Alberta Gazette, Part I — Friday, March 31, 2017

Friday, March 31, 2017

Alberta — Gazette

Alberta Gazette, Part I — Friday, March 31, 2017

Friday, March 31, 2017

Alberta — Gazette

The Alberta Gazette

Part I

Vol. 113 Edmonton, Friday, March 31, 2017 No. 06

CHANGES OF NAME

Change of Name of Non-Presiding Justices of the Peace

(Justice of the Peace Act)

March 1, 2017

Trafiak, Sherry Lynn to Reeder, Sherry Lynn

TERMINATIONS

Termination of Non-Presiding Justices of the Peace

(Justice of the Peace Act)

March 1, 2017

Bartel, Odessa Lynn

Blenkinsop, Lori Noelle

Crowder, Deborah Sandra

Dhaliwal, Manjit Kaur

Faulmino, Priscila

Ferrer-Mills, Michelle Cristina

Funnell, Christa Melissa

Remeshylo, Linda Jeanette

Trottier, Joseph Tyson Max

Wyton, Dawna Faye

GOVERNMENT NOTICES

Agriculture and Forestry

Form 15

(Irrigation Districts Act)

(Section 88)

Notice to Irrigation Secretariat:

Change of Area of an Irrigation District

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 22 of the Land Titles Act and arrange for

notice to be published in the Alberta Gazette.

The following parcels of land should be added to the irrigation district and the

appropriate notation added to the certificate of title:

LINC Number

Short Legal Description as shown on title

Title Number

0017 349 184

SW 27-9-15-4

161 140 504

I certify 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.

Rebecca Fast, Office Administrator,

Irrigation Secretariat.

Energy

Declaration of Withdrawal from Unit Agreement

(Petroleum and Natural Gas Tenure Regulations)

The Minister of Energy on behalf of the Crown in Right of Alberta hereby declares

and states that the Crown in right of Alberta has withdrawn as a party to the

agreement entitled "Bolloque Unit No. 1" effective January 31, 2017.

Gwenn Thiele, for Minister of Energy.

_______________

The Minister of Energy on behalf of the Crown in Right of Alberta hereby declares

and states that the Crown in right of Alberta has withdrawn as a party to the

agreement entitled "Judy Creek Pekisko "B" Unit No. 1" effective February 28, 2017.

Gwenn Thiele, for Minister of Energy.

The Minister of Energy on behalf of the Crown in Right of Alberta hereby declares

and states that the Crown in right of Alberta has withdrawn as a party to the

agreement entitled "Suffield Upper Mannville Agreement #12" effective January 31,

Laura Cairns, for Minister of Energy.

_______________

The Minister of Energy on behalf of the Crown in Right of Alberta hereby declares

and states that the Crown in right of Alberta has withdrawn as a party to the

agreement entitled "Three Hills Ostracod Unit #1" effective January 31, 2017.

Gwenn Thiele, for Minister of Energy.

_______________

The Minister of Energy on behalf of the Crown in Right of Alberta hereby declares

and states that the Crown in right of Alberta has withdrawn as a party to the

agreement entitled "Zama Keg River "H" Pool Unit No. 1" effective January 31,

Gwenn Thiele, for Minister of Energy.

Production Allocation Unit Agreement

(Mines and Minerals Act)

Notice is hereby given, pursuant to

section 102 of the Mines and Minerals Act, that

the Minister of Energy on behalf of the Crown has executed counterparts of the

agreement entitled "Production Allocation Unit Agreement - Wilson Creek

Glauconitic Agreement No. 5" and that the Unit became effective on August 1, 2016.

Human Services

Hosting Expenses Exceeding $600.00

For the period October 1st, 2016 to December 31st, 2016

Function: 2016 Inspiration Awards

Date: Nov 4th 2016

Amount: $12,787.45

Purpose: The award recognizes Albertans who demonstrate a commitment to

promoting healthy relationships and ending family violence in their communities.

Location: Government House

Function: 2016 Child Development Professional Awards of Excellence

Date: December 1st 2016

Amount: $5,866.27

Purpose: The award recognizes 9 award recipients across Alberta for their

outstanding contribution in child care programs that are licensed or approved. The

Minister presented the awards at the luncheon.

Location: Government House

Function: Stony Plain Honouring Our Children Christmas Celebration

Date: December 8th 2016

Amount: $15,443.81

Purpose: The event brings Aboriginal children in care in the parkland area to an

event where they could experience a connection to their culture and community

through the sharing of food and culture.

Location: Heritage Park Pavilion

Indigenous Relations

Hosting Expenses Exceeding $600.00

Transactions approved between January 1, 2016 and March 31, 2016

Date: January 27, 28, 29, 2016

Purpose: Hosted a cash management and reporting workshop for Alberta First

Nations to build capacity in the administration of the First Nations Development Fund

(FNDF) Program that supports economic, social and community development

projects in First Nations communities. The workshop was delivered by the Aboriginal

Financial Officers Association of Alberta who is a non-profit organization that has

been delivering the training for the FNDF Program for the past several years. The

cost includes the venue and meals for the 16 First Nations participants, 9 Ministry

staff and the facilitator.

Amount: $4,920.24

Location: Marriott at River Cree, Enoch, Alberta

Date: February 3, 2016

Purpose: Hosted "Driving Innovation in Northern Alberta" Seminar in partnership

with several Northern Regional Economic Development Alliances and Alberta

Innovates Technology Futures. The seminar provided entrepreneurs and small

business owners' access to education on product, research and technology

development, a forum to foster strategic partnerships, and explore resource networks

of like-minded businesses, entrepreneurs and service providers.

Amount: $3,371.35

Location: Athabasca Regional Multiplex, 2 University Drive, Athabasca, AB

Date: February 24, 25, 26, 2016

Purpose: Hosted a cash management and reporting workshop for Alberta First

Nations to build capacity in the administration of the First Nations Development Fund

(FNDF) Program that supports economic, social and community development

projects in First Nations communities. The workshop was delivered by the Aboriginal

Financial Officers Association of Alberta who was a non-profit organization that has

been delivering the training for the FNDF Program for the past several years. The

cost includes the venue and meals for the 25 First Nations participants, 12 Ministry

staff and the facilitator.

Amount: $6,884.74

Location: Marriott at River Cree, Enoch, Alberta

_______________

Hosting Expenses Exceeding $600.00

Transactions approved between April 1, 2016 and June 30, 2016

Date: April 26, 2016

Purpose: Hosted Treaty 8 Protocol Signing

Amount: $941.50

Location: Legislature Building Edmonton

Infrastructure

Contract Increases Approved Pursuant to Treasury Board Directive 02/2005

Contract: Edmonton - Archbishop O'Leary High School Modernization

Contractor: Stuart Olson Construction Ltd.

Reason for Increase: Unforeseen conditions including changes required to address

mechanical, electrical, structural and architectural aspects of the existing building.

Contract Amount: $18,000,000.00

% Increase: 35.75%

Amount of Increase: $6,435,313.00

Contract: Edmonton - Cross Cancer Institute Emergency Power Upgrade

Contractor: Ledcor Construction Ltd

Reason for Increase: The construction budget was set by Alberta Health Services

early in planning and was originally developed from a consultant report Alberta

Health Services (AHS) commissioned in 2012. Detailed design was completed and

additional project requirements were identified. This increase is required to fund the

updated scope.

Contract Amount: $4,000,000

% Increase: 38%

Amount of Increase: $1,500,000

Contract: Edmonton - J.H. Picard School Modernization

Contractor: Chandos Constructions Ltd

Reason for Increase: Unforeseen site conditions were discovered during

construction and required remediation. Extensive hazardous material abatement was

also required.

Contract Amount: $12,062,000.00

% Increase: 46%

Amount of Increase: $5,510,655.55

Contract: Grande Prairie - Montrose Junior High School - Modernization

Contractor: Jen-Col Construction Ltd.

Reason for Increase: Changes to scope, unforeseen site conditions and design

revisions.

Contract Amount: $6,789,100

% Increase: 21%

Amount of Increase: $1,429,082.55

Contract: St. Albert - St. Albert Catholic High School Modernization

Contractor: Whitson Contracting Ltd.

Reason for Increase: Unforeseen site conditions required remediation; presence of

additional hazardous materials required abatement; and design changes to mechanical

and electrical systems were needed.

Contract Amount: $9,995,600.00

% Increase: 30%

Amount of Increase: $3,021,363.24

Contract: Sturgeon Composite High School Modernization

Contractor: Synergy Projects Ltd.

Reason for Increase: Changes to scope, unforeseen site conditions and design

revisions

Contract Amount: $21,665,000

% Increase: 19%

Amount of Increase: $4,205,099.64

Contract: Vermilion - St. Jerome's Catholic School Modernization

Contractor: OML Construction Services Ltd.

Reason for Increase: Unforeseen conditions were discovered during construction

and required remediation.

Contract Amount: $9,265,000.00

% Increase: 19%

Amount of Increase: $1,738,996.00

Sale or Disposition of Land

(Government Organization Act)

Name of Purchaser: City of Lacombe

Consideration: $1,030,174.50

Land Description: Plan RN1 (

I) Block 1 Lot 17. Excepting thereout all mines and

minerals.

AND

Plan RN1 (

I) Block 1 Lots 18 to 20 inclusive. Exepting thereout all mines and

minerals.

Justice and Solicitor General

Designation of Qualified Technician Appointment

(Intox EC/IR II)

Calgary Police Service, Traffic Office

Andreasen , Matthew Daniel James

Beckhurst , Peter Raymond John

Cheyne , Troy Jonathan

Esteves , Cliff

Fleming , William John Andrew

Freeman , Lisa Heather

Gerrard , Paul

Gronberg , Susan Kathleen

Guilloux , Jonathan Robert

Lewis , Daniel Rhys

Macdonald , Tamsin Jean Christabel

North , Bryan William

O'Neal , Mark Peter

Ostby , Jared Michael

Oxton , Ian

Rogers , Daniel Joseph Edward

Singh , Yadpreet

Stallings , Jordan William

Stask , Christopher Ryan

Steward , Justin Arthur Rae

Stock , Lacy Raeanne

Strobl , Robert John

Zinn , Francis Cameron

(Date of Designation February 22, 2017)

Camrose Police Service

Steil , Todd Sheldon

Tomaszewski , John James

(Date of Designation March 03, 2017)

CFB Edmonton Garrison, Military Police

Fournier , Laura Ann

Toloiy , Arshya

(Date of Designation March 03, 2017)

CFB Suffield, Military Police

Leon , Paul Gordon

(Date of Designation March 03, 2017)

CFB Wainwright, Military Police

Austin , Troy Brandon

(Date of Designation March 03, 2017)

Lakeshore Regional Police Service

Kerr , Dennis William

(Date of Designation March 03, 2017)

Medicine Hat Police Service

Anderson , Tamara Angelle

Angstadt , Robert Gary

Batsel , Kyle James

Holeha , Darren Craig

Rasmussen , Perry Eskild

(Date of Designation March 03, 2017)

Royal Canadian Mounted Police, Traffic Services "K" Division

Armstrong , Craig Robert

Bechard-Dube , Kevin Daniel Agook

Carr , Jacob Craig

Dutz , Carman James

Giavedoni , Steven Dennis

Hamelin , Connie Ann

Hunter , Cole Robert

Hynes , Robert Joseph Neil

Pater , Jeffrey Thomas

Plasse , Pierre-Yves Guy Michel

Rivard , Alan Joseph

Smart , Stephen

Smith , Dale Arthur Stephen

Stewart , Connor James

Stewart , James Alexander

Watson , Ryan Lionel

Wong , Wayne Codey

(Date of Designation March 14, 2017)

Tsuu Tina Police Service

Gracie , Courtney Lanisha

(Date of Designation March 03, 2017)

Office of the Public Trustee

Property being held by the Public Trustee for a period of Ten

(10) Years

(Public Trustee Act)

Section 11 (2)(

b) Name of Person Entitled

to Property

Description

of Property

held and its

value or

estimated value

Property part of

deceased person's

Estate or held under

Court Order:

Deceased's Name

Judicial District Court

File Number

Public Trustee

Office

Additional

Information

Nancy Hong

Cash on hand

$72,330.64

Berta Annie

Quon-Hong-Louie

C-054938

Calgary

Safety Codes Council

Agency Accreditation

(Safety Codes Act)

Pursuant to

Section 30 of the Safety Codes Act it is hereby ordered that

Hoff Engineering (1505285 Alberta Ltd), Accreditation No. A000906, Order No.

provide services under the Safety Codes Act including applicable Alberta

amendments and regulations for Electrical.

Consisting of all parts of the Canadian Electrical Code

Part 1, Code for Electrical

Installations at Oil and Gas Facilities.

Accredited Date: March 15, 2017 Issued Date: March 15, 2017.

Corporate Accreditation

(Safety Codes Act)

Pursuant to

Section 28 of the Safety Codes Act it is hereby ordered that

Hinton Pulp (A Division of West Fraser Mills Ltd), Accreditation No. C000178,

Order No. 0953

administer the Safety Codes Act including applicable Alberta amendments and

regulations within the Corporation's industrial facilities for the discipline of Building

Consisting of all parts of the Alberta Building Code, and National Energy Code of

Canada for Buildings.

Accredited Date: January 1, 1996 Issued Date: March 1, 2017.

_______________

Pursuant to

Section 28 of the Safety Codes Act it is hereby ordered that

Suncor Energy Inc. Oil Sands, Accreditation No. C000111, Order No. 1012

administer the Safety Codes Act including applicable Alberta amendments and

regulations within the Corporation's industrial facilities for the discipline of Building

Consisting of all parts of the Alberta Building Code, and National Energy Code of

Canada for Buildings.

Accredited Date: December 18, 1997 Issued Date: March 14, 2017.

_______________

Pursuant to

Section 28 of the Safety Codes Act it is hereby ordered that

Ember Resources Inc, Accreditation No. C000905, Order No. 3034

administer the Safety Codes Act including applicable Alberta amendments and

regulations within the Corporation's industrial facilities for the discipline of

Electrical

Consisting of all parts of the Canadian Electrical Code

Part 1 and Code for Electrical

Installations at Oil & Gas Facilities.

Accredited Date: March 1, 2017 Issued Date: March 1, 2017.

Pursuant to

Section 28 of the Safety Codes Act it is hereby ordered that

Hinton Pulp (A Division of West Fraser Mills Ltd), Accreditation No. C000178,

Order No. 0724

administer the Safety Codes Act including applicable Alberta amendments and

regulations within the Corporation's industrial facilities for the discipline of

Electrical

Consisting of all parts of the Canadian Electrical Code

Part 1 and Code for Electrical

Installations at Oil & Gas Facilities and Alberta Electrical Utility Code.

Accredited Date: February 23, 1996 Issued Date: March 1, 2017.

_______________

Pursuant to

Section 28 of the Safety Codes Act it is hereby ordered that

Nexen Energy ULC, Accreditation No. C000140, Order No. 1018

administer the Safety Codes Act including applicable Alberta amendments and

regulations within the Corporation's industrial facilities for the discipline of

Electrical

Consisting of all parts of the Canadian Electrical Code

Part 1 and Code for Electrical

Installations at Oil & Gas Facilities and Alberta Electrical Utility Code.

Accredited Date: February 13, 2002 Issued Date: March 3, 2017.

_______________

Pursuant to

Section 28 of the Safety Codes Act it is hereby ordered that

Suncor Energy Inc. Oil Sands, Accreditation No. C000111, Order No. 3035

administer the Safety Codes Act including applicable Alberta amendments and

regulations within the Corporation's industrial facilities for the discipline of

Electrical

Consisting of all parts of the Canadian Electrical Code

Part 1 and Code for Electrical

Installations at Oil & Gas Facilities.

Accredited Date: December 16, 1994 Issued Date: March 14, 2017.

Pursuant to

Section 28 of the Safety Codes Act it is hereby ordered that

TransCanada Pipelines Limited, Accreditation No. C000117, Order No. 0356

administer the Safety Codes Act including applicable Alberta amendments and

regulations within the Corporation's industrial facilities for the discipline of

Electrical

Consisting of all parts of the Canadian Electrical Code

Part 1 and Code for Electrical

Installations at Oil & Gas Facilities and Alberta Electrical Utility Code.

Accredited Date: November 18, 1995 Issued Date: February 23, 2017.

_______________

Pursuant to

Section 28 of the Safety Codes Act it is hereby ordered that

Suncor Energy Inc. Oil Sands, Accreditation No. C000111, Order No. 0989

administer the Safety Codes Act including applicable Alberta amendments and

regulations within the Corporation's industrial facilities for the discipline of Fire

Consisting of all parts of the Alberta Fire Code, and Fire Investigation (cause and

circumstance).

Accredited Date: June 5, 1997 Issued Date: March 14, 2017.

_______________

Pursuant to

Section 28 of the Safety Codes Act it is hereby ordered that

Hinton Pulp (A Division of West Fraser Mills Ltd), Accreditation No. C000178,

Order No. 0955

administer the Safety Codes Act including applicable Alberta amendments and

regulations within the Corporation's industrial facilities for the discipline of Gas

Consisting of all parts of the Natural Gas and Propane Installations Code and Propane

Storage and Handling Code, Code for Field Approval of Fuel-Related Components on

Appliance and Equipment, and Compressed Natural Gas Fuelling Stations Installation

Code, excluding the Installation Code for Propane Fuel Systems and Tanks on

Highway Vehicles and the Natural Gas for Vehicles Installation Code -

Part 1

Compressed Natural Gas.

Accredited Date: January 1, 1996 Issued Date: March 1, 2017.

Corporate Accreditation - Cancellation

(Safety Codes Act)

Pursuant to

Section 28 of the Safety Codes Act it is hereby ordered that

Suncor Energy Inc. Oil Sands, Accreditation No. C000839, Order No. 2852

Due to the voluntary withdrawal from accreditation is to cease administration under

the Safety Codes Act within its jurisdiction for Electrical

Consisting of all parts of the Canadian Electrical Code

Part 1, and Code for Electrical

Installations at Oil and Gas Facilities.

Accredited Date: December 16, 1994 Issued Date: March 14, 2017.

Joint Municipal Accreditation

(Safety Codes Act)

Pursuant to

Section 26 of the Safety Codes Act it is hereby ordered that

Red Deer County, Town of Bowden, Village of Elnora, Accreditation No. J000894,

Order No. 2985

administer the Safety Codes Act including applicable Alberta amendments and

regulations within the Municipality's boundaries for the discipline of Building

Consisting of all parts of the Alberta Building Code, and National Energy Code of

Canada for Buildings.

Accredited Date: December 31, 2015 Issued Date: February 23, 2017.

_______________

Pursuant to

Section 26 of the Safety Codes Act it is hereby ordered that

Red Deer County, Town of Bowden, Village of Elnora, Accreditation No. J000894,

Order No. 2986

administer the Safety Codes Act including applicable Alberta amendments and

regulations within the Municipality's boundaries for the discipline of Electrical

Consisting of all parts of the Canadian Electrical Code

Part 1 and Code for Electrical

Installations at Oil and Gas Facilities.

Accredited Date: December 31, 2015 Issued Date: February 23, 2017.

Pursuant to

Section 26 of the Safety Codes Act it is hereby ordered that

Red Deer County, Town of Bowden, Village of Elnora, Accreditation No. J000894,

Order No. 2987

administer the Safety Codes Act including applicable Alberta amendments and

regulations within the Municipality's boundaries for the discipline of Fire

Consisting of all parts of the Alberta Fire Code, and Fire Investigation (cause and

circumstance).

Excluding those requirements pertaining to the installation, alteration and removal of

the storage tank systems for flammable and combustible liquids.

Accredited Date: December 31, 2015 Issued Date: February 23, 2017.

_______________

Pursuant to

Section 26 of the Safety Codes Act it is hereby ordered that

Red Deer County, Town of Bowden, Village of Elnora, Accreditation No. J000894,

Order No. 2988

administer the Safety Codes Act including applicable Alberta amendments and

regulations within the Municipality's boundaries for the discipline of Gas

Consisting of all parts of the Natural Gas and Propane Installations Code and Propane

Storage and Handling Code, Code for Field Approval of Fuel-Related Components on

Appliance and Equipment, and Compressed Natural Gas Fuelling Stations Installation

Code.

Excluding the Installation Code for Propane Fuel Systems and Tanks on Highway

Vehicles and the Natural Gas for Vehicles Installation Code -

Part 1 Compressed

Natural Gas.

Accredited Date: December 31, 2015 Issued Date: February 23, 2017.

_______________

Pursuant to

Section 26 of the Safety Codes Act it is hereby ordered that

Red Deer County, Town of Bowden, Village of Elnora, Accreditation No. J000894,

Order No. 2989

administer the Safety Codes Act including applicable Alberta amendments and

regulations within the Municipality's boundaries for the discipline of Plumbing

Consisting of all parts of the National Plumbing Code and Alberta Private Sewage

Systems Standard of Practice.

Accredited Date: December 31, 2015 Issued Date: February 23, 2017.

Municipal Accreditation

(Safety Codes Act)

Pursuant to

Section 26 of the Safety Codes Act it is hereby ordered that

County of Newell, Accreditation No. M000410, Order No. 2783

administer the Safety Codes Act including applicable Alberta amendments and

regulations within the Municipality's boundaries for the discipline of Building

Consisting of all parts of the Alberta Building Code and National Energy Code for

Buildings.

Accredited Date: February 25, 2011 Issued Date: March 1, 2017.

_______________

Pursuant to

Section 26 of the Safety Codes Act it is hereby ordered that

County of Newell, Accreditation No. M000410, Order No. 2786

administer the Safety Codes Act including applicable Alberta amendments and

regulations within the Municipality's boundaries for the discipline of Electrical

Consisting of all parts of the Canadian Electrical Code

Part 1and Code for Electrical

Installations at Oil and Gas Facilities.

Accredited Date: June 20, 1996 Issued Date: July 7, 2015.

______________

Pursuant to

Section 26 of the Safety Codes Act it is hereby ordered that

County of Newell, Accreditation No. M000410, Order No. 2784

administer the Safety Codes Act including applicable Alberta amendments and

regulations within the Municipality's boundaries for the discipline of Gas

Consisting of all parts of the Natural Gas and Propane Installations Code and Propane

Storage and Handling Code, Code for Field Approval of Fuel-Related Components on

Appliance and Equipment, and Compressed Natural Gas Fuelling Stations Installation

Code.

Excluding the Installation Code for Propane Fuel Systems and Tanks on Highway

Vehicles and the Natural Gas for Vehicles Installation Code -

Part 1 Compressed

Natural Gas.

Accredited Date: February 25, 2011 Issued Date: March 1, 2017.

Pursuant to

Section 26 of the Safety Codes Act it is hereby ordered that

County of Newell, Accreditation No. M000410, Order No. 2785

administer the Safety Codes Act including applicable Alberta amendments and

regulations within the Municipality's boundaries for the discipline of Plumbing

Consisting of all parts of the National Plumbing Code of Canada, and Private Sewage

Disposal System Standard of Practice.

Accredited Date: February 25, 2011 Issued Date: March 1, 2017.

Municipal Accreditation - Cancellation

(Safety Codes Act)

Pursuant to

Section 26 of the Safety Codes Act it is hereby ordered that

Village of Elnora, Accreditation No. M000154, Order No. 0280

Due to the voluntary withdrawal from accreditation is to cease administration under

the Safety Codes Act within its jurisdiction for Building

Consisting of all parts of the Alberta Building Code, and National Energy Code of

Canada for Buildings.

Issued Date: February 23, 2017.

_______________

Pursuant to

Section 26 of the Safety Codes Act it is hereby ordered that

Village of Warner, Accreditation No. M000381, Order No. 0979

Due to the voluntary withdrawal from accreditation is to cease administration under

the Safety Codes Act Within its jurisdiction for Building

Consisting of all parts of the Alberta Building Code, and National Energy Code of

Canada for Buildings.

Issued Date: March 19, 2017.

Pursuant to

Section 26 of the Safety Codes Act it is hereby ordered that

Village of Elnora, Accreditation No. M000154, Order No. 0834

Due to the voluntary withdrawal from accreditation is to cease administration under

the Safety Codes Act within its jurisdiction for Electrical

Consisting of all parts of the Canadian Electrical Code

Part 1, and Code for Electrical

Installations at Oil and Gas Facilities and Alberta Electrical Utility Code.

Issued Date: February 23, 2017.

_______________

Pursuant to

Section 26 of the Safety Codes Act it is hereby ordered that

Village of Warner, Accreditation No. M000381, Order No. 0980

Due to the voluntary withdrawal from accreditation is to cease administration under

the Safety Codes Act Within its jurisdiction for Electrical

Consisting of all parts of the Canadian Electrical Code

Part 1, and Code for Electrical

Installations at Oil and Gas Facilities and Alberta Electrical Utility Code

Issued Date: March 19, 2017.

_______________

Pursuant to

Section 26 of the Safety Codes Act it is hereby ordered that

Village of Elnora, Accreditation No. M000154, Order No. 0765

Due to the voluntary withdrawal from accreditation is to cease administration under

the Safety Codes Act Within its jurisdiction for Gas

Consisting of all parts of the Natural Gas and Propane Installations Code and Propane

Storage and Handling Code, Code for Field Approval of Fuel-Related Components on

Appliance and Equipment, and Compressed Natural Gas Fuelling Stations Installation

Code.

Excluding the Installation Code for Propane Fuel Systems and Tanks on Highway

Vehicles and the Natural Gas for Vehicles Installation Code -

Part 1 Compressed

Natural Gas.

Issued Date: February 23, 2017.

Pursuant to

Section 26 of the Safety Codes Act it is hereby ordered that

Village of Warner, Accreditation No. M000381, Order No. 0981

Due to the voluntary withdrawal from accreditation is to cease administration under

the Safety Codes Act Within its jurisdiction for Gas

Consisting of all parts of the Natural Gas and Propane Installations Code and Propane

Storage and Handling Code, Code for Field Approval of Fuel-Related Components on

Appliance and Equipment, and Compressed Natural Gas Fuelling Stations Installation

Code.

Excluding the Installation Code for Propane Fuel Systems and Tanks on Highway

Vehicles and the Natural Gas for Vehicles Installation Code -

Part 1 Compressed

Natural Gas.

Issued Date: March 19, 2017.

_______________

Pursuant to

Section 26 of the Safety Codes Act it is hereby ordered that

Village of Elnora, Accreditation No. M000154, Order No. 0764

Due to the voluntary withdrawal from accreditation is to cease administration under

the Safety Codes Act Within its jurisdiction for Plumbing

Consisting of all parts of the National Plumbing Code of Canada, and Private Sewage

Disposal System Standard of Practice.

Issued Date: February 23, 2017.

_______________

Pursuant to

Section 26 of the Safety Codes Act it is hereby ordered that

Village of Warner, Accreditation No. M000381, Order No. 0982

Due to the voluntary withdrawal from accreditation is to cease administration under

the Safety Codes Act Within its jurisdiction for Plumbing

Consisting of all parts of the National Plumbing Code of Canada, and Private Sewage

Disposal System Standard of Practice

Issued Date: March 19, 2017.

Alberta Securities Commission

NATIONAL INSTRUMENT 94-101

MANDATORY CENTRAL COUNTERPARTY CLEARING OF DERIVATIVES

(Securities Act)

Made as a rule by the Alberta Securities Commission on January 11, 2017 pursuant to

sections 223 and 224 of the Securities Act.

NATIONAL INSTRUMENT 94-101

MANDATORY CENTRAL COUNTERPARTY CLEARING OF DERIVATIVES

PART 1

DEFINITIONS AND

INTERPRETATION

Definitions and

interpretation

(1) In this Instrument

"local counterparty" means a counterparty to a derivative if, at the time of

execution of the transaction, either of the following applies:

(

a) the counterparty is a person or company, other than an individual, to

which one or more of the following apply:

(

i) the person or company is organized under the laws of the local

jurisdiction;

(ii) the head office of the person or company is in the local

jurisdiction;

(iii) the principal place of business of the person or company is in the

local jurisdiction;

(

b) the counterparty is an affiliated entity of a person or company referred to

in paragraph (

a) and the person or company is liable for all or

substantially all the liabilities of the counterparty;

"mandatory clearable derivative" means a derivative within a class of

derivatives listed in Appendix A;

"participant" means a person or company that has entered into an agreement

with a regulated clearing agency to access the services of the regulated clearing

agency and is bound by the regulated clearing agency's rules and procedures;

"regulated clearing agency" means,

(

a) in Alberta, New Brunswick, Newfoundland and Labrador, the Northwest

Territories, Nova Scotia, Nunavut, Prince Edward Island, Saskatchewan

and Yukon, a person or company recognized or exempted from

recognition as a clearing agency or clearing house pursuant to the

securities legislation of any jurisdiction of Canada,

(

b) in British Columbia, Manitoba and Ontario, a person or company

recognized or exempted from recognition as a clearing agency in the

local jurisdiction, and

(

c) in Qu‚bec, a person recognized or exempted from recognition as a

clearing house;

"transaction" means any of the following:

(

a) entering into a derivative or making a material amendment to, assigning,

selling or otherwise acquiring or disposing of a derivative;

(

b) the novation of a derivative, other than a novation with a clearing agency

or clearing house.

(2) In this Instrument, a person or company is an affiliated entity of another person

or company if one of them controls the other or each of them is controlled by

the same person or company.

(3) In this Instrument, a person or company (the first party) is considered to control

another person or company (the second party) if any of the following apply:

(

a) the first party beneficially owns or directly or indirectly exercises

control or direction over securities of the second party carrying votes

which, if exercised, would entitle the first party to elect a majority of the

directors of the second party unless the first party holds the voting

securities only to secure an obligation;

(

b) the second party is a partnership, other than a limited partnership, and

the first party holds more than 50% of the interests of the partnership;

(

c) the second party is a limited partnership and the general partner of the

limited partnership is the first party;

(

d) the second party is a trust and a trustee of the trust is the first party.

(4) In this Instrument, in Alberta, British Columbia, New Brunswick,

Newfoundland and Labrador, the Northwest Territories, Nova Scotia, Nunavut,

Prince Edward Island, Saskatchewan and Yukon, "derivative" means a

"specified derivative" as defined in Multilateral Instrument 91-101

Derivatives: Product Determination.

Application

2. This Instrument applies to,

(

a) in Manitoba,

(

i) a derivative other than a contract or instrument that, for any

purpose, is prescribed by any of sections 2, 4 and 5 of Manitoba

Securities Commission Rule 91-506 Derivatives: Product

Determination not to be a derivative, and

(ii) a derivative that is otherwise a security and that, for any purpose,

is prescribed by

section 3 of Manitoba Securities Commission

Rule 91-506 Derivatives: Product Determination not to be a

security,

(

b) in Ontario,

(

i) a derivative other than a contract or instrument that, for any

purpose, is prescribed by any of sections 2, 4 and 5 of Ontario

Securities Commission Rule 91-506 Derivatives: Product

Determination not to be a derivative, and

(ii) a derivative that is otherwise a security and that, for any purpose,

is prescribed by

section 3 of Ontario Securities Commission Rule

91-506 Derivatives: Product Determination not to be a security,

and

(

c) in Qu‚bec, a derivative specified in

section 1.2 of Regulation 91-506

respecting derivatives determination, other than a contract or instrument

specified in

section 2 of that regulation.

PART 2

MANDATORY CENTRAL COUNTERPARTY CLEARING

Duty to submit for clearing

(1) A local counterparty to a transaction in a mandatory clearable derivative must

submit, or cause to be submitted, the mandatory clearable derivative for

clearing to a regulated clearing agency that offers clearing services in respect

of the mandatory clearable derivative, if one or more of the following applies

to each counterparty:

(

a) the counterparty

(

i) is a participant of a regulated clearing agency that offers clearing

services in respect of the mandatory clearable derivative, and

(ii) subscribes to clearing services for the class of derivatives to

which the mandatory clearable derivative belongs;

(

b) the counterparty

(

i) is an affiliated entity of a participant referred to in paragraph (a),

and

(ii) has had, at any time after the date on which this Instrument comes

into force, a month-end gross notional amount under all

outstanding derivatives exceeding $1 000 000 000 excluding

derivatives to which paragraph 7(1)(

a) applies;

(

c) the counterparty

(

i) is a local counterparty in any jurisdiction of Canada, other than a

counterparty to which paragraph (

b) applies, and

(ii) has had, at any time after the date on which this Instrument comes

into force, a month-end gross notional amount under all

outstanding derivatives, combined with each affiliated entity that

is a local counterparty in any jurisdiction of Canada, exceeding

$500 000 000 000 excluding derivatives to which paragraph

7(1)(

a) applies.

(2) Unless paragraph (1)(

a) applies, a local counterparty to which paragraph (1)(

b) or (1)(

c) applies is not required to submit a mandatory clearable derivative for

clearing to a regulated clearing agency if the transaction in the mandatory

clearable derivative was executed before the 90th day after the end of the month

in which the month-end gross notional amount first exceeded the amount

specified in subparagraph (1)(b)(ii) or (1)(c)(ii), as applicable.

(3) Unless subsection (2) applies, a local counterparty to which subsection

(1) applies must submit a mandatory clearable derivative for clearing no later than

(

a) the end of the day of execution if the transaction is executed during the

business hours of the regulated clearing agency, or

(

b) the end of the next business day if the transaction is executed after the

business hours of the regulated clearing agency.

(4) A local counterparty to which subsection (1) applies must submit the

mandatory clearable derivative for clearing in accordance with the rules of the

regulated clearing agency, as amended from time to time.

(5) A counterparty that is a local counterparty solely pursuant to paragraph (

b) of

the definition of "local counterparty" in

section 1 is exempt from this

section if

the mandatory clearable derivative is submitted for clearing in accordance with

the law of a foreign jurisdiction to which the counterparty is subject, set out in

Appendix B.

Notice of rejection

4. If a regulated clearing agency rejects a mandatory clearable derivative

submitted for clearing, the regulated clearing agency must immediately notify

each local counterparty to the mandatory clearable derivative.

Public disclosure of clearable and mandatory clearable derivatives

5. A regulated clearing agency must do all of the following:

(

a) publish a list of each derivative or class of derivatives for which the

regulated clearing agency offers clearing services and state whether each

derivative or class of derivatives is a mandatory clearable derivative;

(

b) make the list accessible to the public at no cost on its website.

PART 3

EXEMPTIONS FROM MANDATORY CENTRAL COUNTERPARTY

CLEARING

Non-application

6. This Instrument does not apply to the following counterparties:

or the government of a foreign jurisdiction;

(

b) a crown corporation for which the government of the jurisdiction where

the crown corporation was constituted is liable for all or substantially all

the liabilities;

(

c) a person or company wholly owned by one or more governments

referred to in paragraph (

a) if the government or governments are liable

for all or substantially all the liabilities of the person or company;

(

d) the Bank of Canada or a central bank of a foreign jurisdiction;

(

e) the Bank for International Settlements;

(

f) the International Monetary Fund.

Intragroup exemption

(1) A local counterparty is exempt from the application of

section 3, with respect

to a mandatory clearable derivative, if all of the following apply:

(

a) the mandatory clearable derivative is between a counterparty and an

affiliated entity of the counterparty if each of the counterparty and the

affiliated entity are consolidated as part of the same audited consolidated

financial statements prepared in accordance with "accounting principles"

as defined in National Instrument 52-107 Acceptable Accounting

Principles and Auditing Standards;

(

b) both counterparties to the mandatory clearable derivative agree to rely

on this exemption;

(

c) the mandatory clearable derivative is subject to a centralized risk

management program reasonably designed to assist in monitoring and

managing the risks associated with the derivative between the

counterparties through evaluation, measurement and control procedures;

(

d) there is a written agreement between the counterparties setting out the

terms of the mandatory clearable derivative between the counterparties.

(2) No later than the 30th day after a local counterparty first relies on subsection

(1) in respect of a mandatory clearable derivative with a counterparty, the local

counterparty must deliver electronically to the regulator or securities regulatory

authority a completed Form 94-101F1 Intragroup Exemption.

(3) No later than the 10th day after a local counterparty becomes aware that the

information in a previously delivered Form 94-101F1 Intragroup Exemption is

no longer accurate, the local counterparty must deliver or cause to be delivered

electronically to the regulator or securities regulatory authority an amended

Form 94-101F1 Intragroup Exemption.

Multilateral portfolio compression exemption

8. A local counterparty is exempt from the application of

section 3, with respect

to a mandatory clearable derivative resulting from a multilateral portfolio

compression exercise, if all of the following apply:

(

a) the mandatory clearable derivative is entered into as a result of more

than 2 counterparties changing or terminating and replacing existing

derivatives;

(

b) the existing derivatives do not include a mandatory clearable derivative

entered into after the effective date on which the class of derivatives

became a mandatory clearable derivative;

(

c) the existing derivatives were not cleared by a clearing agency or clearing

house;

(

d) the mandatory clearable derivative is entered into by the same

counterparties as the existing derivatives;

(

e) the multilateral portfolio compression exercise is conducted by an

independent third-party.

Recordkeeping

(1) A local counterparty to a mandatory clearable derivative that relied on

section

7 or 8 with respect to a mandatory clearable derivative must keep records

demonstrating that the conditions referred to in those sections, as applicable,

were satisfied.

(2) The records required to be maintained under subsection (1) must be kept in a

safe location and in a durable form for a period of

(

a) except in Manitoba, 7 years following the date on which the mandatory

clearable derivative expires or is terminated, and

(

b) in Manitoba, 8 years following the date on which the mandatory

clearable derivative expires or is terminated.

PART 4

MANDATORY CLEARABLE DERIVATIVES

Submission of information on derivatives clearing services provided by a

regulated clearing agency

10. No later than the 10th day after a regulated clearing agency first offers clearing

services for a derivative or class of derivatives, the regulated clearing agency

must deliver electronically to the regulator or securities regulatory authority a

completed Form 94-101F2 Derivatives Clearing Services, identifying the

derivative or class of derivatives.

PART 5

EXEMPTION

Exemption

11.(1)The regulator or the securities regulatory authority may grant an exemption to

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 an exemption.

(3) Except in Alberta and Ontario, an exemption referred to in subsection (1) is

granted under the statute referred to in Appendix B of National Instrument 14-

Definitions opposite the name of the local jurisdiction.

PART 6

TRANSITION AND EFFECTIVE DATE

Transition - regulated clearing agency filing requirement

12. No later than May 4, 2017, a regulated clearing agency must deliver

electronically to the regulator or securities regulatory authority a completed

Form 94-101F2 Derivatives Clearing Services, identifying all derivatives or

classes of derivatives for which it offers clearing services on April 4, 2017.

Transition - certain counterparties' submission for clearing

13. A counterparty specified in paragraphs 3(1)(

b) or (

c) to which paragraph

(3)(1)(

a) does not apply is not required to submit a mandatory clearable

derivative for clearing to a regulated clearing agency until October 4, 2017.

Effective date

14.(1)This Instrument comes into force on April 4, 2017.

(2) In Saskatchewan, despite subsection (1), if these regulations are filed with the

Registrar of Regulations after April 4, 2017, these regulations come into force

on the day on which they are filed with the Registrar of Regulations.

APPENDIX A

NATIONAL INSTRUMENT 94-101

MANDATORY CENTRAL COUNTERPARTY CLEARING OF DERIVATIVES

MANDATORY CLEARABLE DERIVATIVES

(SECTION 1(1))

Interest Rate Swaps

Type

Floating

index

Settlement

currency

Maturity

Settlement

currency

type

Optionality

Notional

type

Fixed-to-

float

CDOR

CAD

28 days to

30 years

Single

currency

Constant

variable

Fixed-to-

float

LIBOR

USD

28 days to

50 years

Single

currency

Constant

variable

Fixed-to-

float

EURIBOR

EUR

28 days to

50 years

Single

currency

Constant

variable

Fixed-to-

float

LIBOR

GBP

28 days to

50 years

Single

currency

Constant

variable

Basis

LIBOR

USD

28 days to

50 years

Single

currency

Constant

variable

Basis

EURIBOR

EUR

28 days to

50 years

Single

currency

Constant

variable

Basis

LIBOR

GBP

28 days to

50 years

Single

currency

Constant

variable

Overnight

index

swap

CORRA

CAD

7 days to 2

years

Single

currency

Constant

variable

Overnight

index

swap

FedFunds

USD

7 days to 3

years

Single

currency

Constant

variable

Overnight

index

swap

EONIA

EUR

7 days to 3

years

Single

currency

Constant

variable

Overnight

index

swap

SONIA

GBP

7 days to 3

years

Single

currency

Constant

variable

Forward Rate Agreements

Type

Floating

index

Settlement

currency

Maturity

Settlement

currency

type

Optionality

Notional

type

Forward

rate

agreement

LIBOR

USD

3 days to 3

years

Single

currency

Constant

variable

Forward

rate

agreement

EURIBOR

EUR

3 days to 3

years

Single

currency

Constant

variable

Forward

rate

agreement

LIBOR

GBP

3 days to 3

years

Single

currency

Constant

variable

APPENDIX B

NATIONAL INSTRUMENT 94-101

MANDATORY CENTRAL COUNTERPARTY CLEARING OF DERIVATIVES

LAWS, REGULATIONS OR INSTRUMENTS OF FOREIGN

JURISDICTIONS APPLICABLE FOR SUBSTITUTED COMPLIANCE

(SUBSECTION 3(5))

Foreign

jurisdiction

Laws, regulations or instruments

European

Union

Regulation (EU) No 648/2012 of the European Parliament and of the

Council of 4 July 2012 on OTC derivatives, central counterparties and

trade repositories

United

States of

America

Clearing Requirement and Related Rules, 17 C.F.R. pt. 50

FORM 94-101F1

INTRAGROUP EXEMPTION

Type of Filing: 0 INITIAL 0 AMENDMENT

Section 1 - Information on the entity delivering this Form

1. Provide the following information with respect to the entity delivering this

Form:

Full legal name:

Name under which it conducts business, if different:

Head office

Address:

Mailing address (if different):

Telephone:

Website:

Contact employee

Name and title:

Telephone:

E-mail:

Other offices

Address:

Telephone:

Email:

Canadian counsel (if applicable)

Firm name:

Contact name:

Telephone:

E-mail:

2. In addition to providing the information required in item 1, if this Form is

delivered for the purpose of reporting a name change on behalf of the entity

referred to in item 1, provide the following information:

Previous full legal name:

Previous name under which the entity conducted business:

Section 2 - Combined notification on behalf of counterparties within the group

to which the entity delivering this Form belongs

1. For the mandatory clearable derivatives to which this Form relates, provide all

of the following information in the table below:

(

a) the legal entity identifier of each counterparty in the same manner as

required under the following instruments:

(

i) in Alberta, British Columbia, New Brunswick, Newfoundland and

Labrador, the Northwest Territories, Nova Scotia, Nunavut,

Prince Edward Island, Saskatchewan and Yukon, Multilateral

Instrument 96-101 Trade Repositories and Derivatives Data

Reporting,

(ii) in Manitoba, Manitoba Securities Commission Rule 91-507 Trade

Repositories and Derivatives Data Reporting,

(iii) in Ontario, Ontario Securities Commission Rule 91-507 Trade

Repositories and Derivatives Data Reporting, and

(iv) in Qu‚bec, Regulation 91-507 respecting Trade Repositories and

Derivatives Data Reporting;

(

b) whether each counterparty is a local counterparty in a jurisdiction of

Canada.

Pairs

LEI of

counterparty 1

Jurisdiction(

s) of Canada in

which

counterparty 1

is a local

counterparty

LEI of

counterparty 2

Jurisdiction(

s) of Canada in

which

counterparty 2

is a local

counterparty

2. Describe the ownership and control structure of the counterparties identified in

item

Section 3 - Certification

I certify that I am authorized to deliver this Form on behalf of the entity delivering

this Form and on behalf of the counterparties identified in

Section 2 of this Form and

that the information in this Form is true and correct.

DATED at ______________ this ________ day of _________________, 20____

________________________________________________________

(Print name of authorized person)

________________________________________________________

(Print title of authorized person)

________________________________________________________

(Signature of authorized person)

_________________________________

(Email)

_________________________________

(Phone number)

FORM 94-101F2

DERIVATIVES CLEARING SERVICES

Type of Filing: 0 INITIAL 0 AMENDMENT

Section 1 - Regulated clearing agency information

1. Full name of regulated clearing agency:

2. Contact information of person authorized to deliver this form

Name and title:

Telephone:

E-mail:

Section 2 - Description of derivatives

1. Identify each derivative or class of derivatives for which the regulated clearing

agency offers clearing services in respect of which a Form 94-101F2 has not

previously been delivered.

2. For each derivative or class of derivatives referred to in item 1, describe all

significant attributes of the derivative or class of derivatives including

(

a) the standard practices for managing life-cycle events associated with the

derivative or class of derivatives, as defined in the following

instruments:

(

i) in Alberta, British Columbia, New Brunswick, Newfoundland and

Labrador, the Northwest Territories, Nova Scotia, Nunavut,

Prince Edward Island, Saskatchewan and Yukon, Multilateral

Instrument 96-101 Trade Repositories and Derivatives Data

Reporting;

(ii) in Manitoba, Manitoba Securities Commission Rule 91-507 Trade

Repositories and Derivatives Data Reporting;

(iii) in Ontario, Ontario Securities Commission Rule 91-507 Trade

Repositories and Derivatives Data Reporting;

(iv) in Qu‚bec, Regulation 91-507 respecting Trade Repositories and

Derivatives Data Reporting,

(

b) the extent to which the transaction is confirmable electronically,

(

c) the degree of standardization of the contractual terms and operational

processes,

(

d) the market for the derivative or class of derivatives, including its

participants, and

(

e) the availability of pricing and liquidity of the derivative or class of

derivatives within Canada and internationally.

3. Describe the impact of providing clearing services for each derivative or class

of derivatives referred to in item 1 on the regulated clearing agency's risk

management framework and financial resources, including the protection of the

regulated clearing agency on the default of a participant and the effect of the

default on the other participants.

4. Describe the impact, if any, on the regulated clearing agency's ability to

comply with its regulatory obligations should the regulator or securities

regulatory authority determine a derivative or class of derivatives referred to in

item 1 to be a mandatory clearable derivative.

5. Describe the clearing services offered for each derivative or class of derivatives

referred to in item 1.

6. If applicable, attach a copy of every notice the regulated clearing agency

provided to its participants for consultation on the launch of the clearing

service for a derivative or class of derivatives referred to in item 1 and a

summary of concerns received in response to the notice.

Section 3 - Certification

CERTIFICATE OF REGULATED CLEARING AGENCY

I certify that I am authorized to deliver this form on behalf of the regulated clearing

agency named below and that the information in this form is true and correct.

DATED at _______________ this ________ day of _________________, 20____

________________________________________________________

(Print name of regulated clearing agency)

________________________________________________________

(Print name of authorized person)

________________________________________________________

(Print title of authorized person)

________________________________________________________

(Signature of authorized person)

Alberta Securities Commission

AMENDMENTS TO NATIONAL INSTRUMENT 23-101

TRADING RULES

(Securities Act)

Made as a rule by the Alberta Securities Commission on January 11, 2017 pursuant to

sections 223 and 224 of the Securities Act.

AMENDMENTS TO NATIONAL INSTRUMENT 23-101

TRADING RULES

1. National Instrument 23-101 Trading Rules is amended by this Instrument.

Section 6.6.1 is replaced with the following:

6.6.1 Trading Fees

(1) In this

section

"exchange-traded fund" means a mutual fund,

(

a) the units of which are listed securities or quoted securities, and

(

b) that is in continuous distribution in accordance with applicable

securities legislation; and

"inter-listed security" means an exchange-traded security that is also

listed on an exchange that is registered as a "national securities

exchange" in the United States of America under

section 6 of the 1934

Act.

(2) A marketplace that is subject to

section 7.1 of NI 21-101 must not

charge a fee for executing an order that was entered to execute against a

displayed order on the marketplace that,

(

a) in the case of an order involving an inter-listed security,

(

i) is greater than $0.0030 per security traded for an equity

security, or per unit traded for an exchange-traded fund, if

the execution price of each security or unit traded is greater

than or equal to $1.00, and

(ii) is greater than $0.0004 per security traded for an equity

security, or per unit traded for an exchange-traded fund, if

the execution price of each security or unit traded is less

than $1.00; or

(

b) in the case of an order involving a security that is not an inter-

listed security,

(

i) is greater than $0.0017 per security traded for an equity

security, or per unit traded for an exchange-traded fund, if

the execution price of each security or unit traded is greater

than or equal to $1.00, and

(ii) is greater than $0.0004 per security traded for an equity

security, or per unit traded for an exchange-traded fund, if

the execution price of each security or unit traded is less

than $1.00.

(3) A recognized exchange must maintain a list of inter-listed securities that

are listed on the exchange as of the last day of each calendar quarter.

(4) A recognized exchange must publicly disclose on its website the list

referred to in subsection (3)

(

a) within 7 days after the last day of each calendar quarter, and

(

b) for a period of at least 12 months commencing on the date it is

publicly disclosed on the website..

3. The following

section is added after

section 6.6.1:

6.6.2 Ceasing to be inter-listed security - fee transition period - If a

security ceases to be an inter-listed security, paragraph 6.6.1(2)(

b) does

not apply if

(

a) less than 35 days has passed since the first date, following the

cessation, the list referred to in subsection 6.6.1(4) was publicly

disclosed, and

(

b) the fee charged is in compliance with paragraph 6.6.1(2)(

a) as if

the security were still an inter-listed security..

4. Transition - publication of inter-listed securities

On or before April 17, 2017, a recognized exchange must publicly disclose on

its website a list of the inter-listed securities that were listed on the exchange as

of April 10, 2017.

5. Transition - fee adjustment for orders involving non-inter-listed securities

Despite paragraph 6.6.1(2)(b), as enacted by

section 2 of this Instrument, a

marketplace to which that paragraph applies may, until May 15, 2017, charge a

fee that exceeds the amount referred to in that paragraph provided the fee

charged is not greater than

(a) $0.0030 per security traded for an equity security, or per unit

traded for an exchange-traded fund, if the execution price of each

security or unit traded is greater than or equal to $1.00, and

(b) $0.0004 per security traded for an equity security, or per unit

traded for an exchange-traded fund, if the execution price is less

than $1.00.

6. Effective Date

(1) This Instrument comes into force on April 10, 2017.

(2) In Saskatchewan, despite subsection (1), if these regulations are filed

with the Registrar of Regulations after April 10, 2017, these regulations

come into force on the day on which they are filed with the Registrar of

Regulations.

Treasury Board and Finance

Insurance Notice

(Insurance Act)

Notice is hereby given that Hartford Life Insurance Company withdrew from the

Province of Alberta and their licence was cancelled pursuant to

Section 53 of the

Insurance Act.

Effective December 31, 2016

David Sorensen

Deputy Superintendent of Insurance.

ADVERTISEMENTS

Irrigation District Notice

Enforcement Return

(Irrigation Districts Act)

St. Mary River Irrigation District

Notice is hereby given that the Court of Queen's Bench of Alberta, Judicial Centre of

Lethbridge, has fixed Tuesday, May 16th, 2017 as the day on which at 2:00 p.m., the

Court will sit at the Court House, Lethbridge, Alberta for the purpose of confirmation

of the Enforcement Return for the St. Mary River Irrigation District covering rates

assessed for the year 2015.

Dated at Lethbridge, Alberta, February 17, 2017

6-7 Terrence Lazarus, R.E.T., General Manager.

Western Irrigation District

Notice is hereby given that a Justice of the Court of Queen's Bench of Alberta has

fixed Wednesday, May 10, 2017 as the day on which, at the hour of 10:00 a.m., or so

soon thereafter as the application can be heard, the Court will sit in Chambers, at the

Court House, 601 - 5 Street S.W. in Calgary, Alberta, for the purpose of confirmation

of the Enforcement Return for the Western Irrigation District covering rates assessed

for the year 2015.

Dated at Strathmore, Alberta, March 6, 2017.

6-7 David McAllister, P. Eng, MSc, MBA, General Manager.

Notice of Certificate of Intent to Dissolve

(Business Corporations Act)

Notice is hereby given that a Certificate of Intent to Dissolve was issued to A Touch

of Winston Inc. on December 20, 2016.

Dated at Calgary, Alberta on March 13, 2017.

Victoria E. Coffin, Solicitor for the Corporation.

_______________

Notice is hereby given that a Certificate of Intent to Dissolve was issued to Pro

Forms Ltd on February 2, 2017.

Dated at Calgary, Alberta on February 2, 2017.

Leonard M. Zenith, Solicitor.

_______________

Notice is hereby given that a Certificate of Intent to Dissolve was issued to

Revamping & Optimizing Inc. on March 16, 2017.

Dated at Calgary, Alberta on March 16, 2017.

Robert Paul Galachiuk, COO.

_______________

Notice is hereby given that a Certificate of Intent to Dissolve was issued to Signature

Kitchen Builders Inc. on March 16, 2017.

Dated at Calgary, Alberta on March 16, 2017.

James Agnew, Director.

Public Sale of Land

(Municipal Government Act)

Village of Consort

Notice is hereby given that, under the provisions of the Municipal Government Act,

the Village of Consort will offer for sale, by public auction, in the Village Office, at

4901 50th Avenue, Consort, Alberta, on Friday, June 9, 2017, at 10:00 a.m., the

following lands:

Plan

Block

Lot

Linc #

Title #

1589HW

387AJ

24-27

387AJ

062297867+2

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 Consort may, after the public auction, become owner of any parcel of

land not sold at the public auction.

Terms: 10% down non-refundable and balance in 30 days; Cash or Certified Cheque

GST will apply on lands 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 Consort, Alberta, March 14, 2017.

Monique Jeffrey, CAO Village of Consort.

______________

Village of Forestburg

Notice is hereby given that under the provisions of the Municipal Government Act,

the Village of Forestburg will offer for sale, by public auction, in the Village of

Forestburg Council Chambers, 4902 - 50 Street, Forestburg, Alberta, on Tuesday,

May 16, 2017, at 10:00 a.m., the following land:

C of T

Lot

Block

Plan

Roll #

012 407 711

3012BO

190.000

The parcel will be offered for sale, subject to a reserve bid and to the reservations and

conditions contained in the existing certificate of title.

The Land is being offered for sale on an "as is, where is" basis, and Village of

Forestburg makes no representation and gives no warranties whatsoever as to the

adequacy of services, soil conditions, land use districting, building and development

conditions, absence or presence of environmental contamination, or the development

ability of the subject land for any intended use by the purchaser.

No bid will be accepted where the bidder attempts to attach conditions precedent to

specified by the Village of Forestburg.

Terms: Cash, Certified Cheque or Bank Draft. 10% non-refundable deposit on the

day of the sale and balance due within 24 hours of the Public Auction. GST will

apply if applicable.

The Village of Forestburg may, after the public auction, become the owner of any

parcel of land not sold at the public auction.

Redemption may be effected by payment of all arrears of taxes and costs at any time

prior to the sale.

Dated at Village of Forestburg, Alberta, March 17, 2017.

Debra A. Moffatt, CAO.

NOTICE TO ADVERTISERS

The Alberta Gazette is issued twice monthly, on the 15th and last day.

Notices and advertisements must be received ten full working days before the

date of the issue in which the notices are to appear. Submissions received after

that date will appear in the next regular issue.

Notices and advertisements should be typed or written legibly and on a sheet separate

from the covering letter. An electronic submission by email or disk is preferred.

Email submissions may be sent to the Editor of The Alberta Gazette at

albertagazette@gov.ab.ca. The number of insertions required should be specified and

the names of all signing officers typed or printed. Please include name and complete

contact information of the individual submitting the notice or advertisement.

Proof of Publication: Statutory Declaration is available upon request.

A copy of the page containing the notice or advertisement will be emailed to each

advertiser without charge.

The dates for publication of Tax Sale Notices in The Alberta Gazette are as follows:

Issue of

Earliest date on which

sale may be held

April 15

May 26

April 29

June 9

May 15

June 25

May 31

July 11

June 15

July 26

June 30

August 10

July 15

August 25

July 31

September 10

August 15

September 25

August 31

October 11

September 15

October 26

September 30

November 10

The charges to be paid for the publication of notices, advertisements and documents

in The Alberta Gazette are:

Notices, advertisements and documents that are 5 or fewer pages $20.00

Notices, advertisements and documents that are more than 5 pages $30.00

Please add 5% GST to the above prices (registration number R124072513).

PUBLICATIONS

Annual Subscription (24 issues) consisting of:

Part I/Part II, and annual index - Print version $150.00

Part I/Part II, and annual index - Electronic version $150.00

Alternatives:

Single issue (Part I and

Part II) $10.00

Annual Index to

Part I or

Part II $5.00

Alberta Gazette Bound

Part I $140.00

Alberta Gazette Bound Regulations $92.00

Please note: Shipping and handling charges apply for orders outside of Alberta.

The following shipping and handling charges apply for the Alberta Gazette:

Annual Subscription - Print version $50.00

Individual Gazette Publications $6.00 for orders $19.99 and under

Individual Gazette Publications $10.00 for orders $20.00 and over

Please add 5% GST to the above prices (registration number R124072513).

Copies of Alberta legislation and select government publications are available from:

Alberta Queen's Printer

Suite 700, Park Plaza

10611 - 98 Avenue

Edmonton, Alberta T5K 2P7

Phone: 780-427-4952

Fax: 780-452-0668

(Toll free in Alberta by first dialing 310-0000)

qp@gov.ab.ca

www.qp.alberta.ca

Cheques or money orders (Canadian funds only) should be made payable to the

Government of Alberta. Payment is also accepted by Visa, MasterCard or American

Express. No orders will be processed without payment.

Document details

CollectionAlberta — Gazette
CitationFriday, March 31, 2017
Typegazette
Volume / chapter06 Mar31 Part1
Languageen
Formathtml
SourcePROVINCIAL
Identifier983f603ef3af57642c7480e0e72dbe72f6c99dee

Source file is stored in the law ingest library (html).