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        Wednesday, May 16, 2012

May 16, 2012 - The Saskatchewan Financial Services Commission released a discussion paper on January 26, 2012 regarding the funding of public sector defined benefit pension plans. The consultation period has now closed and responses were received from various stakeholders.

 

April 25, 2012 – The Saskatchewan Financial Services Commission (SFSC) has issued a Notice of Time and Venue of Hearing scheduled to commence on Monday September 24, 2012 and continuing until Friday September 28, 2012 In The Matter of C2 Ventures Inc. and Monte Dobson.

May 14, 2012 - Saskatchewan Financial Services Commission Cease Trade Order in the Matter of Gold Vault Metals, LLC, Worth Bullion Group, Inc., Brian Darrow, Vincent Zapputo and Mark Walker.

May 10, 2012 - Multilateral Instrument 51-105 Issuers Quoted in the U.S. Over-the-Counter Markets is an initiative of the Canadian Securities Administrators (CSA or we), except the Ontario Securities Commission. The instrument designates as reporting issuers in the local jurisdiction, any issuer whose securities are quoted only on a US OTC market and that have a significant connection to that local jurisdiction.

May 9, 2012 - Saskatchewan Financial Services Commission Decision in the Matter of Gold Vault Metals, LLC, Worth Bullion Group, Inc., Brian Darrow, Vincent Zapputo and Mark Walker.

May 9, 2012 - Decision pursuant to section 92 of the Securities Act, 1988 that Frontera Copper Corporation is no longer a reporting issuer.

May 9, 2012 - Saskatchewan Financial Services Commission (SFSC) approval letter issued to Pier 21 Asset Management Inc. pursuant to National Instrument 31-103 Registration Requirements, Exemptions and Ongoing Registrant Obligations (NI 31-103) on the same terms and conditions as l'Autorite des marches financiers.

May 7, 2012 – The Saskatchewan Financial Services Commission (SFSC) has issued a Notice of Time and Venue of Hearing In The Matter of West African Industries Inc., 101065273 Saskatchewan Ltd., 101076568 Saskatchewan Ltd., Life Systems Corporation. Allan Peter Moen and Louis Supera.  The hearing is scheduled to commence on Thursday, May 31, 2012.

May 3, 2012 - Saskatchewan Financial Services Commission (SFSC) today issued a Passport Decision pursuant to section 83 of The Securities Act, 1988 that ICAP Corporates LLC is exempt, with provisions, from the requirement to be registered as a dealer in order to trade exchange contracts with permitted clients as defined in section 1.1 of National Instrument 31-103 Registration Requirements, Exemptions and Ongoing Registrant Obligations on exchanges located outside Saskatchewan.

May 2, 2012 - Today, the  Court of Appeal for Saskatchewan issued a judgment dismissing Tri-Link Consultants Inc. and Klaus Link's appeal of the Saskchewan Financial Services Commission's April 21, 2009 decision.

May 1, 2012 - Decision pursuant to section 92 of the Securities Act, 1988 that RuggedCom Inc. is no longer a reporting issuer.

April 27, 2012 - Decision pursuant to section 92 of the Securities Act, 1988 that Kasten Energy Inc. is no longer a reporting issuer.

April 26, 2012 - Saskatchewan Financial Services Commission issued an Extending Order in the Matter of UFX Markets and Mike Lane.

April 26, 2012 – CSA provides guidance to improve compliance of disclosure requirements related to prospectus exemptions - The Canadian Securities Administrators (CSA) today published two notices aimed at improving market participant compliance with exemptions to prospectus requirements. Staff Notice 45-308 Guidance for Preparing and Filing Reports of Exempt Distribution and Multilateral Staff Notice 45-309 Guidance for Preparing and Filing an Offering Memoranda, offer guidance related to disclosure rules found under National Instrument (NI) 45-106 Prospectus and Registration Exemptions.

April 25, 2012 – The Saskatchewan Financial Services Commission (SFSC) has issued a Notice of Time and Venue of Hearing scheduled to commence on Wednesday June 13, 2012 and continuing Friday, June 15, 2012 In The Matter of Alena Marie Pastuch, Teamworx Productions Ltd., Idendego Inc., 101114386 Saskatchewan Ltd., 101115379 Saskatchewan Ltd. and Cryptguard Ltd.

Arpil 25, 2012 - Decision pursuant to section 92 of the Securities Act, 1988 that Silver Birch Corporation is no longer a reporting issuer.

April 24, 2012 - Decision pursuant to section 92 of the Securities Act, 1988 that Pembina NGL Corporation is no longer a reporting issuer.

April 20, 2012 - Decision pursuant to section 92 of the Securities Act, 1988 that Lakeside Steel Inc. is no longer a reporting issuer.

April 18, 2012

April 18, 2012

April 13, 2012 – The Canadian Securities Administrators (CSA) and the Investment Industry Regulatory Organization of Canada (IIROC) are implementing a new regulatory framework for the use of orders entered without pre-trade transparency (dark orders).

April 13, 2012 – The Canadian Securities Administrators (CSA) today published for comment CSA Consultation Paper 91-405 - Derivatives: End-User Exemption. The Consultation Paper, which is part of a series of proposals designed to improve the regulatory oversight of over-the-counter (OTC) derivatives in Canada,  sets out the CSA Derivatives Committee’s recommendations for an exemption from specific requirements being developed to regulate over-the-counter (OTC) derivatives. This end-user exemption would be available to qualifying businesses that use OTC derivatives as a risk management tool.

April 13, 2012 – Canadian Securities Administrators (CSA) Staff Notice 11-316 Notice of Local Amendments - British Columbia.

Arpil 12, 2012 - Decision pursuant to section 92 of the Securities Act, 1988 that Wild Stream Exploration Inc. is no longer a reporting issuer.

April 12, 2012 – The Saskatchewan Financial Services Commission (SFSC) has issued a Notice of Hearing In The Matter of Alena Marie Pastuch, Teamworx Productions Ltd., Idendego Inc., 101114386 Saskatchewan Ltd., 101115379 Saskatchewan Ltd. and Cryptguard Ltd.  The Notice of Hearing sets the dates for the hearing.

April 11, 2012 – Saskatchewan Financial Services Commission Temporary Order int he Matter of UFX Markets and Mark Lane.

Arpil 10, 2012 - Decision pursuant to section 92 of the Securities Act, 1988 that Semtech Canada Inc. is no longer a reporting issuer.

March 28, 2012 - Saskatchewan Financial Services Commission (SFSC) approval letter issued to Natcan Investment Management Inc. pursuant to National Instrument 31-103 Registration Requirements, Exemptions and Ongoing Registrant Obligations (NI 31-103) on the same terms and conditions as l'Autorite des marches financiers.



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