Exemption Order No. 1, 1997 (Sending of Notices and Documents)
SOR/97-429
CANADA BUSINESS CORPORATIONS ACT
Registration 1997-09-05
Exemption Order No. 1, 1997 (Sending of Notices and Documents)
The Director, pursuant to section 258.2Footnote a of the Canada Business Corporations ActFootnote b, hereby makes the annexed Exemption Order No. 1, 1997 (Sending of Notices and Documents).
Return to footnote aS.C. 1994, c. 24, s. 26
Return to footnote bS.C. 1994, c. 24, s. 1
August 29, 1997
Exemptions
1 A person who is required to send a notice or document set out in column I of an item of Part A of the schedule by the provision of the Canada Business Corporations Act set out in column II of that item is exempt from the application of that provision
(a) where the person is required by any provincial legislation set out in Part B of the schedule to file a notice or document containing information that is similar to the information contained in the notice or document set out in column I of that item of Part A of the schedule; and
(b) in the circumstances referred to in section 11.01 of the Canada Business Corporations Regulations.
Coming into Force
2 This Order comes into force on September 5, 1997.
SCHEDULE(Section 1)Notices and Documents Exempted Under Section 258.2 of the Canada Business Corporations Act (CBCA)
PART ASending of Notices and Documents
Column I | Column II | |
---|---|---|
Item | Notice or Document | CBCA Provision |
1. | Insider Report | section 127 |
2. | Proxy material | section 150 |
3. | Financial statements | section 160 |
4. | Prospectus | section 193 |
5. | Statement of material facts or changes | section 193 |
6. | Registration statement | section 193 |
7. | Interim financial statements | section 193 |
8. | News release | section 193 |
9. | Take-over bid circular | section 198 |
10 | Directors’ circular | section 201 |
PART BProvincial Legislation
1 Securities Act, R.S.O. 1990, c. S-5 (Ontario)
2 Securities Act, R.S.Q., c. V-1.1 (Quebec)
3 Securities Act, R.S.N.S. 1989, c. 418 (Nova Scotia)
4 Security Frauds Prevention Act, R.S.N.B. 1973, c. S-6 (New Brunswick)
5 The Securities Act, R.S.M. 1988, c. S50 (Manitoba)
6 Securities Act, R.S.B.C. 1996, c. 418 (British Columbia)
7 Securities Act, R.S.P.E.I. 1988, c. S-3 (Prince Edward Island)
8 The Securities Act, S.S. 1988, c. S-42.2 (Saskatchewan)
9 Securities Act, S.A. 1981, c. S-6.1 (Alberta)
10 Securities Act, R.S.N. 1990, c. S-13 (Newfoundland)
11 Securities Act, R.S.Y. 1986, c. 158 (Yukon Territory)
12 Securities Act, R.S.N.W.T. 1988, c. S-5 (Northwest Territories)
- SOR/98-102, s. 1
- SOR/99-364, s. 1
- Date modified: