal Government Act)
CITY OF WETASKIWIN
Notice is hereby given that under the provisions of the Municipal Government Act, the City of Wetaskiwin will offer for sale, by public auction, in the City Council Chambers, 4904-51 Street, Wetaskiwin, Alberta on Tuesday, December 11, 2001 at 10:00 a.m. the following lands:
Lot,Block,Plan,C of T
28,8,3149Q,892 052 932
26,3,7621070,932 022 385
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 City of Wetaskiwin may, after the public auction, become the owner of any parcel of land that is not sold at the public auction.
Terms: Cash or certified cheque.
Redemption may be effected by payment of all arrears of taxes and costs at any time prior to the sale.
Dated at Wetaskiwin, Alberta, September 25, 2001.
Al Steckler, Manager of Financial Services.
_______________________
COUNTY OF BARRHEAD NO. 11
Notice is hereby given that under the provisions of the Municipal Government Act, the County of Barrhead No. 11 will offer for sale, by public auction, in the County Office, Barrhead, Alberta on Wednesday, December 5, 2001 at 2:00 p.m. the following lands:
C of T,
942099069,Unit 24, Condominium Plan 7722262 - Sumerlea
942099070,Unit 25, Condominium Plan 7722262 - Sumerlea
C of T,Pt. of Sec.,Sec.,Twp.,Rge.,M,Acres
922310757,Pt. of NW,09,58,02,W5,10.50
892253760,Pt. of SW,17,58,02,W5,6.87
822045352,SE,35,58,02,W5,160.00
224-B-152,SE,05,60,04,W5,159.95
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 County of Barrhead No. 11 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 land for any intended use by the purchaser.
Terms: Cash.
The County of Barrhead No. 11 may, after the public auction, become the owner of any parcel of land that is 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 Barrhead, Alberta, September 19, 2001.
Dale Uhrbach, County Manager.
COUNTY OF CAMROSE NO. 22
Notice is hereby given that under the provisions of the Municipal Government Act, the County of Camrose No. 22 will offer for sale, by public auction, at the County Office, Camrose, Alberta on Friday, December 7, 2001 at 2 p.m. the following lands:
Pt of Sec,Sec,Twp,Rge,M,Acres,Lot,Block,Plan,Hamlet/Subdiv,C of T
Pt. NW,32,47,19,4,66.69,-,-,-,-,802009868
Pt. NW,32,47,19,4,6.51,-,-,3694AF,-,952339670
Pt. NW,25,49,21,4,41.87,02,03,782-1155,-,952166740
-,-,-,-,-,-,1-2,01,5821BK,Kelsey,762088845
-,-,-,-,-,-,03,01,5821BK,Kelsey,762088844
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 County of Camrose No. 22 may, after the public auction, become the owner of any parcel of land that is not sold at the public auction.
Terms: Cash.
Redemption may be effected by payment of all arrears of taxes and costs at any time prior to the sale.
Dated at Camrose, Alberta, September 21, 2001.
Brian Austrom, County Administrator.
_______________________
FLAGSTAFF COUNTY
Notice is hereby given that under the provisions of the Municipal Government Act, Flagstaff County will offer for sale, by public auction, in Flagstaff County Office, 4902 50 Street, Sedgewick, Alberta on Wednesday, December 12, 2001 at 11:00 a.m. the following lands:
Pt of Sec,Sec,Twp,Rge,M,Acres,C of T
Pt. NW,20,42,14,4,6.30,972359544
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.
Flagstaff County may, after the public auction, become the owner of any parcel of land that is not sold at the public auction.
Terms: Cash.
Redemption may be effected by payment of all arrears of taxes and costs at any time prior to the sale.
Dated at Sedgewick, Alberta, September 25, 2001.
S. Armstrong, Chief Administrative Officer.
_______________________
LEDUC COUNTY
Notice is hereby given that under the provisions of the Municipal Government Act, Leduc County will offer for sale, by public auction, in the County Centre, Nisku, Alberta on Wednesday, November 28, 2001 at 2:00 p.m. the following lands:
Roll,Pt of Sec,Sec,Twp,Rge,M,Acres
94020,N.E.
Lot 1, Block 1, Plan 852 0634,31,48,22,W4,10.00
641.130,S.E.
Lot 14, Block 1, Plan 5049 T.R.,11,50,23,W4,3.36
6316.150,WH & S.E.
Lot 8, Block 15, Plan 792 2576,13,50,25,W4,1.47
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.
Terms: Cash unless otherwise arranged.
Leduc County may, after the public auction, become the owner of any parcel of land that is 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 Nisku, Alberta, September 14, 2001.
Larry R. Majeski, County Manager.
_______________________
COUNTY OF LETHBRIDGE
Notice is hereby given that under the provisions of the Municipal Government Act, the County of Lethbridge will offer for sale, by public auction, in the County Office, #100, 905-4 Avenue South, Lethbridge, Alberta on Friday, November 30, 2001 at 9 a.m. the following lands:
Plan,Block,Lot,C of T
104DS,3,4, 5,941 303 789 001
138A,4,11, 12, 13, 14,921 231 962
6150Y,14,9, 10,981 327 063,901 0859,-,1,941 206 322
Quarter,Section,Twp,Rge,M,C of T
NW,23,9,19,4,75C176
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 County of Lethbridge may, after the public auction, become the owner of any parcel of land that is not sold at the public auction.
Terms: Cash.
Redemption may be effected by payment of all arrears of taxes and costs at any time prior to the sale.
Dated at Lethbridge, Alberta, September 28, 2001.
Layne Johnson, County Manager.
_______________________
COUNTY OF NEWELL NO. 4
Notice is hereby given that under the provisions of the Municipal Government Act, the County of Newell No. 4 will offer for sale, by public auction, in the Office of the County Administrator, Brooks, Alberta on Wednesday, December 19, 2001 at 2:00 p.m. the following lands:
Pt of Sec,Sec,Twp,Rge,M,Acres,C of T
NW,13
,20,13
(Parcel D Plan 1381 E.U.),4,8.60,971167070
NE,24,17,14
(Lot 1 Block 1 Plan 8210607),4,5.68,971201063
SW,19,16,15
(Lot 1 Block 1 Plan 8010637),4,1.79,801106833
SW,19,16,15
(Lot 4 Block 1 Plan 8010637),4,12.23,881218992
SW,19,16,15
(Lot 6 Block 2 Plan 8811601),4,0.40,881218992A
SW,19,16,15
(Lot 7 Block 2 Plan 8811601),4,0.45,881218992B
SW,19,16,15
(Lot 8 Block 2 Plan 8811601),4,1.19,881218992C
SW,19,16,15
(Lot 9 Block 2 Plan 8811601),4,0.78,881218992D,E,01,18,15
(Unit 6 Plan 9411176),4,9.78,981115237/003
SW,19,23,16
(Block 1 Plan 9010014),4,20.09,981221727
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.
Terms: Cash.
The County of Newell No. 4 may, after the public auction, become the owner of any parcel of land that is 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 Brooks, Alberta, September 13, 2001.
A. Martens, County Administrator.
_______________________
VULCAN COUNTY
Notice is hereby given that under the provisions of the Municipal Government Act, Vulcan County will offer for sale, by public auction, in the County Administration Building, Vulcan, Alberta on Thursday, December 6, 2001 at 10:00 a.m. the following lands:
,Lot,Block,Plan
Ptn SE 1/4 16-18-26 W4M,-,-,-
Ptn SW 1/4 31-17-25 W4M,-,-,-
Ptn SW 1/4 31-17-25 W4M,-,-,-
Mossleigh,13, 14, 15,1,8011EF
Industrial Airport,5,1,7910078
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.
Terms: Cash.
Vulcan County may after the public auction, become the owner of any parcel of land that is 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 Vulcan, Alberta, September 14, 2001.Robert Strauss, County Administrator.
WHEATLAND COUNTY
Notice is hereby given that under the provisions of the Municipal Government Act, Wheatland County will offer for sale by public auction, at the office of the County Manager, in Wheatland County, Strathmore, Alberta on Wednesday November 28, 2001 at 11:00 a.m. the following lands.
CARSELAND
Plan,Block,Lot,C of T
4610AV,3,23 to 28 ,971315435
4610AV,7,14, 15 & 16,881025939
CLUNY
632AF,7,S « 19 & 20,169D101
GLEICHEN
6753AD,Ptn. 12 ,-,811182438
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.
Terms: Cash.
Wheatland County may, after the public auction, become the owner of any parcel of land that is not sold at the public auction.
Redemption my be effected by payment of all arrears of taxes and costs at any time prior to the sale.
Dated at Strathmore, Alberta September 20, 2001.
E.W. Maser, County Manager.
_______________________
MUNICIPAL DISTRICT OF EAST PEACE NO. 131
Notice is hereby given that under the provisions of the Municipal Government Act, the Municipal District of East Peace No. 131 will offer for sale, by public auction, in the Municipal District Office, 201-9705 100 Street (Kit Business Center), Peace River, Alberta on Wednesday, December 5, 2001 at 9:00 a.m. the following lands:
Pt of Sec,Sec,Twp,Rge,M,C of T
Pt. SW
(Plan 1237BD Lot 1 + 2 Block 7),33,083,21,5,243K81
NE,14,081,21,5,70S273
Pt. SW
(Plan 1237BD Lot 20 + 21 Block 7),33,083,21,5,75B62,NE,29,080,21,5,75S273
SW,33,080,21,5,76S273
Pt. SW
(Plan 8120492 Lot K),02,086,14,5,812244194
Pt. SW
(Plan 1782HW Lot B),30,081,20,5,872170989
Pt SW
(Plan 8121420 Lot 94 Block 10),11,086,14,5,952175450
NW,11,082,19,5,972185831
SE,08,082,18,5,982068569
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.
Terms: Cash.
The Municipal District of East Peace No. 131 may, after the public auction, become the owner of any parcel of land that is 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 Peace River, Alberta, September 14, 2001.
R. A (Bob) Miles, Chief Administrative Officer.
_______________________
TOWN OF DEVON
Notice is hereby given that under the provisions of the Municipal Government Act, the Town of Devon will offer for sale, by public auction, in the Town of Devon Council Chambers, 1 Columbia Avenue West, Devon, Alberta on Thursday, November 29, 2001 at 2 p.m. the following lands:
Lot,Block,Plan,C of T
34,4,3091TR,862063132
3,31,812-1119,982127842
Each parcel will be offered for sale subject to a reserve bid, and to the reservations and conditions contained in the existing certificate of title.
The Town of Devon may, after the public auction, become the owner of any parcel of land that is not sold at the public auction.
Terms: Cash.
Redemption may be effected by payment of all arrears of taxes and costs at any time prior to the sale.
Dated at Devon, Alberta, October 15, 2001.
Dianna Doyle, Director of Finance and Support Services.
_______________________
TOWN OF TWO HILLS
Notice is hereby given that under the provisions of the Municipal Government Act, the Town of Two Hills will offer for sale, by public auction, in the Town Council Chambers, Two Hills, Alberta on Thursday, December 13, 2001 at 10:00 a.m. the following lands:
Plan,Block,Lot
709 E.O.,2,3
1392 H.W.,14,1
5330 H.W.,5,20
8309 E.T.,11,S « 3
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 properties are being offered for sale on an "as is, where is" basis and the Town of Two Hills 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 land for any intended use by the purchaser.
The Town of Two Hills may, after the public auction, become the owner of any parcel of land that is not sold at the public auction.
Terms: Cash or certified cheque.
Redemption may be effected by payment of all arrears of taxes and costs at any time prior to the sale.
Dated at Two Hills, Alberta, September 26, 2001.
Marcia Twerdochlib, Chief Administrative Officer
_______________________
TOWN OF VEGREVILLE
Notice is hereby given that under the provisions of the Municipal Government Act, the Town of Vegreville will offer for sale, by public auction, in the Town Administration Building, 4829-50 Street, Vegreville, Alberta on Friday, December 14, 2001 at 2:00 p.m. the following lands:
Lot,Block,Plan
7-9,10,LXVI
3,C,752-0117
1,8,LXXX
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.
Terms: Cash.
The Town of Vegreville may, after the public auction, become the owner of any parcel of land that is 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 Vegreville, Alberta, September 13, 2001.
Jody Quickstad, Assistant Town Manager.
_______________________
VILLAGE OF GALAHAD
Notice is hereby given that under the provisions of the Municipal Government Act, Village of Galahad will offer for sale, by public auction, in the Village of Galahad Office, Galahad, Alberta on Monday, December 10, 2001 at 7:00 pm the following lands:
C of T ,Block ,Lot,Plan
962178574,1,13,3010BO
9122059 ,3,16,3010BO
952021300,9,7,5867MC
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 Galahad may, after the public auction, become the owner of any parcel of land that is not sold at the public auction.
Terms: Cash.
Redemption may be effected by payment of all arrears of taxes and costs at any time prior to the sale.
Dated at Sedgewick, Alberta, September 27, 2001
Brandee Fossen, Administrator.
ALBERTA GOVERNMENT SERVICES
_______________
CORPORATE REGISTRY
_______________
REGISTRAR'S PERIODICAL
ALBERTA GOVERNMENT SERVICES
CORPORATE REGISTRY
REGISTRAR'S PERIODICAL
CORPORATE REGISTRATIONS, INCORPORATIONS, AND CONTINUATIONS
(Business Corporations Act, Cemetery Companies Act, Companies Act, Co-operative Associations Act, Credit Union Act, Loan and Trust Corporations Act, Religious Societies' Land Act, Rural Utilities Act, Societies Act, Partnership Act)
_______________________________________________________________________
101004103 SASKATCHEWAN LTD. Other Prov/Territory Corps Registered 2001 SEP 11 Registered Address: 2800, 10060 JASPER AVENUE, EDMONTON ALBERTA, T5J 3V9. No: 219513678.
3871576 CANADA INC. Federal Corporation Registered 2001 SEP 04 Registered Address: 1800 BANKERS HALL EAST, 855 2ND STREET SW, CALGARY ALBERTA, T2P 4Z5. No: 219503141.
3871584 CANADA INC. Federal Corporation Registered 2001 SEP 04 Registered Address: 1800 BANKERS HALL EAST, 855 2ND STREET SW, CALGARY ALBERTA, T2P 4Z5. No: 219503216.
3871592 CANADA INC. Federal Corporation Registered 2001 SEP 04 Registered Address: 1800 BANKERS HALL EAST, 855 2ND STREET SW, CALGARY ALBERTA, T2P 4Z5. No: 219503299.
3871606 CANADA INC. Federal Corporation Registered 2001 SEP 05 Registered Address: 1800 BANKERS HALL EAST, 855 2ND STREET SW, CALGARY ALBERTA, T2P 4Z5. No: 219503687.
3871614 CANADA INC. Federal Corporation Registered 2001 SEP 05 Registered Address: 1800 BANKERS HALL EAST, 855 2ND STREET SW, CALGARY ALBERTA, T2P 4Z5. No: 219503869.
3871622 CANADA INC. Federal Corporation Registered 2001 SEP 05 Registered Address: 1800 BANKERS HALL EAST, 855 2ND STREET SW, CALGARY ALBERTA, T2P 4Z5. No: 219503711.
3871631 CANADA INC. Federal Corporation Registered 2001 SEP 05 Registered Address: 1800 BANKERS HALL EAST, 855 2ND STREET SW, CALGARY ALBERTA, T2P 4Z5. No: 219503802.
6 R FARMS LTD. Named Alberta Corporation Incorporated 2001 SEP 12 Registered Address: 6305 - 41 AVENUE, STETTLER ALBERTA, T0C 2L1. No: 209515386.
6L SAND & GRAVEL LTD. Named Alberta Corporation Incorporated 2001 SEP 10 Registered Address: 16 WESTGROVE DRIVE, SPRUCE GROVE ALBERTA, T7X 3B3. No: 209512045.
946102 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 04 Registered Address: 3000, 700 - 9TH AVENUE SW, CALGARY ALBERTA, T2P 3V4. No: 209461029.
946442 ALBERTA INC. Numbered Alberta Corporation Incorporated 2001 SEP 08 Registered Address: 20 WOLFWILLOW LANE, CALGARY ALBERTA, T3Z 1B5. No: 209464429.
946815 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 10 Registered Address: 3000, 700 - 9TH AVENUE SW, CALGARY ALBERTA, T2P 3V4. No: 209468156.
947270 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 14 Registered Address: 2250, 10104 103 AVENUE, EDMONTON ALBERTA, T5J 0H8. No: 209472703.
947272 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 14 Registered Address: 210, 17010 - 103 AVENUE, EDMONTON ALBERTA, T5S 1K7. No: 209472729.
949711 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 04 Registered Address: SUITE 800, 10150 - 100 STREET, EDMONTON ALBERTA, T5J 0P6. No: 209497114.
949865 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 05 Registered Address: 301-12 AVE NE, CALGARY ALBERTA, T2E 1A5. No: 209498658.
949866 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 06 Registered Address: 416B STAFFORD DRIVE SOUTH, LETHBRIDGE ALBERTA, T1J 2L2. No: 209498666.
949867 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 11 Registered Address: 300-1100-8 AVE SW, CALGARY ALBERTA, T2P 3T9. No: 209498674.
949917 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 04 Registered Address: 200, 425 - 1 STREET SW, CALGARY ALBERTA, T2P 3L8. No: 209499177.
950086 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 04 Registered Address: 200, 9803 - 101 AVENUE, GRANDE PRAIRIE ALBERTA, T8V 0X6. No: 209500867.
950098 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 04 Registered Address: # 7, 3908 - 97 STREET, EDMONTON ALBERTA, T6E 6N2. No: 209500982.
950116 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 01 Registered Address: 216 WHITWORTH WAY NE, CALGARY ALBERTA, T1Y 6A9. No: 209501162.
950126 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 04 Registered Address: 3000, 700 - 9TH AVENUE SW, CALGARY ALBERTA, T2P 3V4. No: 209501261.
950131 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 04 Registered Address: 5019 - 7 AVENUE, EDSON ALBERTA, T7E 1V8. No: 209501311.
950137 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 04 Registered Address: 2101-2-10060 JASPER AVE NW, EDMONTON ALBERTA, T5J 4K2. No: 209501378.
950145 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 04 Registered Address: 4639 26 AVE NW, EDMONTON ALBERTA, T6L 5Z1. No: 209501451.
950149 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 04 Registered Address: 7 PEARSON PLACE, ST. ALBERT ALBERTA, T8N 4T1. No: 209501493.
950152 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 04 Registered Address: 59 EVERGREEN HTS S.W., CALGARY ALBERTA, T2Y 3A8. No: 209501527.
950155 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 04 Registered Address: 908 NORMANDY DRIVE, SHERWOOD PARK ALBERTA, T8A 5V2. No: 209501550.
950156 ALBERTA INC. Numbered Alberta Corporation Incorporated 2001 SEP 04 Registered Address: 44 STRATHRIDGE CLOSE SW, CALGARY ALBERTA, T3H 3R9. No: 209501568.
950159 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 04 Registered Address: #219, 6203 - 28 AVENUE, EDMONTON ALBERTA, T6L 6K3. No: 209501592.
950174 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 04 Registered Address: 8631 - 109 STREET, EDMONTON ALBERTA, T6E 5P2. No: 209501741.
950175 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 04 Registered Address: #105, 16103 - 102 AVE., EDMONTON ALBERTA, T5P 4M3. No: 209501758.
950197 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 04 Registered Address: LOT 12, BLOCK 2, PLAN 9811938 / NW 1/4, S22, T26, R29,W4 No: 209501972.
950201 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 04 Registered Address: 38-4004-97 STREET, EDMONTON ALBERTA, T6E 6N1. No: 209502012.
950205 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 04 Registered Address: 108, 9824 - 97 AVENUE, GRANDE PRAIRIE ALBERTA, T8V 7K2. No: 209502053.
950206 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 06 Registered Address: 2800, 10060 JASPER AVENUE, EDMONTON ALBERTA, T5J 3V9. No: 209502061.
950207 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 04 Registered Address: 250 CORAL KEYS VILLA N.E, CALGARY ALBERTA, T3J 3L7. No: 209502079.
950219 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 04 Registered Address: 505 777 - 8TH AVENUE SW, CALGARY ALBERTA, T2P 3R5. No: 209502194.
950221 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 04 Registered Address: W5-21-93-2-W1/2 No: 209502210.
950240 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 04 Registered Address: SUITE 500, SCOTIA 1, 10060 JASPER AVENUE, EDMONTON ALBERTA, T5J 3R8. No: 209502400.
950266 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 04 Registered Address: 14814 43 AVE, EDMONTON ALBERTA, T6H 5S1. No: 209502665.
950279 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 04 Registered Address: 551 WAHSTAO ROAD, EDMONTON ALBERTA, T5T 2X9. No: 209502798.
950291 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 04 Registered Address: 5009 - 48TH STREET, LLOYDMINSTER ALBERTA, T9V 0H7. No: 209502913.
950292 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 04 Registered Address: 28 POWELL STREET, COCHRANE ALBERTA, T4C 1C9. No: 209502921.
950293 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 04 Registered Address: 553 LESSARD DR., EDMONTON ALBERTA, T6M 1A9. No: 209502939.
950294 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 05 Registered Address: NORTHEAST 19, 53, 13, W5 No: 209502947.
950298 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 04 Registered Address: 5 STRATHCONA CRESCENT S.W., CALGARY ALBERTA, T3H 1K9. No: 209502988.
950310 ALBERTA LIMITED Numbered Alberta Corporation Incorporated 2001 SEP 04 Registered Address: 9540 167 ST NW, EDMONTON ALBERTA, T5P 3V7. No: 209503101.
950313 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 05 Registered Address: #204, 5000 50 AVENUE, RED DEER ALBERTA, T4N 6C2. No: 209503135.
950319 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 04 Registered Address: 7044 EDGEMONT DRIVE N.W., CALGARY ALBERTA, T3A 2M1. No: 209503192.
950325 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 04 Registered Address: N.W. 26-37-4-W5TH No: 209503259.
950328 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 04 Registered Address: #100, 1501- 1ST STREET SW, CALGARY ALBERTA, T2R 0W1. No: 209503283.
950341 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 04 Registered Address: 2000 OXFORD TOWER, 10235-101 STREET, EDMONTON ALBERTA, T5J 3G1. No: 209503416.
950344 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 04 Registered Address: 2000 OXFORD TOWER, 10235-101 STREET, EDMONTON ALBERTA, T5J 3G1. No: 209503440.
950347 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 04 Registered Address: 2000 OXFORD TOWER, 10235-101 STREET, EDMONTON ALBERTA, T5J 3G1. No: 209503473.
950353 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 05 Registered Address: SW S.15, T.51, R.6, WEST OF THE 5TH No: 209503531.
950382 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 06 Registered Address: 1400, 10303 JASPER AVENUE, EDMONTON ALBERTA, T5J 3N6. No: 209503820.
950384 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 05 Registered Address: #11 - 27501 TWP ROAD #374, RED DEER COUNTY ALBERTA, T4S 2B1. No: 209503846.
950387 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 05 Registered Address: 1231 - 65 STREET, EDMONTON ALBERTA, T6L 2E8. No: 209503879.
950388 ALBERTA INC Numbered Alberta Corporation Incorporated 2001 SEP 05 Registered Address: BOX 1438, NANTON ALBERTA, T0L 1R0O. No: 209503887.
950396 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 05 Registered Address: 56 WEDOW DRIVE, WHITECOURT ALBERTA, T7S 1B7. No: 209503960.
950397 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 05 Registered Address: SUITE 1020, 833 - 4TH AVENUE S.W., CALGARY ALBERTA, T2P 3T5. No: 209503978.
950403 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 05 Registered Address: 201, 9817-101 AVENUE, GRANDE PRAIRIE ALBERTA, T8V 0X6. No: 209504034.
950419 ALBERTA CORP. Numbered Alberta Corporation Incorporated 2001 SEP 05 Registered Address: 25 SOUTH PARK DRIVE, LEDUC ALBERTA, T9E 4W9. No: 209504190.
950425 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 05 Registered Address: #11 FIELDSTONE DRIVE, SPRUCE GROVE ALBERTA, T7X 2Z3. No: 209504257.
950433 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 06 Registered Address: 9828 44 AVE, EDMONTON ALBERTA, T6E 5E5. No: 209504331.
950436 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 05 Registered Address: 3725 MEMORIAL DRIVE S.E., CALGARY ALBERTA, T2A 6V4. No: 209504364.
950437 ALBERTA INC. Numbered Alberta Corporation Incorporated 2001 SEP 05 Registered Address: 5014 - 50 AVENUE, BONNYVILLE ALBERTA, T9N 2H9. No: 209504372.
950441 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 05 Registered Address: 67 WOODRIDGE CLOSE SW, CALGARY ALBERTA, T2W 5M2. No: 209504414.
950445 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 05 Registered Address: 106 SIBLEY ROAD, FORT MCMURRAY ALBERTA, T9H 3A6. No: 209504455.
950455 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 05 Registered Address: 204, 755 LAKE BONAVISTA DRIVE SE, CALGARY ALBERTA, T2J 0N3. No: 209504554.
950461 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 06 Registered Address: 348 - 14 STREET N.W., CALGARY ALBERTA, T2N 1Z7. No: 209504612.
950475 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 05 Registered Address: 213-6650 177 ST NW, EDMONTON ALBERTA, T5T 4J5. No: 209504752.
950482 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 05 Registered Address: #202, 4921 - 49TH STREET, RED DEER ALBERTA, T4N 1V2. No: 209504828.
950494 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 05 Registered Address: 811 3RD AVENUE EAST, BROOKS ALBERTA, T1R 1C4. No: 209504943.
950495 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 05 Registered Address: NW 1/4 7-21-17-W4 No: 209504950.
950502 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 05 Registered Address: 200 WEST TOWER, 14310 - 111 AVE., EDMONTON ALBERTA, T5M 3Z7. No: 209505023.
950504 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 05 Registered Address: SUITE 303- 5 CLEARWATER CRESCENT, FORT MCMURRAY ALBERTA, T9H 2B7. No: 209505049.
950506 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 05 Registered Address: 343 GREGG AVENUE, HINTON ALBERTA, T7V 2A7. No: 209505064.
950513 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 05 Registered Address: 1700, 10235 - 101 STREET, EDMONTON ALBERTA, T5J 3G1. No: 209505130.
950518 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 06 Registered Address: 9929 - 79 AVENUE, EDMONTON ALBERTA, T6E 1R3. No: 209505189.
950521 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 05 Registered Address: 1400, 350 - 7 AVENUE SW, CALGARY ALBERTA, T2P 3N9. No: 209505213.
950531 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 05 Registered Address: 1400, 350 - 7 AVENUE SW, CALGARY ALBERTA, T2P 3N9. No: 209505312.
950536 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 05 Registered Address: 44-210-86 AVE SE, CALGARY ALBERTA, T2H 1N6. No: 209505361.
950542 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 13 Registered Address: PH #2, 10330 104 STREET, EDMONTON ALBERTA, T5J 1C2. No: 209505429.
950552 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 05 Registered Address: 112 ABALONE PL NE, CALGARY ALBERTA, T2A 6N2. No: 209505528.
950562 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 06 Registered Address: 3000, 700 - 9TH AVENUE SW, CALGARY ALBERTA, T2P 3V4. No: 209505627.
950569 ALBERTA INC. Numbered Alberta Corporation Incorporated 2001 SEP 06 Registered Address: 339 EDFORTH PLACE N.W., CALGARY ALBERTA, T3A 3W1. No: 209505692.
950580 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 06 Registered Address: #19, 8203 - 160 AVENUE, EDMONTON ALBERTA, T5Z 3C1. No: 209505809.
950600 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 06 Registered Address: 9908 - 106 STREET, EDMONTON ALBERTA, T5K 1C4. No: 209506005.
950606 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 06 Registered Address: 4807-51 STREET, BOX 908, COLD LAKE ALBERTA, T9M 1P2. No: 209506062.
950613 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 06 Registered Address: 2500, 10123 - 99 STREET, EDMONTON ALBERTA, T5J 3H1. No: 209506138.
950614 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 06 Registered Address: 5006 38 AVENUE, RED DEER ALBERTA, T4P 1G5. No: 209506146.
950619 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 06 Registered Address: 204-10140 151 ST, EDMONTON ALBERTA, T5P 1T4. No: 209506195.
950620 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 06 Registered Address: 16 WESTGROVE DRIVE, SPRUCE GROVE ALBERTA, T7X 3B3. No: 209506203.
950626 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 06 Registered Address: 188 SCANLON GREEN NW, CALGARY ALBERTA, T3L 1M3. No: 209506260.
950629 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 06 Registered Address: 4902 - 51 ST., STETTLER ALBERTA, T0C 2L0. No: 209506294.
950633 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 06 Registered Address: 310 KINGSWAY GARDEN MALL, EDMONTON ALBERTA, T5G 3A6. No: 209506336.
950638 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 06 Registered Address: 310 KINGSWAY GARDEN MALL, EDMONTON ALBERTA, T5G 3A6. No: 209506385.
950658 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 06 Registered Address: 128 VENTURA WAY NE, CALGARY ALBERTA, T2E 8G6. No: 209506583.
950667 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 06 Registered Address: 300-10020 101A AVE NW, EDMONTON ALBERTA, T5J 3G2. No: 209506674.
950668 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 06 Registered Address: 5220 - 51 AVENUE, WETASKIWIN ALBERTA, T9A 3E2. No: 209506682.
950696 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 06 Registered Address: 3400, 150 - 6TH AVENUE S.W., CALGARY ALBERTA, T2P 3Y7. No: 209506963.
950703 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2001 SEP 06 Registered Address: 68 MARTINGLEN CLOSE NE, CALGARY ALBERTA, T3J 3J1. No: 209507037.
950707 ALBERTA INC. Numbered Alberta Corporation Incorporated 2001 SEP 06 Registered Address: 1200, 700 2ND STR