4 - Distribution Requirements

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Decision Content

Appendix A to National Instrument 41-101

General Prospectus Requirements

 

Schedule 1

 Part A

 

Personal Information Form and Authorization of Indirect Collection, Use and Disclosure of Personal Information

 

This Personal Information Form and Authorization of Indirect Collection, Use and Disclosure of Personal Information (the “Form”) is to be completed by every individual who, in connection with an issuer filing a prospectus (the “Issuer”), is required to do so under Part 9 of National Instrument 41-101 General Prospectus Requirements or Part 4 of National Instrument 44-101 Short Form Prospectus Distributions or Part 2 of National Instrument 81-101 Mutual Fund Prospectus Disclosure.

 

The securities regulatory authorities do not make any of the information provided in this Form public.

 

General Instructions:

 

All Questions                All questions must have a response.  The response of “N/A” or “Not Applicable” will not be accepted for any questions, except Questions 1(B), 2(iii) and (v) and 5.

 

                                    For the purposes of answering the questions in this Form, the term issuer includes an investment fund manager.

 

Questions 6 to 10           Please place a checkmark (√) in the appropriate space provided.  If your answer to any of questions 6 to 10 is “YES”, you must, in an attachment, provide complete details, including the circumstances, relevant dates, names of the parties involved and final disposition, if known.  Any attachment must be initialled by the person completing this Form.  Responses must consider all time periods.

 

Delivery                        The issuer should deliver completed Forms electronically via the System for Electronic Document Analysis and Retrieval (SEDAR) under the document type “Personal Information Form and Authorization”.  Access to this document type is not available to the public.  

 

CAUTION

 

An individual who makes a false statement commits an offence under securities legislation.  Steps may be taken to verify the answers you have given in this Form, including verification of information relating to any previous criminal record.

 

DEFINITIONS

 

“Offence” An offence includes:

 

(a)        a summary conviction or indictable offence under the Criminal Code (Canada);

 

(b)        a quasi-criminal offence (for example under the Income Tax Act (Canada), the Immigration Act (Canada) or the tax, immigration, drugs, firearms, money laundering or securities legislation of any Canadian or foreign jurisdiction);

 

(c)        a misdemeanour or felony under the criminal legislation of the United States of America, or any state or territory therein; or

 

(d)        an offence under the criminal legislation of any other foreign jurisdiction;

 

GUIDANCE:  If you have received a pardon under the Criminal Records Act (Canada) for an Offence that relates to fraud (including any type of fraudulent activity), misappropriation of money or other property, theft, forgery, falsification of books or documents or similar Offences, you must disclose the pardoned Offence in this Form.  In such circumstances:

 

(a)        the appropriate written response would be “Yes, pardon granted on (date)”; and

 

(b)        you must provide complete details in an attachment to this Form.

 

“Proceedings” means:

 

(a)        a civil or criminal proceeding or inquiry which is currently before a court;

 

(b)        a proceeding before an arbitrator or umpire or a person or group of persons authorized by law to make an inquiry and take evidence under oath in the matter;

 

(c)        a proceeding before a tribunal in the exercise of a statutory power of decision making where the tribunal is required by law to hold or afford the parties to the proceeding an opportunity for a hearing before making a decision; or

 

(d)        a proceeding before a self-regulatory entity authorized by law to regulate the operations and the standards of practice and business conduct of its members (including where applicable, issuers listed on a stock exchange) and individuals associated with those members and issuers, in which the self-regulatory entity is required under its by-laws, rules or policies to hold or afford the parties the opportunity to be heard before making a decision, but does not apply to a proceeding in which one or more persons are required to make an investigation and to make a report, with or without recommendations, if the report is for the information or advice of the person to whom it is made and does not in any way bind or limit that person in any decision the person may have the power to make;

 

“securities regulatory authority” or “SRA” means a body created by statute in any Canadian or foreign jurisdiction to administer securities law, regulation and policy (e.g. securities commission), but does not include an exchange or other self regulatory entity;

 

“self regulatory entity” or “SRE” means:

 

(a)        a stock, derivatives, commodities, futures or options exchange;

 

(b)        an association of investment, securities, mutual fund, commodities, or future dealers;

 

(c)        an association of investment counsel or portfolio managers;

 

(d)        an association of other professionals (e.g. legal, accounting, engineering); and

 

(e)        any other group, institution or self-regulatory organization, recognized by a securities regulatory authority, that is responsible for the enforcement of rules, policies, disciplines or codes under any applicable legislation, or considered an SRE in another country.

 


1.  A.    IDENTIFICATION OF INDIVIDUAL COMPLETING FORM

 

LAST NAME(S)

FIRST NAME(S)

FULL MIDDLE NAME(S)  (No initials.  If none, please state)

 

 

 

NAME(S) MOST COMMONLY KNOWN BY:

 

NAME OF ISSUER

 

PRESENT or PROPOSED POSITION(S) WITH THE ISSUER – check () all positions below that are applicable.

 

IF DIRECTOR / OFFICER DISCLOSE THE DATE ELECTED / APPOINTED

IF OFFICER – PROVIDE TITLE

IF OTHER – PROVIDE DETAILS

()

Month

Day

Year

 

Director

 

 

 

 

 

Officer

 

 

 

 

 

Other

 

 

 

 

 

 


B.

Other than the name given in Question 1A above, provide any legal names, assumed names or nicknames under which you have carried on business or have otherwise been known, including information regarding any name change(s) resulting from marriage, divorce, court order or any other process.  Use an attachment if necessary.

 

FROM

 

TO

 

 

MM

YY

MM

YY

 

 

 

 

 

 

 

 

 

 

 

 

 

C.

GENDER

DATE OF BIRTH

PLACE OF BIRTH

 

 

 

Month

Day

Year

City

Province/State

Country

 

Male

 

 

 

 

 

 

 

 

 

Female

 

 

D.

MARITAL STATUS

FULL NAME OF SPOUSE – include common-law

OCCUPATION OF SPOUSE

 

 

 

 

 

E.

TELEPHONE AND FACSIMILE NUMBERS AND E-MAIL ADDRESS

 

RESIDENTIAL

(             )

FACSIMILE

(             )

 

BUSINESS

(             )

E-MAIL*

 

 

*Provide an email address that the regulator may use to contact you regarding this personal information form.  This email address may be used to exchange personal information relating to you.

 


 

F.

RESIDENTIAL HISTORY – Provide all residential addresses for the past 10 YEARS starting with your current principal residential address.  If you are unable to recall the complete residential address for a period, which is beyond five years from the date of completion of this Form, the municipality and province or state and country must be identified.  The regulator reserves the right to require the full address.

 

STREET ADDRESS, CITY, PROVINCE/STATE, COUNTRY & POSTAL/ZIP CODE

FROM

TO

 

 

MM

YY

MM

YY

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

2.          CITIZENSHIP

 

 

 

YES

 

NO

(i)         Are you a Canadian citizen?

 

 

(ii)        Are you a person lawfully in Canada as an immigrant but are not yet a Canadian citizen?

 

 

(iii)       If “Yes” to Question 2(ii), the number of years of continuous residence in Canada:

 

 

(iv)       Do you hold citizenship in any country other than Canada?

 

 

(v)        If Yes to Question 2(iv), the name of the country(ies):

 

 

 

 

3.          EMPLOYMENT HISTORY

 

Provide your complete employment history for the 5 YEARS immediately prior to the date of this Form starting with your current employment.  Use an attachment if necessary.  If you were unemployed during this period of time, state this and identify the period of unemployment.

 

 

EMPLOYER NAME

 

EMPLOYER ADDRESS

 

POSITION HELD

 

FROM

 

TO

 

 

 

 

MM

 

YY

 

MM

 

YY

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 


4.         INVOLVEMENT WITH ISSUERS

 

 

YES

 

NO

A.

Are you or have you during the last 10 years ever been a director, officer, promoter, insider or control person for any reporting issuer?

 

 

 

 

B.

If YES to 4A above, provide the names of each reporting issuer.  State the position(s) held and the period(s) during which you held the position(s).  Use an attachment if necessary.

 

NAME OF

 

MARKET

FROM

TO

 

REPORTING ISSUER

POSITION(S) HELD

TRADED ON

MM

YY

MM

YY

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

C.

While you were a director, officer or insider of an issuer, did any exchange or other self-regulatory entity ever refuse approval for listing or quotation of the issuer, including (i) a listing resulting from a business combination, reverse takeover or similar transaction involving the issuer that is regulated by an SRE or SRA, (ii) a backdoor listing or qualifying acquisition involving the issuer (as those terms are defined in the TSX Company Manual as amended from time to time) or (iii) a qualifying transaction, reverse takeover or change of business involving the issuer (as those terms are defined in the TSX Venture Corporate Finance Manual as amended from time to time)?  If yes, attach full particulars.

 

 

 

5.           EDUCATIONAL HISTORY

 

A.

PROFESSIONAL DESIGNATION(S) – Identify any professional designation held and professional associations to which you belong, for example, Barrister & Solicitor, C.A., C.M.A., C.G.A., P.Eng., P.Geol., CFA, etc. and indicate which organization and the date the designations were granted.

 

 

PROFESSIONAL DESIGNATION

and MEMBERSHIP NUMBER

 

 

GRANTOR OF DESIGNATION

and CANADIAN or FOREIGN JURISDICTION   

 

 

DATE GRANTED

 

 

 

 

MM

 

YY

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 


Describe the current status of any designation and/or association (e.g. active, retired, non-practicing, suspended).

 

 

 

 

B.

Provide your post-secondary educational history starting with the most recent.

 

 

SCHOOL

 

LOCATION

 

DEGREE OR DIPLOMA

 

DATE OBTAINED

 

 

 

 

 

MM

DD

YY

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

6.         OFFENCES – If you answer YES to any item in Question 6, you must provide complete details in an attachment.  If you have received a pardon under the Criminal Records Act (Canada) for an Offence that relates to fraud (including any type of fraudulent activity), misappropriation of money or other property, theft, forgery, falsification of books or documents or similar Offences, you must disclose the pardoned Offence in this Form. 

 

 

 

YES

 

NO

A.

Have you ever, in any Canadian or foreign jurisdiction, pled guilty to or been found guilty of an Offence?

 

 

 

B.

Are you the subject of any current charge, indictment or proceeding for an Offence, in any Canadian or foreign jurisdiction?

 

 

 

C.

To the best of your knowledge, are you currently or have you ever been a director, officer, promoter, insider, or control person of an issuer, in any Canadian or foreign jurisdiction, at the time of events that resulted in the issuer:

 

 

 

(i)         pleading guilty to or being found guilty of an Offence?

 

 

 

 

(ii)        now being the subject of any charge, indictment or proceeding for an alleged Offence?

 

 

 


7.         BANKRUPTCY – If you answer “YES” to any item in Question 7, you must provide complete details in an attachment and attach a copy of any discharge, release or other applicable document.  You must answer “YES” or “NO” for EACH of (A), (B) and (C) below.

 

 

 

YES

 

NO

A.

Have you, in any Canadian or foreign jurisdiction, within the past 10 years had a petition in bankruptcy issued against you, made a voluntary assignment in bankruptcy, made a proposal under any bankruptcy or insolvency legislation, been subject to any proceeding, arrangement or compromise with creditors, or had a receiver, receiver-manager or trustee appointed to manage your assets?

 

 

 

B.

Are you now an undischarged bankrupt?

 

 

 

C.

To the best of your knowledge, are you currently or have you ever been a director, officer, promoter, insider, or control person of an issuer, in any Canadian or foreign jurisdiction, at the time of events, or for a period of 12 months preceding the time of events, where the issuer:

 

 

 

(i)         has made a petition in bankruptcy, a voluntary assignment in bankruptcy, a proposal under any bankruptcy or insolvency legislation, been subject to any proceeding, arrangement or compromise with creditors or had a receiver, receiver-manager or trustee appointed to manage the issuer’s assets?

 

 

 

 

(ii)        is now an undischarged bankrupt?

 

 

 

 

8.         PROCEEDINGS – If you answer “YES” to any item in Question 8, you must provide complete details in an attachment.

 

 

 

YES

 

NO

A.

CURRENT PROCEEDINGS BY SECURITIES REGULATORY AUTHORITY OR SELF REGULATORY ENTITY. Are you now, in any Canadian or foreign jurisdiction, the subject of:

 

 

 

(i)         a notice of hearing or similar notice issued by an SRA or SRE?

 

 

 

(ii)        a proceeding of or, to your knowledge, an investigation by, an SRA or SRE?

 

 

 

(iii)       settlement discussions or negotiations for settlement of any nature or kind whatsoever with an SRA or SRE?

 

 

 


 

 

 

YES

 

NO

B.

PRIOR PROCEEDINGS BY SECURITIES REGULATORY AUTHORITY OR SELF REGULATORY ENTITY.  Have you ever:

 

 

 

(i)         been reprimanded, suspended, fined, been the subject of an administrative penalty, or been the subject of any proceedings of any kind whatsoever, in any Canadian or foreign jurisdiction, by an SRA or SRE?

 

 

 

 

(ii)        had a registration or licence for the trading of securities, exchange or commodity futures contracts, real estate, insurance or mutual fund products cancelled, refused, restricted or suspended by an SRA or SRE? 

 

 

 

(iii)       been prohibited or disqualified by an SRA or SRE under securities, corporate or any other legislation from acting as a director or officer of a reporting issuer or been prohibited or restricted by an SRA or SRE from acting as a director, officer or employee of, or an agent or consultant to, a reporting issuer?

 

 

 

(iv)       had a cease trading or similar order issued against you or an order issued against you by an SRA or SRE that denied you the right to use any statutory prospectus or registration exemption?

 

 

 

(v)        had any other proceeding of any kind taken against you by an SRA or SRE?

 

 

 

 

C.

 

SETTLEMENT AGREEMENT(S)

 

 

 

Have you ever entered into a settlement agreement with an SRA, SRE, attorney general or comparable official or body, in any Canadian or foreign jurisdiction, in a matter that involved actual or alleged fraud, theft, deceit, misrepresentation, conspiracy, breach of trust, breach of fiduciary duty, insider trading, unregistered trading in securities or exchange or commodity futures contracts, illegal distributions, failure to disclose material facts or changes or similar conduct, or any other settlement agreement with respect to any other violation of securities legislation in a Canadian or foreign jurisdiction or the rules, by-laws or policies of any SRE?

 

 

 


D.

To the best of your knowledge, are you now or have you ever been a director, officer, promoter, insider, or control person of an issuer at the time of such event, in any Canadian or foreign jurisdiction, for which a securities regulatory authority or self regulatory entity has:

 

 

 

(i)         refused, restricted, suspended or cancelled the registration or licensing of an issuer to trade securities, exchange or commodity futures contracts, or to sell or trade real estate, insurance or mutual fund products?

 

 

 

(ii)        issued a cease trade or similar order or imposed an administrative penalty of any nature or kind whatsoever against the issuer, other than an order for failure to file financial statements that was revoked within 30 days of its issuance? 

 

 

 

 

 

(iii)       refused a receipt for a prospectus or other offering document, denied any application for listing or quotation or any other similar application, or issued an order that denied the issuer the right to use any statutory prospectus or registration exemptions?

 

 

 

(iv)       issued a notice of hearing, notice as to a proceeding or similar notice against the issuer?

 

 

 

(v)        commenced any other proceeding of any kind against the issuer, including a trading halt, suspension or delisting of the issuer, in connection with an alleged or actual contravention of an SRA’s or SRE’s rules, regulations, policies or other requirements, but excluding halts imposed (i) in the normal course for proper dissemination of information, or (ii) pursuant to a business combination, reverse takeover or similar transaction involving the issuer that is regulated by an SRE or SRA, including a qualifying transaction, reverse takeover or change of business involving the issuer (as those terms are defined in the TSX Venture Corporate Finance Manual as amended from time to time)?

 

 

 

(vi)       entered into a settlement agreement with the issuer in a matter that involved actual or alleged fraud, theft, deceit, misrepresentation, conspiracy, breach of trust, breach of fiduciary duty, insider trading, unregistered trading in securities or exchange or commodity futures contracts, illegal distributions, failure to disclose material facts or changes or similar conduct by the issuer, or any other violation of securities legislation or the rules, by-laws or policies of an SRE?

 

 

 

 

9.         CIVIL PROCEEDINGS – If you answer “YES” to any item in Question 9, you must provide complete details in an attachment.

 

 

 

YES

 

NO

A.

JUDGMENT, GARNISHMENT AND INJUNCTIONS

Has a court in any Canadian or foreign jurisdiction:

 

 

 

(i)         rendered a judgment, ordered garnishment or issued an injunction or similar ban (whether by consent or otherwise) against you in a claim based in whole or in part on fraud, theft, deceit, misrepresentation, conspiracy, breach of trust, breach of fiduciary duty, insider trading, unregistered trading, illegal distributions, failure to disclose material facts or changes, or allegations of similar conduct?

 

 

 

(ii)        rendered a judgment, ordered garnishment or issued an injunction or similar ban (whether by consent or otherwise) against an issuer, of which you are currently or have ever been a director, officer, promoter, insider or control person in a claim based in whole or in part on fraud, theft, deceit, misrepresentation, conspiracy, breach of trust, breach of fiduciary duty, insider trading, unregistered trading, illegal distributions, failure to disclose material facts or changes, or allegations of similar conduct?

 

 

 


B.

CURRENT CLAIMS

 

 

 

(i)         Are you now subject, in any Canadian or foreign jurisdiction, to a claim that is based in whole or in part on actual or alleged fraud, theft, deceit, misrepresentation, conspiracy, breach of trust, breach of fiduciary duty, insider trading, unregistered trading, illegal distributions, failure to disclose material facts or changes, or allegations of similar conduct?

 

 

 

(ii)        To the best of your knowledge, are you currently or have you ever been a director, officer, promoter, insider or control person of an issuer that is now subject, in any Canadian or foreign jurisdiction, to a claim that is based in whole or in part on actual or alleged fraud, theft, deceit, misrepresentation, conspiracy, breach of trust, breach of fiduciary duty, insider trading, unregistered trading, illegal distributions, failure to disclose material facts or changes, or allegations of similar conduct?

 

 

 

C.

SETTLEMENT AGREEMENT

 

 

 

 

(i)         Have you ever entered into a settlement agreement, in any Canadian or foreign jurisdiction, in a civil action that involved actual or alleged fraud, theft, deceit, misrepresentation, conspiracy, breach of trust, breach of fiduciary duty, insider trading, unregistered trading, illegal distributions, failure to disclose material facts or changes, or allegations of similar conduct?

 

 

 

(ii)        To the best of your knowledge, are you currently or have you ever been a director, officer, promoter, insider or control person of an issuer that has entered into a settlement agreement, in any Canadian or foreign jurisdiction, in a civil action that involved actual or alleged fraud, theft, deceit, misrepresentation, conspiracy, breach of trust, breach of fiduciary duty, insider trading, unregistered trading, illegal distributions, failure to disclose material facts or changes, or allegations of similar conduct?

 

 

 

10.        INVOLVEMENT WITH OTHER ENTITIES 

 

 

YES

 

NO

A.

Has your employment in a sales, investment or advisory capacity with any employer engaged in the sale of real estate, insurance or mutual funds ever been suspended or terminated for cause?  If yes, attach full particulars.

 

 

 

 

 

B.

Has your employment with a firm or company registered under the securities laws of any Canadian or foreign jurisdiction as a securities dealer, broker, investment advisor or underwriter, ever been suspended or terminated for cause?  If yes, attach full particulars.

 

 

 

C.

Has your employment as an officer of an issuer ever been suspended or terminated for cause?  If yes, attach full particulars.

 

 

 


Schedule 1

Part B

 

CERTIFICATE AND CONSENT

 

I,

 

 

hereby certify that:

 

 

(Please Print – Name of Individual)

 

 

 

(a)        I have read and understand the questions, cautions, acknowledgement and consent in the personal information form to which this certificate and consent is attached or of which this certificate and consent forms a part (the Form), and the answers I have given to the questions in the Form and in any attachments to it are correct, except where stated to be answered to the best of my knowledge, in which case I believe the answers to be correct;

 

(b)        I have been provided with and have read and understand the Personal Information Collection Policy (the Personal Information Collection Policy) in Schedule 2 of Appendix A to National Instrument  41-101 General Prospectus Requirements (NI 41-101);   

 

(c)        I consent to the collection, use and disclosure by a regulator or a securities regulatory authority listed in Schedule 3 of Appendix A to NI 41-101 (collectively the regulators) of the information in the Form and to the collection, use and disclosure by the regulators of further personal information in accordance with the Personal Information Collection Policy including the collection, use and disclosure by the regulators of the information in the Form in respect of the prospectus filings of the Issuer and the prospectus filings of any other issuer in a situation where I am or will be:

 

(i)                  a director, executive officer or promoter of the other issuer,

(ii)                a director or executive officer of a promoter of the other issuer, if the promoter is not an individual, or

(iii)              where the other issuer is an investment fund, a director or executive officer of the investment fund manager; and

 

(d)        I am aware that I am providing the Form to the regulators and I understand that I am under the jurisdiction of the regulators to which I submit the Form, and that it is a breach of securities legislation to provide false or misleading information to the regulators, whenever the Form is provided in respect of the prospectus filings of the Issuer or the prospectus filings of any other issuer of which I am or will be a director, executive officer or promoter.

 

 

Date [within 30 days of the date of the preliminary prospectus]

 

 

Signature of Person Completing this Form


Appendix A to National Instrument 41-101

General Prospectus Requirements

 

Personal Information Form

and Authorization of Indirect Collection,

Use and Disclosure of Personal Information

 

Schedule 2

 

Personal Information Collection Policy

 

The regulators and securities regulatory authorities (the regulators) listed in Schedule 3 of Appendix A to National Instrument 41-101 General Prospectus Requirements (NI 41-101) collect the personal information in the personal information form as this term is defined in NI 41-101 (the Personal Information Form), under the authority granted to them under provincial and territorial securities legislation.  Under securities legislation, the regulators do not make any of the information provided in the Personal Information Form public.

 

The regulators collect the personal information in the Personal Information Form for the purpose of enabling the regulators to administer and enforce provincial and territorial securities legislation, including those provisions that require or permit the regulators to refuse to issue a receipt for a prospectus if it appears to the regulators that the past conduct of management or promoters of the Issuer affords reasonable grounds for belief that the business of the Issuer will not be conducted with integrity and in the best interests of its securityholders.

 

You understand that by signing the certificate and consent in the Personal Information Form, you are consenting to the Issuer submitting your personal information in the Personal Information Form (the “Information”) to the regulators and to the collection and use by the regulators of the Information, as well as any other information that may be necessary to administer and enforce provincial and territorial securities legislation. This may include the collection of information from law enforcement agencies, other government or non-governmental regulatory authorities, self-regulatory organizations, exchanges, and quotation and trade reporting systems in order to conduct background checks, verify the Information and perform investigations and conduct enforcement proceedings as required to ensure compliance with provincial and territorial securities legislation.  Your consent also extends to the collection, use and disclosure of the Information as described above in respect of other prospectus filings of the Issuer and the prospectus filings of any other issuer in a situation where you are or will be:

 

(a)        a director, executive officer or promoter of the other issuer,

(b)        a director or executive officer of a promoter of the other issuer, if the promoter is not an individual, or

(c)        where the other issuer is an investment fund, a director or executive officer of the investment fund manager.

 

You understand that the Issuer is required to deliver the Information to the regulators because the Issuer has filed a prospectus under provincial and territorial securities legislation.  You also understand that you have a right to be informed of the existence of personal information about you that is kept by regulators, that you have the right to request access to that information, and that you have the right to request that such information be corrected, subject to the applicable provisions of the freedom of information and protection of privacy legislation adopted by each province and territory.

 

You also understand and agree that the Information the regulators collect about you may also be disclosed, as permitted by law, where its use and disclosure is for the purposes described above.  The regulators may also use a third party to process the Information, but when this happens, the third party will be carefully selected and obligated to comply with the limited use restrictions described above and with provincial and federal privacy legislation.

 

Warning:  It is an offence to submit information that, in a material respect and at the time and in the light of the circumstances in which it is submitted, is misleading or untrue.

 

Questions

 

If you have any questions about the collection, use, and disclosure of the information you provide to the regulators, you may contact the regulator in the jurisdiction in which the required information is filed, at the address or telephone number listed in Schedule 3.

 


Appendix A to National Instrument 41-101

General Prospectus Requirements

 

Personal Information Form

and Authorization of Indirect Collection,

Use and Disclosure of Personal Information

 

Schedule 3

 

Regulators and Securities Regulatory Authorities

 

Local Jurisdiction                                 Regulator

 

Alberta                                                  Securities Review Officer

Alberta Securities Commission

Suite 600, 250 – 5th Street S.W.

Calgary, Alberta   T2P 0R4

Telephone:  (403) 297-6454

E-mail:  inquiries@seccom.ab.ca

www.albertasecurities.com

 

British Columbia                                    Review Officer

British Columbia Securities Commission

P.O. Box 10142 Pacific Centre

701 West Georgia Street

Vancouver, British Columbia  V7Y 1L2

Telephone: (604) 899-6854

Toll Free within British Columbia and Alberta: (800) 373-6393

E-mail:  inquiries@bcsc.bc.ca

www.bcsc.bc.ca

 

Manitoba                                               Director, Corporate Finance

The Manitoba Securities Commission

500-400 St. Mary Avenue

Winnipeg, Manitoba R3C 4K5

Telephone: (204) 945-2548

E-mail: securities@gov.mb.ca

www.msc.gov.mb.ca

 

New Brunswick                                      Director Corporate Finance and Chief Financial Officer

New Brunswick  Securities Commission

85 Charlotte Street, Suite 300

Saint John, New Brunswick E2L 2J2

Telephone: (506) 658-3060

Fax: (506) 658-3059

E-mail: information@nbsc-cvmnb.ca

 

Newfoundland and Labrador                    Director of Securities

Department of Government Services and Lands

P.O. Box 8700

West Block, 2nd Floor, Confederation Building

St. John’s, Newfoundland  A1B 4J6

Telephone: (709) 729-4189

www.gov.nf.ca/gsl/cca/s

Northwest Territories                              Superintendent of Securities

Department of Justice

Government of the Northwest Territories

P.O. Box 1320,

Yellowknife, Northwest Territories  X1A 2L9

Telephone: (867) 873- 7490

www.justice.gov.nt.ca/SecuritiesRegistry

 

Nova Scotia                                           Deputy Director

Compliance and Enforcement Division

Nova Scotia Securities Commission

P.O. Box 458

                                                            Halifax, Nova Scotia    B3J 2P8

                                                            Telephone:  (902) 424-5354

www.gov.ns.ca/nssc

 

Nunavut                                                Superintendent of Securities

Government of Nunavut

Legal Registries Division

P.O. Box 1000 – Station 570

Iqaluit, Nunavut X0A 0H0

Telephone: (867) 975-6590

 

Ontario                                                 Administrative Assistant to the Director of Corporate Finance

Ontario Securities Commission

19th Floor, 20 Queen Street West

Toronto, Ontario  M5H 2S8

Telephone: (416) 597-0681

E-mail: Inquiries@osc.gov.on.ca

www.osc.gov.on.ca

 

Prince Edward Island                              Superintendent of Securities

Government of Prince Edward Island

95 Rochford Street, P.O. Box 2000, 4th Floor

Charlottetown, Prince Edward Island  C1A 7N8

Telephone: (902) 368-4550

www.gov.pe.ca/securities

 

Québec                                                  Autorité des marchés financiers

Stock Exchange Tower

P.O. Box 246, 22nd Floor

800 Victoria Square

Montréal, Québec  H4Z 1G3

Attention: Responsable de l’accès à l’information

Telephone: (514) 395-0337

Toll Free in Québec: (877) 525-0337

www.lautorite.qc.ca

 

Saskatchewan                                         Director

Financial and Consumer Affairs Authority of Saskatchewan

Suite 601, 1919 Saskatchewan Drive

Regina, Saskatchewan S4P 4H2

Telephone: (306) 787-5842

www.fcaa.gov.sk.ca

 

Yukon                                                   Superintendent of Securities

Office of the Yukon Superintendent of Securities

                                                            Department of Community Services

307 Black Street, Whitehorse, Yukon, Y1A 2N1

Phone: 867-667-5466, Fax 867-393-6251

 You are being directed to the most recent version of the statute which may not be the version considered at the time of the judgment.