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Securities Law

12-305 - Exemptive Relief Applications and Year End [CSA Staff Notice - Rescinded]

Published Date: 2000-10-20
Effective Date: 2000-10-20
Rescinded Date: 2001-09-28

This notice advises potential applicants of timing deadlines for filing and review of applications for exemptive relief for the period preceding year-end.

CSA staff wish to announce that all applications, whether or not filed under National Policy 12-201 Mutual Reliance Review System for Exemptive Relief Applications, should be filed before November 10, 2000, or November 30, 2000, in the case of applications relating to takeover bids, if exemptive relief is required before December 31, 2000. While every effort will be made to meet reasonable deadlines, if the application is filed after this date there are no assurances that the application will be reviewed or the necessary relief provided before year-end.

Questions or concerns regarding the foregoing or the timing of particular applications should be brought to the attention of staff as soon as possible. For further information contact:

Brenda Leong or Derek Patterson
British Columbia Securities Commission
(604) 899-6500/ (604) 899-6801
bleong@bcsc.bc.ca/dpatterson@bcsc.bc.ca

Marsha Manolescu
Alberta Securities Commission
(780) 422-1914
Marsha.Manolescu@seccom.ab.ca

Chris Besko
Manitoba Securities Commission
(204) 945-2561
cbesko@cca.gov.mb.ca

Dean Murrison
Saskatchewan Securities Commission
(306) 787-5879
dmurrison@ssc.gov.sk.ca

Margo Paul or Iva Vranic
Ontario Securities Commission
(416) 593-8136/(416) 593-8115
mpaul@osc.gov.on.ca
ivranic@osc.gov.on.ca

Sylvie Lalonde
Commission des valeurs mobilières du Québec
(514) 940-2199 ext. 4555
Sylvie.lalonde@cvmq.com

Shirley Lee
Nova Scotia Securities Commission
(902) 424-5441
leesp@gov.ns.ca 

October 20, 2000