Alberta Gazette, Part I — Monday, September 15, 2025

Monday, September 15, 2025

Alberta — Gazette

Alberta Gazette, Part I — Monday, September 15, 2025

Monday, September 15, 2025

Alberta — Gazette

The Alberta Gazette

Part I

Vol. 121 Edmonton, Monday, September 15, 2025 No. 17

PROCLAMATION

[GREAT SEAL]

CANADA

PROVINCE OF ALBERTA Salma Lakhani, Lieutenant Governor.

CHARLES THE THIRD, by the Grace of God King of Canada and His other

Realms and Territories, Head of the Commonwealth

P R O C L A M A T I O N

To all to Whom these Presents shall come

G R E E T I N G

Tracy Wyrstiuk, Acting Deputy Attorney General

WHEREAS

section 59 of the Health Statutes Amendment Act, 2025 provides that

that Act, except sections 4(1) to (3) and (5)(b), 27(1) and (5) to (11), 29, 37(1), (2)(

c) and (3)(b), 43(1) and (3), 45(1), (8), (13)(

a) to (d), (29)(c)(iii), (40)(c), (42)(a)(iv)(

A) and (

D) and (v), (43)(

m) and 54, comes into force on Proclamation; and

WHEREAS

section 45(2)(g)(

i) of the Health Statutes Amendment Act, 2025 was

proclaimed in force on June 4, 2025; and

WHEREAS

section 47(1), (2)(a), (c), (d), (f), (

g) and (i), (3), (4)(

a) to (c), (6), (7)(a),

(8) to (15), (17) to (25), (26)(a), (

b) and (d), (27), (31) and (32)(

b) to (

d) of the Health

Statutes Amendment Act, 2025 was proclaimed in force on July 1, 2025; and

WHEREAS

section 25(1), (2)(b)(viii) and (ix), (

c) and (

d) and (3) to (10) of the

Health Statutes Amendment Act, 2025 was proclaimed in force on July 23, 2025; and

WHEREAS it is expedient to proclaim certain provisions of the Health Statutes

Amendment Act, 2025 in force:

NOW KNOW YE THAT by and with the advice and consent of Our Executive

Council of Our Province of Alberta, by virtue of the provisions of the said Act

hereinbefore referred to and of all other power and authority whatsoever in Us vested

in that behalf, We have ordered and declared and do hereby proclaim sections 1(1)

and (2)(c), 2(1), (2)(a)(ii) and (

b) and (3)(b), 3(1) and (5)(b), 4(4)(a), 5(1) and (2)(b),

6(1) and (2)(b), 7(1), (2)(a)(

i) and (

b) and (3), 8(1), (2)(

b) and (3)(b), 10(1), (2)(b),

(3)(

b) and (4)(a), 12(1) and (2)(a)(ii), 13(1), (2)(

a) and (b)(i), (3) and (4), 16(1) and

(2)(b), 17(1), (2)(

a) and (d), (3)(a), (4)(a), (5)(a), (6), (8), (10)(

a) and (c), (11)(a),

(12)(a), (13)(a), (14)(a), (15)(a), (16), (17)(

a) and (18)(a), (

c) and (e), 18(1) and (3),

21(1), (2)(

b) and (3), 23(1) and (2)(b), 24(1) and (2)(a), 25(2)(b)(iii) and (v), 27(2),

(14)(

b) and (15)(b), 30(1), (5) and (9)(d), 31(1), (2)(

a) and (

c) and (3)(a), 33(1) and

(2), 37(5)(

b) and (d), 39(1) and (4)(b), 45(16), 46(1) and (2)(b), 48(1) and (2)(b)(ii),

49(1) and (2)(b), 51(1) and (2)(b), 55(1), (2)(

b) and (3)(

a) and 56(1) and (4) of the

Health Statutes Amendment Act, 2025 in force on the date of issue of this

Proclamation.

IN TESTIMONY WHEREOF We have caused these Our Letters to be made Patent

and the Great Seal of Our Province of Alberta to be hereunto affixed.

WITNESS: THE HONOURABLE SALMA LAKHANI, Lieutenant Governor of

Our Province of Alberta, this 27th day of August in the Year of Our Lord Two

Thousand Twenty-five and in the Third Year of Our Reign.

BY COMMAND Mickey Amery, K.C., Provincial Secretary.

APPOINTMENTS

Appointment of Supernumerary Justice of the Court of Justice

(Court of Justice Act)

September 7, 2025

Honourable Justice Mary Jeanne Burch

For a term to expire September 6, 2027.

Reappointment of Part-time Justice of the Court of Justice

(Court of Justice Act)

August 23, 2025

Honourable Justice Gordon William Sharek

For a term to expire August 22, 2026.

September 3, 2025

Honourable Justice Terrence Joseph Matchett

For a term to expire September 2, 2026.

GOVERNMENT NOTICES

Affordability and Utilities

Hosting Expenses Exceeding $600.00

For the period April 1, 2025 to July 31, 2025

Function: Affordability and Utilities Stampede Reception

Purpose: The event gave the Minister and senior department officials an opportunity

to build connections and strengthen relationships with both international and domestic

stakeholders. To support this engagement, the Ministry of Affordability and Utilities

welcomed 150 guests and served light refreshments.

Date: July 4, 2025

Amount: $7,009.20

Location: Calgary, Alberta

Agriculture and Irrigation

Form 15

(Irrigation Districts Act)

(Section 88)

Notice to Irrigation Secretariat:

Change of Area of an Irrigation District

On behalf of the Western Irrigation District, I hereby request that the Irrigation

Secretariat forward a certified copy of this notice to the Registrar 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

0014 562 673

4;24;26;18;SW

991 079 088+8

0021 891 791

4;25;22;29;SW

181 089 523

I certify the procedures required under

part 4 of the Irrigation Districts Act have been

completed and the area of the Western Irrigation District should be changed

according to the above list.

Rebecca Fast, Office Administrator,

Irrigation Secretariat.

Assisted Living and Social Services

Office of the Public Guardian and 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

Jitka Rozsypalova

$48,565.62

Anton J Rozsypal

(file 110,820-004

Bishop & Mckenzie

LLP)

SE03 164703

Edmonton

E182147

Josef Rozsypal

$48,565.62

Anton J Rozsypal

(file 110,820-004

Bishop& Mckenzie

LLP)

SE03 164703

Edmonton

E182148

Office of the Public Guardian and Trustee

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

(10) Years

(Public Trustee Act)

Section 11(2)(

b) Erratum

The notice which was published in the July 15, 2021 issue of the Alberta Gazette

needs to be voided as the name of the estate has changed in 2025:

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

Unknown

$552,557.81

Estate of Cecillia Roena

Rodgers

SES03 130854

(file 152766)

Edmonton

Energy and Minerals

Declaration of Withdrawal from Unit Agreement

(Petroleum and Natural Gas Tenure Regulations)

The Minister of Energy and Minerals on behalf of the Crown in Right of Alberta

hereby declares and states that the Crown has withdrawn as a party to the agreement

entitled "Joarcam Viking Gas Cap Unit" effective June 1, 2025.

Stacey Szeto, for Minister of Energy and Minerals.

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 and Minerals on behalf of the Crown has executed

counterparts of the agreement entitled "Production Allocation Unit Agreement -

Garrington Glauconitic Agreement No. 11" and that the Unit became effective on

May 1, 2024.

Notice is hereby given, pursuant to

section 102 of the Mines and Minerals Act, that

the Minister of Energy and Minerals on behalf of the Crown has executed

counterparts of the agreement entitled "Production Allocation Unit Agreement -

Wildmere General Petroleum Agreement No. 3" and that the Unit became effective

on November 1, 2022.

Executive Council

Hosting Expenses Exceeding $600.00

For the period April 1, 2025 to June 30, 2025

Function: Holiday Reception Dallas Texas

Date: December 11, 2024

Amount: $1,439

Location: Dallas, Texas

Function: Premier visit to Montreal/Ottawa, Canada, Business Council of Canada

Date: April 9, 2025 and April 11, 2025

Amount: $1,290

Location: Montreal, Quebec and Ottawa, Ontario

Function: Council of State Governments Midwest Legislators

Date: April 13, 2025 and April 16, 2025

Amount: $9,862

Location: Government House, Edmonton, Alberta

Function: Singing Back the Buffalo Screening - Highlighting Alberta

Date: April 16, 2025

Amount: $954

Location: Singapore

Function: Celebrating 55 - Years of Alberta in Japan

Date: April 24, 2025

Amount: $14,531

Location: Embassy of Canada, Tokyo, Japan

Function: Official Visit of the Consul General of Ireland

Date: April 28, 2025

Amount: $3,308

Location: Government House, Edmonton, Alberta

Function: Official Visit of Ambassador of the Republic of T rkiye

Date: May 5, 2025

Amount: $4,099

Location: Government House, Edmonton, Alberta

Function: Cabinet Swearing in Ceremony

Date: May 16, 2025

Amount: $1,977

Location: McDougall Centre, Calgary, Alberta

Function: 45th Anniversary of the Hokkaido Alberta Sister Province Relationship -

Luncheon for Vice Governor, and Delegation

Date: May 22, 2025

Amount: $2,053

Location: Queen Elizabeth II Building, Edmonton, Alberta

Function: 45th Anniversary of the Hokkaido Alberta Sister Province Relationship -

Formal Luncheon

Date: May 23, 2025

Amount: $7,624

Location: Government House, Edmonton, Alberta

Function: Global Energy Show - Lunch with Argentine Delegation

Date: June 9, 2025

Amount: $777

Location: Calgary, Alberta

Municipal Affairs

Hosting Expenses Exceeding $600.00

For the period April 1, 2025 to June 30, 2025

Function: Public Meeting and Vote on a Question for the Village of Delia

Purpose: Public meeting held for the residents, property owners, and community

stakeholders of the Village of Delia to review the contents of the viability review

report, provide an opportunity for the public to ask questions, and to vote on the

question of dissolution of the Village of Delia.

Date: April 9, 2025 and April 23-24, 2025

Amount: $1,219.41

Location: Delia, Alberta

Safety Codes Council

Corporate Accreditation

(Safety Codes Act)

Pursuant to

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

Keyera Corp., Accreditation No. C000109, Order No. 354

provide services under the Safety Codes Act including applicable Alberta amendments

and regulations for Electrical

Consisting of all parts of the current: Canadian Electrical Code

Part 1, and Alberta

Electrical Utility Code.

Accredited Date: November 18, 1995 Issued Date: August 22, 2025.

Pursuant to

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

Keyera Corp., Accreditation No. C000109, Order No. 2901

provide services under the Safety Codes Act including applicable Alberta amendments

and regulations for Gas

All parts of the current: CAN/CSA B149.1 Natural gas and propane installation code,

CAN/CSA B149.2 Propane storage and handling code, CAN/CSA B149.6 Code for

digester gas, landfill gas and biogas generation and utilization, CAN/BNQ 1784-000

Canadian hydrogen installation code, CAN/CSA B108.1 Compressed natural gas

refuelling stations installation code, CAN/CSA B108.2 Liquefied natural gas

refuelling stations installation code.

Excluding the CAN/CSA B149.5 Installation code for propane fuel systems and tanks

on highway vehicles, CAN/CSA B149.3 Code for the field approval of fuel related

components on appliances and equipment, CAN/CSA B109.1 Compressed natural gas

for vehicles installation code, CAN/CSA B109.2 Liquefied natural gas for vehicles

installation code.

Accredited Date: September 16, 2013 Issued Date: August 22, 2025.

Alberta Securities Commission

AMENDMENTS TO NATIONAL INSTRUMENT 41-101

GENERAL PROSPECTUS REQUIREMENTS

(Securities Act)

Made as a rule by the Alberta Securities Commission on March 12, 2025 pursuant to

sections 223 and 224 of the Securities Act.

AMENDMENTS TO NATIONAL INSTRUMENT 41-101

GENERAL PROSPECTUS REQUIREMENTS

1. National Instrument 41-101 General Prospectus Requirements is amended by

this Instrument.

Section 1.1 is amended

(

a) by repealing the definition of "Aequitas personal information form",

(

b) by adding the following definition:

"Cboe personal information form" means a personal information form

for an individual pursuant to Cboe Canada Inc. Form 3, as amended

from time to time;,

(

c) by adding the following definition:

"CSE senior tier" has the same meaning as "senior tier" as defined in

section 1.3 of the listing rules of the Canadian Securities Exchange, as

amended from time to time;,

(

d) by repealing the definition of "IPO venture issuer" and replacing it with

the following:

"IPO venture issuer" means an issuer that

(

a) files a long form prospectus,

(

b) is not a reporting issuer in any jurisdiction immediately before the

date of the final long form prospectus, and

(

c) at the date of the long form prospectus,

(

i) does not have any of its securities listed or quoted, has not

applied to list or quote any of its securities, and does not

intend to apply to list or quote any of its securities, on

(

A) the Toronto Stock Exchange,

(

B) Cboe Canada Inc.

(

C) a U.S. marketplace, or

(

D) a marketplace outside of Canada and the United States of

America, other than the Alternative Investment Market of

the London Stock Exchange or the AQSE Growth Market

operated by Aquis Stock Exchange Limited, and

(ii) is not, has not applied to become, and does not intend to apply

to become, a CSE senior tier issuer;, and

(

e) in the definition of "personal information form" by replacing paragraph (

c) with the following:

(

c) a completed Cboe personal information form submitted by an

individual to Cboe Canada Inc., to which is attached a completed

certificate and consent in the form set out in

Schedule 1 - Part B of

Appendix A;.

3. Subsection 1.9(4) of Form 41-101F1 Information Required in a Prospectus is

repealed and replaced with the following:

(4) If the issuer has complied with the requirements of the Instrument as an

IPO venture issuer, include a statement, in substantially the following

form, with bracketed information completed:

"As at the date of this prospectus, [name of issuer] is not, has not

applied to become, and does not intend to apply to become, a CSE

senior tier issuer and does not have any of its securities listed or

quoted, has not applied to list or quote any of its securities, and

does not intend to apply to list or quote any of its securities, on the

Toronto Stock Exchange, Cboe Canada Inc., a U.S. marketplace,

or a marketplace outside of Canada and the United States of

America (other than the Alternative Investment Market of the

London Stock Exchange or the AQSE Growth Market operated by

Aquis Stock Exchange Limited).".

Section 20.11 of Form 41-101F1 Information Required in a Prospectus is

repealed and replaced with the following:

IPO venture issuers

20.11 If the issuer has complied with the requirements of the

Instrument as an IPO venture issuer include a statement, in

substantially the following form, with bracketed information

completed:

"As at the date of the prospectus, [name of issuer] is not, has not

applied to become, and does not intend to apply to become, a CSE

senior tier issuer and does not have any of its securities listed or

quoted, has not applied to list or quote any of its securities, and

does not intend to apply to list or quote any of its securities, on the

Toronto Stock Exchange, Cboe Canada Inc., a U.S. marketplace,

or a marketplace outside of Canada and the United States of

America (other than the Alternative Investment Market of the

London Stock Exchange or the AQSE Growth Market operated by

Aquis Stock Exchange Limited).".

(1) This Instrument comes into force on September 19, 2025.

(2) In Saskatchewan, despite subsection (1), if this Instrument is filed with the

Registrar of Regulations after September 19, 2025, this Instrument comes

into force on the day on which it is filed with the Registrar of Regulations.

AMENDMENTS TO NATIONAL INSTRUMENT 44-101

SHORT FORM PROSPECTUS DISTRIBUTIONS

(Securities Act)

Made as a rule by the Alberta Securities Commission on March 12, 2025 pursuant to

sections 223 and 224 of the Securities Act.

AMENDMENTS TO NATIONAL INSTRUMENT 44-101

SHORT FORM PROSPECTUS DISTRIBUTIONS

1. National Instrument 44-101 Short Form Prospectus Distributions is amended

by this Instrument.

Section 1.1 is amended in the definition of "short form eligible exchange" by

replacing "Aequitas NEO Exchange Inc." with "Cboe Canada Inc.".

Section 2.7 is amended by adding the following subsection:

(4) Paragraphs 2.2(d), 2.3(1)(

d) and 2.6(1)(

b) do not apply to an issuer if

(

a) the issuer is not exempt from the requirement in the applicable CD

rule to file annual financial statements within a prescribed period

after its financial year end, but the issuer has not yet, since the

completion of a fundamental change, as defined in

section 1.3 of

the listing rules of the Canadian Securities Exchange, as amended

from time to time, been required under the applicable CD rule to

file annual financial statements, and

(

b) a listing statement of the Canadian Securities Exchange

(

i) was filed in connection with the fundamental change, and

(ii) complied with the listing rules of the Canadian Securities

Exchange, as amended from time to time, in respect of the

fundamental change..

(1) This Instrument comes into force on September 19, 2025.

(2) In Saskatchewan, despite subsection (1), if this Instrument is filed with the

Registrar of Regulations after September 19, 2025, this Instrument comes

into force on the day on which it is filed with the Registrar of Regulations.

AMENDMENTS TO NATIONAL INSTRUMENT 45-106

PROSPECTUS EXEMPTIONS

(Securities Act)

Made as a rule by the Alberta Securities Commission on March 12, 2025 pursuant to

sections 223 and 224 of the Securities Act.

AMENDMENTS TO NATIONAL INSTRUMENT 45-106

PROSPECTUS EXEMPTIONS

1. National Instrument 45-106 Prospectus Exemptions is amended by this

Instrument.

Section 2.22 is amended in paragraph (

a) of the definition of "listed issuer"

(

a) in subparagraph (ii.1) by replacing "Aequitas NEO Exchange Inc." with

"Cboe Canada Inc.", and

(

b) by adding the following subparagraph:

(ii.2) the Canadian Securities Exchange,.

(1) This Instrument comes into force on September 19, 2025.

(2) In Saskatchewan, despite subsection (1), if this Instrument is filed with the

Registrar of Regulations after September 19, 2025, this Instrument comes

into force on the day on which it is filed with the Registrar of Regulations.

AMENDMENTS TO ALBERTA SECURITIES COMMISSION RULE 45-516

PROSPECTUS EXEMPTIONS FOR RETAIL INVESTORS AND

EXISTING SECURITY HOLDERS

(Securities Act)

Made as a rule by the Alberta Securities Commission on March 12, 2025 pursuant to

sections 223 and 224 of the Securities Act.

AMENDMENTS TO ALBERTA SECURITIES COMMISSION RULE 45-516

PROSPECTUS EXEMPTIONS FOR RETAIL INVESTORS AND

EXISTING SECURITY HOLDERS

1. Alberta Securities Commission Rule 45-516 Prospectus Exemptions for Retail

Investors and Existing Security Holders s is amended by this Instrument.

Section 2 is amended in the definition of ""listed security"" by replacing

"Aequitas NEO Exchange Inc." with "Cboe Canada Inc.",

3. Subsection 3(

a) is amended by replacing "Aequitas NEO Exchange Inc." with

"Cboe Canada Inc.", and

4. Subsection 4(

a) is amended by replacing "Aequitas NEO Exchange Inc." with

"Cboe Canada Inc.".

5. This Instrument comes into force on September 19, 2025.

AMENDMENTS TO NATIONAL INSTRUMENT 51-102

CONTINUOUS DISCLOSURE OBLIGATIONS

(Securities Act)

Made as a rule by the Alberta Securities Commission on March 12, 2025 pursuant to

sections 223 and 224 of the Securities Act.

AMENDMENTS TO NATIONAL INSTRUMENT 51-102

CONTINUOUS DISCLOSURE OBLIGATIONS

1. National Instrument 51-102 Continuous Disclosure Obligations is amended by

this Instrument.

Section 1.1 is amended

(

a) by adding the following definition:

"CSE senior tier" has the same meaning as "senior tier" as defined in

section 1.3 of the listing rules of the Canadian Securities Exchange, as

amended from time to time;, and

(

b) in the definition of "venture issuer"

(

i) by adding "was not a CSE senior tier issuer and" after "as at the

applicable time,",

(ii) by replacing "Aequitas NEO Exchange Inc." with "Cboe Canada Inc.",

(iii) by replacing "the PLUS markets operated by PLUS Markets Group

plc" with "the AQSE Growth Market operated by Aquis Stock

Exchange Limited".

Section 9.4 is amended by adding the following subsection:

(6.1) Subsection (6) does not apply to a form of proxy sent to securityholders of a

reporting issuer in respect of the election of directors if any of the following

applies:

(

a) the reporting issuer is incorporated, organized or continued under the

Canada Business Corporations Act (Canada) and complies with

subsection 54.1(2) of the

Canada Business Corporations Regulations,

2001 (SOR/2001-512) under the

Canada Business Corporations Act

(Canada);

(

b) the reporting issuer

(

i) is incorporated, organized or continued under the laws of a

jurisdiction of Canada or a foreign jurisdiction that contain a

requirement substantially similar to subsection 54.1(2) of the

Canada Business Corporations Regulations, 2001 (SOR/2001-

512) under the

Canada Business Corporations Act (Canada), and

(ii) complies with the requirement referred to in subparagraph (i)..

4. Paragraph 9.4(7)(

b) is amended by replacing "subsection (4) or (6)" with

"subsection (4), (6) or (6.1)".

(1) This Instrument comes into force on September 19, 2025.

(2) In Saskatchewan, despite subsection (1), if this Instrument is filed with the

Registrar of Regulations after September 19, 2025, this Instrument comes

into force on the day on which it is filed with the Registrar of Regulations.

AMENDMENTS TO MULTILATERAL INSTRUMENT 51-105

ISSUERS QUOTED IN THE U.S. OVER-THE-COUNTER MARKETS

(Securities Act)

Made as a rule by the Alberta Securities Commission on March 12, 2025 pursuant to

sections 223 and 224 of the Securities Act.

AMENDMENTS TO MULTILATERAL INSTRUMENT 51-105

ISSUERS QUOTED IN THE U.S. OVER-THE-COUNTER MARKETS

1. Multilateral Instrument 51-105 Issuers Quoted in the U.S. Over-the-Counter

Markets is amended by this Instrument.

Section 1 is amended in the definition of "OTC issuer":

(

a) in subparagraph (b)(iii) by replacing "Canadian National Stock Exchange"

with "Canadian Securities Exchange", and

(

b) in subparagraph (b)(viii) by replacing "Aequitas NEO Exchange Inc." with

"Cboe Canada Inc.".

(1) This Instrument comes into force on September 19, 2025.

(2) In Saskatchewan, despite subsection (1), if this Instrument is filed with the

Registrar of Regulations after September 19, 2025, this Instrument comes

into force on the day on which it is filed with the Registrar of Regulations.

AMENDMENTS TO NATIONAL INSTRUMENT 52-109

CERTIFICATION OF DISCLOSURE IN ISSUERS' ANNUAL

AND INTERIM FILINGS

(Securities Act)

Made as a rule by the Alberta Securities Commission on March 12, 2025 pursuant to

sections 223 and 224 of the Securities Act.

AMENDMENTS TO NATIONAL INSTRUMENT 52-109

CERTIFICATION OF DISCLOSURE IN ISSUERS' ANNUAL

AND INTERIM FILINGS

1. National Instrument 52-109 Certification of Disclosure in Issuers' Annual and

Interim Filings is amended by this Instrument.

Section 1.1 is amended

(

a) by adding the following definition:

"CSE senior tier" has the meaning ascribed to "senior tier" in

section

1.3 of the listing rules of the Canadian Securities Exchange, as

amended from time to time;, and

(

b) by repealing the definition of "venture issuer" and replacing it with the

following:

"venture issuer" means a reporting issuer that, as at the end of the

period covered by the annual or interim filings, as the case may be,

(

a) did not have any of its securities listed or quoted on any of the

Toronto Stock Exchange, Cboe Canada Inc., a U.S. marketplace,

or a marketplace outside of Canada and the United States of

America other than the Alternative Investment Market of the

London Stock Exchange or the AQSE Growth Market operated by

Aquis Stock Exchange Limited, and

(

b) was not a CSE senior tier issuer..

(1) This Instrument comes into force on September 19, 2025.

(2) In Saskatchewan, despite subsection (1), if this Instrument is filed with the

Registrar of Regulations after September 19, 2025, this Instrument comes

into force on the day on which it is filed with the Registrar of Regulations.

AMENDMENTS TO NATIONAL INSTRUMENT 52-110

AUDIT COMMITTEES

(Securities Act)

Made as a rule by the Alberta Securities Commission on March 12, 2025 pursuant to

sections 223 and 224 of the Securities Act.

AMENDMENTS TO NATIONAL INSTRUMENT 52-110

AUDIT COMMITTEES

1. National Instrument 52-110 Audit Committees is amended by this Instrument.

Section 1.1 is amended

(

a) by adding the following definition:

"CSE senior tier" has the meaning ascribed to "senior tier" in

section

1.3 of the listing rules of the Canadian Securities Exchange, as

amended from time to time;, and

(

b) by repealing the definition of "venture issuer" and replacing it with the

following:

"venture issuer" means an issuer that, at the end of its most recently

completed financial year,

(

a) did not have any of its securities listed or quoted on any of the

Toronto Stock Exchange, Cboe Canada Inc., a U.S. marketplace,

or a marketplace outside of Canada and the United States of

America other than the Alternative Investment Market of the

London Stock Exchange or the AQSE Growth Market operated by

Aquis Stock Exchange Limited, and

(

b) was not a CSE senior tier issuer..

(1) This Instrument comes into force on September 19, 2025.

(2) In Saskatchewan, despite subsection (1), if this Instrument is filed with the

Registrar of Regulations after September 19, 2025, this Instrument comes

into force on the day on which it is filed with the Registrar of Regulations.

AMENDMENTS TO NATIONAL INSTRUMENT 58-101

DISCLOSURE OF CORPORATE GOVERNANCE PRACTICES

(Securities Act)

Made as a rule by the Alberta Securities Commission on March 12, 2025 pursuant to

sections 223 and 224 of the Securities Act.

AMENDMENTS TO NATIONAL INSTRUMENT 58-101

DISCLOSURE OF CORPORATE GOVERNANCE PRACTICES

1. National Instrument 58-101 Disclosure of Corporate Governance Practices is

amended by this Instrument.

Section 1.1 is amended

(

a) by adding the following definition:

"CSE senior tier" has the same meaning as "senior tier" as defined in

section 1.3 of the listing rules of the Canadian Securities Exchange, as

amended from time to time;, and

(

b) by repealing the definition of "venture issuer" and replacing it with the

following:

"venture issuer" means a reporting issuer that, at the end of its most

recently completed financial year,

(

a) did not have any of its securities listed or quoted on any of the

Toronto Stock Exchange, Cboe Canada Inc., a U.S. marketplace,

or a marketplace outside of Canada and the United States of

America other than the Alternative Investment Market of the

London Stock Exchange or the AQSE Growth Market operated by

Aquis Stock Exchange Limited, and

(

b) was not a CSE senior tier issuer..

(1) This Instrument comes into force on September 19, 2025.

(2) In Saskatchewan, despite subsection (1), if this Instrument is filed with the

Registrar of Regulations after September 19, 2025, this Instrument comes

into force on the day on which it is filed with the Registrar of Regulations.

AMENDMENTS TO MULTILATERAL INSTRUMENT 61-101

PROTECTION OF MINORITY SECURITY HOLDERS

IN SPECIAL TRANSACTIONS

(Securities Act)

Made as a rule by the Alberta Securities Commission on March 12, 2025 pursuant to

sections 223 and 224 of the Securities Act.

AMENDMENTS TO MULTILATERAL INSTRUMENT 61-101

PROTECTION OF MINORITY SECURITY HOLDERS

IN SPECIAL TRANSACTIONS

1. Multilateral Instrument 61-101 Protection of Minority Security Holders in

Special Transactions is amended by this Instrument.

Section 1.1 is amended by adding the following definition:

"CSE senior tier" has the meaning ascribed to "senior tier" in

section

1.3 of the listing rules of the Canadian Securities Exchange, as

amended from time to time;.

3. Paragraph 4.4(1)(

a) is repealed and replaced with the following:

(

a) Issuer Not Listed on Specified Markets - the issuer is not a CSE

senior tier issuer and no securities of the issuer are listed or quoted

on the Toronto Stock Exchange, Cboe Canada Inc., the New York

Stock Exchange, the American Stock Exchange, the NASDAQ

Stock Market, or a stock exchange outside of Canada and the

United States other than the Alternative Investment Market of the

London Stock Exchange or the AQSE Growth Market operated by

Aquis Stock Exchange Limited,.

4. Paragraph 5.5(

b) is repealed and replaced with the following:

(

b) Issuer Not Listed on Specified Markets - the issuer is not a CSE

senior tier issuer and no securities of the issuer are listed or quoted

on the Toronto Stock Exchange, Cboe Canada Inc., the New York

Stock Exchange, the American Stock Exchange, the NASDAQ

Stock Market, or a stock exchange outside of Canada and the

United States other than the Alternative Investment Market of the

London Stock Exchange or the AQSE Growth Market operated by

Aquis Stock Exchange Limited,.

5. Subparagraph 5.7(1)(b)(

i) is repealed and replaced with the following:

(

i) the issuer is not a CSE senior tier issuer and no securities of the

issuer are listed or quoted on the Toronto Stock Exchange, Cboe

Canada Inc., the New York Stock Exchange, the American Stock

Exchange, the NASDAQ Stock Market, or a stock exchange

outside of Canada and the United States other than the Alternative

Investment Market of the London Stock Exchange or the AQSE

Growth Market operated by Aquis Stock Exchange Limited,.

(1) This Instrument comes into force on September 19, 2025.

(2) In Saskatchewan, despite subsection (1), if this Instrument is filed with the

Registrar of Regulations after September 19, 2025, this Instrument comes

into force on the day on which it is filed with the Registrar of Regulations.

AMENDMENTS TO NATIONAL INSTRUMENT 62-104

TAKE-OVER BIDS AND ISSUER BIDS

(Securities Act)

Made as a rule by the Alberta Securities Commission on March 12, 2025 pursuant to

sections 223 and 224 of the Securities Act.

AMENDMENTS TO NATIONAL INSTRUMENT 62-104

TAKE-OVER BIDS AND ISSUER BIDS

1. National Instrument 62-104 Take-Over Bids and Issuer Bids is amended by

this Instrument.

2. Subsection 4.8(1) is amended by adding ", Cboe Canada Inc." after "the TSX

Venture Exchange".

(1) This Instrument comes into force on September 19, 2025.

(2) In Saskatchewan, despite subsection (1), if this Instrument is filed with the

Registrar of Regulations after September 19, 2025, this Instrument comes

into force on the day on which it is filed with the Registrar of Regulations.

AMENDMENTS TO NATIONAL INSTRUMENT 71-102

CONTINUOUS DISCLOSURE AND OTHER EXEMPTIONS

RELATING TO FOREIGN ISSUERS

(Securities Act)

Made as a rule by the Alberta Securities Commission on March 12, 2025 pursuant to

sections 223 and 224 of the Securities Act.

AMENDMENTS TO NATIONAL INSTRUMENT 71-102

CONTINUOUS DISCLOSURE AND OTHER EXEMPTIONS

RELATING TO FOREIGN ISSUERS

1. National Instrument 71-102 Continuous Disclosure and Other Exemptions

Relating to Foreign Issuers is amended by this Instrument.

2. Paragraph 4.7(2)(

a) is amended by replacing "Aequitas NEO Exchange Inc."

with "Cboe Canada Inc.".

3. Paragraph 5.8(2)(

a) is amended by replacing "Aequitas NEO Exchange Inc."

with "Cboe Canada Inc.".

(1) This Instrument comes into force on September 19, 2025.

(2) In Saskatchewan, despite subsection (1), if this Instrument is filed with the

Registrar of Regulations after September 19, 2025, this Instrument comes

into force on the day on which it is filed with the Registrar of Regulations.

AMENDMENTS TO NATIONAL INSTRUMENT 81-101

MUTUAL FUND PROSPECTUS DISCLOSURE

(Securities Act)

Made as a rule by the Alberta Securities Commission on March 12, 2025 pursuant to

sections 223 and 224 of the Securities Act.

AMENDMENTS TO NATIONAL INSTRUMENT 81-101

MUTUAL FUND PROSPECTUS DISCLOSURE

1. National Instrument 81-101 Mutual Fund Prospectus Disclosure is amended

by this Instrument.

Section 1.1 is amended

(

a) by repealing the definition of "Aequitas personal information form",

(

b) by adding the following definition:

"Cboe personal information form" means a personal information form

for an individual pursuant to Cboe Canada Inc. Form 3, as amended

from time to time;, and

(

c) in the definition of "personal information form" by replacing paragraph (

c) with the following:

(

c) a completed Cboe personal information form submitted by an

individual to Cboe Canada Inc., to which is attached a completed

certificate and consent in the form set out in

Schedule 1 - Part B of

Appendix A to National Instrument 41-101 General Prospectus

Requirements;.

(1) This Instrument comes into force on September 19, 2025.

(2) In Saskatchewan, despite subsection (1), if this Instrument is filed with the

Registrar of Regulations after September 19, 2025, this Instrument comes

into force on the day on which it is filed with the Registrar of Regulations.

ADVERTISEMENTS

Horse Racing Alberta

(Horse Racing Alberta Act)

"B" Race Track Licensing Rules

Statement of objectives:

Central to Horse Racing Alberta's plan for the strategic direction of the horse racing

industry is the implementation of the recommendations of the "B" Track Safety and

Improvement Subcommittee and Regulatory and Licensing Committee 2025.

Implementation will be achieved by the solidification of principle racing venues,

using race track licensing as the catalyst, guided by sound business and strategic

plans.

In seeking and considering proposals for race track licences in Alberta, it is the

intention of the *Corporation to:

(

a) promote the development of high-quality race tracks for racehorses, racing

participants, racing officials, patrons and the general public;

(

b) enable the market for pari-mutuel horse racing to mature and expand as

warranted, largely by consumer demand;

(

c) limit the number of race track licences to the number which the

*Corporation determines the Alberta market can support, so as to encourage

agriculture and the breeding of horses in Alberta, and to hold race meetings

in Alberta of the highest quality;

(

d) link race track licences dates, so that live horse racing is a prerequisite for

maintaining a gaming licence. These "Racing Entertainment Centres" would

include live horse racing (as their principal business) and simulcasting

(potentially both on and off track) and should also be supported by other

gaming facilities (for example, slot machines) as well as other forms of

entertainment.

(

e) ensure successful applicants for licences demonstrate a strong emphasis on

customer service and appreciation and a demonstrated willingness to

continually upgrade their facilities in the interests of both the general public

and racing industry participants.

The Horse Racing Alberta Act,1 allows the *Corporation to establish rules and require

that race track operators be licensed.

The basic objectives of these Race Track Licensing Rules are to:

facilitate strategic, long term business planning on the part of racing venues

establish a review and approval process whereby interested parties are

invited to submit proposals through a two-phase process permitting suitable

applicants to formally apply and compete for race track licences in all

market regions of Alberta

improve, in part, racing industry accountability

enable race track licensees to operate race tracks and contribute to the

development of the overall racing industry.

In the second phase of the licensing application process, applicants are required to

include information on their proposed racing operations, marketing strategies,

operating budgets, capital maintenance, physical facilities, track size and development

plans, and other pertinent information. Also, a part of the licensing procedure will be

the requirement for race track operators to develop multi-year business plans for their

overall racing operations - such business plans to readily identify the ways and

means of stabilizing and improving the business and sport of horse racing in their

region.

Part 1

APPLICATION, REQUIREMENT FOR LICENCES

AND RACE TRACK CLASSIFICATION

1 Application of these rules

(1) These *rules apply to the licensing, suspension, revocation and

reinstatement of licences for

(

a) persons who operate a race track,

(

b) persons who conduct horse races,

(

c) race tracks that operate *Off Track Betting Theaters (OTBs),

(

d) race tracks that operate *Telephone Account Betting (TAB) facilities,

and

(

e) race tracks that operate a *racing entertainment centre.

(2) For the purposes of these rules, quorum of the *Board of the *Corporation

are those class of persons who are empowered to decide all questions

relating to those persons specified in subsection (1), including, without

limitation, all matters relating to the issuing, suspension, revocation,

reinstatement, sanctions, and penalties under the *Act and these rules.

Interpretation rules

(1) The

Interpretation Act applies to these rules.

(2) Some words used in these rules are defined, identified by an asterisk

appearing at the start of the word.

(3) The defined words are collected in

Schedule 1 to these rules.

(4) Once a defined term has been asterisked, subsequent uses of the word in the

same subsection are usually asterisked.

(5) The explanatory notes and footnotes in these rules are included to aid

understanding and

interpretation, but in the event of conflict between a note

and a rule, the rule prevails.

3 Required licences

(1) A person shall not conduct a horse race meeting without a race track licence

to do so.

(2) In accordance with

section 13 of the *Act, a race track licence is required

from the *Corporation for a person to operate a race track, which includes:

(

a) the conduct a horse race,

(

b) the operation of *OTBs,

(

c) the operation of *TAB facilities, or

(

d) the operation of a *racing entertainment centre.

Classification of Race Tracks in Alberta

4 Alberta race track classification

(1) Race tracks are classified by the *Corporation as:

(

a) Class A tracks,

(

b) Class B tracks, or

(

c) Class C tracks.

(2) A Class A track is a race track

(

a) on which live racing is conducted for a minimum of 100 days in a

calendar year, the total number of days and the actual dates are applied

for and determined by the *Corporation on an annual basis, and

(

b) in respect of which certain basic/minimum infrastructure (race track,

site and grandstand) and racing operations requirements, identified in

these rules, are met.

Explanatory note: The racing operation requirements referred to in clause (

c) include

sections 5, 37-44, and 55-57 of these rules.

(3) A Class B track is a race track

(

a) on which live racing is conducted to a maximum of 60 days and a

minimum of 15 days in a calendar year, the total number of days and

the actual dates are applied for and determined by the *Corporation on

an annual basis, and

(

b) in respect of which certain basic/minimum infrastructure (race track,

site and grandstand) and racing operations requirements, identified in

these rules, are met.

Explanatory note: The racing operation requirements referred to in clause (

c) include

sections 5, 37-44, and 55-57 of these rules.

(4) A Class B race track may request or be required by the *Corporation to

provide additional days of live racing. If after receipt of a request from a

licensee the *Corporation determines additional days to be in the best

interests of the province and the racing industry, the *Corporation shall

grant the additional days.

(5) A Class C track is a race track

(

a) on which live racing is conducted for a maximum number of 15 days in

the calendar year, the total number of days and the actual dates are

applied for and determined by the *Corporation on an annual basis,

(

b) in respect of which certain basic/minimum infrastructure (race track,

site and grandstand) and racing operations requirements, as identified in

these rules, are met.

Explanatory note: The racing operation requirements referred to in clause (

c) include

sections 5, 37-44, and 55-57 of these rules.

(6) For the purposes of this

section live race dates are counted separately from

the dates on which the licensed operator presents *simulcast races; a race

track may only present simulcast races on dates as applied to and approved

by the *Corporation;

Part 2

DECISION MAKING BY THE CORPORATION

Statement of intention: It is the intent of the *Corporation in issuing race track

licences to enable the market for pari-mutuel horse racing to mature and expand as

warranted largely by consumer demand. It is the intent of the *Corporation, in the

best interests of horse racing, to limit the number of race track licences to the number

which the *Corporation determines the Alberta market can support so as to encourage

agriculture and the breeding of horses in this province; and, to hold race meetings in

this Province of the highest quality.

5 Criteria to be considered

(1) In deciding whether to grant or refuse an application for a race track licence

or designate the class of licence, the *Corporation may consider, among

other considerations, the degree to which any of the following factors

regarding the applicant's existing race track or proposed race track serve to

nurture, promote, develop, or improve the racing industry in Alberta:

(

a) the character of the applicant;

(

b) the applicant's financial stability and ability to develop, own and

operate and continually upgrade a race track facility, or any of them;

(

c) the applicant's stated and potential ability to optimize the peak racing

season and to generate pari-mutuel *handle and other revenue;

(

d) the applicant's ability to successfully obtain a gaming licence;

(

e) the applicant's willingness to provide twin thoroughbred and

standardbred tracks at their facility, preference being given to an

applicant who provides a one-mile track, with an internal standardbred

race track of a 7/8 mile;

(

f) the applicant's *resources for supplementing the purses for races for

various breeds;

(

g) the types, variety and proposed days of pari-mutuel horse racing which

the applicant will offer and the applicant's plans related to the quality of

the presentation of the racing product or products;

(

h) the applicant's willingness to facilitate live horse racing wagering at

their facility;

(

i) the applicant's *simulcast facilities and plans for exporting and

importing race signals;

(

j) the nature and extent of proposed special event programming and

collateral entertainment/gaming activities;

(

k) the quality of physical improvements and equipment in the applicant's

facility;

(

l) the condition of the applicant's facility or the status of any proposed

capital improvements;

(

n) the effect of the existing or proposed race track on traffic flow in the

vicinity of the track;

(

o) facilities for patrons and *occupational licensees;

(

p) the applicant's stated desire and ability to market and operate horse

racing in it's area;

(

q) the applicant's stated willingness to align with overall provincial

marketing plans and strategies;

(

r) the applicant's stated willingness and ability to acquire corporate

sponsorships which primarily benefit horse racing;

(

s) whether or not the applicant has chosen to incorporate a *racing

entertainment centre into their facilities;

(

t) the scale and magnitude of any racing entertainment centre and the

projected revenue to be derived for racing industry renewal and their

projected utilization;

(

u) the capabilities, functionality and capacity of the applicant's grandstand;

(

v) the suitability of the race track area for race viewing and broadcasting;

(

w) the desire and ability of the applicant to provide the highest quality of

horse racing signals for rebroadcast purposes;

(

x) facilities for racehorses and racing participants, for example, track, all

weather barns area, the ability to remove the inside hub rail, parking

areas for trailers, grooms, quarters, and stalls;

(

y) availability of support services and emergency services to the race

track;

(

z) the extent to which the safety of the public, employees and horses are

addressed by the applicant;

(aa) the managerial ability and experience of the applicant;

(bb) the potential for conflict with other *licensed race meetings;

(cc) the applicant's stated desire and ability to consult and work with a race

track operations committee consisting of various *recognized Alberta

horsemen's associations;

(dd) the projected effect of race meetings on the horse breeding industry in

Alberta;

(ee) the projected effect of the race meeting on the provincial and local

economy from tourism, increased employment, and other sources;

(ff) the status of any licence, permit, approval or other governmental

requirement to be obtained by the applicant;

(gg) the stated and desired efforts to promote orderly growth of horse racing

in Alberta and educate the public with respect to horse racing and pari-

mutuel wagering;

(hh) the impact of the facility including its impact on the provincial, regional

and local economies;

(ii) the extent of public support and opposition;

(jj) the effects on non-racing competition;

(kk) the applicant's compliance with the applicable enactments and

government directives; and

(ll) any other criterion which the *Corporation deems appropriate to

consider.

(2) The *Corporation may request any or all applicants to make a presentation

on their application before the *Board or a Board Committee.

(3) The *Corporation need not issue a race track licence unless the applicant

provides security in a manner and in an amount determined by the

*Corporation to ensure the applicant complies with the *Act, the

*Corporation's rules, and the conditions of the licence.2

(4) The *Corporation is also to base its final decision on the extent to which the

applicant

(

a) conforms to the *Act;

(

b) conforms with these Rules;

(

c) addresses and will advance the general intention expressed by the

Statement of Objectives;

(

d) conforms with licensing requirements under the Gaming, Liquor and

Cannabis Act.

(5) The successful applicant must demonstrate to the satisfaction of the

*Corporation a strong emphasis on customer service and appreciation and a

demonstrated willingness to continually upgrade their facilities in the

interests of both the general public and racing industry participants.

6 Competing applications

If the *Corporation receives more than one application for any class of race track

licence for a similar geographical area, the *Corporation may:

(

a) require further information of the applicants;

(

b) refuse to grant a licence to any of the applicants;

(

c) only grant the licence to the applicant which, in the opinion of the

*Corporation, will be in the best interest of racing and the public; or

(

d) grant more than one licence with the same or different designated class

of licence.

7 Reasons for decision

In granting or refusing an application for a race track licence the *Corporation shall

state reasons for its decision.

8 Issue of licences

(1) The *Corporation may issue a race track licence to a qualified applicant if it

finds that the conduct of race meetings at the race track and location will be

in the public interest, and complies with all applicable laws and the rules and

directives of the *Corporation.

(2) A licence will not be issued unless the applicant agrees in writing to adhere

required by the *Corporation but not included in these rules.

(3) The licence authorizes the holder of it in accordance with the licence to:

(

a) operate a race track,

(

b) conduct horse races,

(

c) conduct *OTB,

(

d) conduct *TAB, or

(

e) operate a racing entertainment centre, or all of the above, in accordance

with the terms of the licence and the *Corporation's rules.

9 Term of licence

(1) The term of a race track licence shall be for up to a maximum of 10 years, or

such longer period as in the opinion of the *Corporation is in the best

interests of racing in Alberta or is required to nurture, promote, develop or

improve the racing industry in Alberta. The terms will be specified by the

*Corporation and displayed on the licence.

(2) All multi-year licences shall be reviewed by the *Corporation on an annual

basis to determine if the information that was presented in the original

licence application or subsequent licence renewal or annual reviewal

documentation is consistent and accurate.

(3) All multi-year licensee's must, on an annual basis, provide the *Corporation

with updates to the information submitted in their initial licence application

especially as it relates to the sections on finance, ownership and operations

and marketing. All multi-year licensees must provide the *Corporation, on

an annual basis, with

(

a) the information required under sections 12, 19 (7), 48, 49, 50, 55, and

61 of these rules, and

(

b) the actual amounts identified as required in those sections for the year

just completed.

(4) The *Corporation may grant any organization a conditional or temporary

race track licence, including the possible requirement of a performance

bond, for any length of time up to 3 years, if the *Corporation, at its sole

discretion, deems that by so doing would be in the best interests of the

Alberta racing industry.

(5) The *Corporation may grant a *protected market area in a geographical area

to a licensee for up to and including the total period of time that the licensee

is licensed by the *Corporation.

(6) Beyond the initial licence application fee, the *Corporation may impose an

annual fee on the licence holder.3

10 Cancellation, suspension, cancellation on dispossession, and transferability

of licence

(1) The *Corporation may suspend or cancel the licence should the licensee

(

a) make any assignment for the benefit of creditors,

(

b) commit

an act of bankruptcy as defined by the Bankruptcy and

Insolvency Act (Canada),

(

c) become insolvent,

(

d) have a receiver appointed,

(

e) take the benefit of any legislation that may be in force for bankrupt or

insolvent debtors,

(

f) commit a substantial breach of these rules, or

(

g) fail to remedy any lesser breach for which notice to remedy has been

given.

(2) In the event of a breach of these rules, the *Corporation may give notice that

the licensee is in default.

(3) For greater particularity, a breach of these rules includes:

(

a) violating the *Act, these rules or any other rules of the *Corporation;

(

b) violating a condition of the licence;

(

c) violating a direction of the *Corporation;

(

d) making a false or misleading statement in an application for a licence

(other than a forecast for which there is reasonable justification);

(

e) engaging in conduct that, in the opinion of the *Corporation, is

prejudicial to the best interests of horse racing; (

f) violating any law4

which would be a substantial breach of the conditions under which a

licence is granted;

(

g) not meeting *Canadian Pari-Mutuel Agency permit requirements.

(4) In the event that a default notice is given, the licensee shall have the period

of time allotted in the notice (such period to be no longer than 30 days), to

remedy the default or explain how that default will be addressed, failing

which the *Corporation may:

(

a) impose a fine, to a maximum of $100,000 (See

Schedule 4), or other

penalty, upon the licensee;

(

b) suspend the licence for such time as the *Corporation deems fit,

including an allotted time in which to remedy the default;

(

c) cancel the licence.

(5) In the event of insolvency, bankruptcy, an assignment for the benefit of

creditors or receivership of the licensee, the *Corporation may, at its sole

discretion,

(

a) continue the licence in the name of the trustee or receiver, as the case

may be, subject to such terms as the *Corporation may impose, upon

application of the trustee or receiver,

(

b) suspend the license, or

(

c) cancel the licence.

(6) A licence may not be sold or transferred directly or indirectly without the

consent in writing of the *Corporation. In the event that a licensee proposes

to sell or transfer a licence, directly or indirectly, the proposed purchaser or

transferee, shall make application for approval to the *Corporation in the

same format as is required for a licence in the first instance.

11 Reinstatement

The *Corporation may, in its discretion, reinstate a race track licence that has been

suspended or cancelled.

12 Financial disclosure

(1) Each holder of a race track licence must annually file with the *Corporation

a detailed financial statement that:

(

a) contains a detailed balance sheet, the results of horse racing operations

for the year, change in financial position for the year and details of

capital expenditures for the year;

(

b) contains the names and addresses of all shareholders, members and

owners of any interest in the race track facility, capital development or

operation;

(

c) indicates compliance during the filing period with the *Corporation's

rules;

(

d) includes any other information required by the *Corporation.

(2) Each transaction that involves a major acquisition or transfer of a pecuniary

interest in the licence holder must receive prior approval from the

*Corporation.

(3) A transaction that changes the ownership of the licence holder requires

submission of updated information of the type required to be disclosed under

these rules.

(4) Each holder of a race track licence must annually provide an operating

budget for the forth coming year.

13 Racing restricted to designated place

(1) The holder of a race track licence may not conduct live horse racing at any

place other than the place designated in the licence, except as provided by

subsection (2).

(2) If a race track becomes unsuitable for racing because of fire, flood, or other

catastrophe, the licence holder, with the prior approval of the *Corporation,

may conduct a race meeting or any remaining portion of a meeting

temporarily at any other race track licensed by the *Corporation to conduct

the same type of racing as may be conducted by the licence holder, if the

licensee of the other race track also consents to that use.

14 Posting of licence

A race track licensee must post in a prominent place in the licensed facility:

(

a) the race track licence; and

(

b) any document or information that the *Corporation requires to be

posted.

Part 3

APPLICATION FOR A RACE TRACK LICENCE

Division 1

Application

15 Eligible applicants

To be eligible to be issued a licence to operate a race track the applicant must:

(

a) be a duly incorporated body by or pursuant to

an act of Parliament or of

the Legislature of the Province of Alberta,

(

b) own or lease a race track or have a proven intention to do so,

(

c) conduct live or *simulcast or proposes to conduct live or simulcast

horse races in the ordinary course of its business,

(

d) to the extent that applicable legislation requires that the purposes of the

applicant's organization or association be expressly stated in its

constating instrument, having as one of its purposes the conduct of live

or the simulcast of horse races, and

(

e) be able to meet all requirements stipulated by the *Canadian Pari-

Mutuel Agency for the issuance of a federal permit to conduct horse

racing in accordance with the *Pari-Mutuel Betting Supervision

Regulations.

16 Phase 1 Invitation for licence applications

(1) From time to time, the *Corporation may designate an application period

during which time the *Corporation will accept applications for race track

licences.

(2) This process consists of two phases:

(

a) the first phase is a request for proposal process when an expression of

interest will be requested of any interested and eligible applicants in

which

(

i) applicants in this phase will be asked for a detailed but general

plan for their facility, and

(ii) the expression of interest will be left to the applicant's discretion

as to content.

(

b) a second phase for a detailed application described in

section 17.

(3) The *Corporation may specify the class and general geographic area of the

race track or facility for which it will consider applications.

(4) The *Corporation will determine from the Phase I applicants which one or

more applicants make proposals that, in the opinion of the *Corporation, are

most congruent with the Statement of Objectives and are most likely to

advance the horse racing industry in Alberta, and so should be invited to

apply under Phase 2 of the application process.

(5) The *Corporation must notify all Phase 1 applicants no later than 30 days

following the last day of the Phase I application period, about whether or not

they have been selected to proceed to Phase 2 of the application process.

(6) All applicants selected from Phase I must provide detailed application

information, as required by these rules, within 45 days following their being

requested by the *Corporation to do so.

17 Phase 2 detailed application

(1) Each successful Phase I applicant wishing to submit a detailed application

for a race track licence must pay the application fee specified in

Schedule 2,

and submit an application in the prescribed form, containing the information

required by these rules.

(2) The application must state:

(

a) details of where and how the applicant was incorporated;

(

b) the names and addresses of the applicant's agents for service of

documents;

(

c) the names and addresses of its officers and directors and, for each

individual named under this clause, the individual's date of birth,

current address and telephone number, and a statement disclosing any

conviction of an indictable criminal offence or any other offence that

would adversely impact on the suitability of such individual to be part

of a licensee authorized to hold horse races,

(

d) the names and addresses of its shareholders and, for each individual

named under this clause, the individual's date of birth, current address

and telephone number, and a statement disclosing any conviction of a

criminal offence; and

(

e) the beneficial owners of shares in the applicant that hold voting rights,

absolute or contingent, any other person that directly or indirectly

exercises any participation in the applicant, and any other ownership

interest in the applicant that the applicant, making its best effort, is able

to identify.

(3) The application under this

section must also include:

(

a) the exact location at which a race meeting is to be conducted;

(

b) if the racing facility is in existence, whether it is owned by the applicant

and, if leased to the applicant, the name and address of the owner and,

if the owner is a *Corporation or unincorporated business association,

the names and addresses of its officers and directors, its shareholders

and members, if any, and its agents for service of documents;

(

c) if construction of the racing facility has not been initiated, whether it is

to be owned by the applicant and, if it is to be leased to the applicant,

the name and address of the prospective owner and, if the owner is a

*Corporation or unincorporated business association,

(

i) the names and addresses of its officers and directors,

(ii) the names and addresses of its shareholders,

(iii) the names and addresses of its members, if any, and

(iv) the names and addresses of its agents for service of documents;

(

d) identification of any other beneficial owner of shares that hold voting

rights, absolute or contingent, in the owner or prospective owner of the

racing facility, or any other person that directly or indirectly exercises

any participation in the owner or prospective owner and all other

ownership interest in the owner or prospective owner that the applicant

making its best effort is able to identify;

(

e) a detailed statement of the assets and liabilities of the applicant;

(

f) the kind of racing to be conducted and the number of race dates to be

requested;

(

g) listing of each lease, management, concession, and totalizator contract

dealing with the licence or proposed licence at the location or proposed

location in which the applicant has an interest for inspection and review

by the *Corporation;

(

h) the prior approval of the *Corporation for any pari-mutuel totalizator

contract;

(

i) an agreement by the applicant that any decision made by the

*Corporation with respect to their licence application is considered to

be final; and

(

j) any other information required or implied by these rules or required by

the *Corporation.

(4) If the applicant is a non-profit *Corporation, only directors and officers of

the *Corporation must disclose the information required under subsection

(2).

(5) The burden of proof is on the applicant to show compliance with the *Act

and with the rules and directives of the *Corporation.

Division 2

Phase 2 Detailed Application Documents

Process and General Requirements

18 Application documents

(1) An applicant for a licence to operate a race track must submit application

documents in accordance with this section.

(2) The applicant must submit an original and 5 hardcopies of the documents to

the *Corporation.

(3) The applicant must provide a statutory declaration as to the truth and

validity of the documents.

(4) The applicant must state the name, address, and telephone number of an

individual designated by the applicant to be the primary contact person for

the *Corporation during the application process.

(5) The applicant must submit all application documents not later than 5:00 p.m.

Mountain Standard Time on the last day of the application period.

19 Types of documents required

(1) An applicant for a Class C race track licence must submit the documents

required by this Division concerning:

(

a) background information;

(

b) ownership;

(

c) site and facilities,

(

i) on track;

(ii) *off track (if applicable);

(

d) safety and security; and

(

e) a general business plan with a specific marketing component.

(2) In addition to documents required under subsection (1), an applicant for a

Class B race track licence must submit the documents required by this

Division concerning:

(

a) financing; and

(

b) operations and marketing.

(3) An applicant for a Class A licence must submit all the documents required

by this Division.

(4) An applicant for a race track licence must submit the application documents

in written form:

(

a) on 8 1/2 by 11-inch paper;

(

b) have an executive

summary;

(

c) be separated by the appropriate chapter, and the section, subsection, and

Division designation of the rule that requires the submission of a

document must be noted at the top of each page of the document; and

(

d) provide photographs of any three-dimensional exhibits.

(5) The application should contain a table of contents and dividers to clearly

designate the various sections covered in the application and the documents

within the application must be consecutively paginated.

(6) The executive

summary should contain the highlights of the entire

application and should include a table which contains information regarding

the ownership, residency, and contributions of each officer, director, partner,

or owner of an interest of 10% or more in the application submitted in the

format specified in

Schedule 3 to these rules.

(7) The executive

summary must include a table containing an attendance and

wagering

summary of information submitted in the financial forecasts. The

table must be submitted in the format specified in

Schedule 3 to these rules.

20 Review of application documents

(1) Not later than the 15th day after the last day of the identified detailed

application period, the *Corporation must review each application submitted

to determine whether the application contains all the information required by

these rules.

(2) If the *Corporation determines that the application does not contain all the

information required by these rules, the *Corporation must notify the

applicant in writing and state the nature of the deficiency in the application.

(3) The applicant must submit the documents necessary to complete the

application before the 30th day after the last day of the identified detailed

application period.

(4) If the applicant fails to submit the requested documents in a timely manner,

the *Corporation may not certify the application as received and the

*Corporation may not consider the application.

(5) When the *Corporation determines that an application contains all the

information required by these rules the *Corporation must certify in writing

that the application is received by the *Corporation.

(6) The *Corporation must transmit a copy of the certification to the applicant.

21 Changes in application

(1) If information submitted by an applicant as part of a race track application

changes or becomes inaccurate before the *Corporation acts on the

application, the applicant must immediately notify the *Corporation in

writing of the change or inaccuracy.

(2) After a race track application has been filed, the applicant may not amend

the application except:

(

a) to address a deficiency in accordance with a notice sent to it,

(

b) as required by the *Corporation for clarification of information

contained in the application, or

(

c) to address a change in the circumstances surrounding the application

that was outside the control of the applicant and that affects the ability

of the applicant to comply with the *Act or the rules of the

*Corporation.

(3) To amend an application under subsection (2)(c), an applicant must file with

the *Corporation a written request to amend the application stating:

(

a) the change in the circumstances surrounding the application that

necessitates the amendment;

(

b) the nature of the amendment; and

(

c) the reasons why the amendment is necessary to bring the application

into compliance with the *Act or the rules of the *Corporation.

(4) A request to amend may only be granted if the applicant demonstrates that:

(

a) the circumstances requiring the amendment were outside the control of

the applicant;

(

b) before the change in the circumstances surrounding the application, the

application complied with the pertinent provisions of the *Act or the

rules of the *Corporation; and

(

c) the amendment is necessary to bring the application into compliance

with the pertinent provisions of the Act or the rules of the *Corporation.

22 Exemptions from rules

(1) An applicant may request an exemption from a requirement in this Division

in accordance with this section.

(2) In acting on a request for an exemption under this section, the *Corporation

may require the applicant to:

(

a) state, in writing, the applicant's reason for the request; and

(

b) propose an alternative that substantially satisfies the purpose of the

requirement.

(3) The *Corporation may grant an exemption under this

section if the

*Corporation determines:

(

a) the applicant's alternative proposal substantially satisfies the purpose of

the requirement; or

(

b) the *Corporation determines the exemption is in the best interests of the

racing industry in Alberta.

(4) Unless the *Corporation otherwise requires, an applicant that is an

agricultural society under the Agricultural Societies Act is exempt from the

application requirements of these rules related to ownership and

membership.

Ownership

23 Ownership - name and address

The application documents must include:

(

a) a list of all legal/registered or trade names used by the applicant, and

(

b) the names of the registered agent and the address and telephone number

of the registered office of the applicant for service of process.

24 Ownership - business structure

The application documents must describe the applicant's business structure and

include an organizational chart.

25 Ownership - organizers

If the applicant is not an individual and was organized less than 5 years before the

date on which the application documents are submitted to the *Corporation, the

application documents must state:

(

a) the name of each individual who was a paid organizer or promoter of

the applicant,

(

b) the nature and amount of assets, services, or other consideration

contributed to the applicant by an organizer or promoter of the

applicant, and

(

c) the nature and amount of anything of value given by the applicant to an

organizer or promoter of the applicant.

26 Ownership - organizational documents

The application documents must include:

(

a) a statement of which act the applicant was incorporated under, and

when the applicant was incorporated,

(

b) a copy of the articles of incorporation and bylaws of the applicant,

(

c) a statement and documentation of whether the applicant has been

reorganized or reincorporated during the 5-year period preceding the

date on which the application documents are submitted to the

*Corporation, and

(

d) a statement and documentation of whether the applicant has filed

restated articles of incorporation.

27 Ownership - owners

(1) If the applicant is authorized to issue capital stock, the applicant must state

the classes of stock authorized and the total number of shares of each class

authorized. The applicant must state, for each class of stock:

(

a) the par value, if any,

(

b) the voting rights,

(

c) the current rate of dividend, and

(

d) the number of shares outstanding and the number of shares that are

authorized to be issued.

(2) The application documents must identify.

(

a) each beneficial owner of shares in the applicant that bear voting rights,

absolute or contingent,

(

b) each person that directly or indirectly exercises any participation in the

applicant, and

(

c) any other ownership interest in the applicant that the applicant making

its best effort is able to identify.

(3) The application documents must include a certified copy of each voting trust

or voting agreement in which capital stock is held and must state:

(

a) the name and address of each stockholder participating in the trust or

agreement,

(

b) the class of stock involved, and

(

c) the total number of shares held by the trust or agreement.

(4) The application documents must describe the terms of any proxy by which

capital stock may be voted and must state:

(

a) the name and address of the person holding the proxy,

(

b) the name and address of the stockholder who granted the proxy,

(

c) the class of stock for which the proxy may vote, and

(

d) the total number of shares voted by the proxy.

(5) The application documents must state any provisions for the redemption,

repurchase, retirement, conversion, or exchange of an ownership interest.

Ihe documents must state the procedure by which these provisions may be

modified.

(6) The application documents must state whether the applicant's stock may be

traded through options and whether a stockholder has executed an

agreement or contract to convey any of the stockholder's stock at a future

date. The application documents must include a copy or a description of

each agreement or contract disclosed under this subsection.

28 Ownership - directors, officers, and partners

(1) If the applicant is not an individual, the application documents must include

a list of the individuals who are serving or who are designated to serve,

during the first year after the date the application documents are submitted

to the *Corporation, as a director, officer, partner, or member of the

management committee of the applicant. In the event that such individuals

are engaged in such a capacity thereafter, such applicant shall file annually

on the anniversary date of application, updated information on such

individuals.

(2) The list must state, for each individual listed under subsection (1)

(

a) the individual's name and address,

(

b) each position or office of the applicant held by the individual,

(

c) the individual's principal occupation during the 5-year period preceding

the date on which the application documents are submitted to the

*Corporation, and

(

d) the nature and the extent of any ownership interest that the individual

has in the applicant.

29 Ownership - controlling entity

(1) The application documents must state whether another entity exercises or is

in a position to exercise control in the management or financial affairs of the

applicant. The documents must describe the nature of the relationship

between the entity and the applicant and the extent of control exercised by

the entity.

(2) If a non-individual entity owns an interest of 10 percent or more in the

applicant, the application documents must include the information required

by subsection (

l) of this

section as it relates to the non-individual entity.

(3) The application documents must include information required by subsection

(2) of this

section for each non-individual entity identified in the application

documents to the extent necessary to determine the identity of each

individual who is an indirect holder of an ownership interest in the applicant.

30 Ownership - outside interests

(1) The application documents must state whether the applicant, a director,

officer, or partner of the applicant, or an owner of an interest in the applicant

of 10 percent or more:

(

a) has ever held an ownership interest in a licensee of the *Corporation, or

(

b) is currently engaged in the business of horse racing or gaming in

another jurisdiction.

(2) The applicant must describe the nature of participation stated under

subsection (1).

31 Consultants

The application documents must include a list of all paid consultants used by the

applicant in the development of the application.

32 Background check

(1) The *Corporation may undertake a complete personal, financial, criminal

and business background check of the applicant or any person owning an

interest in or exercising control over a applicant for a race track licence,

including directors, the partners, shareholders, concessionaires, management

personnel, management firms, and creditors.

(2) The application documents must include a statement that irrevocably gives

consent to the *Corporation and to persons authorized by the *Corporation:

(

a) to verify all information provided in the application documents; and

(

b) to conduct background investigations on the applicant and the

applicant's employees.

(3) If the applicant is not an individual, each individual who provides

information under

section 17 (relating to personal information) must execute

a statement required by subsection (2).

(4) An applicant may not pass a background check if any person listed under

subsection (1)

(

a) has within the 5 years before the submission of the application been

convicted of:

(

i) an indictable offence under the Criminal Code (Canada), the

Excise Act (Canada), the Food and Drug Act (Canada) or the

Controlled Drugs and Substances Act (Canada), or

(ii) an offence under another act or regulation, whether foreign or not

that, in the *Corporation's opinion, is substantially similar to an

offence referred to in sub clause (I), or

(

b) has within the 5 years before the submission of the application been

sentenced to serve a term of imprisonment of 3 years or more.

(5) The *Corporation may refuse to issue, renew, or revoke a licence or approve

a concession or management contract if, in the sole discretion of the

*Corporation, the background checks reveal anything which might be

detrimental to the public interest or the racing industry.

Site and Facilities

33 Location

The application documents must include:

(

a) the name of the municipality in which the race track (or *OTB or *TAB

facilities, if applicable) is or is to be located;

(

b) the actual legal description of the race track site;

(

c) the name and address of each person who has held title to the real

property;

(

d) the name and address of each person who holds a mortgage or other

security interest in the real property;

(

e) an aerial photograph of the race track site;

(

f) a photograph of the site from each roadway adjacent to the site; and

(

g) a description of the current commercial and industrial uses for all

property within a half mile area around the race track site.

34 Lease

(1) If an applicant for a race track licence leases or intends to lease the race

track (or *OTB or *TAB facility - if applicable) or race track property

from another person, the application documents must include the

information required by this

section as it relates to the lessor and the lessee.

(2) The application documents must include a copy of the lease agreement and

every other agreement or contract between the lessor and lessee.

(3) The *Corporation may not grant a licence to a person applying under this

section if the *Corporation determines that:

(

a) the lessor would not be qualified to be issued a licence;

(

b) the lease is a subterfuge to avoid compliance with the *Act or a rule of

the *Corporation; or

(

c) the lease is of insufficient length to ensure stability of operations.

35 Improvements

(1) The application documents must describe the applicable zoning designation

for the race track site (or *OTB or *TAB facility) and any special use

permits required for the race track site.

(2) The application documents must provide a capital development/upgrading

schedule (if applicable).

(3) In addition, the applicant must provide copies of the above permits or the

documents must describe the procedure by which the applicant must obtain

the permit, all conditions likely to be placed on the permit, and the estimated

date on which the applicant will obtain the permit.

36 Architect's plan

(1) This

section applies to new race tracks or current race tracks with significant

proposed facility upgrades.

(2) The application documents must include layout drawings of the race track

facility which show the race track or the proposed race track including

drawings of sufficient detail to illustrate the facilities and equipment

specified under sections 37-39.

(3) The drawings must be drawn to scale and must show the measurements of

all areas, including barns and stalls.

(4) For a new race track, the application documents must include a description

of the experience of the architect who designed the proposed facility and a

statement of the number of race tracks the architect has visited and designed.

37 Track safety

(1) Track Dimensions:

The application documents must state the dimensions and specifications of

each track to be provided on the applicants' grounds, including:

(

a) the total length;

(

b) the width;

(

c) the banking, with a description of the method of transition into and out

of turns;

(

d) the radius of each turn and the length of each stretch and chute;

(

e) the type of inside and outside rail (including materials used);

(

f) the composition and depth of the base, subsurface, and cushion of the

track with a schematic drawing of the racing surface;

(

g) the drainage system for the racing surface;

(

h) the location and design of the video towers;

(

i) the location and design of TV camera placement and sound towers;

(

j) the location and method of closing gaps in the rail;

(

k) the location and design of the tote board;

(

l) the location of lighting for the race track;

(

m) the type of turf for a turf race track; and

(

n) the method by which the track will be winterized.

(2) The application documents must describe the racing surface maintenance

plan for all seasons and the necessary maintenance equipment, including

equipment to water and care for the race track.

(3) The application must provide the information required by this

section in

sufficient detail to demonstrate the applicant's ability to operate and

maintain a race track.

(4) Starting Gates & Distance Markers

(

a) During racing hours, an association shall provide an operable padded

starting gate, which has been approved by the *Corporation.

(

b) An association shall make at least one starting gate and qualified

starting gate personnel available for schooling during designated

training hours.

(

c) An association shall provide starting point markers and distance poles

in a size and position that is clearly seen from the stewards' stand.

(

d) The starting point markers and distance poles must be marked as

follows:

1/4 poles - Red and white horizontal stripes

1/8 poles - Green and white horizontal stripes

1/16 poles - Black and white horizontal stripes

220 yards - Green and white

250 yards - Blue

300 yards - Yellow

330 yards - Black and white

350 yards - Red

400 yards - Black

440 yards - Red and white

550 yards - Black and white horizontal stripes

660 yards - Green and white horizontal stripes

770 yards - Black and white horizontal stripes

870 yards - Blue and white horizontal stripes

(5) Racetrack:

(

a) The surface of a race track, including the cushion, subsurface and base,

must be designed, constructed and maintained to provide for the safety

of the jockeys and horses.

(

b) Prior to the first race meeting at an association race track, a licensed

surveyor shall provide to the *Corporation a certified report of the

grade and measurement of the distances to be run.

(

i) If any material change occurs to the rail placement, race track

configuration, race track elevations or any other change deemed

material where the running circumference of the track may be

altered, the association shall have the track re-surveyed and the

new survey submitted to the *Corporation.

(ii)

Section (

a) above is in addition to the requirement by the American

Quarter Horse Association (AQHA) that requires a survey at

regular intervals to comply with AQHA standards.

(

c) Distances to be run shall be measured from the starting line at a

distance three feet out from the inside rail.

(

d) The surveyor's report must be approved by the *Corporation prior to

the first race day of the meeting.

(

e) An association shall provide an adequate drainage system for the race

track.

(

f) An association shall provide adequate equipment and personnel to

maintain the track surface in a safe training and racing condition. The

association shall provide back-up equipment for maintaining the track

surface.

(

g) The top of the rail on dirt and turf courses must be at least 38 inches but

not more than 50 inches above the top of the cushion. The inside rail

posts shall have a gooseneck shape of no less than 15 inches with a

maximum of 24 inches, measured horizontally from the trackside of the

gooseneck post to a point directly below the front edge of the trackside

rail; the inside rail overhang shall have a continuous, smooth cover. The

outside rail shares the same height as the inside rail and must have a

minimum of a 12 inch and a maximum of 18-inch gooseneck shape.

(

h) All rails for dirt and turf courses must be constructed of materials

designed to withstand the impact of a horse running at a gallop.

(

i) The licensee shall provide backup equipment for maintaining the track

surface.

(

j) A licensee that conducts races on a turf track shall maintain an adequate

stockpile of growing medium and provide a system capable of

adequately watering the entire turf course evenly.

(6) Lighting:

(

a) An association conducting night racing shall provide lighting for the

racetrack and the patron facilities that is adequate to ensure the safety

and security of the patrons, licensees and horses. Lighting to ensure the

proper operation of the videotape and photo finish equipment must be

approved by the *Corporation.

(

b) An association shall provide adequate additional lighting in the stable

area as required by the *Corporation.

(

c) If an association conducts racing at night, the association shall maintain

a back-up lighting system that is sufficient to ensure the safety of race

participants and patrons.

(7) Equine Ambulance:

(

a) An association shall provide an equine ambulance staffed by trained

personnel on association grounds on each day that the race track is open

for racing or training.

(

b) The ambulance must be properly ventilated and kept at an entrance to

the racing strip when not in use.

(

c) The ambulance must be a covered vehicle that is low to the ground and

large enough to accommodate a horse in distress. The ambulance must

be able to navigate on the race track during all weather conditions and

transport a horse off the association grounds.

(

d) The ambulance must be equipped with large, portable screens to shield

a horse from public view, ramps to facilitate loading a horse, adequate

means of loading a horse that is down, a rear door and an additional

side door, and should endeavour to provide a padded interior, a

movable partition to initially provide more room to load a horse and to

later restrict a horse's movement, a shielded area for the person who is

attending to the horse.

(

e) An association may not conduct a race unless an equine ambulance or

an official veterinarian-approved substitute is readily available.

(

f) The equine ambulance, its supplies and attendants and the operating

procedures for the equine ambulance must be approved by the official

veterinarian.

(8) Human Ambulance:

(

a) A racetrack shall provide a properly staffed and equipped Advanced

Life Support ambulance and advanced care paramedic(

s) in accordance

with the Alberta Occupational Health and Safety Act during racing

hours (all racing). If the ambulance is being used to transport an

individual from the racing surface or attending to a patient, the

racetrack may not conduct a race, or allow horses on the racetrack until

the ambulance is replaced or available for service.

(

b) Race tracks shall ensure the Advanced Life Support ambulance staff

have been trained in concussion management. Any Jockey/driver who

falls or is thrown from a horse during a race must be examined by the

Advanced Life Support staff. Advanced Life Support staff shall report

their findings to the board of stewards/judges, who will determine if the

driver/jockey may continue riding.

(

c) Unless otherwise approved by the *Corporation or the stewards, an

ambulance shall follow the field at a safe distance during the running of

races.

(

d) The ambulance must be parked at an entrance to the racing strip except

when the ambulance is being used to transport an individual or when it

is following the field during the running of a race.

(9) Barns:

(

a) An association shall provide barns containing a sufficient number of

stalls to accommodate all horses approved to race and all other horses

approved to be on the grounds. The association's stable area

configuration and facilities must be approved by the *Corporation.

(

b) An association shall ensure that the barns are kept clean and in good

repair. Each barn, including the receiving barn, must have a hot and

cold water supply available, be well ventilated, have proper drainage

and be constructed to be comfortable in all seasons.

(

c) An association shall ensure that each horse is stabled in an individual

box stall with minimum dimensions of 10 by 10 feet.

(

d) An association shall provide an adequate area for the placement of

manure removed from the stalls. All manure must be removed from the

stable area daily. The association shall ensure that refuse from the stalls

and other refuse are kept separate.

(10) Test Barns:

(

a) An association shall provide a test barn for taking specimens of urine,

blood or other bodily substances or tissues for testing.

(

b) The test barn must be equipped with a walk ring that is large enough to

accommodate multiple horses and readily visible for supervision by test

barn staff, enclosed stalls that permit observation of the collection

process and provide for the protection of collection personnel, facilities

and equipment for the collection, identification and storage of samples,

a wash rack that is large enough to accommodate multiple horses at the

same time, hot and cold running water; and clean water buckets for

each horse.

(

c) An association shall limit access to the test barn to persons authorized

by the official veterinarian. All entrances shall be locked or guarded at

all times.

(11) Paddock - See

Section 39(

d) of this Section

(12) Emergency Track Warning System:

(

a) All tracks shall have a method of emergency track warning system on

all racing and training tracks.

(

b) The emergency warning system shall consist of a system that notifies

all people utilizing the racetrack, and where applicable, on main horse

paths and entrances (gaps) that are used during morning exercising by

horsemen to enter the training surface.

(13) During Workouts and Training:

(

a) During workouts, both lights and sirens shall be used simultaneously.

When a warning system is activated, those working, galloping, or

ponying horses shall slow down and no one on horseback shall enter the

affected track.

(

b) During training, lights and sirens shall both be used to signal a lightning

delay and that all participants should exit to shelter. Once the course is

cleared, lights should remain on until the track is reopened after 30

minutes from the last lightning strike within an 8-mile radius of the

facility.

38 Public areas

(1) The application documents must state the specifications for areas of the race

track site (and off site areas - if applicable) to which the public will have

access and include a description of the configuration and location of:

(

a) the grandstand (external site and internal area);

(

b) the total number of seats, broken down to designate the indoor and

outdoor seats and the reserved and non-reserved seats;

(

c) television monitors available for viewing by patrons;

(

d) the pari-mutuel facility;

(

e) the concession areas;

(

f) the restrooms;

(

g) parking;

(

h) special clubs or other facilities for certain patrons, owners, horsemen;

(

i) other features or adjoins that are non-racing in nature;

(

j) the smoking and non-smoking areas;

(

k) the turnstiles or the method for counting patrons;

(

l) the fencing around the grandstand;

(

m) any plans for green space landscaping or around the race track site and;

(

n) details on any proposed use of the infield area.

(2) The application documents must describe the applicant's plans for

maintaining and cleaning the public areas of the race track.

(3) The applications documents must provide the information required by this

section in sufficient detail to demonstrate the applicant's ability to operate

and maintain its public areas.

(4) The application documents must state the maximum capacity of the

facilities, and include the area or areas in square feet of the grandstand

makeup.

(5) An association shall ensure that the public areas of the association grounds

are designed and maintained for the comfort and safety of the patrons and

licensees and are accessible to all persons with disabilities.

(6) An association shall maintain all facilities on association grounds to always

ensure the safety and cleanliness of the facilities.

39 Facilities for animals and personnel

(1) The application documents must describe:

(

a) the facilities for housing horses, both on site and off-site auxiliary

facilities, for example, all weather barns with sufficient stalls for the

horse supply as well as appropriate ventilation, tack room, hot walking

area, lighting, and other beneficial facilities;

(

b) the facilities for housing personnel, for example, the nature and type of

accommodation;

(

c) the facilities for obtaining specimens for testing animals and humans

for drugs;

(

d) the pre-race holding area and paddock;

(

i) Thoroughbred/Quarter Horse

(

A) There shall be as many saddling stalls available as there are

positions in the starting gate. In addition, there shall be two

stalls available for outriding horses.

(

B) Saddling stalls must be 10 feet by 10 feet and with padded or

rounded corners to prevent injury to horses and humans when

saddling.

(

C) There should be an office or a designated area to manage the

duties of the paddock judge.

(ii) Standardbred

(

A) There should be a minimum of a two-race paddock with

enough stalls to accommodate the same number of horses as

there are positions on the starting gate.

(

B) There should be an office or a designated area to manage the

duties of the paddock judge.

(

e) the facilities for owners, trainers, and other race track personnel;

(

f) the lounge area and other recreational facilities for race track personnel;

(

g) the smoking and non-smoking areas;

(

h) the facilities for jockeys and drivers (male and female);

(

i) Jockeys' Room

(

A) The facility should be large enough to accommodate the

number of jockeys competing on the race day. This includes

lockers with lockable storage for every jockey.

(

B) There shall be one private room or office for use by the

*Corporation or designee to conduct breathalyzer and other

bio testing methods for detecting prohibited substances.

(

C) There shall be a separate dressing room for male and female

jockeys. Each room shall have a scale for checking weight.

(

D) There shall be separate bathroom and shower facility for male

and female jockeys with enough toilet stalls and urinals to

comply with jurisdictional building code requirements for

expected occupancy levels.

(

E) A sanitary steam sauna is recommended or an approved

alternative that allows jockeys to sweat off (pull) weight prior

to racing. The steam sauna should be in the vicinity of the

showers so that riders can cool themselves between times in

the steam sauna.

(

F) There shall be a room with bunkbeds so that jockeys may rest

before and during the races.

(

G) In addition, the facility shall include:

(

I) A storage method for racing silks .

(II) A washer and dryer in number and size to launder items

of daily use such as girth sponges, racing silks, saddle

towels.

(III) Work tables of suitable length and width to assemble tack

and allow the racing valets the proper work space.

(ii) Drivers' Room

(

A) The facility should be large enough to accommodate the

number of drivers competing at the race meeting. This

includes lockers with lockable storage for every driver.

(

B) There shall be a separate dressing room for male and female

drivers.

(

C) There shall be separate bathroom and shower facilities for

male and female drivers with enough toilet stalls and urinals

to comply with jurisdictional building code requirements for

expected occupancy levels.

(

i) the stand for the racing judges or stewards and the office and work

areas for representatives of the *Corporation;

(

j) the facilities for the race track's Race Secretary and the bookkeeper;

(

k) the size and composition of the planned path for horses from the stable

to the pre-race holding area, paddock, race track, and test barn;

(

l) the areas and equipment in and around the stable area where horses may

be cooled out or leisurely exercised, such as gallops, grass paddocks,

pastures, wood chip trails, or electric walkers;

(

m) the barn and stable area and its ventilation system;

(

n) the process for waste removal;

(

o) equine care facilities;

(

p) child care facilities for the patrons or the licensees, if provided.

(2) The application documents must describe the applicant's plans for

maintaining and cleaning the facilities that are provided for animals and

personnel.

(3) The application documents must provide the information required by this

section in sufficient detail to demonstrate the applicant's ability to operate

and maintain the facilities for animals and personnel.

(4) An association shall provide adequate office space for the use of the

stewards/judges and other *Corporation personnel as required by the

*Corporation. The location and size of the office space, furnishings and

equipment required under this

section must be approved by the

*Corporation.

40 Racing equipment

(1) The application documents must describe the equipment used or to be used

in conducting races, including the starting gate or car and the timing, photo

finish, track maintenance, and videotape equipment.

(2) The application documents must describe the equipment used or to be used

in conducting races in sufficient detail to show compliance with the *CPMA

permit requirements and any additional requirements under the *Corporation

rules.

Safety and Security

41 Safety, security and documentation

(

a) The application documents must include detailed plans that provide for

the safety, security and first aid of the patrons, the racehorses, licensees

and race track personnel.

(

b) An association shall have on file with Horse Racing Alberta a copy of

the actual policy and post in the jockeys' quarters a

summary of the

association's insurance coverage for jockeys who are injured while on

the grounds of the association and shall, upon the request of any

licensed jockey who is participating in the race meeting, provide a copy

of the policy of such insurance. Such a request shall be made in writing

to a racing official designated by the association in the notice to

respond to such requests.

(

c) In the event that the insurance policy is changed during the race

meeting, the association shall promptly notify Horse Racing Alberta

and post a notice of any such changes.

42 Animal health and safety

(1) The application document must describe the methods the applicant currently

or proposes to use to minimize the risk of injury or breakdown to race horses

and provide the best conditions for their safety and health.

(2) The application documents should describe the applicant's plans (if any) for

alleviating stress in racehorses.

(3) The application documents should describe the applicant's plans (if any) for

enhancing sports medicine research in Alberta through the reporting and

review of data on injuries and accidents in racehorses.

(4) The application documents should describe the applicant's public relations

strategy and plans for dealing with public concerns relating to the humane

treatment of racehorses at their facility.

43 Security for facilities

(1) The safety and security plans must describe the security equipment, such as

fences, locks, alarms, and monitoring equipment, for the race track facilities,

including:

(

a) the perimeter;

(

b) the stables;

(

c) the paddock;

(

d) the pre-race holding area and test barn; and

(

e) the parking lot.

(2) The plans must describe the security procedures to be used:

(

a) to admit individuals to restricted areas of the race track; and

(

b) to expel and exclude an individual from the race track.

44 Security personnel

(1) The safety and security plans must describe the security personnel at the

race track.

(2) An association conducting a race meeting shall maintain security controls

over its grounds. Security controls are subject to the approval of Horse

Racing Alberta.

(3) An association may establish a system or method of issuing credentials or

passes to restrict access to its restricted areas or to ensure that all participants

at its race meeting are licensed as required by these rules.

(4) An association shall prevent access to and shall remove or cause to be

removed from its restricted areas any person who is unlicensed, or who has

not been issued a visitor's pass or other identifying credential, or whose

presence in such restricted area is unauthorized.

(5) Unless otherwise authorized by Horse Racing Alberta, an association shall

provide:

(

i) continuous security in the stable area during all times that horses

are stabled on the grounds. An association shall require any person

entering the stable area to display valid credentials issued by Horse

Racing Alberta or a visitor's pass issued by the association. A

written record of all individuals admitted to the stable area between

the hours of 12:00 midnight and 5:00 a.m. shall be maintained. At

a minimum this record shall contain the name of the person

admitted, the person's license number and the time admitted. An

association shall provide security fencing around the stable area in

a manner that is approved by Horse Racing Alberta.

(6) On request by Horse Racing Alberta, an association shall provide a list of

the security personnel, including the name, qualifications, training, duties

duty station and area supervised by each employee.

(7) Each day, the chief of security for an association shall deliver a written

report to the stewards regarding occurrences on association grounds on the

previous day. Not later than 24 hours after an incident occurs requiring the

attention of security personnel, the chief of security shall deliver to the

stewards a written report describing the incident. The report must include

the name of each individual involved in the incident, the circumstances of

the incident and any recommended charges against each individual involved.

(8) Racing associations shall develop comprehensive training programs that

enable backstretch security personnel to expand their knowledge and

abilities in policing and securing the stable area.

(9) Associations should support and participate in available security training

opportunities, such as those provided by the Thoroughbred Racing

Protective Bureau (TRPB) and the Organization of Racing Investigators.

These programs should promote use of "best practices" to secure horses on

race day.

Financing

45 Financial information

(1) The application documents must include audited financial statements for the

applicant for each of the 3 fiscal years preceding the date of the application

(where applicable).

(2) If the applicant has been organized less than 3 years, the application

documents must include the audited financial statements for each fiscal year

that the applicant has been organized.

(3) The application documents must include a business plan for the applicant.

46 Loans

(1) The application documents must disclose details of any loan made by the

applicant that exceeds 1% of the applicant's net income for the year in

which the loan was made.

(2) The document must:

(

a) state the name and address of the borrower;

(

b) state the amount of the loan;

(

c) describe the terms of repayment of the loan; and

(

d) include a copy of each document executed with respect to the loan.

47 Debt

(1) The application documents must describe any lien that encumbers 1% or

more of the applicant's assets or 1% or more of the assets of a person with

an ownership interest in the applicant of 25% or more.

(2) For each lien, the documents must:

(

a) state the name and address of the lender or secured party;

(

b) state the amount of the indebtedness;

(

c) describe the terms of the lien; and

(

d) include a copy of each document executed with respect to the lien.

48 Budget

(1) This

section applies to new race tracks or current race tracks with significant

proposed facility upgrades.

(2) The application documents must describe the costs of construction or capital

improvement of the race track facilities.

(3) The documents must state whether each item is an actual cost or a

projection, and must include costs of:

(

a) architectural and engineering services;

(

b) land acquisition;

(

c) site development;

(

d) facility construction;

(

e) equipment acquisition;

(

f) capitalized interest;

(

g) loan placement fees and other guarantee fees;

(

h) any other financing costs relating to construction;

(

i) administrative services relating to construction;

(

j) legal services relating to construction; and

(

k) other areas relating to construction, providing details of any costs

exceeding 5% of the total cost of construction.

(4) For new race tracks the application documents must describe the costs of

operating the race track before the first day of racing, including the costs of:

(

a) marketing (including advertising and promotion);

(

b) application development;

(

c) application fees;

(

d) licensing fees;

(

e) management, administrative, and other salaries;

(

f) interest and other financing costs not relating to construction; and

(

g) other areas relating to operations, providing details of any costs

exceeding 5% of the total costs.

49 Funding

(1) This

section applies to new race tracks or current race tracks with significant

proposed facility upgrades.

(2) The application documents must state each source of funds for the operation

or construction, or both, of capital improvements of the race track.

(3) The documents must state:

(

a) each source of equity contribution, the amount of contribution, and the

terms of any commitment from that source;

(

b) each source of debt contribution, the amount of the contribution, and

the terms of any commitment from that source; and

(

c) the basis for valuing non-cash contributions.

(4) The application documents must include documents from which the

*Corporation can conclude that financing for the race track is reasonably

assured for the period that the race track will be licensed.

(5) The application documents must describe alternate sources of funds for

unexpected occurrences, such as cost overruns, non-receipt of equity or debt

funds, or overestimated revenues.

(6) For new race tracks, the application documents must state the amount of

working capital the applicant intends to have available for the first six weeks

of race track operations, including funds for the payment of expenses for

officials and purses.

(7) The application documents must state any special financing circumstance.

50 Financial projections

(1) The application documents must include financial projections regarding the

operation of the race track and pari-mutuel wagering for each of the

subsequent 5 years of racing operations following the granting of a race

track licence.

(2) The financial projections must include forecasts of revenues and expenses

and changes in capital accounts and cash flows.

(3) The application documents must include a projected balance sheet to

document the financial forecasts for each year for which financial

projections are made.

(4) The projected balance sheet must state the assets, liabilities, and amount of

capital of the applicant, based on variables such as:

(

a) average daily attendance;

(

b) average daily *handle;

(

c) average per capita wager;

(

d) average number of admissions, including ticket price and free

admission;

(

e) the proposed shares for the applicant and the horsemen from the

pari-mutuel handle;

(

f) the proposed shares for the applicant and the horsemen from revenue

generated on site per other activities that are not necessarily horse

racing, for example, by sponsorships;

(

g) purse schedules;

(

h) uncashed ticket revenue;

(

i) payroll (including management);

(

j) taxes;

(

k) cost of interest;

(

l) cost of insurance, legal, and accounting services;

(

m) cost of operating supplies and services;

(

n) cost of utilities;

(

o) cost of maintenance and repairs;

(

p) cost of totalizator services and pari-mutuel operations;

(

q) marketing expenses (including advertising and promotion);

(

r) travel expenses; and

(

s) equipment depreciation.

(5) The financial projections must be presented in accordance with generally

accepted accounting principles.

(6) For new race tracks, the application documents must describe the criteria

that were used to select the comparable race tracks for purposes of

determining the information supplied in subsection (3).

(7) The application documents must include a projection of break-even

operations prepared on the basis of cash flow from operations after debt

service prepared by using the same number of race days, per capita *handle,

and other assumptions used in the financial projections and must express

break-even in terms of handle or attendance per race day, or both.

51 Out-of-province distributions

The application documents must state the amount of money that will be paid by the

applicant, during each of the subsequent 5 years of licensed operation, to entities

located outside Alberta as:

(

a) payments or profit or other distributions to investors residing outside of

Alberta;

(

b) interest on debt with lenders located outside Alberta;

(

c) payment for supplies purchased from or services rendered by entities

based outside Alberta other than the management company;

(

d) payments to the management company as reimbursements for expenses

or as payment for services;

(

e) rent for facilities or equipment owned by entities based outside Alberta;

and

(

f) any other payments to out-of-province entities.

Operations and Marketing

52 Race meetings

(1) The application documents must describe the type of race meetings the

applicant plans to conduct each year, including:

(

a) the number and type (by breed) of live race meetings and the number of

live race days per week, and

(

b) the number and type (by breed) of *simulcast race meetings and the

number of simulcast race days per week.

(2) For each race meeting described, the documents must indicate the time of

day the races will be conducted and the approximate number of races per

breed to be offered.

53 Time

schedule

(1) This

section applies to new race tracks only or current race tracks with

significant proposed facility upgrades.

(2) The application documents must describe the time

schedule proposed by the

applicant for preparing the race track for racing.

(3) For a new race track or an existing race track that is implementing capital

improvements, the time

schedule must state the estimated number of weeks,

after the date the *Corporation grants the licence, that the race track will

open and when each of the following tasks will begin and end:

(

a) acquiring land;

(

b) soliciting bids;

(

c) awarding construction contracts;

(

d) construction;

(

e) hiring management personnel;

(

f) implementing marketing plan; and

(

g) staffing and training staff.

54 Management

(1) The application documents must include a list of the individuals who are or

will be senior decision makers or management personnel, or both,

responsible for the operation of the race track.

(2) For each individual listed, the documents must:

(

a) include all information and required documents from

section 17(2),

17(3), 32(2), and 32(3) of these rules (relating to personal information

and background check);

(

b) state the individual's experience and qualifications in:

(

i) the racing industry, including pari-mutuel operations;

(ii) general business;

(iii) finance and accounting; and

(iv) security.

(3) The application documents must include an organizational chart of the

management personnel.

(4) For each individual who is currently filling or who has been hired to fill a

key management position, the documents must include a biography that

states the total number of years experience the individual has in:

(

a) pari-mutuel racing;

(

b) non-pari-mutuel racing;

(

c) other businesses relevant to the management position; and

(

d) the proposed percentage of ownership, if any.

(5) If the applicant contracts or intends to contract with a person or management

company to manage the race track, the application documents must include:

(

a) a copy of the written contract;

(

b) a description of the person or company's previous experience operating

a pari-mutuel race track; and

(

c) all the information required by this

section as it pertains to the person or

company and its employees.

55 Marketing

The application documents must describe in detail the applicant's plan for the

marketing, promotion and advertising of horse racing, special events and of their

grandstand/race track facility.

56 Concessions

The application documents must describe the applicant's plan for concessions,

including food, beverages, and merchandise/promotional products.

57 Pari-mutuel operations

(1) The application documents must describe the applicant's pari-mutuel

facilities and operations, including a description of the totalizator equipment

being used or proposed to be used.

(2) The application documents must describe the pari-mutuel facilities and

totalizator equipment in sufficient detail to show compliance with

*Canadian Pari-Mutuel Agency permit requirements or provide the

*Corporation with a copy of the permit.

Impact of Facility

58 Economic impact information and projections

The application documents should include projections of the economic impact of the

race track, including the impact on:

(

a) employment;

(

b) the sale of goods and services;

(

c) tourism;

(

d) tax revenues; and

(

e) public and private investments.

59 Impact on breeding industry

The application documents should describe the applicant's current or future plans, or

both, to encourage the growth of the horse breeding industry in Alberta.

Part 4

RACE TRACK LICENSEE'S RESPONSIBILITIES

60 General

(1) Every race track licence is granted upon the condition that the licence holder

accepts, will observe and will enforce the rules and directives of the

*Corporation, and it is the duty of each officer, director and employee of the

licence holder to observe and enforce the rules and directives.

(2) All applications are to be signed and verified by statutory declaration.

(3) In the event that control, whether majority or less of the capital stock, of any

*Corporation holding a race track licence from the *Corporation is to be

conveyed, no sale or conveyance takes effect until approval in writing is

obtained from the *Corporation.

(4) In addition to the following rules in

Part 4, the Race Track Licensee shall be

continuously responsible for all of the items referenced in

Part 3, including

but not limited to sections 37 and 39 through 44.

(5) Prior to each race meeting, the Licensee and *Corporation staff member(

s) or designee shall conduct a thorough inspection of the racing facility

including but not limited to:

(

a) race track surface testing

(

b) track and barn maintenance equipment

(

c) barns/stall/stabling

(

d) tote board or equivalent

(

e) track lighting including safety lighting

(

f) starting gates

(

g) horse and human ambulance

(

h) paddock, driver and jockeys areas

(

i) All items listed in

Section 65 of these rules

(

j) accident, evacuation and crisis mitigation plan in conjunction with and

approved by the *Corporation

(

i) The plan shall be compiled and accessible in a binder or other

approved means and available in conspicuous places as well as

distributed to all stakeholders;

(ii) The Licensee shall

schedule a practice drill prior to the

commencement of each race meeting

(

k) Any other areas not listed that are a function of the day-to-day race

track operation

(6) All deficiencies will be documented with a copy provided to the Licensee as

part of an annual race track operator health and safety inspection. Per

Part 2,

Section 10, Paragraph 4 of these rules, the licensee shall have the period of

time allotted in the notice (such period to be no longer than 30 days), to

remedy the default or explain how that default will be addressed, failing

which the *Corporation may:

(

a) impose a fine, to a maximum of $100,000 (See

Schedule 4), or other

penalty, upon the licensee;

(

b) suspend the licence for such time as the *Corporation deems

appropriate, including an allotted time in which to remedy the default;

(

c) cancel the licence.

(7) The Licensee shall provide the *Corporation with read-only access to non-

proprietary racing information through the third party contactors utilized by

the Licensee. The information includes the number of races, types of races

run and starters, purses paid, jockey and trainer standings. Any additional

information must be agreed to between the Licensee and the *Corporation.

(8) Equine Ambulance:

(

a) An association shall provide an equine ambulance staffed by trained

personnel on association grounds on each day that the race track is open

for racing or training.

(

b) The ambulance must be properly ventilated and kept at an entrance to

the racing strip when not in use.

(

c) The ambulance must be a covered vehicle that is low to the ground and

large enough to accommodate a horse in distress. The ambulance must

be able to navigate on the racetrack during all weather conditions and

transport a horse off the association grounds.

(

d) The ambulance must be equipped with large, portable screens to shield

a horse from public view, ramps to facilitate loading a horse, adequate

means of loading a horse that is down, a rear door and a door on each

side, a padded interior, a movable partition to initially provide more

room to load a horse and to later restrict a horse's movement, a shielded

area for the person who is attending to the horse, and an adequate area

for the storage of water and veterinary drugs and equipment.

(

e) An association may not conduct a race unless an equine ambulance or

an official veterinarian-approved substitute is readily available.

(

f) The equine ambulance, its supplies and attendants and the operating

procedures for the equine ambulance must be approved by the official

veterinarian.

(9) Human Ambulance:

(

a) A race track shall provide a properly staffed and equipped Advanced

Life Support ambulance and advanced care paramedic(

s) in accordance

with the Alberta Occupational Health and Safety Act during training

(thoroughbred racing) and racing hours (all racing). If the ambulance is

being used to transport an individual from the racing surface or

attending to a patient, the race track may not conduct a race, or allow

horses with riders/drivers on the racetrack, until the ambulance is

replaced or available for service.

(

b) Race tracks shall ensure the Advanced Life Support ambulance staff

have been trained in concussion management. Any jockey/driver who

falls or is thrown from a horse during a race must be examined by the

Advanced Life Support staff. Advanced Life Support staff shall report

their findings to the board of stewards/judges who will determine if the

Jockey may continue riding.

(

c) Unless otherwise approved by the *Corporation or the stewards/judges,

an ambulance shall follow the field at a safe distance during the running

of races.

(

d) The ambulance must be parked at an entrance to the racing strip except

when the ambulance is being used to transport an individual or when it

is following the field during the running of a race.

61 Annual financial report

Licensees shall submit to the *Corporation an annual financial report, prepared in

accordance with generally accepted accounting principles, which shall include:

(

a) all information required under

section 12 of these rules;

(

b) report of independent auditors:

(

c) a statement pertaining to the licensee's activities in the province;

(

d) a listing of concession and management companies having any

beneficial interest in the racing activities of the licensee;

(

e) number of performances by number of race cards and by number of

races by breed;

(

f) attendance;

(

g) total pari-mutuel *handle;

(

h) amount of uncashed tickets;

(

i) purses paid - indicating sources;

(

j) corporate sponsorships - indicating sources and funding amounts;

(

k) expenses related to racing operations;

(

l) total

Document details

CollectionAlberta — Gazette
CitationMonday, September 15, 2025
Typegazette
Volume / chapter17 Sep15 Part1
Languageen
Formathtml
SourcePROVINCIAL
Identifieraa368e7b4fcab0b7956e99ab11c8e3d913f4db82

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