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THE ALBERTA GAZETTE, PART I, NOVEMBER 15, 2000



     The Alberta Gazette

     PART 1

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Vol. 96   EDMONTON, WEDNESDAY, NOVEMBER 15, 2000  No. 21
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     GOVERNMENT NOTICES

     COMMUNITY DEVELOPMENT

     NOTICE OF INTENTION TO DESIGNATE PROVINCIAL HISTORIC RESOURCE

     (Historical Resources Act)
     File: Des. 1276

Notice is hereby given that sixty days from the date of service of this
Notice and its publication in the Alberta Gazette, the Minister of
Community Development intends to make an Order that the structure known as:

the 1880 Anglican Church of St. Paul the Apostle and the 1874 Day School,
together with the land legally described as Plan 5642NY, Block 9, Lot 15,
excepting thereout all mines and minerals and municipally located at Fort
Chipewyan, Alberta

be designated a Provincial Historic Resource under section 16 of the
Historical Resources Act, R.S.A. 1980 c.H-8 as amended.

The reason for the designation are as follows:

Located by the shore of Lake Athabasca in Fort Chipewyan, the Anglican
Church of St. Paul the Apostle and the adjacent Day School, constructed in
1880 and 1874 respectively, embody influences of both the contemporary
French Canadian Architecture and vernacular English Gothic detailing.

The historical significance of the structures lies in their association
with the community of Fort Chipewyan, the earliest Euro-Canadian settlement
in what is now Alberta. They are the only structures remaining in the
community that harken back to the fur trade era. The Church is also
significant in its spiritual role as the longest serving Anglican Church in
the Province. The Anglican Church of St. Paul the Apostle and the Day
School are two of the most significant historic structures in Northern
Alberta.

It is therefore considered that the preservation and protection of the
resource is in the public interest.

Dated October 18, 2000.

     Dr. W.J. Byrne, Assistant Deputy Minister.
     Cultural Facilities and Historical Resources Division.



     ENVIRONMENT

     Alberta Fishery Regulations, 1998

     Notice of Variation Order 35-2000

     Commercial Fishing Seasons

The close times and quotas set out in Schedule 8 to the Alberta Fishery
Regulations, 1998 in respect of the waters listed in the Schedule to this
Notice have been varied by Variation Order 35-2000 by the Director of
Fisheries Management in accordance with section 3 of the Alberta Fishery
Regulations, 1998.

Where fishing with gill nets is permitted during an open season established
by the Order, the gill net mesh size has been specified in the Order.

Pursuant to Variation Order 35-2000 commercial fishing is permitted in
accordance with the following schedule.
     SCHEDULE
     PART 1
Item - 1.
Column 1 Waters - In respect of:  (78) North Wabasca Lake (81-26-W4) a) In
respect of the following portions: - that portion which is less than 3.2 m
(10 feet) deep. 
Column 2 Gear - Gill net not less than 102 mm mesh
Column 3 Open Time - 08:00 hours September 12, 2000 to 16:00 hours
September 30, 2000; 08:00 hours October 10, 2000 to 12:00 hours October 18,
2000
Column 4 Species and Quota - 1) Lake whitefish: 10,000 kg; 2) Walleye: 850
kg; 3) Yellow perch: 200 kg; 4) Northern pike: 12,000 kg ; 5) Tullibee:
5,000 kg; 6)   Lake trout: 1 kg

Column 1 Waters - b) In respect of all other waters 
Column 2 Gear - Gill net
Column 3 Open Time - Closed
Column 4 Species and Quota - 1) Lake whitefish: 1 kg; 2) Walleye: 1 kg; 3)
Yellow perch: 1 kg; 4) Northern pike: 1 kg; 5) Tullibee: 1 kg; 6) Lake
trout: 1 kg 
________________________________________________________________________

     GOVERNMENT SERVICES

The Registrar's Periodical, corporate registration, incorporation and other
notices of the Corporate Registry are listed at the end of this issue.
________________________________________________________________________

     INFRASTRUCTURE

     SALE OR DISPOSITION OF LAND

     (Government Organization Act)

Name of Purchaser: Nemadar Ranch Ltd.
Considereration: Land Exchange
Land Description: Land being transferred, value at $4,700. Plan 0023653,
Lot 1. Area: 18.4 hectares (45.47 acres) more or less. Excepting thereout
all mines and minerals, located in the Municipal District of Big Lakes.


Name of Purchaser: Pine-West Properties Ltd. (Revision to previous notice
published on September 30, 2000)
Consideration: $143,000.
Land Description: Plan 1209A1, Block (X), containing 4.20 acres more or
less, excepting thereout: 0.17 of an acre, more or less as shown on Road
Plan 3706MC. Excepting thereout all mines and minerals, located in the
Village of Clyde.

Plan 6684LZ required for Maintenance Yard, containing 0.825 hectares, more
or less. Excepting thereout all mines and minerals, located in the Village
of Clyde.

Name of Purchaser: Mountain View County
Consideration: $1.00
Land Description: Plan 0012476, Block 1, containing 41.19 hectares (101.8
acres) more or less. Excepting thereout all mines and minerals, located in
Mountain View County.

Name of Purchaser: Dan L'Heureux and Lynne L'Heureux
Consideration: $180,000.
Land Description: Plan (T), Block 3, the west half of lot 4 and all of lot
5. Area: 0.15 acres (more or less). Excepting thereout all mines and
minerals, located in the City of Leduc.

Name of Purchaser: Cornelius Bos, Greta Bos and John Bos.
Consideration: Land Exchange
Land Description: Land being transferred, valued at $2,310.00. Descriptive
Plan 0023636, Lot 1. Area: 1.87 hectares (4.62 acres) more or less.
Excepting thereout all mines and minerals, located in Lac Ste. Anne County.

Name of Purchaser: Alberta North Highway Services Ltd.
Consideration: $90,000.
Land Description: Plan 1220RS, Railway Right of Way within meridian 6,
range 5, township 71, comprising parts of:


Reference Titles
Section
Hectares
(Acres) more or less


182Z249
SW 6
13.8
34


Excepting thereout:


A) Plan 4863TR - Road
1.68
4.15


B) Plan 9520679 - Railway
6.62
16.36


C) All that portion lying south of the south boundary of Railway Plan
9520679, containing
2.586
6.39


Excepting thereout all mines and minerals and the right to work the same,
located in the County of Grande Prairie No. 1.



     JUSTICE

     DESIGNATION OF QUALIFIED TECHNICIAN APPOINTMENT

     (INTOXILYZER 5000 C)

     Calgary Police Service
Bobrowich, Jason Paul
Bodnar, Terry Andrew
Burns, Howard James
Campbell, Derrick John
Campbell, Jeffrey Scott
Coleman, Don Robert
Froese, John Edward
Horvath, Laszlo
Joels, Gareth Alan
Kennett, Robert James
Mayhew, Dominic James
McPhee, Denise Marie
Midtdal, Darry Allan
Morgan, Colin William
Ochitwa, Mark Daryl
Olson, Curtis Dale
Vink, Dennis James
Williams, Darcy Scott

     (Date of designation October 11, 2000)

     (Royal Canadian Mounted Police "F" Division)
     Helgeson, Donald Andrew

     (Date of designation October 12, 2000)

     Tsuu Tina Police Service
     Gauthier, Michael James

     (Date of designation October 11, 2000)
________________________________________________________________________

     LEARNING

     SCHOOL DISTRICT AUTHORIZED TO ISSUE DEBENTURES

     (Capital Borrowing Regulation)

     ERRATUM

The following notice was published with an error in the October 31, 2000
issue of the Alberta Gazette.  The notice should have read as follows:

Notice is hereby given that the Minister of Learning has approved the
borrowing by the Board of Trustees of Edmonton School District No. 7 of the
Province of Alberta, by way of debentures an amount not exceeding the sum
of $3,832,491 on the security of the said school district, the said
borrowing repayable in 5 consecutive annual installments with interest at a
rate determined from time to time by the Alberta 
Municipal Financing Corporation, for the purpose detailed in the said
district's By-law No. 296 and Alberta Learning Approval Order No. 2/2000.

Treasurer: Mr. Dean Power     Honourable Dr. Lyle Oberg, Minister of
Learning.
________________________________________________________________________

     LEGISLATIVE ASSEMBLY

     OFFICE OF THE CHIEF ELECTORAL OFFICER

     NOTICE: MEMBER RETURNED TO SERVE IN THE LEGISLATIVE ASSEMBLY

     Edmonton, Wednesday, November 15, 2000

Notice is hereby given that under the provisions of section 147 of the
Election Act, I have received the Certificate and Return of the Returning
Officer appointed to conduct a By-election on the 25th day of September,
2000, in the following Electoral Division, and the said Return shows that
the following member was duly elected:


Electoral Division
Elected Candidate
Political Affiliation


Red Deer-North
Mary Anne Jablonski
Progressive Conservative


     O. Brian Fjeldheim, Chief Electoral Officer.
________________________________________________________________________

     MUNICIPAL AFFAIRS

     HOSTING EXPENSES EXCEEDING $600.00

     For the quarter July 1, 2000 - September 30, 2000

Function: Provincial Planning Directors Conference.
Date of Function: May 28-31, 2000
Amount: $1,962.18
Location: Calgary & Waterton, AB
Purpose: To allow the country's Directors of Planning the opportunity to
network, to keep informed of emerging land use planning issues and to
discuss solutions/options developed in their jurisdictions.
________________________________________________________________________

     SPECIAL AREAS

     HOSTING EXPENSES EXCEEDING $600.00

     For the quarter July 1, 2000 - September 30, 2000

Function: Minister's Tour to Special Areas
Date of Function: July 7, 2000
Amount: $925.36
Location: Hanna, AB
Purpose: To familiarize the Minister with Special Areas and to discuss
issues with officials in the region.



     ALBERTA OPPORTUNITY COMPANY

     LOAN AUTHORIZATIONS FOR THE MONTH OF SEPTEMBER 2000

     (Alberta Opportunity Fund Act)

865280 Alberta Ltd. Rimbey. Licensed family restaurant.
Majority Owners: Caroline Marie Schuppler-Carefoot.
Loan Authorized: $20,000.
Purpose: Leasehold improvements, Working capital.

885178 Alberta Ltd. Grande Prairie. Auto mechanical services.
Majority Owners: Allan Beck, Marian Beck.
Loan Authorized: $100,000.
Purpose: Purchase existing business.

890356 Alberta Ltd. Stettler. Motel.
Majority Owners: Sanjeev Kumar, Brij Mohan, Vimal Kumar Bhatia.
Loan Authorized: $725,000.
Purpose: Purchase existing business.

Ag-Plus Mechanical Ltd. Medicine Hat. Heavy duty mechanic.
Majority Owners: Bruce Johnson, Sher-Lynn Johnson.
Loan Authorized: $31,800.
Purpose: Equipment.

B.A.C. Trailer Ltd. Edmonton. Semi-Trailer service, fabrication & welding.
Majority Owners: Bruce Garford.
Loan Authorized: $57,500.
Purpose: Equipment, Working capital.

Bridge Appliance Service Ltd. Lethbridge. Vacuum cleaner sales & service.
Majority Owners: Edward Parker.
Loan Authorized: $61,000.
Purpose: Equipment, Working capital.

Elliot, D. & Houben, L. Lethbridge. Silversmith.
Majority Owner: David Elliott.
Loan Authorized: $32,500.
Purpose: Equipment, Working capital, Inventory.


First Choice Cabinets, Lighting & Window Coverings Ltd. Lloydminster.
Retail cabinets, lights & window coverings.
Majority Owners: Jannice Clark, Bruce Clark.
Loan Authorized: $62,000.
Purpose: Purchase existing business.

Great West Commercial Kitchen Repair Ltd. Calgary. Parts & service to
commercial cooking equipment.
Majority Owners: Cook Built Limited (Gordon Cook, Cheryl Cook).
Loan Authorized: $190,000.
Purpose: Leasehold/relocation, Restructure debt, Working capital.

Linden, K. Lethbridge. Full service esthetics.
Majority Owners: Kimberly Dawn Linden.
Loan Authorized: $13,000.
Purpose: Equipment.

Luckiw, M.(tbi). Red Deer. Arby's franchise.
Majority Owners: Mona Elizabeth Luckiw.
Loan Authorized: $400,000.
Purpose: Purchase existing business.

Park Collision Ltd. Lethbridge. Autobody repair shop.
Majority Owners: Alan Schmidt, Greg Stern.
Loan Authorized: $10,000.
Purpose: Working capital.

Puma Well Service Ltd. Brooks. Oil & gas well servicing.
Majority Owners: Vernon Bigelow, Curtis Bigelow, Raymond Bigelow.
Loan Authorized: $200,000.
Purpose: Equipment.


Quality Communications (1997) Ltd. High Prairie. Mobile communications.
Majority Owners: 609525 Alberta Ltd. (Carson Smar, Karen Smar).
Loan Authorized: $75,000.
Purpose: Refinance existing debt, Working capital, Inventory.

Ron-Jen Automotive Cosmetics Ltd. Edmonton. Wholesale/distribution of
automobile detailing products.
Majority Owners: Kenfam Holdings Ltd. (Stephen Kennedy).
Loan Authorized: $125,000.
Purpose: Purchase existing business.
Tapscott Holdings Ltd. Edmonton. Sand conveying.
Majority Owners: Arthur Tapscott, Petrina Benio.
Loan Authorized: $50,000.
Purpose: Equipment.

________________________________________________________________________

     ALBERTA SAFETY CODES COUNCIL

     CANCELLATION OF JOINT MUNICIPAL ACCREDITATION

     (Safety Codes Act)

Pursuant to section 23(3)(c) of the Alberta Safety Codes Act, it is hereby
ordered that

-    Town of Nanton, Accreditation No. J000108, Order No. R00000228,
October 18, 2000

Having voluntarily withdrawn from the accreditation issued July 12, 1995 to
administer the Alberta Safety Codes Act for the discipline of Building is
revoked for new work undertaken and the municipality is to cease
administration within their jurisdiction under this accreditation effective
October 3, 2000.
     _______________

Pursuant to section 23(3)(c) of the Alberta Safety Codes Act, it is hereby
ordered that

-    Town of Nanton, Accreditation No. J000108, Order No. R00000229,
October 18, 2000

Having voluntarily withdrawn from the accreditation issued July 12, 1995 to
administer the Alberta Safety Codes Act for the discipline of Electrical is
revoked for new work undertaken and the municipality is to cease
administration within their jurisdiction under this accreditation effective
October 3, 2000.
     _______________

Pursuant to section 23(3)(c) of the Alberta Safety Codes Act, it is hereby
ordered that

-    Town of Nanton, Accreditation No. J000108, Order No. R00000230,
October 18, 2000

Having voluntarily withdrawn from the accreditation issued July 12, 1995 to
administer the Alberta Safety Codes Act for the discipline of Fire is
revoked for new work undertaken and the municipality is to cease
administration within their jurisdiction under this accreditation effective
October 3, 2000.


Pursuant to section 23(3)(c) of the Alberta Safety Codes Act, it is hereby
ordered that

-    Town of Nanton, Accreditation No. J000108, Order No. R00000231,
October 18, 2000

Having voluntarily withdrawn from the accreditation issued July 12, 1995 to
administer the Alberta Safety Codes Act for the discipline of Gas is
revoked for new work undertaken and the municipality is to cease
administration within their jurisdiction under this accreditation effective
October 3, 2000.
     _______________

Pursuant to section 23(3)(c) of the Alberta Safety Codes Act, it is hereby
ordered that

-    Town of Nanton, Accreditation No. J000108, Order No. R00000232,
October 18, 2000

Having voluntarily withdrawn from the accreditation issued July 12, 1995 to
administer the Alberta Safety Codes Act for the discipline of Plumbing is
revoked for new work undertaken and the municipality is to cease
administration within their jurisdiction under this accreditation effective
October 3, 2000.
     _______________

Pursuant to section 23(3)(c) of the Alberta Safety Codes Act, it is hereby
ordered that

-    Village of Chipman, Accreditation No. J000108, Order No. R00000233,
October 18, 2000

Having voluntarily withdrawn from the accreditation issued July 12, 1995 to
administer the Alberta Safety Codes Act for the discipline of Building is
revoked for new work undertaken and the municipality is to cease
administration within their jurisdiction under this accreditation effective
November 1, 2000.
     _______________

Pursuant to section 23(3)(c) of the Alberta Safety Codes Act, it is hereby
ordered that

-    Village of Chipman, Accreditation No. J000108, Order No. R00000234,
October 18, 2000

Having voluntarily withdrawn from the accreditation issued July 12, 1995 to
administer the Alberta Safety Codes Act for the discipline of Electrical is
revoked for new work undertaken and the municipality is to cease
administration within their jurisdiction under this accreditation effective
November 1, 2000.
     _______________

Pursuant to section 23(3)(c) of the Alberta Safety Codes Act, it is hereby
ordered that

-    Village of Chipman, Accreditation No. J000108, Order No. R00000235,
October 18, 2000

Having voluntarily withdrawn from the accreditation issued July 12, 1995 to
administer the Alberta Safety Codes Act for the discipline of Gas is
revoked for new work undertaken and the municipality is to cease
administration within their jurisdiction under this accreditation effective
November 1, 2000.



Pursuant to section 23(3)(c) of the Alberta Safety Codes Act, it is hereby
ordered that

-    Village of Chipman, Accreditation No. J000108, Order No. R00000236,
October 18, 2000

Having voluntarily withdrawn from the accreditation issued July 12, 1995 to
administer the Alberta Safety Codes Act for the discipline of Plumbing is
revoked for new work undertaken and the municipality is to cease
administration within their jurisdiction under this accreditation effective
November 1, 2000.
     _______________

Pursuant to section 23(3)(c) of the Alberta Safety Codes Act, it is hereby
ordered that

-    Summer Village of Silver Beach, Accreditation No. J000108, Order No.
R00000237, October 23, 2000

Having voluntarily withdrawn from the accreditation issued July 12, 1995 to
administer the Alberta Safety Codes Act for the discipline of Building is
revoked for new work undertaken and the municipality is to cease
administration within their jurisdiction under this accreditation effective
October 31, 2000.
     _______________

Pursuant to section 23(3)(c) of the Alberta Safety Codes Act, it is hereby
ordered that

-    Summer Village of Silver Beach, Accreditation No. J000108, Order No.
R00000238, October 23, 2000

Having voluntarily withdrawn from the accreditation issued July 12, 1995 to
administer the Alberta Safety Codes Act for the discipline of Electrical is
revoked for new work undertaken and the municipality is to cease
administration within their jurisdiction under this accreditation effective
October 31, 2000.
     _______________

Pursuant to section 23(3)(c) of the Alberta Safety Codes Act, it is hereby
ordered that

-    Summer Village of Silver Beach, Accreditation No. J000108, Order No.
R00000239, October 23, 2000

Having voluntarily withdrawn from the accreditation issued July 12, 1995 to
administer the Alberta Safety Codes Act for the discipline of Gas is
revoked for new work undertaken and the municipality is to cease
administration within their jurisdiction under this accreditation effective
October 31, 2000.
     _______________

Pursuant to section 23(3)(c) of the Alberta Safety Codes Act, it is hereby
ordered that

-    Summer Village of Silver Beach, Accreditation No. J000108, Order No.
R00000240, October 23, 2000

Having voluntarily withdrawn from the accreditation issued July 12, 1995 to
administer the Alberta Safety Codes Act for the discipline of Plumbing is
revoked for new work undertaken and the municipality is to cease
administration within their jurisdiction under this accreditation effective
October 31, 2000.
     _______________

Pursuant to section 23(3)(c) of the Alberta Safety Codes Act, it is hereby
ordered that

-    City of Fort Saskatchewan, Accreditation No. J000108, Order No.
R00000241, October 27, 2000

Having voluntarily withdrawn from the accreditation issued July 12, 1995 to
administer the Alberta Safety Codes Act for the discipline of Building is
revoked for new work undertaken and the municipality is to cease
administration within their jurisdiction under this accreditation effective
October 31, 2000.
     _______________

Pursuant to section 23(3)(c) of the Alberta Safety Codes Act, it is hereby
ordered that

-    City of Fort Saskatchewan, Accreditation No. J000108, Order No.
R00000242, October 27, 2000

Having voluntarily withdrawn from the accreditation issued July 12, 1995 to
administer the Alberta Safety Codes Act for the discipline of Electrical is
revoked for new work undertaken and the municipality is to cease
administration within their jurisdiction under this accreditation effective
October 31, 2000.
     _______________

Pursuant to section 23(3)(c) of the Alberta Safety Codes Act, it is hereby
ordered that

-    City of Fort Saskatchewan, Accreditation No. J000108, Order No.
R00000243, October 27, 2000

Having voluntarily withdrawn from the accreditation issued July 12, 1995 to
administer the Alberta Safety Codes Act for the discipline of Fire is
revoked for new work undertaken and the municipality is to cease
administration within their jurisdiction under this accreditation effective
October 31, 2000.
     _______________

Pursuant to section 23(3)(c) of the Alberta Safety Codes Act, it is hereby
ordered that

-    City of Fort Saskatchewan, Accreditation No. J000108, Order No.
R00000244, October 27, 2000

Having voluntarily withdrawn from the accreditation issued July 12, 1995 to
administer the Alberta Safety Codes Act for the discipline of Gas is
revoked for new work undertaken and the municipality is to cease
administration within their jurisdiction under this accreditation effective
October 31, 2000.
     _______________

Pursuant to section 23(3)(c) of the Alberta Safety Codes Act, it is hereby
ordered that

-    City of Fort Saskatchewan, Accreditation No. J000108, Order No.
R00000245, October 27, 2000

Having voluntarily withdrawn from the accreditation issued July 12, 1995 to
administer the Alberta Safety Codes Act for the discipline of Plumbing is
revoked for new work undertaken and the municipality is to cease
administration within their jurisdiction under this accreditation effective
October 31, 2000.



     MUNICIPAL ACCREDITATION

     (Safety Codes Act)

Pursuant to section 23 of the Alberta Safety Codes Act, is is hereby
ordered that

-    Summer Village of Silver Beach, Accreditation No. M000272, Order No.
O00001283, October 23, 2000

Having satisfied the terms and conditions of the Safety Codes Council is
authorized to administer the Alberta Safety Codes Act within their
jurisdiction effective November 1, 2000 for Building, all parts of the
Alberta Building Code, excluding any or all things, processes or activities
owned by or under the care and control of Corporations accredited by the
Safety Codes Council.
     _______________

Pursuant to section 23 of the Alberta Safety Codes Act, is is hereby
ordered that

-    Summer Village of Silver Beach, Accreditation No. M000272, Order No.
O00001282, October 23, 2000

Having satisfied the terms and conditions of the Safety Codes Council is
authorized to administer the Alberta Safety Codes Act within their
jurisdiction effective November 1, 2000 for Electrical, excluding any or
all things, processes or activities owned by or under the care and control
of Corporations accredited by the Safety Codes Council.
     _______________

Pursuant to section 23 of the Alberta Safety Codes Act, is is hereby
ordered that

-    Summer Village of Silver Beach, Accreditation No. M000272, Order No.
O00001279, October 23, 2000

Having satisfied the terms and conditions of the Safety Codes Council is
authorized to administer the Alberta Safety Codes Act within their
jurisdiction effective November 1, 2000 for Plumbing, all parts of the
Canadian Plumbing Code, Alberta Amendments and Regulations, including
Private Sewage Treatment and Disposal Systems, excluding any or all things,
processes or activities owned by or under the care and control of
Corporations accredited by the Safety Codes Council.
     _______________

Pursuant to section 23 of the Alberta Safety Codes Act, is is hereby
ordered that

-    Summer Village of Silver Beach, Accreditation No. M000272, Order No.
O00001280, October 23, 2000

Having satisfied the terms and conditions of the Safety Codes Council is
authorized to administer the Alberta Safety Codes Act within their
jurisdiction effective November 1, 2000 for Gas, all parts of the Canadian
Gas Association, Propane and Natural Gas Codes, Alberta Amendments and
Regulations, excluding Propane and Natural Gas Highway Vehicle Conversions, 
excluding any or all things, processes or activities owned by or under the
care and control of Corporations accredited by the Safety Codes Council.



Pursuant to section 23 of the Alberta Safety Codes Act, is is hereby
ordered that

-    City of Fort Saskatchewan, Accreditation No. M000286, Order No.
O00001287, October 27, 2000

Having satisfied the terms and conditions of the Safety Codes Council is
authorized to administer the Alberta Safety Codes Act within their
jurisdiction effective November 1, 2000 for Building, all parts of the
Alberta Building Code, excluding any or all things, processes or activities
owned by or under the care and control of Corporations accredited by the
Safety Codes Council.
     _______________

Pursuant to section 23 of the Alberta Safety Codes Act, is is hereby
ordered that

-    City of Fort Saskatchewan, Accreditation No. M000286, Order No.
O00001286, October 27, 2000

Having satisfied the terms and conditions of the Safety Codes Council is
authorized to administer the Alberta Safety Codes Act within their
jurisdiction effective November 1, 2000 for Electrical, excluding any or
all things, processes or activities owned by or under the care and control
of Corporations accredited by the Safety Codes Council.
     _______________

Pursuant to section 23 of the Alberta Safety Codes Act, is is hereby
ordered that

-    City of Fort Saskatchewan, Accreditation No. M000286, Order No.
O00001285, October 27, 2000

Having satisfied the terms and conditions of the Safety Codes Council is
authorized to administer the Alberta Safety Codes Act within their
jurisdiction effective November 1, 2000 for Gas, all parts of the Canadian
Gas Association, Propane and Natural Gas Codes, Alberta Amendments and
Regulations, excluding Propane and Natural Gas Highway Vehicle Conversions, 
excluding any or all things, processes or activities owned by or under the
care and control of Corporations accredited by the Safety Codes Council.
     _______________

Pursuant to section 23 of the Alberta Safety Codes Act, is is hereby
ordered that

-    City of Fort Saskatchewan, Accreditation No. M000286, Order No.
O00001284, October 27, 2000

Having satisfied the terms and conditions of the Safety Codes Council is
authorized to administer the Alberta Safety Codes Act within their
jurisdiction effective November 1, 2000 for Plumbing, all parts of the
Canadian Plumbing Code, Alberta Amendments and Regulations, including
Private Sewage Treatment and Disposal Systems, excluding any or all things,
processes or activities owned by or under the care and control of
Corporations accredited by the Safety Codes Council.



     ALBERTA SECURITIES COMMISSION

     NATIONAL INSTRUMENT 41-101
     PROSPECTUS DISCLOSURE REQUIREMENTS

     TABLE OF CONTENTS

     PART 1    APPLICATION AND INTERPRETATION     
          1.1  Application    
          1.2  Interpretation of "Prospectus"     
          1.3  Variations     

     PART 2    FRONT PAGE DISCLOSURE    
          2.1  Prospectus Warning and Disclaimer Clause     
          2.2  Preliminary Prospectus Disclosure  
          2.3  International Issuers    

     PART 3    PLAN OF DISTRIBUTION DISCLOSURE    
          3.1  Plan of Distribution Disclosure    

     PART 4    STATUTORY RIGHTS OF WITHDRAWAL AND RESCISSION     
          4.1  General   
          4.2  Non-Fixed Price Offerings     

     PART 5    EXEMPTION 
          5.1  Exemption 
          5.2  Evidence of Exemption    

     PART 6    EFFECTIVE DATE 
          6.1  Effective Date
     
     NATIONAL INSTRUMENT 41-101
     PROSPECTUS DISCLOSURE REQUIREMENTS

PART 1    APPLICATION AND INTERPRETATION

     1.1  Application - Except as otherwise provided in securities
legislation or an exemption from securities legislation, this Instrument
applies to a prospectus.

     1.2  Interpretation of "Prospectus" - In this Instrument, unless
otherwise stated, a reference to a prospectus includes a preliminary
prospectus.

     1.3  Variations - An issuer may modify the statements required by
this Instrument to be included in a prospectus to reflect the terms and
conditions of a distribution of the issuer's securities.

PART 2    FRONT PAGE DISCLOSURE

     2.1  Prospectus Warning and Disclaimer Clause - An issuer shall
include the following statement in italics at the top of the cover page of
its prospectus:
 
          "No securities regulatory authority has expressed an opinion
about these securities and it is an offence to claim otherwise." 

     2.2  Preliminary Prospectus Disclosure - An issuer shall include the
following statement in red ink and italics at the top of the cover page
immediately above the disclosure required under section 2.1, with the
bracketed information completed:

          "A copy of this preliminary prospectus has been filed with the
securities regulatory authority(ies) in [each of/certain of the
provinces/provinces and territories of Canada] but has not yet become final
for the purpose of the sale of securities.  Information contained in this
preliminary prospectus may not be complete and may have to be amended. The
securities may not be sold until a receipt for the prospectus is obtained
from the securities regulatory authority(ies)."

INSTRUCTION    Issuers shall complete the bracketed information by (I)
inserting the names of each jurisdiction in which the issuer intends to
offer securities under the prospectus; (ii) stating that the filing has
been made in each of the provinces of Canada or each of the provinces and
territories of Canada; or (iii) identifying the filing jurisdictions by
exception (i.e., every province of Canada or every province and territory
of Canada, except [excluded jurisdictions]).

     2.3  International Issuers

     (1)  If the issuer, a selling securityholder, a credit supporter of
the securities distributed under the prospectus or a promoter of the issuer
is incorporated, continued, or otherwise organized under the laws of a
foreign jurisdiction or resides outside of Canada, state the following on
the cover page or under a separate heading elsewhere in the prospectus,
with the bracketed information completed:

               "The [name of the issuer, selling securityholder, credit
supporter and/or promoter] is incorporated, continued or otherwise
organized under the laws of a foreign jurisdiction or resides outside of
Canada.  Although [name of the issuer, selling securityholder, credit
supporter and/or promoter] has appointed [name(s) and address(es) of
agent(s) for service] as its agent(s) for service of process in [name of
province or territory], it may not be possible for investors to collect
from the issuer, selling securityholder, credit supporter or promoter,
judgments obtained in courts in [name of provinces and territories]
predicated on the civil liability provisions of securities legislation."

     (2)  For the purposes of subsection (1), "credit supporter" has the
meaning ascribed to that term in National Instrument 44-101 Short Form
Prospectus Distributions.

PART 3    PLAN OF DISTRIBUTION DISCLOSURE

     3.1  Plan of Distribution Disclosure - If an underwriter has agreed
to purchase all of the securities being distributed at a specified price
and the underwriter's obligations are subject to conditions, an issuer
shall include the following statements in its prospectus with the bracketed
information completed:

     1.   On the cover page of the prospectus:

          "We, as principals, conditionally offer these securities,
subject to prior sale, if, as and when issued by [name of issuer] and
accepted by us in accordance with the conditions contained in the
underwriting agreement referred to under Plan of Distribution."

     2.   In the section of the prospectus that describes the plan of
distribution of the securities:

          "Under an agreement dated [date of agreement] between [name of
issuer or selling shareholder] and [name(s) of underwriter(s)], as
underwriter[s], [name of issuer or selling shareholder] has agreed to sell
and the underwriter[s] [has/have] agreed to purchase on [closing date] the
securities at a price of [offering price] payable in cash to    [name of
issuer or selling shareholder] against delivery.  The obligations of the
underwriter[s] under the agreement may be terminated at [its/their]
discretion on the basis of [its/their] assessment of the state of the
financial markets and may also be terminated upon the occurrence of certain
stated events.  The underwriter[s] [is/are], however, obligated to take up
and pay for all the securities if any of the securities are purchased under
the agreement."

PART 4    STATUTORY RIGHTS OF WITHDRAWAL AND RESCISSION

     4.1  General - An issuer shall include a statement in substantially
the following form, with bracketed information completed, in its
prospectus:

          "Securities legislation in [certain of the provinces [and
territories] of Canada/the Province of [insert name of local jurisdiction,
if applicable]] provides purchasers with the right to withdraw from an
agreement to purchase securities.  This right may be exercised within two
business days after receipt or deemed receipt of a prospectus and any
amendment.  [In several of the provinces/provinces and territories],
[T/t]he securities legislation further provides a purchaser with remedies
for rescission [or [, in some jurisdictions,] damages] if the prospectus
and any amendment contains a misrepresentation or is not delivered to the
purchaser, provided that the remedies for rescission [or damages] are
exercised by the purchaser within the time limit prescribed by the
securities legislation of the purchaser's province [or territory].  The
purchaser should refer to any applicable provisions of the securities
legislation of the purchaser's province [or territory] for the particulars
of these rights or consult with a legal adviser."

     4.2  Non-Fixed Price Offerings - In the case of a non-fixed price
offering, replace, if applicable, in the jurisdiction in which the
prospectus is filed, the second sentence in the legend in item 4.1 with a
statement in substantially the following form:

          "This right may only be exercised within two business days
after receipt or deemed receipt of a prospectus and any amendment,
irrespective of the determination at a later date of the purchase price of
the securities distributed."

PART 5    EXEMPTION

     5.1  Exemption

          (1)  The regulator or the securities regulatory authority may
grant an exemption, in whole or in part, from the provisions of this
Instrument subject to such conditions or restrictions as may be imposed in
the exemption.

          (2)  Despite subsection (1), in Ontario and Alberta, only the
regulator may grant such an exemption. 

          (3)  An application made to the securities regulatory
authority or regulator for an exemption from the provisions of this
Instrument shall include a letter or memorandum describing the matters
relating to the exemption and indicating why consideration should be given
to the granting of the exemption. 

     5.2  Evidence of Exemption

          (1)  Without limiting the manner in which an exemption under
this Part may be evidenced, the granting of an exemption under this Part
may be evidenced by the issuance of a receipt for a prospectus or an
amendment to a prospectus.

          (2)  An exemption under this Part may be evidenced in the
manner set out in subsection (1) only if

               (a)  the person or company that sought the exemption
sent the regulator the letter or memorandum referred to in subsection
5.1(3) on or before the date of the filing of the preliminary prospectus; 

               (b)  sent to the regulator the letter or memorandum
referred to in subsection 5.1(3) after the date of the filing of the
preliminary prospectus and received a written acknowledgement from the
regulator that the exemption may be evidenced in the manner set out in
subsection (1); and 

               (c)  the regulator has not sent notice to the contrary
to the person or company that sought the exemption before, or concurrently
with, the issuance of the receipt.

PART 6    EFFECTIVE DATE

     6.1  Effective Date - This Instrument shall come into force on
December 31, 2000.
________________________________________________________________________

     REPEAL OF      ALBERTA SECURITIES COMMISSION      RULES

Section 99 of the Alberta Securities Commission Rules is repealed.

Section 100 of the Alberta Securities Commission Rules is repealed.

Effective Date

The repeal of sections 99 and 100 of the Alberta Securities Commission
Rules is effective on December 31, 2000.



     NATIONAL INSTRUMENT 44-101

     SHORT FORM PROSPECTUS DISTRIBUTIONS

     TABLE OF CONTENTS

PART 1    DEFINITIONS AND INTERPRETATION
     1.1  Definitions
     1.2  Significant Acquisitions
     1.3  Application of the Income Test
     1.4  Probable Acquisitions
     1.5  Acquisitions
     1.6  Significant Dispositions
     1.7  References to Information Included in a Document
     1.8  References to Information to be Included in a Document
     1.9  Incorporation by Reference
     1.10 Interpretation of "Short Form Prospectus"

PART 2    QUALIFICATION TO FILE A PROSPECTUS IN THE FORM OF A SHORT FORM
PROSPECTUS
     2.1  Short Form Prospectus
     2.2  Basic Qualification Criteria
     2.3  Alternative Qualification Criteria for Substantial Issuers
     2.4  Alternative Qualification Criteria for Issuers of Approved
Rating Non-Convertible Securities
     2.5  Alternative Qualification Criteria for Issuers of Guaranteed
Non-Convertible Debt Securities, Preferred Shares and Cash Settled
Derivatives
     2.6  Alternative Qualification Criteria for Issuers of Guaranteed
Convertible Debt Securities or Preferred Shares
     2.7  Alternative Qualification Criteria for Issuers of Asset-Backed
Securities
     2.8  Alternative Qualification Criteria Following Reorganizations
     2.9  Calculation of the Aggregate Market Value of an Issuer's
Securities
     2.10 Adoption by Successor Issuer of a Participant's AIF Following a
Reorganization

PART 3    AIF
     3.1  Initial AIF
     3.2  Renewal AIF Filing Procedures
     3.3  Supporting Documents
     3.4  Alternative Form of AIF

PART 4    DISCLOSURE IN A SHORT FORM PROSPECTUS OF FINANCIAL STATEMENTS
FOR SIGNIFICANT ACQUISITIONS
          4.1  Scope
          4.2  Financial Statement Disclosure for Significant
Acquisitions Completed During the Issuer's Three Most Recently Completed
Financial Years
     4.3  Financial Statement Disclosure for Significant Acquisitions
Completed During the Issuer's Current Financial Year
     4.4  Financial Statement Disclosure for Significant Probable
Acquisitions
     4.5  Pro Forma Financial Statements
     4.6  Reporting Periods
     4.7  Additional Financial Statements or Financial Information of the
Business Filed or Released
     4.8  Exceptions to Disclosure Requirements for Significant
Acquisitions if More Recent Financial Statements Included
     4.9  Exception to Disclosure Requirements for Significant
Acquisitions if Financial Year End Changed
     4.10 Exception to Disclosure Requirements for Significant
Acquisitions Accounted for Using the Equity Method
     4.11 Additional Disclosure for Significant Acquisitions After
Financial Year End Accounted for Using the Purchase Method
     4.12 Audit Requirement for Financial Statements of a Business
     4.13 Exception to Audit Requirement for Interim Financial Statements
of a Business
     4.14 Exception to Audit Requirement for Recent Financial Statements
of a Business
     4.15 Exception to Audit Requirement for Financial Statements of a
Business Included in a Previous Prospectus without an Audit Opinion
     4.16 Compilation Report for Pro Forma Financial Statements

PART 5    FINANCIAL STATEMENT DISCLOSURE FOR MULTIPLE ACQUISITIONS THAT
ARE NOT OTHERWISE SIGNIFICANT OR RELATED
     5.1  Scope
     5.2  Historical Financial Statement Disclosure
     5.3  Additional Financial Statements or Financial Information of the
Business Filed or Released
     5.4  Exceptions to Disclosure Requirements for Multiple Acquisitions
if More Recent Financial Statements Included
     5.5  Exception to Disclosure Requirements for Multiple Acquisitions
if Financial Year End Changed
     5.6  Audit Requirement for Financial Statements of a Business
     5.7  Exception to Audit Requirement for Interim Financial Statements
of a Business
     5.8  Exception to Audit Requirement for Recent Financial Statements
of a Business
     5.9  Compilation Report for Pro Forma Financial Statements

PART 6    PRO FORMA FINANCIAL STATEMENT DISCLOSURE FOR SIGNIFICANT
DISPOSITIONS
     6.1  Scope
     6.2  Pro Forma Financial Statements

PART 7    GAAP, GAAS, AUDITORS' REPORTS AND OTHER FINANCIAL STATEMENT
MATTERS
     7.1  Generally Accepted Accounting Principles
     7.2  Exception to the Requirement to Reconcile Financial Statements
Prepared in Accordance with Foreign GAAP
     7.3  Audit Requirement
     7.4  Generally Accepted Auditing Standards
     7.5  Foreign Auditor's Report

PART 8    AUDIT COMMITTEE REVIEW OF FINANCIAL STATEMENTS INCLUDED IN A
SHORT FORM PROSPECTUS
     8.1  Audit Committee Review of Financial Statements Included in a
Short Form Prospectus

PART 9    DEEMED INCORPORATION BY REFERENCE
     9.1  Deemed Incorporation by Reference of Filed Documents
     9.2  Deemed Incorporation by Reference of Subsequently Filed
Documents

PART 10   FILING REQUIREMENTS FOR A SHORT FORM PROSPECTUS
     10.1 Interpretation of "Prospectus"
     10.2 Required Documents for Filing a Preliminary Short Form
Prospectus
     10.3 Required Documents for Filing a Short Form Prospectus
     10.4 Consent of Experts
     10.5 Filing of French Language Version
     10.6 Prohibition on Filing
     10.7 Material Contracts

PART 11   AMENDMENTS TO A SHORT FORM PROSPECTUS
     11.1 Form of Amendment
     11.2 Required Documents for Filing an Amendment
     11.3 Auditor's Letter
     11.4 Forwarding Amendments
     11.5 Amendment to Preliminary Short Form Prospectus
     11.6 Amendment to Short Form Prospectus

PART 12   NON-FIXED PRICE OFFERINGS AND REDUCTION OF OFFERING PRICE UNDER
SHORT FORM PROSPECTUS
     12.1 Non-Fixed Price Offerings and Reduction of Offering Price under
Short Form Prospectus

PART 13   CIRCULARS
     13.1 Use of Short Form Prospectus Disclosure in Securities Exchange
Take-Over Bid Circular and Securities Exchange Issuer Bid Circular
     13.2 Use of Short Form Prospectus Disclosure in Information Circular
     13.3 Information Circular Disclosure regarding Availability of
Information

PART 14   SOLICITATIONS OF EXPRESSIONS OF INTEREST
     14.1 Solicitations of Expressions of Interest

PART 15   EXEMPTION
     15.1 Exemption
     15.2 Evidence of Exemption
     15.3 Exemption under Prior Policy

PART 16   EFFECTIVE DATE
     16.1 Effective Date

     NATIONAL INSTRUMENT 44-101
     SHORT FORM PROSPECTUS DISTRIBUTIONS

PART 1    DEFINITIONS AND INTERPRETATION

1.1  Definitions - In this Instrument

"absolute value" means the positive value of any number;

"acquisition of related businesses" means the acquisitions of two or more
businesses if 

(a)  the businesses were under common control or management before the
acquisitions were completed, 

(b)  each acquisition was conditional upon the completion of each other
acquisition, or

(c)  each acquisition is contingent on a single common event;

"AIF" means an annual information form

(a)  in the form of Form 44-101F1 AIF,

(b)  in the form referred to in section 3.4, or

(c)  in the form of Appendix A to NP47, if the annual information form was
filed before this Instrument came into force;

"alternative credit support" means support, other than a guarantee, for the
payments to be made by an issuer of securities, as stipulated in the terms
of the securities or in an agreement governing rights of, or granting
rights to, holders of the securities, that 

(a)  obliges the person or company providing the support to provide the
issuer with funds sufficient to enable the issuer to make the stipulated
payments, or

(b)  entitles the holder of the securities to receive, from the person or
company providing the support, payment if the issuer fails to make a
stipulated payment;

"approved rating" means, for a security, a rating at or above one of the
following rating categories issued by an approved rating organization for
the security or a rating category that replaces a category listed below:

Approved Rating Organization
Long Term
Debt
Short Term
Debt
Preferred
Shares

CBRS Inc.
B++
A-2
P-3

Dominion Bond Rating
Service Limited
BBB
R-2
Pfd-3

Duff & Phelps
Credit Rating Co.
BBB-
D-3
BBB-

Fitch IBCA, Inc.
BBB
F3
BBB

Moody's Investors
Service, Inc.
Baa
Prime-3
"baa"

Standard & Poor's
Corporation
BBB
A-3
BBB

Thomson BankWatch, Inc.
BBB 

TBW-3  

BBB 

"approved rating organization" means each of CBRS Inc., Dominion Bond
Rating Service Limited, Duff & Phelps Credit Rating Co., Fitch IBCA, Inc.,
Moody's Investors Service, Inc., Standard & Poor's Corporation, Thomson
BankWatch, Inc., and any of their successors;

"asset-backed security" means a security that is primarily serviced by the
cash flows of a discrete pool of mortgages, receivables or other financial
assets, either fixed or revolving, that by their terms convert into cash
within a finite time period, and any rights or other assets designed to
assure the servicing or timely distribution of proceeds to security
holders;

"associated party" means, if used to indicate a relationship with a person
or company,

(a)  a partner, other than a limited partner, of the person or company,

(b)  a trust or estate in which the person or company has a substantial
beneficial interest or for which the person or company serves as trustee or
in a similar capacity,

(c)  an issuer in respect of which the person or company beneficially owns
or controls, directly or indirectly, securities carrying more than 10 per
cent of the voting rights attached to all outstanding securities of the
issuer,

(d)  a relative of the person who has the same home as that person,

(e)  an individual who has the same home as the person and who is either
married to the person or is living with the person in a conjugal
relationship outside marriage, or

(f)  a relative of an individual mentioned in paragraph (e) who has the
same home as the person;

"auditor's report" means

(a)  a Canadian auditor's report, or

(b)  in the case of an issuer incorporated or organized in a foreign
jurisdiction

     (i)  a Canadian auditor's report, or

     (ii) a foreign auditor's report;

"business segment" has the meaning ascribed to that term in the Handbook;

"cash equivalent" means an evidence of indebtedness that has a remaining
term to maturity of 365 days or less and that is issued, or fully and
unconditionally guaranteed as to principal and interest, by

(a)  the government of Canada or the government of a jurisdiction,

(b)  the government of the United States of America, the government of one
of the states of the United States of America, the government of another
sovereign state or a permitted supranational agency, if, in each case, the
evidence of indebtedness has an approved rating, or

(c)  a Canadian financial institution, or other entity that is regulated
as a banking institution, loan corporation, trust company, or insurance
company or credit union by the government, or an agency of the government,
of the country under whose laws the entity is incorporated or organized or
a political subdivision of that country, if, in either case, the Canadian
financial institution or other entity has outstanding short term debt
securities that have received an approved rating from any approved rating
organization;

"cash settled derivative" means a specified derivative, the terms of which
provide for settlement only by means of cash or cash equivalent, the amount
of which is determinable by reference to the underlying interest of the
specified derivative;

"connected issuer" has the meaning ascribed to that term in securities
legislation;

"convertible" means, if used to describe securities, that the rights and
attributes attached to the securities include the right or option to
purchase, convert into or exchange for or otherwise acquire equity
securities of an issuer, or any other security that itself includes the
right or option to purchase, convert into or exchange for or otherwise
acquire equity securities of an issuer;

"credit supporter" means a person or company that provides a guarantee or
alternative credit support for any of the payments to be made by an issuer
of securities as stipulated in the terms of the securities or in an
agreement governing rights of, or granting rights to, holders of the
securities;

"current AIF" means

(a)  for an issuer other than an issuer subsisting under the laws of a
foreign jurisdiction that has filed an AIF in the form of a current annual
report on Form 10-K or on Form 20-F under the 1934 Act

     (i)  during the period of 140 days following the issuer's most
recently completed financial year, 

          (A)  if the issuer has filed an initial AIF for its most
recently completed financial year that has been accepted for filing under
this Instrument, the initial AIF,

          (B)  if the issuer has filed a renewal AIF under this
Instrument for its most recently completed financial year, the renewal AIF,

          (C)  if the issuer has not filed an AIF for its most recently
completed financial year and has filed an initial AIF for the financial
year preceding its most recently completed financial year that has been
accepted for filing under this Instrument, the initial AIF, or

          (D)  if the issuer has not filed an AIF for its most recently
completed financial year and has filed a renewal AIF under this Instrument
for the financial year preceding its most recently completed financial
year, the renewal AIF,

     (ii) at any time after 140 days following the issuer's most recently
completed financial year,

          (A)  if the issuer has filed an initial AIF for its most
recently completed financial year that has been accepted for filing under
this Instrument, the initial AIF, or

          (B)  if the issuer has filed a renewal AIF under this
Instrument for its most recently completed financial year, the renewal AIF,
or

     (iii)     an AIF of the issuer filed before this Instrument came into
force that would constitute a "Current AIF" for the purposes of NP47 if
that instrument was applicable, or

(b)  for an issuer subsisting under the laws of a foreign jurisdiction
that has filed an AIF in the form of a current annual report on Form 10-K
or on Form 20-F under the 1934 Act

     (i)  during the period of 180 days following the issuer's most
recently completed financial year

          (A)  if the issuer has filed an initial AIF for its most
recently completed financial year that has been accepted for filing under
this Instrument, the initial AIF,

          (B)  if the issuer has filed a renewal AIF under this
Instrument for its most recently completed financial year, the renewal AIF,

          (C)  if the issuer has not filed an AIF for its most recently
completed financial year and has filed an initial AIF for the financial
year preceding its most recently completed financial year that has been
accepted for filing under this Instrument, the initial AIF, or

          (D)  if the issuer has not filed an AIF for its most recently
completed financial year and has filed a renewal AIF under this Instrument
for the financial year preceding its most recently completed financial
year, the renewal AIF,

     (ii) at any time after 180 days following the issuer's most recently
completed financial year, 

          (A)  if the issuer has filed an initial AIF for its most
recently completed financial year that has been accepted for filing under
this Instrument, the initial AIF, or

          (B)  if the issuer has filed a renewal AIF under this
Instrument for its most recently completed financial year, the renewal AIF,
or

     (iii)     an AIF of the issuer filed before this Instrument came into
force that would constitute a "Current AIF" for the purposes of NP47 if
that instrument was applicable;

"equity securities" means securities of an issuer that carry a residual
right to participate in the earnings of the issuer and, upon the
liquidation or winding up of the issuer, in its assets;

"executive officer" means an individual who is or at any time during the
most recently completed financial year was 

(a)  a chair of the issuer, if that individual performed the functions of
the office on a full time basis, 

(b)  a vice-chair of the issuer, if that individual performed the
functions of the office on a full time basis, 

(c)  the president of the issuer, 

(d)  a vice-president of the issuer in charge of a principal business
unit, division, or function such as sales, finance, or production, 

(e)  an officer of the issuer or any of its subsidiaries who performed a
policy-making function in respect of the issuer, or 

(f)  any other person who performed a policy-making function in respect of
the issuer;

"foreign auditor's report" means a report of an auditor that is prepared in
accordance with foreign GAAS;

"foreign GAAP" means a body of generally accepted accounting principles,
other than Canadian GAAP, that are as comprehensive as Canadian GAAP;

"foreign GAAS" means a body of generally accepted auditing standards, other
than Canadian GAAS, that are substantially equivalent to Canadian GAAS;
     
     "44-101 regulator" means, for an issuer filing an AIF, preliminary
short form prospectus, short form prospectus or amendment to a short form
prospectus,

(a)  the regulator in the local jurisdiction, if the issuer has not
elected to use the MRRS, or

(b)  the person referred to in Appendix D of National Instrument 14-101
Definitions opposite the name of the jurisdiction that acts as principal
regulator for the review of the document under National Policy 43-201
Mutual Reliance Review System for Prospectuses and Annual Information
Forms, together with the regulator in each jurisdiction, if any, that has
opted out of, without having opted back into, the MRRS, if the issuer has
elected to use the MRRS;

"income from continuing operations" means income or loss, excluding
discontinued operations and extraordinary items, before income taxes and
after amortization and write-offs of goodwill;

"initial AIF" means an AIF, as may be revised from time to time, filed by
an issuer in the local jurisdiction, if at the time of filing the issuer
either 

(a)  has not previously had a current AIF in the local jurisdiction, or

(b)  previously had a current AIF in the local jurisdiction and no longer
has one;

"interim period" means a completed three, six or nine month period in the
financial year that commenced immediately following the end of the most
recently completed financial year for which audited annual financial
statements are included in a short form prospectus;

"investee" means an entity that the Handbook recommends that an issuer
account for by the equity method or the proportionate consolidation method;

"MD&A" means the management's discussion and analysis of financial
condition and results of operations of an issuer required to be disclosed
in an AIF;

"mineral project" means any exploration, development or production activity
in respect of natural, solid, inorganic or fossilized organic material
including base and precious metals, coal and industrial minerals;

"MRRS" has the meaning ascribed to that term in National Policy 43-201;

"non-convertible" means, if used to describe a security, a security that is
not convertible;

"NP47" means National Policy Statement No. 47 Prompt Offering Qualification
System;

"participant" means an issuer that is a party to a reorganization;

"permitted supranational agency" means the International Bank for
Reconstruction and Development, the International Finance Corporation, the
Inter-American Development Bank, the Asian Development Bank, the Caribbean
Development Bank, the European Bank for Reconstruction and Development, the
African Development Bank and any person or company prescribed under
paragraph (g) of the definition of "foreign property" in subsection 206(1)
of the ITA;

"pre-acquisition period" means the period from the first day of the current
financial year to the date of the acquisition of a business or to a day not
more than 30 days before the date of the acquisition;

"principal obligor" means, for an asset-backed security, a person or
company that is obligated to make payments, has guaranteed payments, or has
provided alternative credit support for payments, on financial assets that
represent a third or more of the aggregate amount owing on all of the
financial assets underlying the asset-backed security;

"probable acquisition of a business" means a proposed acquisition of a
business that has progressed to a state where a reasonable person would
believe that the likelihood of the acquisition being completed is high; 

"probable acquisition of related businesses" means

(a)  a proposed acquisition of related businesses if each proposed
acquisition has progressed to a state where a reasonable person would
believe that the likelihood of the acquisition being completed is high, or

(b)  a completed acquisition of a business and a proposed acquisition of a
business if

     (i)  the proposed acquisition has progressed to a state where a
reasonable person would believe that the likelihood of the acquisition
being completed is high, and

     (ii) if

          (A)  the businesses were under common control or management
prior to the date of the acquisition, 

          (B)  the proposed acquisition was conditional upon the
completed acquisition; or

          (C)  each acquisition is contingent on a single common event;

"related credit supporter" of an issuer means a credit supporter of the
issuer that is an affiliate of the issuer;

"renewal AIF" means an AIF filed by an issuer in the local jurisdiction, as
may be revised from time to time, if at the time of filing the issuer had a
current AIF;

"reorganization" means

(a)  a statutory amalgamation,

(b)  a statutory merger, or

(c)  a statutory arrangement;

"SEDAR" has the meaning ascribed to that term in National Instrument 13-101
System for Electronic Document Analysis and Retrieval (SEDAR);

"significance tests" means the tests set out in subsection 1.2(2) and, if
applicable, subsection 1.2(3), used to determine if an acquisition of a
business, an acquisition of related businesses, a probable acquisition of a
business or a probable acquisition of related businesses is a significant
acquisition for purposes of this Instrument; 

"specified derivative" means an instrument, agreement or security, the
market price, value or payment obligation of which is derived from,
referenced to, or based on an underlying interest;

"successor issuer" means an issuer existing as a result of a
reorganization, other than, in the case where the reorganization involved a
divestiture of a portion of a participant's business, an issuer that
succeeded to or otherwise acquired the portion of the business divested; 

"transition year" means the financial year of an issuer or business in
which a change in the ending date of its financial year occurs;

"underlying interest" means, for a specified derivative, the security,
commodity, financial instrument, currency, interest rate, foreign exchange
rate, economic indicator, index, basket, agreement, benchmark or any other
reference, interest or variable, and, if applicable, the relationship
between any of the foregoing, from, to or on which the market price, value
or any payment obligation of the specified derivative is derived,
referenced or based; and

"U.S. GAAS" means the body of generally accepted auditing standards in the
United States of America.
     
1.2  Significant Acquisitions

(1)  Significant Acquisitions - Unless the context otherwise requires, the
term "significant acquisition" refers to an acquisition of a business, an
acquisition of related businesses, a probable acquisition of a business or
a probable acquisition of related businesses that satisfies any of the
significance tests.

(2)  Required Significance Tests at Date of Acquisition - For the purposes
of this Instrument, an acquisition of a business, an acquisition of related
businesses, a probable acquisition of a business or a probable acquisition
of related businesses is a significant acquisition, if it satisfies any of
the following three tests:

     1.   The Asset Test.  The issuer's proportionate share of the 
consolidated assets of the business or related businesses exceeds 20 per
cent of the consolidated assets of the issuer calculated using the audited
financial statements of each of the issuer and the business or the related
businesses for the most recently completed financial year of the issuer
ended before the date of the acquisition.

     2.   The Investment Test. The issuer's consolidated investments in
and advances to the business or the related businesses exceeds 20 per cent
of the consolidated assets of the issuer as at the last day of the most
recently completed financial year of the issuer ended before the date of
the acquisition for which audited financial statements are included in the
short form prospectus, excluding any investments in or advances to the
business or the related businesses as at that date.

     3.   The Income Test.  The issuer's proportionate share of the
consolidated income from continuing operations of the business or related
businesses exceeds 20 per cent of the consolidated income from continuing
operations of the issuer calculated using the audited financial statements
of each of the issuer and the business or related businesses for the most
recently completed financial year of each ended before the date of the
acquisition.

(3)  Optional Significance Tests Subsequent to the Date of Acquisition -
If an acquisition of a business, an acquisition of related businesses, a
probable acquisition of a business or a probable acquisition of related
businesses is significant based on the significance tests in subsection
(2), the issuer may re-calculate the significance at a more recent date as
follows: 

     1.   The Asset Test.  The issuer's proportionate share of the total
consolidated assets of the business or the related businesses, as at the
date of the issuer's most recent balance sheet included in the short form
prospectus, exceeds 20 per cent of the consolidated assets of the issuer,
as at the date of the issuer's most recent balance sheet included in the
short form prospectus, without giving effect to the acquisition.

     2.   The Investment Test.  The issuer's consolidated investments in
and advances to the business or the related businesses as at the date of
the acquisition or the proposed date of the acquisition exceeds 20 per cent
of the consolidated assets of the issuer as at the date of the issuer's
most recent balance sheet included in the short form prospectus for a
period that ends before the date of the acquisition, excluding any
investments in or advances to the business or related business as at that
date.

     3.   The Income Test.  The income from continuing operations
calculated pursuant to the following clause (a) exceeds 20 per cent of the
income from continuing operations calculated pursuant to the following
clause (b):

          (a)  The issuer's proportionate share of the consolidated
income from continuing operations of the business or the related businesses
for the later of

               (i)  the most recently completed financial year of the
business or the related businesses that ended more than 90 days before the
date of the short form prospectus, or

               (ii) the 12 months ended on the last day of the most
recently completed interim period of the business or related businesses
that ended more than 60 days before the date of the short form prospectus.

          (b)  The issuer's consolidated income from continuing
operations for the later of

               (i)  the most recently completed financial year, without
giving effect to the acquisition, or

               (ii) the 12 months ended on the last day of the most
recently completed interim period of the issuer for which financial
statements are included in the short form prospectus, without giving effect
to the acquisition.

(4)  If an issuer re-calculates the significance of an acquisition of a
business, an acquisition of related businesses, a probable acquisition of a
business or a probable acquisition of related businesses pursuant to
subsection (3) and none of the significance tests in that subsection is
met, the acquisition is not a significant acquisition for purposes of this
Instrument.

(5)  Despite subsection (3), the significance of an acquisition of a
business, an acquisition of related businesses, a probable acquisition of a
business or a probable acquisition of related businesses may be
re-calculated only if, subsequent to the acquisition date, the business or
related businesses remained substantially intact, were not significantly
reorganized, and no significant assets and liabilities were transferred to
other entities.

(6)  Despite subsection (2), the significance of an acquisition of a
business, an acquisition of related businesses, a probable acquisition of a
business or a probable acquisition of related businesses may be calculated
using unaudited financial statements of the business or related business
prepared in accordance with GAAP if the financial statements of the
business or related businesses for the most recently completed financial
year prior to the date of the acquisition have not been audited.

(7)  In determining whether an acquisition of related businesses or a
probable acquisition of related businesses is a significant acquisition,
the related businesses shall be considered on a combined basis.

(8)  If an issuer has accounted for an acquisition as a reverse take-over
in accordance with Item 12.7 of Form 44-101F3 for the purposes of
subsections (2) and (3), the legal parent, as that term is used in the
Handbook, shall be considered the business.

(9)  For the purposes of the significance tests in subsections (2) and
(3), financial statements of the business or the related businesses which
are prepared in accordance with foreign GAAP or denominated in a foreign
currency shall be reconciled to Canadian GAAP or translated into Canadian
dollars, respectively.

1.3  Application of the Income Test

(1)  For the purposes of paragraph 3 of each of subsections 1.2(2) and
1.2(3), if any of the issuer, the business or the related businesses has
incurred a loss, the test shall be applied using the absolute value of the
loss.

(2)  For the purpose of calculating the significance of individually
insignificant unrelated multiple acquisitions, entities reporting losses
from continuing operations shall not be aggregated with entities reporting
income from continuing operations.

(3)  Lower than Average Income of the Issuer-Required Significance Tests -
For the purposes of paragraph 3 of subsection 1.2(2), if the issuer's
consolidated income from continuing operations for the most recently
completed financial year referred to in subsection 1.2(2) was

     1.   positive, and 

     2.   lower by 20 per cent or more than the average consolidated
income from continuing operations of the issuer for the three most recently
completed financial years, 

     then, the average consolidated income for the three most recently
completed financial years may, subject to subsection (6), be substituted in
determining whether the significance test set out in subsection 1.2(2) is
satisfied.
     
(4)  Lower than Average Income of the Issuer - Optional Significance Tests
Using Most Recently Completed Financial Year - For the purposes of
paragraph 3 of subsection 1.2(3), if the issuer's consolidated income from
continuing operations for the most recently completed financial year
referred to in subclause 3(b)(i) of subsection 1.2(3) was

     1.   positive, and 

     2.   lower by 20 per cent or more than the average consolidated
income from continuing operations of the issuer for the three most recently
completed financial years,

     then, the average consolidated income for the three most recently
completed financial years may, subject to subsection (6), be substituted in
determining whether the significance test set out in paragraph 3 of
subsection 1.2(3) is satisfied.

(5)  Lower than Average Income of the Issuer - Optional Significance Tests
Using Most Recently Completed Twelve Months - For the purposes of paragraph
3 of subsection 1.2(3), if the issuer's consolidated income from continuing
operations for the most recently completed 12 month period referred to in
subclause 3(b)(ii) of subsection 1.2(3) was 

     1.   positive, and 

     2.   lower by 20 per cent or more than the average consolidated
income from continuing operations of the issuer for the three previous 12
month periods,

     then, the average consolidated income for the three previous 12 month
periods may, subject to subsection (6), be substituted in determining
whether the significance test set out in paragraph 3 of subsection 1.2(3)
is satisfied.

(6)  Loss - If the issuer's consolidated income from continuing operations
for either of the two earlier financial years referred to in subsection (3)
and (4), or either of the two earlier 12 month periods referred to in
subsection (5), is a loss, the issuer's income from continuing operations
for that period is considered to be zero for the purposes of calculating
the average consolidated income for the three previous periods.

1.4  Probable Acquisitions

(1)  The term "probable acquisition" refers to a probable acquisition of a
business and a probable acquisition of related businesses.

(2)  The term "significant probable acquisition" refers to a probable
acquisition of a business or a probable acquisition of related businesses
that is a significant acquisition under section 1.2.

1.5  Acquisitions - The term "acquisition of a business" includes an
acquisition of an interest in a business accounted for using the equity
method or an acquisition of an interest in a joint venture accounted for
using the proportionate consolidation method.

1.6  Significant Dispositions

(1)  Dispositions - Unless the context otherwise requires, the term
"disposition" refers to a completed or probable disposition of a business,
a business segment, or a significant portion of a business, either by sale,
abandonment or distribution to shareholders.

(2)  Required Significance Tests using Most Recently Completed Financial
Year - For the purposes of this Instrument, a disposition of a business, a
business segment or a significant portion of a business, is a significant
disposition if it satisfies either of the following tests:

     1.   The Asset Test for Dispositions - The issuer's proportionate
share of the consolidated assets of the business, business segment or
significant portion of a business, exceeds 20 per cent of the consolidated
assets of the issuer as at the date of the audited financial statements of
the issuer for its most recently completed financial year ended before the
date of the disposition for which financial statements are included in the
short form prospectus, without giving effect to the disposition.

     2.   The Income Test for Dispositions - The issuer's proportionate
share of the consolidated income from continuing operations of the
business, business segment or significant portion of a business, for the
most recently completed financial year of the business, business segment or
significant portion of a business, before the date of the disposition
exceeds 20 per cent of the total consolidated income from continuing
operations of the issuer for the most recently completed financial year of
the issuer before the date of the disposition for which financial
statements are included in the short form prospectus, without giving effect
to the disposition.

1.7  References to Information Included in a Document - References in this
Instrument to information included in a document refer to both information
contained directly in the document and information incorporated by
reference in the document.

1.8  References to Information to be Included in a Document - Provisions
of this Instrument that require an issuer to include information in a
document require an issuer either to insert the information directly in the
document or to incorporate the information in the document by reference.

1.9  Incorporation by Reference - A document deemed by this Instrument to
be incorporated by reference in another document is conclusively deemed for
purposes of securities legislation to be incorporated by reference in the
other document.

1.10 Interpretation of "Short Form Prospectus" - In this Instrument,
unless other wise stated, a reference to a short form prospectus includes a
preliminary short form prospectus. 

PART 2    QUALIFICATION TO FILE A PROSPECTUS IN THE FORM OF A SHORT FORM
PROSPECTUS

2.1  Short Form Prospectus

(1)  An issuer shall not file a prospectus in the form of Form 44-101F3
Short Form Prospectus, unless the issuer is qualified under section 2.2,
2.3, 2.4, 2.5, 2.6, 2.7 or 2.8 to file a prospectus in the form of a short
form prospectus.

(2)  An issuer that is qualified under section 2.2, 2.3, 2.4, 2.5, 2.6,
2.7 or 2.8 to file a prospectus in the form of a short form prospectus or
that has been exempted from subsection (1) under section 15.1 may file

     (a)  a preliminary prospectus, prepared and certified in the form of
Form 44-101F3 Short Form Prospectus, pertaining to a type of securities for
which the issuer is qualified under this Instrument or permitted under any
exemption to file a short form prospectus; and

     (b)  a prospectus, prepared and certified in the form of Form
44-101F3 Short Form Prospectus, pertaining to a type of securities for
which the issuer is qualified under this Instrument or permitted under any
exemption to file a short form prospectus.

(3)  An issuer that filed and obtained a receipt for a preliminary short
form prospectus for a distribution of securities under NP47

     (a)  is considered to have satisfied the requirement in securities
legislation to file and obtain a receipt for a preliminary prospectus for
the distribution unless, in the case where securities legislation provides
for lapsing of a preliminary prospectus, the issuer's preliminary short
form prospectus has lapsed; and 

     (b)  may file a prospectus, prepared and certified in the form of
Form 44-101F3 Short Form Prospectus, for the distribution if in the case
where securities legislation provides for lapsing of a preliminary
prospectus, the issuer's preliminary short form prospectus has not lapsed. 

(4)  If an issuer, before the coming into force of this Instrument, filed
and obtained a receipt under NP47 for a short form prospectus pertaining to
a distribution of securities, the prospectus requirement does not apply to
the distribution only insofar as the prospectus requirement concerns the
form and content of a preliminary prospectus and prospectus and only for
one year from the date of the receipt issued for the short form prospectus
pertaining to the distribution.

(5)  A short form prospectus shall, at the issuer's option, be prepared in
accordance with securities legislation in effect at either the date of
issuance of a receipt for the preliminary short form prospectus or the date
of issuance of a receipt for the short form prospectus.

2.2  Basic Qualification Criteria - An issuer is qualified to file a
prospectus in the form of a short form prospectus for a distribution of any
of its securities in the local jurisdiction, if all of the following
criteria are satisfied:

1.   Either paragraph (a) or (b) is true:

     (a)  the issuer is a reporting issuer in the local jurisdiction and
the issuer

          (i)  has been a reporting issuer in the local jurisdiction for
the 12 calendar months preceding the date of the filing of its most recent
AIF, or

          (ii) is, and has been for the 12 calendar months preceding the
date of the filing of its most recent AIF, a reporting issuer under
Canadian securities legislation in at least one jurisdiction, other than
the local jurisdiction, and has filed in the local jurisdiction all
continuous disclosure documents that it was required to file during the 12
calendar months preceding the date of the filing of its most recent AIF
under Canadian securities legislation of any jurisdiction in which it has
been a reporting issuer; or

     (b)  all of the following are true: 

          1.   The issuer is not a reporting issuer in the local
jurisdiction.

          2.   The securities regulatory authority is unable to deem the
issuer to be, or designate the issuer as, a reporting issuer.

          3.   The issuer is, and has been for the 12 calendar months
preceding the date of the filing of its most recent AIF, a reporting issuer
under Canadian securities legislation in at least one jurisdiction, other
than the local jurisdiction.

          4.   The issuer has filed in the local jurisdiction all
continuous disclosure documents that it was required to file during the 12
calendar months preceding the date of the filing of its most recent AIF
under Canadian securities legislation of any jurisdiction in which it has
been a reporting issuer.

          5.   The issuer has provided an undertaking to the securities
regulatory authority that it will file all continuous disclosure documents
that it would be required to file under securities legislation if it were a
reporting issuer from the time of the filing of its most recent AIF until
the issuer becomes a reporting issuer.

2.   The issuer has a current AIF.

3.   The aggregate market value of the issuer's equity securities, listed
and posted for trading on an exchange in Canada, is $75,000,000 or more on
a date within 60 days before the date of the filing of the issuer's
preliminary short form prospectus.

4.   If the issuer is filing a preliminary short form prospectus more than
90 days after the end of its most recently completed financial year, the
issuer has filed audited financial statements for that year.

2.3  Alternative Qualification Criteria for Substantial Issuers - An
issuer is qualified to file a prospectus in the form of a short form
prospectus for a distribution of any of its securities in the local
jurisdiction, if all of the following criteria are satisfied:

1.   The issuer is 

     (a)  a reporting issuer in the local jurisdiction; or

     (b)  a reporting issuer under Canadian securities legislation in at
least one jurisdiction, other than the local jurisdiction, and satisfies
the criterion in subparagraph 5 of paragraph 1(b) of section 2.2.

2.   The issuer has a current AIF.

3.   The aggregate market value of the issuer's equity securities, listed
and posted for trading on an exchange in Canada, is $300,000,000 or more on
a date within 60 days before the date of the filing of the issuer's
preliminary short form prospectus.

4.   If the issuer is filing a preliminary short form prospectus more than
90 days after the end of its most recently completed financial year, the
issuer has filed audited financial statements for that year.

2.4  Alternative Qualification Criteria for Issuers of Approved Rating
Non-Convertible Securities

(1)  An issuer is qualified to file a prospectus in the form of a short
form prospectus for a distribution of non-convertible securities in the
local jurisdiction, if all of the following criteria are satisfied:

     1.   The issuer satisfies either of the 12 month reporting issuer
history criteria in paragraph 1 of section 2.2.

     2.   The issuer has a current AIF.

     3.   The securities to be distributed

     (a)  have received an approved rating on a provisional basis;

     (b)  are not the subject of an announcement by an approved rating
organization of which the issuer is or ought reasonably to be aware that
the approved rating given by the organization may be down-graded to a
rating category that would not be an approved rating; and

     (c)  have not received a provisional or final rating lower than an
approved rating from any approved rating organization.

4.   If the issuer is filing a preliminary short form prospectus more than
90 days after the end of its most recently completed financial year, the
issuer has filed audited financial statements for that year.

(2)  Paragraph 3 of subsection (1) does not apply to an issuer filing a
preliminary short form prospectus that is a base shelf prospectus under
National Instrument 44-102 Shelf Distributions.

2.5  Alternative Qualification Criteria for Issuers of Guaranteed
Non-Convertible Debt Securities, Preferred Shares and Cash Settled
Derivatives

(1)  An issuer is qualified to file a prospectus in the form of a short
form prospectus for a distribution of non-convertible debt securities,
non-convertible preferred shares or non-convertible cash settled
derivatives in the local jurisdiction, if all of the following criteria are
satisfied:

1.   A person or company 

     (a)  fully and unconditionally guarantees the payments to be made by
the issuer of securities as stipulated in the terms of the securities or in
an agreement governing the rights of holders of the securities such that
the holder of the securities is entitled to receive payment from the
guarantor within 15 days of any failure by the issuer to make a payment as
stipulated; or 

     (b)  provides alternative credit support for the payments to be made
by the issuer of securities as stipulated in the terms of the securities or
in an agreement governing the rights of holders of the securities, that 

          (i)  in the case 

               (A)  where the securities are rated, results in the
securities receiving the same credit rating as, or a higher credit rating
than, the credit rating they would have received if payment had been fully
and unconditionally guaranteed by the person or company providing the
support, or

               (B)  where the securities are not rated, would result,
if the securities were rated, in the securities receiving the same credit
rating as, or a higher credit rating than, the credit rating they would
have received if payment had been fully and unconditionally guaranteed by
the credit supporter, and 

          (ii) entitles the holder of the securities to receive payment
from the credit supporter, or enables the holder to receive payment from
the issuer, within 15 days of any failure by the issuer to make a payment
as stipulated.

2.   The credit supporter

     (a)  satisfies 

          (i)  either of the 12 month reporting issuer history criteria
in paragraph 1 of section 2.2, or

          (ii) both

               (A)  the reporting issuer criterion in paragraph 1 of
section 2.3, and

               (B)  the criterion that the credit supporter have equity
securities, listed and posted for trading on an exchange in Canada, the
aggregate market value of which is $300,000,000 or more on a date within 60
days before the date of the filing of the issuer's preliminary short form
prospectus; and

     (b)  has a current AIF.

3.   Unless the aggregate market value of the credit supporter's equity
securities listed and posted for trading on an exchange in Canada is
$75,000,000 or more on a date within 60 days before the date of the filing
of the issuer's preliminary short form prospectus, then at the time the
preliminary short form prospectus was filed

     (a)  the credit supporter has outstanding non-convertible securities
that

          (i)  have received an approved rating, 

          (ii) have not been the subject of an announcement by an
approved rating organization of which the issuer is or ought reasonably to
be aware that the approved rating given by the organization may be
down-graded to a rating category that would not be an approved rating, and

          (iii)     have not received a rating lower than an approved rating
from any approved rating organization; and

     (b)  the securities to be issued by the issuer

          (i)  have received an approved rating on a provisional basis, 

          (ii) have not been the subject of an announcement by an
approved rating organization of which the issuer is or ought reasonably to
be aware that the approved rating given by the organization may be
down-graded to a rating category that would not be an approved rating, and 

          (iii)     have not received a provisional or final rating lower
than an approved rating from any approved rating organization.

4.   If the issuer is filing a preliminary short form prospectus more than
90 days after the end of the most recently completed financial year of the
credit supporter, the credit supporter has filed audited financial
statements for that year.

(2)  For the purpose of paragraph 1 of subsection (1), payments to be made
by an issuer of securities as stipulated in the terms of the securities
include any amounts to be paid as dividends in accordance with, and on the
dividend payment dates stipulated in, the provisions of the securities,
whether or not the dividends have been declared.

(3)  Subparagraph 3(b) of subsection 2.5(1) does not apply to an issuer
filing a preliminary short form prospectus that is a base shelf prospectus
under National Instrument 44-102 Shelf Distributions.

2.6  Alternative Qualification Criteria for Issuers of Guaranteed
Convertible Debt Securities or Preferred Shares

(1)  An issuer is qualified to file a prospectus in the form of a short
form prospectus for a distribution of convertible debt securities or
convertible preferred shares in the local jurisdiction, if all of the
following criteria are satisfied:

1.   The debt securities or the preferred shares are convertible into
securities of a credit supporter that 

     (a)  fully and unconditionally guarantees the payments to be made by
the issuer of the securities as stipulated in the terms of the securities
or in an agreement governing the rights of holders of the securities such
that the holder of the securities is entitled to receive payment from the
guarantor within 15 days of any failure by the issuer to make a payment as
stipulated; or 

     (b)  provides alternative credit support for the payments to be made
by the issuer of the securities as stipulated in the terms of the
securities or in an agreement governing the rights of holders of the
securities, that 

          (i)  in the case 

               (A)  where the securities are rated, results in the
securities receiving the same credit rating as, or a higher credit rating
than, the credit rating they would have received if payment had been fully
and unconditionally guaranteed by the credit supporter, or

               (B)  where the securities are not rated, would result,
if the securities were rated, in the securities receiving the same credit
rating as, or a higher credit rating than, the credit rating they would
have received if payment had been fully and unconditionally guaranteed by
the credit supporter, and 

          (ii) entitles the holder of the securities to receive payment
from the credit supporter, or enables the holder to receive payment from
the issuer, within 15 days of any failure by the issuer to make a payment
as stipulated.

2.   The credit supporter

(a)  satisfies 

     (i)  both 

          (A)  either of the 12 month reporting issuer history criteria
in paragraph 1 of section 2.2, and

          (B)  the criterion that the credit supporter have equity
securities, listed and posted for trading on an exchange in Canada, the
aggregate market value of which is $75,000,000 or more on a date within 60
days before the date of the filing of the issuer's preliminary short form
prospectus, or

     (ii) both 

          (A)  the reporting issuer criterion in paragraph 1 of section
2.3, and

          (B)  the criterion that the credit supporter have equity
securities, listed and posted for trading on an exchange in Canada, the
aggregate market value of which is $300,000,000 or more on a date within 60
days before the date of the filing of the issuer's preliminary short form
prospectus; and

(b)  has a current AIF.

3.   If the issuer is filing a preliminary short form prospectus more than
90 days after the end of the most recently completed financial year of the
credit supporter, the credit supporter has filed audited financial
statements for that year.

(2)  For the purpose of paragraph 1 of subsection (1), payments to be made
by an issuer of securities as stipulated in the terms of the securities
include any amounts to be paid as dividends in accordance with, and on the
dividend payment dates stipulated in, the provisions of the securities,
whether or not the dividends have been declared.

2.7  Alternative Qualification Criteria for Issuers of Asset-Backed
Securities

(1)  An issuer established in connection with a distribution of
asset-backed securities is qualified to file a prospectus in the form of a
short form prospectus for a distribution of asset-backed securities in the
local jurisdiction, if all of the following criteria are satisfied:

     1.   The issuer has a current AIF.

     2.   The asset-backed securities to be distributed

          (a)  have received an approved rating on a provisional basis;

          (b)  have not been the subject of an announcement by an
approved rating organization of which the issuer is or ought reasonably to
be aware that the approved rating given by the organization may be
down-graded to a rating category that would not be an approved rating; and

          (c)  have not received a provisional or final rating lower
than an approved rating from any approved rating organization.

     3.   If the issuer is filing a preliminary short form prospectus
more than 90 days after the end of its most recently completed financial
year, the issuer has filed financial statements for that year.

(2)  Paragraph 2 of subsection 2.7(1) does not apply to an issuer filing a
preliminary short form prospectus that is a base shelf prospectus under
National Instrument 44-102 Shelf Distributions.

2.8  Alternative Qualification Criteria Following Reorganizations - A
successor issuer is qualified to file a prospectus in the form of a short
form prospectus for a distribution of any of its securities in the local
jurisdiction, if all of the following criteria are satisfied:

1.   The successor issuer is deemed, under section 2.10, to have, or
otherwise has, a current AIF.

2.   The successor issuer is a reporting issuer under Canadian securities
legislation of any jurisdiction.

3.   The aggregate market value of the successor issuer's equity
securities, listed and posted for trading on an exchange in Canada, is
$75,000,000 or more on a date within 60 days before the date of the filing
of the successor issuer's preliminary short form prospectus.

4.   The aggregate market value of the equity securities of at least one
of the participants, listed and posted for trading on an exchange in
Canada, is $75,000,000 or more on a date within 60 days before the date of
the reorganization.

5.   One of the participants satisfies the criterion in paragraph 4 and
the 12 month reporting issuer history criterion in paragraph 1 of section
2.2.

6.   If the successor issuer is filing a preliminary short form prospectus
more than 90 days after the end of its most recently completed financial
year, the successor issuer has filed audited financial statements for that
year.

2.9  Calculation of the Aggregate Market Value of an Issuer's Securities

(1)  For the purposes of this Part,

     (a)  the aggregate market value of the equity securities of an
issuer on a date is the aggregate of the market value of each class of its
equity securities on the date, calculated by multiplying

          (i)  the total number of equity securities of the class
outstanding on the date, by

          (ii) the closing price on the date of the equity securities of
the class on the exchange in Canada on which that class of equity
securities is principally traded; and

     (b)  instalment receipts may, at the option of the issuer, be deemed
to be equity securities if 

          (i)  the instalment receipts are listed and posted for trading
on an exchange in Canada, and 

          (ii) the outstanding equity securities, the beneficial
ownership of which is evidenced by the instalment receipts, are not listed
and posted for trading on an exchange in Canada.

(2)  For the purposes of subsection (1), in calculating the total number
of equity securities of a class outstanding, an issuer shall exclude those
equity securities of the class that are beneficially owned, or over which
control or direction is exercised, by persons or companies that, alone or
together with their respective affiliates and associated parties,
beneficially own or exercise control or direction over more than 10 per
cent of the outstanding equity securities of the issuer.

(3)  Despite subsection (2), if a portfolio manager of a pension fund,
mutual fund or non-redeemable investment fund, alone or together with its
affiliates and associated parties, exercises control or direction in the
aggregate over more than 10 per cent of the outstanding equity securities
of an issuer, and the fund beneficially owns or exercises control or
direction over 10 per cent or less of the issued and outstanding equity
securities of the issuer, the securities that the fund beneficially owns or
exercises control or direction over are not excluded unless the portfolio
manager is an affiliate of the issuer.

2.10 Adoption by Successor Issuer of a Participant's AIF Following a
Reorganization - A successor issuer that notifies the regulator that it has
adopted as its own AIF the AIF of a participant in the reorganization, as a
result of which the successor issuer exists, is deemed to have a current
AIF for the purposes of securities legislation, if the AIF was a current
AIF of the participant at the time of the reorganization, until the earlier
of

     (a)  the date the successor issuer files an AIF; and

     (b)  either

          (i)  the date the AIF ceases to be a current AIF of the
participant, if the participant continues to exist after the
reorganization, or

          (ii) the date that is 140 days following the end of the
financial year to which the AIF relates, if the participant did not
continue to exist after the reorganization.

PART 3    AIF

3.1  Initial AIF

(1)  An issuer filing an initial AIF shall file the AIF in Form 44-101F1
or the form referred to in section 3.4.

(2)  If an issuer revises its initial AIF, the issuer shall promptly

     (a)  file in all jurisdictions in which the initial AIF was filed
the revised initial AIF and a copy of the revised initial AIF, blacklined
to show changes from the initial AIF; and

     (b)  send a copy of the revised initial AIF to each person and
company that was sent an initial AIF.

(3)  An issuer shall file a French language version of its initial AIF
before sending the French language version of the AIF to an investor or
prospective investor.

(4)  An issuer that has prepared a French language version of its initial
AIF shall file the French language version of the initial AIF and any
supporting documents in New Brunswick concurrently with or as soon as
practicable after filing the English language version of those documents in
that Province.

3.2  Renewal AIF Filing Procedures

(1)  An issuer filing a renewal AIF shall file the AIF in Form 44-101F1 or
the form referred to in section 3.4.

(2)  An issuer filing a renewal AIF for a financial year in which the
issuer made a significant acquisition of a business or a significant
acquisition of related businesses, or was a party to a reorganization that
was material to the issuer, shall state in a covering letter accompanying
the renewal AIF that the acquisition or reorganization occurred.

(3)  An issuer that intends to file a preliminary short form prospectus
within 10 days of filing its renewal AIF should notify the 44-101 regulator
of this intention at the time of filing its renewal AIF or, if the decision
is not yet made at that time, then immediately upon making the decision.

(4)  The 44-101 regulator may decide to review a renewal AIF at any time,
in which case the 44-101 regulator shall

     (a)  notify the issuer that the 44-101 regulator will be reviewing
the renewal AIF;

     (b)  review the renewal AIF; and

     (c)  send the issuer upon completion of the review a notice that the
review of the renewal AIF has been completed.

(5)  Upon receipt of a notice from the 44-101 regulator that its renewal
AIF is being reviewed, an issuer shall promptly file the renewal AIF again,
with the statement required under Item 1.2 of Form 44-101F1 added, in all
jurisdictions in which the renewal AIF was filed.

(6)  An issuer shall promptly notify the 44-101 regulator if the issuer
intends to file a short form prospectus after the 44-101 regulator has
notified the issuer that its renewal AIF will be reviewed and before the
44-101 regulator has notified the issuer that the review has been
completed.

(7)  If an issuer revises its renewal AIF, the issuer shall promptly

     (a)  file in all jurisdictions in which the renewal AIF was filed
the revised renewal AIF and a copy of the revised renewal AIF, blacklined
to show changes from the renewal AIF; and

     (b)  send a copy of the revised renewal AIF to each person and
company that was sent a renewal AIF.

(8)  An issuer shall file a French language version of its renewal AIF
before sending the French language version of the AIF to an investor or
prospective investor.

(9)  An issuer that has prepared a French language version of its renewal
AIF shall file the French language version of the renewal AIF and any
supporting documents in New Brunswick concurrently with or as soon as
practicable after filing the English language version of those documents in
that Province.

3.3  Supporting Documents

(1)  In addition to any other requirement of securities legislation, an
issuer that files an initial AIF and a renewal AIF shall

     (a)  file the following:

          1.   Material Incorporated by Reference - Copies of all
material incorporated by reference in the initial AIF or renewal AIF and
not previously filed.

          2.   Mining Reports - The technical reports required to be
filed with an AIF under National Instrument 43-101 Standards of Disclosure
for Mineral Projects and not previously filed, if the issuer has a mineral
project; and

     (b)  deliver to the regulator the following:

          1.   Personal Information - For each director and executive
officer of the issuer for whom the issuer has not previously delivered to
the regulator the following information, a statement containing that
individual's

               (a)  full name;

               (b)  position with or relationship to the issuer;

               (c)  employer's name and address, if other than the
issuer;

               (d)  full residential address;

               (e)  date and place of birth; and

               (f)  citizenship.

          2.   Authorization of Collection of Information - An
authorization in the form set out in Appendix A to the collection of
personal information.

(2)  An issuer that files an AIF in the form of an annual report on Form
10-K, or on Form 20-F, under the 1934 Act shall file an undertaking with
the regulator to the effect that the issuer will provide to any person or
company, upon request to the secretary of the issuer, the documents listed
in Item 9.1(1) of Form 44-101F1.

3.4  Alternative Form of AIF 

(1)  An issuer that has securities registered under section 12 of the 1934
Act or has a reporting obligation under subsection 15(d) of the 1934 Act
may file an AIF in the form of a current annual report on Form 10-K, or on
Form 20-F, under the 1934 Act.

(2)  An issuer subsisting under the laws of a foreign jurisdiction that
files an AIF in the form of a current annual report on Form 20-F under
subsection (1) shall file the AIF within 180 days after the end of its most
recently completed financial year.

PART 4    DISCLOSURE IN A SHORT FORM PROSPECTUS OF FINANCIAL STATEMENTS
FOR SIGNIFICANT ACQUISITIONS

4.1  Scope - This Part applies only to

(a)  acquisitions completed during an issuer's three most recently
completed financial years;

(b)  acquisitions completed during an issuer's current financial year; and

(c)  probable acquisitions.

4.2  Financial Statement Disclosure for Significant Acquisitions Completed
During the Issuer's Three Most Recently Completed Financial Years
     
(1)  If an issuer made a significant acquisition during its three most
recently completed financial years, the issuer shall include in its short
form prospectus the following financial statements of each business
acquired: 

     Annual Financial Statements

     1.   Statements of income, retained earnings and cash flows for at
least the periods specified in section 4.6.

     Interim Financial Statements

     2.   Statements of income, retained earnings and cash flows for 

          (a)  either

               (i)  the most recently completed interim period of the
acquired business that ended before the date of the acquisition and more
than 60 days before the date of the short form prospectus; or 

               (ii) the pre-acquisition period; and 

          (b)  the comparable period in the preceding financial year of
the acquired business.

     Pro Forma Income Statement

     3.   A pro forma income statement prepared in accordance with
subsection 4.5(1)2(a).
               
     4.   Pro forma earnings per share based on the pro forma income
statement referred to in paragraph 3.

(2)  If an issuer is required under subsection (1) to include financial
statements in a short form prospectus for more than one business because
the significant acquisition involves an acquisition of related businesses,
the financial statements required under subsection (1) shall be presented
separately for each business, except that the issuer may present the
financial statements of the businesses on a combined basis for the periods
during which the businesses were under common control or management.  

4.3  Financial Statement Disclosure for Significant Acquisitions Completed
During the Issuer's Current Financial Year

(1)  If an issuer has made a significant acquisition during its current
financial year, the issuer shall include in its short form prospectus the
following financial statements of each business acquired: 

     Annual Financial Statements

     1.   Statements of income, retained earnings and cash flows for at
least the periods specified in section 4.6.

     2.   A balance sheet as at the date on which each of the periods
specified in section 4.6 ended, except that, if section 4.6 specifies that
separate financial statements of the business are to be included for three
financial years, a balance sheet as at the last day of the earliest of the
three financial years is not required.

     Interim Financial Statements

     3.   Statements of income, retained earnings and cash flows for 

          (a)  either

               (i)  the most recently completed interim period of the
acquired business that ended before the date of the acquisition and more
than 60 days before the date of the short form prospectus; or

               (ii) the pre-acquisition period; and

          (b)  the comparable period in the preceding financial year of
the acquired business.

     4.   A balance sheet as at the date on which the interim period
referred to in paragraph 3(a)(i) or 3(a)(ii) ended.

     Pro Forma Financial Statements     
     
     5.   Pro forma financial statements prepared in accordance with
subsection 4.5.

     6.   Pro forma earnings per share based on the pro forma financial
statements referred to in paragraph 5.

(2)  If an issuer is required under subsection (1) to include financial
statements in a short form prospectus for more than one business because
the significant acquisition involves an acquisition of related businesses
or a probable acquisition of related businesses, the financial statements
required under subsection (1) shall be presented separately for each
business except the issuer may present the financial statements of the
businesses on a combined basis for the periods during which the businesses
have been under common control or management.

4.4  Financial Statement Disclosure for Significant Probable Acquisitions

(1)  If an issuer is proposing to make a significant probable acquisition,
the issuer shall include in its short form prospectus the following
financial statements of each business to be acquired: 

     Annual Financial Statements

     1.   Statements of income, retained earnings and cash flows for at
least the periods specified in section 4.6.

     2.   A balance sheet as at the date on which each of the periods
specified in section 4.6 ended, except that, if section 4.6 specifies that
separate financial statements of the business are to be included for three
financial years, a balance sheet as at the last day of the earliest of the
three financial years is not required.

     Interim Financial Statements
     
     3.   Statements of income, retained earnings and cash flows for 

          (a)  the most recently completed interim period of the
business to be acquired that ended more than 60 days before the date of the
short form prospectus; and 

          (b)  the comparable period in the preceding financial year.

     4.   A balance sheet as at the date on which the interim period
referred to in paragraph 3(a) ended.

     Pro Forma Financial Statements

     5.   Pro forma  financial statements prepared in accordance with
subsection 4.5.

     6.   Pro forma earnings per share based on the pro forma financial
statements referred to in paragraph 5.

(2)  If an issuer is required under subsection (1) to include financial
statements in a short form prospectus for more than one business because
the significant acquisition involves an acquisition of related businesses
or a probable acquisition of related businesses, the financial statements
required under subsection (1) shall be presented separately for each
business, except the issuer may present the financial statements of the
businesses on a combined basis for periods during which the businesses have
been under common control or management.

4.5  Pro Forma Financial Statements

(1)  If an issuer is required to include pro forma financial statements in
the short form prospectus under sections 4.2, 4.3, 4.4 or 5.2, the issuer
shall prepare pro forma financial statements as follows:

     1.   Pro forma balance sheet - A pro forma balance sheet of the
issuer shall be prepared as at the date of the issuer's most recent balance
sheet included in the short form prospectus to give effect to, as if they
had taken place as at the date of the pro forma balance sheet, 

          (a)  significant acquisitions that have been completed, but
are not reflected in the issuer's most recent balance sheet included in the
short form prospectus; and

          (b)  significant probable acquisitions.

     2.   Pro forma income statement - A pro forma income statement of
the issuer shall be prepared to give effect to 

          (a)  significant acquisitions completed during the most
recently completed financial year of the issuer as if they had taken place
at the beginning of the most recently completed financial year of the
issuer for which audited financial statements are included in the short
form prospectus; and 

          (b)  the acquisitions referred to in clauses (i) and (ii)

               (i)  significant acquisitions completed during the
issuer's current financial year; and

               (ii) significant probable acquisitions, 

               for each of the financial periods referred to in the
following paragraphs:
                    A.   the most recently completed financial year of
the issuer for which audited financial statements are included in the short
form prospectus; and

                    B.   the most recently completed interim period of
the issuer for which financial statements are included in the short form
prospectus,

               as if they had taken place at the beginning of the most
recently completed financial year of the issuer for which audited financial
statements are included in the short form prospectus.

(2)  If an issuer includes in a short form prospectus a pro forma
financial statement prepared in accordance with subsection (1) which gives
effect to more than one significant acquisition or significant probable
acquisition, the pro forma financial statement shall separately identify
each significant completed or probable acquisition.

(3)  If an issuer is required to include pro forma financial statements in
a short form prospectus, the issuer shall include in the pro forma
financial statements a description of the underlying assumptions on which
the pro forma financial statements are prepared, cross-referenced to each
related pro forma adjustment.

(4)  If an issuer is required under paragraph 2 of subsection (1) to
include a pro forma income statement in a short form prospectus for the
most recently completed financial year of the issuer and both of the
following conditions are satisfied:

     (a)  the pro forma income statement is not prepared using the income
statement of the business for the pre-acquisition period, and

     (b)  the financial year end of a business differs from the issuer's
year end by more than 93 days, then, despite paragraph 2 of subsection (1),
for purposes of preparing the pro forma income statement, the income
statement of the business shall be for a period of twelve consecutive
months ending no more than 93 days from the issuer's year end.   

(5)  Subject to subsection (4), if an issuer is required to prepare the
pro forma income statements referred to in clauses (1)2(b)A and (1)2(b)B,
and the pro forma income statement referred to in clause A includes results
of the business which are also included in the pro forma income statement
referred to in clause B, there shall be disclosed in a note to the pro
forma financial statements the revenue, expenses, gross profit and income
from continuing operations included in the pro forma income statements for
the overlapping period.

4.6  Reporting Periods

(1)  Exception to Requirement to Include Financial Statements - No
financial statements are required under section 4.2 to be included in a
short form prospectus if

     (a)  the results of the business for a complete financial year have
been reflected in the audited consolidated financial statements of the
issuer included in the short form prospectus; and

     (b)  none of the significance tests would be satisfied if the 20 per
cent threshold in the significance tests was changed to 100 per cent.

(2)  Acquisitions at the 100% Significance Level - If the results of the
business for a complete financial year have been reflected in the audited
consolidated financial statements of the issuer included in the short form
prospectus and any of the significance tests would be satisfied if the 20
per cent threshold in the significance tests was changed to 100 per cent,
separate financial statements of the business are required for as many
periods before the acquisition as may be necessary so that when these
periods are added to the periods for which the issuer's financial
statements in the short form prospectus include the results of the
business, financial statements reflecting the results of the business,
either separately or on a consolidated basis, are included for a total of
three years or each of the completed financial years of the business, if
the business has not been in existence for three completed financial years.

(3)  Subject to subsections (1) and (2), the periods for which the
financial statements are required under paragraphs 1 and 2 of subsections
4.2(1), 4.3(1) and 4.4(1) to be included in a short form prospectus shall
be determined by reference to the significance tests as follows:

     1.   Acquisitions Significant between 20% and 40% - If none of the
significance tests is satisfied if the 20 per cent threshold is changed to
40 per cent, financial statements shall be included for 

          (a)  the most recently completed financial year of the
business ended more than 90 days before the date of the short form
prospectus; or

          (b)  if the business has not completed one financial  year,
the financial period from the date of formation to a date not more than 90
days before the date of the short form prospectus.

     2.   Acquisitions Significant between 40% and 50% - If any of the
three significance tests are satisfied if the 20 per cent threshold is
changed to 40 per cent, but none of the three significance tests is
satisfied if the 20 per cent threshold is changed to 50 per cent, financial
statements shall be included for

          (a)  each of the three most recently completed financial years
of the business ended more than 90 days before the date of the short form
prospectus;

          (b)  if the business has not completed two financial years,
each completed financial year ended more than 90 days before the date of
the short form prospectus; or

          (c)  if the business has not completed one financial year, the
financial period from the date of formation to a date not more than 90 days
before the date of the short form prospectus.

     3.   Acquisitions Significant at 50% or greater - If any of the
three significance tests are satisfied if the 20 per cent threshold is
changed to 50 per cent, financial statements shall be included for

          (a)  each of the three most recently completed financial years
of the business ended more than 90 days before the date of the short form
prospectus;

          (b)  if the business has not completed three financial years,
each completed financial year ended more than 90 days before the date of
the short form prospectus; or

          (c)  if the business has not completed one financial  year,
the financial period from the date of formation to a date not more than 90
days before the date of the short form prospectus.

4.7  Additional Financial Statements or Financial Information of the
Business Filed or Released

(1)  An issuer shall include in its short form prospectus annual and
interim financial statements of a business for a financial period that
ended before the date of the acquisition and is more recent than the
periods for which financial statements are required under subsections
4.2(1), 4.3(1) and 4.4(1) if, before the short form prospectus is filed,
the financial statements for the more recent period have been filed.

(2)  If, before the short form prospectus is filed, financial information
of a business for a period more recent than for the period for which
financial statements are required under subsections 4.2(1), 4.3(1) and
4.4(1), is publicly disseminated by news release or otherwise by or on
behalf of the issuer, the issuer shall include in the short form prospectus
the content of the news release or public communication.
 
4.8  Exceptions to Disclosure Requirements for Significant Acquisitions if
More Recent Financial Statements Included

(1)  Despite subsection 4.6(3), an issuer may omit separate financial
statements of a business for the earliest financial year otherwise required
under subsection 4.6(3), if audited financial statements of the business
are included in the short form prospectus for a financial year ended 90
days or less before the date of the short form prospectus.

(2)  Despite subsection 4.6(3), an issuer may omit separate financial
statements of a business for the earliest financial year otherwise required
under subsection 4.6(3) if 

     (a)  separate financial statements of a business are required under
subsection 4.6(3) for more than one financial year; 

     (b)  audited financial statements are included in the short form
prospectus for a period of at least nine months in the financial year after
the most recent year for which separate financial statements are required
under subsection 4.6(3);

     (c)  the issuer has not relied upon the exception in section 4.9;
and

     (d)  the business is not seasonal.

(3)  Despite subsections 4.2(1), 4.3(1) and 4.4(1), an issuer may omit
from a short form prospectus the financial statements of a business for the
interim period otherwise required under subsections 4.2(1), 4.3(1) and
4.4(1) if annual financial statements of the business are included in the
short form prospectus for a financial year ended 90 days or less before the
date of the short form prospectus.

4.9  Exception to Disclosure Requirements for Significant Acquisitions if
Financial Year End Changed - Despite section 4.6, if a business changed its
financial year end once during any of its financial years for which
financial statements are required to be included in the short form
prospectus, the issuer may include financial statements for the transition
year in satisfaction of the financial statements for one of the years under
section 4.6 provided that the transition year is at least nine months.

4.10 Exception to Disclosure Requirements for Significant Acquisitions
Accounted for Using the Equity Method - Despite subsections 4.2(1), 4.3(1)
and 4.4(1), an issuer may omit from its short form prospectus the financial
statements of a business and the pro forma financial statements of an
issuer otherwise required under subsections 4.2(1), 4.3(1) and 4.4(1) if

     (a)  the acquisition is, or will be, an investment accounted for
using the equity method, as that term is defined in the Handbook;

     (b)  the short form prospectus includes disclosure for the periods
for which financial statements are otherwise required under subsections
4.2(1), 4.3(1) and 4.4(1) that

          (i)  summarizes the assets, liabilities and results of
operations of the business, and

          (ii) describes the issuer's proportionate interest in the
business and any contingent issuance of securities by the business that
might significantly affect the issuer's share of earnings;

     (c)  the financial information provided under paragraph (b) for any
completed financial year

          (i)  has been derived from audited financial statements of the
business, or

          (ii) has been audited;

     (d)  the short form prospectus 

          (i)  identifies the financial statements referred to in
paragraph (c)(i) from which the disclosure provided under paragraph (b) has
been derived; or

          (ii) discloses that the financial information provided under
paragraph (b), if not derived from audited financial statements, has been
audited; and

          (iii)     discloses that the audit opinion with respect to the
financial statements referred to in (i), or the financial information
referred to in (ii), was issued without a reservation of opinion.

4.11 Additional Disclosure for Significant Acquisitions After Financial
Year End Accounted for Using the Purchase Method

(1)  An issuer shall include in a subsequent event note to its financial
statements included in a short form prospectus or elsewhere in a short form
prospectus the information referred to in subsection (2), if

     (a)  the issuer has made a significant acquisition since its most
recent financial year end; and

     (b)  the purchase method is used to account for the acquisition.

(2)  The information required under subsection (1) is

     (a)  if

          (i)  determined by the date of the subsequent event note,
details of the purchase equation, namely the allocation of the purchase
price to the underlying assets being acquired, the underlying liabilities
being assumed and any resulting goodwill, or

          (ii) not determined by the date of the subsequent event note,
the issuer's reasonable estimate of the allocation; and

     (b)  the terms and status of the acquisition.

4.12 Audit Requirement for Financial Statements of a Business - Financial
statements of a business included in a short form prospectus under this
Part, other than pro forma financial statements, shall be accompanied by an
auditor's report without a reservation of opinion.

4.13 Exception to Audit Requirement for Interim Financial Statements of a
Business - Despite section 4.12, an issuer may omit from its short form
prospectus an auditor's report for the interim financial statements of a
business included in a short form prospectus under this Part.

4.14 Exception to Audit Requirement for Recent Financial Statements of a
Business - Despite section 4.12, an issuer may omit from its short form
prospectus an auditor's report for the annual financial statements of a
business required under subsection 4.8(3), if the auditor has not issued an
auditor's report on the financial statements.

4.15 Exception to Audit Requirement for Financial Statements of a Business
Included in a Previous Prospectus without an Audit Opinion-Despite section
4.12, an issuer may omit from its short form prospectus an auditor's report
for the annual financial statements of a business included in the short
form prospectus, other than for the most recently completed financial year
of the business for which financial statements are included in the short
form prospectus, if

     (a)  those financial statements were previously included in a short
form prospectus of the issuer without an auditor's report as permitted by
this Instrument  or pursuant to an exemption granted under this Instrument;
and

     (b)  an auditor has not issued an auditor's report on the financial
statements.

4.16 Compilation Report for Pro Forma Financial Statements -The pro forma
financial statements included in a short form prospectus under this Part
shall be accompanied by a compilation report signed by the auditor and
prepared in accordance with the Handbook.

PART 5    FINANCIAL STATEMENT DISCLOSURE FOR MULTIPLE ACQUISITIONS THAT
ARE NOT OTHERWISE SIGNIFICANT OR RELATED

5.1  Scope - This Part applies only to an issuer that

(a)  has acquired two or more businesses during its most recently
completed financial year;

(b)  has acquired two or more business during its current financial year;

(c)  is proposing to make two or more probable acquisitions of a business;
or

(d)  has acquired one or more businesses since the beginning of its
current financial year and is proposing to make one or more probable
acquisitions of a business,

excluding, in each case, acquisitions that individually meet the
significance tests.

5.2  Historical Financial Statement Disclosure

(1)  Application of the Significance Tests - An issuer shall include in a
short form prospectus separate financial statements of each business
required under subsection (2) for the periods referred to in subsection (3)
if any of the significance tests would be satisfied if 

     (a)  the 20 per cent threshold in the significance tests was changed
to 50 per cent;

     (b)  the total consolidated assets of the businesses referred to in
section 5.1 were considered on a combined basis;

     (c)  the issuer's consolidated investments in and advances to the
businesses referred to in section 5.1 were considered on a combined basis;
and

     (d)  the consolidated income from continuing operations of the
businesses referred to in section 5.1 for the most recently completed
financial year of each business ended prior to the acquisition date of each
business were considered on a combined basis.

(2)  Significant Businesses for Reporting Purposes - An issuer shall
include in a short form prospectus the financial statements for  a majority
of the businesses that satisfy the asset, investment or income test at the
highest percentage and which on a combined basis, represent a majority of

     (a)  the total consolidated assets of all of the businesses referred
to in section 5.1;

     (b)  the issuer's consolidated investments in and advances to all of
the businesses referred to in section 5.1; or

     (c)  the consolidated income from continuing operations of all of
the businesses referred to in section 5.1.

(3)  An issuer shall include the following financial statements for each
business required under subsection (2): 

     Annual Financial Statements 

     1.   Statements of income, retained earnings, and cash flows for

          (a)  the most recently completed financial year of the
business before the date of the acquisition, if the acquisition was
completed more than 90 days before the date of the short form prospectus;

          (b)  the most recently completed financial year of the
business ended more than 90 days before the date of the short form
prospectus, if the acquisition either has not been completed at the date of
the short form prospectus or was completed 90 days or less before the date
of the short form prospectus; or

          (c)  if a business has not completed one financial year, the
financial period from the date of formation to a date not more than 90 days
before the date of the short form prospectus. 

     2.   A balance sheet as at the date on which the periods referred to
in paragraph 1 ended. 

     Interim Financial Statements

     3.   Statements of income, retained earnings and cash flows for 

          (a)  the most recently completed interim period of the
business ended before the date of the acquisition or the proposed date of
the acquisition and more than 60 days before the date of the short form
prospectus; or 

          (b)  the pre-acquisition period. 

               
     4.   A balance sheet as at the date on which the period referred to
in paragraph 3 ended.

     Pro Forma Financial Statements

     5.   Pro forma financial statements prepared in accordance with
section 4.5.
               
     6.   Pro forma earnings per share based on the financial statement
referred to in paragraph 5. 
          
(4)  Despite subsection (3), if the business was acquired before the date
of the most recent audited balance sheet of the issuer included in the
short form prospectus, the issuer may omit from the short form prospectus
the balance sheets of the business referred to in paragraphs 2 and 4.

5.3  Additional Financial Statements or Financial Information of the
Business Filed or Released

(1)  An issuer shall include in its short form prospectus annual and
interim financial statements of a business for a financial period that
ended before the date of the acquisition and is more recent than the
periods for which financial statements are required under section 5.2 if,
before the short form prospectus is filed, the financial statements for the
more recent period have been filed.

(2)  If, before the short form prospectus is filed, financial information
of a business for a period more recent than the period for which financial
statements are required under section 5.2 is publicly disseminated by news
release or otherwise by, or on behalf of, the issuer, the issuer shall
include in the short form prospectus the content of the news release or
public communication.

5.4  Exceptions to Disclosure Requirements for Multiple Acquisitions if
More Recent Financial Statements Included

(1)  Despite section 5.2, an issuer may omit from a short form prospectus,
the financial statements of a business for the financial year otherwise
required under subsection 5.2(3) if audited financial statements of the
business are included in the short form prospectus for a financial year
ended 90 days or less before the date of the short form prospectus.

(2)  Despite section 5.2, an issuer may omit from a short form prospectus
the financial statements of a business for the interim period otherwise
required under subsection 5.2(3) if annual financial statements of the
business are included in the short form prospectus for a financial year
ended 90 days or less before the date of the short form prospectus.

5.5  Exception to Disclosure Requirements for Multiple Acquisitions if
Financial Year End Changed - Despite section 5.2, if a business changed its
financial year end during the year for which financial statements are
required to be included in the short form prospectus, the issuer may
include financial statements for the transition year in satisfaction of the
financial statements for the year under paragraphs 1(a) and 1(b) of
subsection 5.2(3) provided that the transition year is at least nine
months.

5.6  Audit Requirement for Financial Statements of a Business - Financial
statements of a business included in a short form prospectus under this
Part, other than pro forma financial statements, shall be accompanied by an
auditor's report without a reservation of opinion.

5.7  Exception to Audit Requirement for Interim Financial Statements of a
Business - Despite section 5.6, an issuer may omit from its short form
prospectus an auditor's report for the interim financial statements of a
business included under this Part.

5.8  Exception to Audit Requirement for Recent Financial Statements of a
Business - Despite section 5.6, an issuer may omit from its short form
prospectus an auditor's report for the annual financial statements of a
business referred to under subsection 5.3(2) if the auditor has not issued
an auditor's report on the financial statements.

5.9  Compilation Report for Pro Forma Financial Statements - The pro forma
financial statements included in a short form prospectus under this Part
shall be accompanied by a compilation report signed by the auditor and
prepared in accordance with the Handbook.

PART 6    PRO FORMA FINANCIAL STATEMENT DISCLOSURE FOR SIGNIFICANT
DISPOSITIONS

6.1  Scope - This Part applies only to

(a)  significant dispositions completed during an issuer's most recently
completed financial year; and

(b)  significant dispositions completed during an issuer's current
financial year,

but not to significant dispositions of business segments.

6.2  Pro Forma Financial Statements - If an issuer has made a significant
disposition referred to in clause (a) or (b) of section 6.1, the issuer
shall include in its short form prospectus the following pro forma
financial statements:  

(1)  Pro Forma Balance Sheet - A pro forma balance sheet of the issuer
prepared as at the date of the issuer's most recent balance sheet included
in the short form prospectus to give effect to, as if they had taken place
as at the date of the pro forma balance sheet, significant dispositions
that have been completed, but are not reflected in the issuer's most recent
balance sheet included in the short form prospectus.

(2)  Pro Forma Income Statement - Pro forma income statements of the
issuer prepared to give effect to significant dispositions completed during 
 

     (a)  the most recently completed financial year of the issuer as if
they had taken place at the beginning of the most recently completed
financial year of the issuer for which audited financial statements are
included in the short form prospectus; and

     (b)  the issuer's current financial year for each of the financial
periods referred to in clause (i) and (ii)

          (i)  the most recently completed financial year of the issuer
for which audited financial statements are included in the short form
prospectus; and 

          (ii) the most recently completed interim period of the issuer
for which financial statements are included in the short form prospectus,

          as if they had taken place at the beginning of the most
recently completed financial year of the issuer for which audited financial
statements are included in the short form prospectus.

(3)  If an issuer includes in a short form prospectus a pro forma
financial statement prepared in accordance with subsection (2) which gives
effect to more than one significant disposition, the pro forma financial
statement shall separately identify each significant disposition.

(4)  If an issuer is required under this Part to include pro forma
financial statements in a short form prospectus, the issuer shall include
in the pro forma financial statements a description of the underlying
assumptions on which the pro forma financial statements are prepared,
cross-referred to each related pro forma adjustment.

(5)  Pro Forma Earnings per Share  - If an issuer is required under this
Part to include in a short form prospectus pro forma financial statements,
the short form prospectus shall include pro forma earnings per share based
on the pro forma financial statements referred to in this Part.

(6)  Presentation of Pro Forma Financial Statements for Significant
Dispositions - Despite subsection (2), if an issuer is required to include
in its short form prospectus pro forma financial statements prepared under
section 4.5 and subsection (2) of this Part, the issuer shall prepare one
set of pro forma financial statements which give effect to the significant
acquisitions referred to in section 4.5 and the significant dispositions
referred to in subsection 6.2(2).

PART 7    GAAP, GAAS, AUDITORS' REPORTS AND OTHER FINANCIAL STATEMENT
MATTERS

7.1  Generally Accepted Accounting Principles

(1)  The financial statements of a person or company incorporated or
organized in a jurisdiction that are included in a short form prospectus
shall be prepared in accordance with Canadian GAAP.

(2)  The financial statements of a person or company incorporated or
organized in a foreign jurisdiction that are included in a short form
prospectus shall be prepared in accordance with 

     (a)  Canadian GAAP; or
     (b)  foreign GAAP, if the notes to the financial statements

          (i)  explain and quantify the effect of material differences
between Canadian GAAP and foreign GAAP that relate to measurements, and

          (ii) provide disclosure consistent with Canadian GAAP
requirements to the extent not already reflected in the financial
statements.

(3)  If the financial information included in a short form prospectus in
accordance with section 4.10 has been derived from financial statements of
a person or company incorporated or acquired in a foreign jurisdiction that
have been prepared in accordance with foreign GAAP, the information shall
be accompanied by a note which explains and quantifies the effect of
material differences between Canadian GAAP and foreign GAAP.

7.2  Exception to the Requirement to Reconcile Financial Statements
Prepared in Accordance with Foreign GAAP - Despite subsection 7.1(2)(b), if
an issuer has made a significant acquisition or is proposing to make a
significant acquisition, and is required to provide financial statements of
the business under subsection 4.6(2) or paragraph 4.6(3)3 and those
financial statements have been prepared in accordance with a foreign GAAP,
the reconciliation to Canadian GAAP may be excluded for the earliest of the
three years presented.

7.3  Audit Requirement -  Financial statements of an issuer included in a
short form prospectus, other than the following, shall be accompanied by an
auditor's report without a reservation of opinion:

1.   Comparative interim financial statements required to be incorporated
by reference under paragraph (1)3 of Item 12.1 or paragraph 2 of 12.2 of
Form 44-101F3.

2.   The comparative annual financial statements of the issuer for the
most recently completed financial year if

     (a)  the financial statements are required to be incorporated by
reference in a short form prospectus solely by reason of paragraph (1)6 of
Item 12.1 of Form 44-101F3; 

     (b)  the auditor of the issuer has not issued an auditor's report on
the financial statements; and

     (c)  comparative financial statements, together with the
accompanying auditor's report, for the year preceding the most recently
completed financial year are included in the short form prospectus.

3.   The comparative interim financial statements of a credit supporter
required to be incorporated by reference under Item 13.2 of Form 44-101F3. 

7.4  Generally Accepted Auditing Standards 

(1)  The financial statements of a person or company incorporated or
organized in a jurisdiction that are included in a short form prospectus
shall be audited in accordance with Canadian GAAS and accompanied by a
Canadian auditor's report.

(2)  The financial statements of a person or company incorporated or
organized in a foreign jurisdiction that are included in a short form
prospectus shall be audited in accordance with 

     (a)  Canadian GAAS; or 

     (b)  foreign GAAS provided the foreign GAAS is substantially
equivalent to Canadian GAAS.

7.5  Foreign Auditor's Report - If the financial statements included in a
short form prospectus are accompanied by a foreign auditor's report, the
auditor's report shall be accompanied by a statement by the auditor 

(a)  disclosing any material differences in the form and content of the
foreign auditor's report as compared to a Canadian auditor's report; and 

(b)  confirming that the auditing standards applied are substantially
equivalent to Canadian GAAS.

PART 8    AUDIT COMMITTEE REVIEW OF FINANCIAL STATEMENTS INCLUDED IN A
SHORT FORM PROSPECTUS

8.1  Audit Committee Review of Financial Statements Included in a Short
Form Prospectus - An issuer shall not file a short form prospectus unless
each financial statement of a person or company included in the short form
prospectus has been reviewed by the audit committee of the board of
directors of the person or company, if the person or company has, or is
required to have, an audit committee, and approved by the board of
directors.

PART 9    DEEMED INCORPORATION BY REFERENCE

9.1  Deemed Incorporation by Reference of Filed Documents  - If an issuer
does not incorporate by reference in its short form prospectus a document
required to be incorporated by reference under Item 12.1 of Form 44-101F3,
the document is deemed for purposes of securities legislation to be
incorporated by reference in the issuer's short form prospectus as of the
date of the short form prospectus to the extent not otherwise modified or
superseded by a statement contained in the short form prospectus or in any
other subsequently filed document that also is, or is deemed to be,
incorporated by reference in the short form prospectus. 

9.2  Deemed Incorporation by Reference of Subsequently Filed Documents  -
If an issuer does not incorporate by reference in its short form prospectus
a document required to be incorporated by reference under Item 12.2 of Form
44-101F3, the document is deemed for purposes of securities legislation to
be incorporated by reference in the issuer's short form prospectus as of
the date the issuer filed the document to the extent not otherwise modified
or superseded by a statement contained in the short form prospectus or in
any other subsequently filed document that also is, or is deemed to be,
incorporated by reference in the short form prospectus.

PART 10   FILING REQUIREMENTS FOR A SHORT FORM PROSPECTUS

10.1 Interpretation of "Prospectus" - In this Part, a reference to a short
form prospectus does not include a preliminary short form prospectus.

10.2 Required Documents for Filing a Preliminary Short Form Prospectus- An
issuer that files a preliminary short form prospectus shall 

(a)  file the following with the preliminary short form prospectus:

     1.   Signed Copy - A signed copy of the preliminary short form
prospectus.
     2.   Qualification Certificate - A certificate executed on behalf of
the issuer by one of its executive officers certifying that all of the
criteria on which the issuer is relying in order to be qualified to file a
prospectus in the form of a short form prospectus have been satisfied.

     3.   Material Incorporated by Reference - Copies of all material
incorporated by reference in the preliminary short form prospectus and not
previously filed.

     4.   Mining Reports - If the issuer has a mineral project, the
technical reports required to be filed with a preliminary short form
prospectus under National Instrument 43-101 Standards of Disclosure for
Mineral Projects if that National Instrument is in force and until that
National Instrument is in force any technical report or certificate
requested to be filed by the regulator.

     5.   Oil and Gas Reports - If the issuer has oil and gas operations,
any technical report or certificate relating to oil and gas properties, not
previously filed, that

          (i)  if the preliminary short form prospectus is filed before
a successor instrument to National Policy Statement No. 2-B Guide for
Engineers and Geologists Submitting Oil and Gas Reports to Canadian
Provincial Securities Administrators is in force, is requested to be filed
by the regulator, in which case the technical report or certificate shall
be prepared in accordance with National Policy Statement No. 2-B; and

          (ii) in any other case, is required to be filed with the
preliminary short form prospectus pursuant to a successor instrument to
National Policy Statement No. 2-B.

(b)  deliver to the regulator, concurrently with the filing of the
preliminary short form prospectus, the following:

     1.   Personal Information - For each director and executive officer
of an issuer, each promoter of the issuer or, if the promoter is not an
individual, each director and executive officer of the promoter, for whom
the issuer has not previously delivered the following information, a
statement containing that individual's

          (i)  full name;

          (ii) position with or relationship to the issuer;

          (iii)     employer's name and address, if other than the issuer;

          (iv) full residential address;

          (v)  date and place of birth; and

          (vi) citizenship.

     2.   Authorization to Collect Information - An authorization in the
form set out in Appendix A to the collection of personal information.

     3.   Calculation of Earnings Coverage  - If the preliminary short
form prospectus is filed for a proposed distribution of debt securities
having a term to maturity in excess of one year or for a proposed
distribution of preferred shares, a letter setting out the calculation of
the earnings coverage.

     4.   Material Contracts - Copies of all material contracts to which
the issuer is a party that have not previously been filed.

     5.   Reports and Valuations - A copy of each report or valuation
referred to in the preliminary short form prospectus for which a consent is
required to be filed under section 10.4 and that has not previously been
filed, other than a technical report that
                    
          (i)  deals with a mineral project or oil and gas operations;
and

          (ii) is not otherwise required to be filed under paragraphs 4
and 5 of clause 10.2(a).

     6.   Auditor's Comfort Letter regarding Audited Financial Statements 
- A signed letter to the regulator from the auditor of the issuer or of the
business, as applicable, prepared in accordance with the form suggested for
this circumstance by the Handbook, if a financial statement of an issuer or
a business included in a preliminary short form prospectus is accompanied
by an unsigned auditor's report.

     7.   Comfort Letter regarding Foreign Auditor's Report - If a
financial statement included in a short form prospectus has been prepared
in accordance with foreign GAAP or includes a foreign auditor's report, a
letter to the regulators from the foreign auditor that discusses the
auditor's expertise

          (i)  to audit the reconciliation of foreign GAAP to Canadian
GAAP; and

          (ii) in the case of foreign GAAS, other than U.S. GAAS applied
by a U. S. auditor, to make the determination that the auditing standards
applied are substantially equivalent to Canadian GAAS.

10.3 Required Documents for Filing a Short Form Prospectus - An issuer
that files a short form prospectus shall 

(a)   file the following with the short form prospectus:

     1.   Signed Copy - A signed copy of the short form prospectus.

     2.   Material Incorporated by Reference - Copies of all material
incorporated by reference in the short form prospectus and not previously
filed.

     3.   Issuer's Submission to Jurisdiction - A submission to
jurisdiction and appointment of agent for service of process of the issuer
in the form set out in Appendix B, if an issuer is incorporated or
organized in a foreign jurisdiction and does not have an office in Canada.

     4.   Non-Issuer's Submission to Jurisdiction - A submission to
jurisdiction and appointment of agent for service of process of the selling
security holder, promoter or credit supporter, as applicable, in the form
set out in Appendix C, if a selling security holder, promoter or credit
supporter of an issuer is incorporated or organized under a foreign
jurisdiction and does not have an office in Canada or is an individual who
resides outside of Canada.

     5.   Expert's Consent - The consents required to be filed under
section 10.4.

     6.   Credit Supporter's Consent - The written consent of the credit
supporter to the inclusion of its financial statements in the short form
prospectus, if financial statements of a credit supporter are required
under Item 13.2 of Form 44-101F3 to be included in a short form prospectus
and a certificate of the credit supporter is not required under Item 20.3
of Form 44-101F3 to be included in the short form prospectus.

     7.   Material Contracts - Copies of all material contracts to which
the issuer is a party that have not previously been filed.

     8.   Other Mining Reports - If the issuer has a mineral project, any
technical report, certificate or consent required to be filed with a short
form prospectus under National Instrument 43-101, if that National
Instrument is in force and until  that National Instrument is in force, any
technical report or certificate requested to be filed by a regulator and
not previously filed.

     9.   Other Oil and Gas Reports - If the issuer has oil and gas
operations, any technical report or certificate not previously filed, that,

          (i)  if the short form prospectus is filed before a successor
instrument to National Policy Statement No. 2-B is in effect, is requested
to be filed by the regulator, in which case the technical report or
certificate shall be prepared in accordance with National  Policy Statement
No. 2-B; and

          (ii) in any other case, is required to be filed with the short
form prospectus pursuant to a successor instrument to National Policy
Statement No. 2-B.

     10.  Other Reports and Valuations - A copy of each report or
valuation referred to in the short form prospectus, for which a consent is
required to be filed under section 10.3 and that has not previously been
delivered, other than a technical report that

          (i)  deals with a mineral project of an issuer or oil and gas
operations; and

          (ii) is not otherwise required to be filed under paragraph 8
or 9; and

(b)  deliver to the regulators, no later than the filing of the short form
prospectus, 

     1.   Auditor's Comfort Letter regarding Unaudited Financial
Statements - 

          (i)  a comfort letter to the regulators from the auditor of
the issuer or the business, as applicable, prepared in accordance with the
relevant standards in the Handbook, if an unaudited financial statement of
an issuer or a business is included in a short form prospectus;

          (ii) a comfort letter to the regulators from the auditor of
the business, prepared in accordance with the relevant standards in the
Handbook, if the prospectus includes unaudited financial information of a
business that has been derived from financial statements of a business that
are not included in the short form prospectus;

          (iii)     a comfort letter to the regulators from the auditor of
the business, prepared in accordance with the relevant standards in the
Handbook, if a pro forma income statement of the issuer included in the
short form prospectus includes results of the business that have been
prepared in accordance with subsection 4.5(4);

          (iv) a comfort letter to the regulators from the auditor of
the issuer, prepared in accordance with the relevant standards of the
Handbook, if a pro forma financial statement of the issuer included in the
short form prospectus reflects the results of a significant disposition in
accordance with Part 6 of this Instrument.

     2.   Blacklined Prospectus - A copy of the short form prospectus,
blacklined to show changes from the preliminary short form prospectus.


10.4 Consent of Experts

(1)  If any solicitor, auditor, accountant, engineer or appraiser, or any
other person or company whose profession gives authority to a statement
made by that person or company, is named in a short form prospectus or an
amendment to a short form prospectus, either directly or in a document
incorporated by reference

     (a)  as having prepared or certified any part of the short form
prospectus or the amendment,

     (b)  as having opined on financial statements from which selected
information included in the short form prospectus has been derived and
which audit opinion is referred to in the short form prospectus either
directly or in a document incorporated by reference, or

     (c)  as having prepared or certified a report or valuation referred
to in the short form prospectus or the amendment, either directly or in a
document incorporated by reference,

     the issuer shall file no later than the time the short form
prospectus or the amendment is filed, the written consent of the person or
company to being named and to that use of the report or valuation.

(2)  The consent referred to in subsection (1) shall

     (a)  refer to the report, valuation, statement or opinion stating
the date of the report, valuation, statement or opinion, and

     (b)  contain a statement that the person or company referred to in
subsection (1)

          (iii)     has read the short form prospectus, and

          (iv) has no reason to believe that there are any
misrepresentations in the information contained in it that are

               (A)  derived from the report, valuation, statement or
opinion, or

               (B)  within the knowledge of the person or company as a
result of the services performed by the person or company in connection
with the report, financial statements, valuation, statement or opinion.

(3)  In addition to any other requirement of this section, the consent of
an auditor or accountant shall also state

     (a)  the dates of the financial statements on which the report of
the person orcompany is made, and

     (b)  that the person or company has no reason to believe that there
are any misrepresentations in the information contained in the short form
prospectus that are

          (i)  derived from the financial statements on which the person
or company has reported, or

          (ii) within the knowledge of the person or company as a result
of the audit of the financial statements.

(4)  Subsection (1) does not apply to an approved rating organization that
issues a rating to the securities being distributed under the preliminary
short form prospectus or short form prospectus. 

10.5 Filing of French Language Version

(1)  Except when the prospectus is filed in Quebec, an issuer shall file a
French language version of a preliminary short form prospectus, short form
prospectus, any amendment to a preliminary short form prospectus or short
form prospectus before sending the French language version of a preliminary
short form prospectus, a short form prospectus or an amendment to an
investor or prospective investor.

(2)  An issuer that has prepared a French language version of a
preliminary short form prospectus, short form prospectus, amendment to a
preliminary short form prospectus or short form prospectus file the French
language version of the document in New Brunswick concurrently with or as
soon as practicable after filing the English language version of the
document in that Province.

10.6 Prohibition on Filing - An issuer shall not file a preliminary short
form prospectus or a short form prospectus if the issuer is in default in
filing or delivering to the regulator a document required to be filed or
delivered under securities legislation.

10.7 Material Contracts - An issuer shall make available all material
contracts referred to in a short form prospectus for inspection at a
reasonable time and place in the local jurisdiction, without charge, during
the distribution of the securities being offered under the short form
prospectus.

PART 11   AMENDMENTS TO A SHORT FORM PROSPECTUS

11.1 Form of Amendment 

(1)  An amendment to a preliminary short form prospectus or a short form
prospectus shall consist of either an amendment that does not fully restate
the text of the preliminary short form prospectus or short form prospectus
or an amended and restated preliminary short form prospectus or short form
prospectus.

(2)  An amendment to a preliminary short form prospectus or a short form
prospectus shall contain the certificates required by securities
legislation and in the case of an amendment that does not restate the text
of the preliminary short form prospectus or short form prospectus, shall be
numbered and dated as follows:

          "Amendment No. [insert amendment number] dated [insert date of
amendment] to [Preliminary] Short Form Prospectus dated [insert date of
preliminary short form prospectus or short form prospectus]." 

11.2 Required Documents for Filing an Amendment - An issuer that files an
amendment to a preliminary short form prospectus or short form prospectus
shall 

(a)  file a signed copy of the amendment; 

(b)  deliver to the regulator a copy of the preliminary short form
prospectus or short form prospectus blacklined to show the changes made by
the amendment, if the amendment is also a restatement of the preliminary
short form prospectus or short form prospectus;  

(c)  file or deliver any supporting documents required under this
Instrument or other provisions of securities legislation to be filed or
delivered with a preliminary short form prospectus or a short form
prospectus, as the case may be, unless the documents originally filed or
delivered with the preliminary short form prospectus or short form
prospectus as the case may be, are correct as of the date the amendment is
filed; and

(d)  file any consent letter required under this Instrument to be filed
with a preliminary short form prospectus or short form prospectus, as the
case may be.

11.3 Auditor's Letter - If an amendment to a preliminary short form
prospectus or short form prospectus materially affects, or relates to, an
auditor's comfort letter filed under section 10.2 or 10.3 refers, the
issuer shall file with the amendment a new auditor's comfort letter.

11.4 Forwarding Amendments - An amendment to a preliminary short form
prospectus shall be forwarded to each recipient of the preliminary short
form prospectus according to the record of recipients to be maintained
under securities legislation.

11.5 Amendment to Preliminary Short Form Prospectus -The regulator shall
issue a receipt for an amendment to a preliminary short form prospectus as
soon as reasonably possible after the amendment is filed.

11.6 Amendment to Short Form Prospectus 

(1)  If, after a receipt is issued for a short form prospectus but prior
to the completion of the distribution under such short form prospectus,
securities in addition to the securities previously disclosed in the
prospectus are to be distributed, the person or company making the
distribution must file an amendment to the short form prospectus disclosing
the additional securities, as soon as practical, and in any event no later
than 10 days after the decision to increase the number of securities
offered is made.

(2)  Except as required by securities legislation, the regulator shall
issue a receipt for an amendment to a short form prospectus required to be
filed under this section or under securities legislation unless the
regulator considers that it is not in the public interest to do so.

(3)  The regulator shall not refuse to issue a receipt under subsection
(2) without giving the person or company who filed the short form
prospectus an opportunity to be heard.

(4)  Subject to subsection (5), a distribution or an additional
distribution must not proceed until a receipt for an amendment to a short
form prospectus that is required to be filed is issued by the regulator.

(5)  Subsection (4) does not apply to amendments to short form
prospectuses of mutual funds. 

PART 12   NON-FIXED PRICE OFFERINGS AND REDUCTION OF OFFERING PRICE UNDER
SHORT FORM PROSPECTUS

12.1 Non-Fixed Price Offerings and Reduction of Offering Price under Short
Form Prospectus

(1)  Every security distributed under a short form prospectus shall be
distributed at a fixed price.

(2)  Despite subsection (1), securities for which the issuer is qualified
under Part 2 to file a prospectus in the form of a short form prospectus
may be distributed for cash at non-fixed prices under a short form
prospectus if, at the time of the filing of the preliminary short form
prospectus, the securities have received a rating, on a provisional or
final basis, from at least one approved rating organization.

(3)  Despite subsection (1), if securities are distributed for cash under
a short form prospectus, the price of the securities may be decreased from
the initial offering price disclosed in the short form prospectus and,
after such a decrease, changed from time to time to an amount not greater
than the initial offering price, without filing an amendment to the short
form prospectus to reflect the change, if 

     (a)  the securities are distributed through one or more underwriters
that have agreed to purchase all of the securities at a specified price;

     (b)  the proceeds to be received by the issuer or selling security
holders or by the issuer and selling security holders are disclosed in the
short form prospectus as being fixed; and

     (c)  the underwriters have made a reasonable effort to sell all of
the securities distributed under the short form prospectus at the initial
offering price disclosed in the short form prospectus.

(4)  Despite subsections (2) and (3), the price at which securities may be
acquired on exercise of rights shall be fixed.

PART 13   CIRCULARS

13.1 Use of Short Form Prospectus Disclosure in Securities Exchange
Take-Over Bid Circular and Securities Exchange Issuer Bid Circular

(1)  An issuer that makes a take-over bid or an issuer bid that includes
consideration consisting, in whole or in part, of the issuer's securities
satisfies the requirement in securities legislation to include, in a
securities exchange take-over bid circular or a securities exchange issuer
bid circular, the information prescribed by the form of prospectus
appropriate for the issuer by including, in the securities exchange
take-over bid circular or the securities exchange issuer bid circular, the
information required under this Instrument to be included in a short form
prospectus, if the issuer's securities offered as consideration are of a
type for which the issuer is qualified under section 2.2, 2.3, 2.4 or 2.8
to file a prospectus in the form of a short form prospectus.

(2)  In determining, for the purpose of subsection (1), whether an issuer
is qualified to file a prospectus in the form of a short form prospectus
under section 2.2, 2.3, 2.4 or 2.8, references in those sections to the
time of the filing of a preliminary short form prospectus shall be read as
references to the time of the filing of the securities exchange take-over
bid circular or securities exchange issuer bid circular.

13.2 Use of Short Form Prospectus Disclosure in Information Circular

(1)  An issuer, that sends an information circular to security holders
disclosing information on a proposed reorganization that involves the
issuer distributing its securities, satisfies the requirement in securities
legislation to include in an information circular the information
prescribed by the form of prospectus appropriate for the issuer by
including in the information circular, the information required under this
Instrument to be included in a short form prospectus, if the issuer's
securities to be distributed in connection with the reorganization are of a
type for which the issuer is qualified under section 2.2, 2.3, 2.4 or 2.8
to file a prospectus in the form of a short form prospectus.

(2)  In determining, for the purpose of subsection (1), whether an issuer
is qualified to file a prospectus in the form of a short form prospectus
under section 2.2, 2.3, 2.4 or 2.8, references in those sections to the
time of the filing of a preliminary short form prospectus shall be read as
references to the time of the filing of the information circular.

13.3 Information Circular Disclosure regarding Availability of Information
- An issuer that has a current AIF and sends its information circular, as
required under securities legislation, to security holders shall

(a)  send, upon request to the secretary of the issuer, a copy of the
following documents to the person or company making the request and, in the
case of a security holder, without charge:

     1.   The issuer's current AIF, together with one copy of any
document, or the pertinent pages of any document, incorporated by reference
in the current AIF.

     2.   The issuer's most recently filed comparative annual financial
statements, together with the accompanying report of the auditor, and any
interim financial statements of the issuer that have been filed for any
period after the end of its most recently completed financial year.

     3.   The issuer's information circular for its most recent annual
meeting of shareholders that involved the election of directors or any
annual filing prepared instead of that information circular, as
appropriate; and

(b)  include in its information circular a statement describing the
availability, without charge to a security holder, upon request made to the
secretary of the issuer, of the documents listed in paragraph (a).

PART 14   SOLICITATIONS OF EXPRESSIONS OF INTEREST

14.1 Solicitations of Expressions of Interest - The prospectus requirement
does not apply to solicitations of expressions of interest before the
filing of a preliminary short form prospectus for securities to be
qualified for distribution under a short form prospectus in accordance with
this Instrument, if

(a)  the issuer has entered into an enforceable agreement with an
underwriter who has, or underwriters who have, agreed to purchase the
securities;

(b)  the agreement referred to in paragraph (a) has fixed the terms of the
distribution and requires that the issuer file a preliminary short form
prospectus for the securities and obtain a receipt for the preliminary
short form prospectus from

     (i)  the 44-101 regulator dated not more than two business days
after the date that the agreement is entered into, if the issuer has
elected to use the MRRS; or 

     (ii) if the issuer has not elected to use the MRRS

          (A)  the regulator in at least one jurisdiction, dated not
more than two business days after the date that the agreement is entered
into, and

          (B)  the Canadian securities regulatory authorities in any
other jurisdictions in which the distribution is to be made, dated not more
than three business days after the date that the agreement is entered into;

(c)  the issuer has issued and filed a news release announcing the
agreement immediately upon entering into the agreement;

(d)  upon issuance of a receipt for the preliminary short form prospectus,
a copy of the preliminary short form prospectus is sent to each person or
company who has expressed an interest in acquiring the securities; and

(e)  except as provided in paragraph (a), no agreement of purchase and
sale for the securities is entered into until the short form prospectus has
been filed and a receipt obtained.

PART 15   EXEMPTION

15.1 Exemption

(1)  The regulator or the securities regulatory authority may grant an
exemption from the provisions of this Instrument, in whole or in part,
subject to such conditions or restrictions as may be imposed in the
exemption.

(2)  Despite subsection (1), in Ontario and Alberta, only the regulator
may grant such an exemption.

(3)  An application made to the securities regulatory authority or
regulator for an exemption from the provisions of this Instrument shall
include a letter or memorandum describing the matters relating to the
exemption, and indicating why consideration should be given to the granting
of the exemption.

15.2 Evidence of Exemption

(1)  Subject to subsection (2) and without limiting the manner in which an
exemption under this Part may be evidenced, the granting under this Part of
an exemption, other than an exemption, in whole or in part, from Part 2,
may be evidenced by the issuance of a receipt for a short form prospectus
or an amendment to a short form prospectus.

(2)  An exemption under this Part may be evidenced in the manner set out
in subsection (1) only if

     (a)  the person or company that sought the exemption 

          (i)  sent to the regulator the letter or memorandum referred
to in subsection 15.1(3) on or before the date of the filing of the
preliminary short form prospectus, or

          (ii) sent to the regulator the letter or memorandum referred
to in subsection 15.1(3) after the date of the filing of the preliminary
short form prospectus and received a written acknowledgement from the
regulator that the exemption may be evidenced in the manner set out in
subsection (1); and 

     (b)  the Director has not before, or concurrently with, the issuance
of the receipt sent notice to the person or company that sought the
exemption, that the exemption sought may not be evidenced in the manner set
out in subsection (1).

15.3 Exemption under Prior Policy - An issuer that, immediately before the
time this Instrument came into force, was eligible to participate in the
prompt offering qualification system contemplated by NP47 under an
exemption, ruling, order, decision or other action of the securities
regulatory authority or regulator, other than a blanket ruling or order, is
qualified to file a prospectus in the form of a short form prospectus, in
reliance on the exemption, ruling, order, decision or other action and
subject to the same conditions, if any, as are in the action, until the
earliest of 

(a)  the end of the period for which the AIF filed by the issuer before
this Instrument came into force is a current AIF under this Instrument;

(b)  the expiration of the action; and

(c)  the revocation of the action by the securities regulatory authority
or the regulator.

PART 16   EFFECTIVE DATE

16.1 Effective Date -    This Instrument shall come into force on December
31, 2000.

     NATIONAL INSTRUMENT 44-101
     SHORT FORM PROSPECTUS DISTRIBUTIONS

     APPENDIX A
     AUTHORIZATION OF INDIRECT COLLECTION OF PERSONAL
     INFORMATION

The attached Schedule 1 contains information concerning the name, position
with or relationship to issuer, name and address of employer, if other than
the issuer, residential address, date and place of birth and citizenship of
each director, executive officer, promoter, if any, and each director and
executive officer of the promoter, if any, of the issuer named below (the
"Issuer") as required by securities legislation, unless previously
delivered to the regulator.  The Issuer hereby confirms that each person or
company listed on Schedule 1

(a)  has been notified by the Issuer

     (i)  of the Issuer's delivery to the regulator of the information
pertaining to the person or company as set out in Schedule 1,

     (ii) that such information is being collected indirectly by the
regulator under the authority granted to it in securities legislation,

     (iii)     that such information is being collected for the purpose of
enabling the regulator to discharge his/her obligations under the
provisions of securities legislation that, among other things, require or
permit the regulator to refuse to issue a receipt for a prospectus if it
appears to the regulator 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, and

     (iv) that the title, business address and business telephone number
of the public official in the local jurisdiction as set out in the attached
Schedule 2, who can answer questions about the regulator's indirect
collection of the information; and

(b)  has authorized the indirect collection of the information by the
regulator.

Date:     ______________________________



               ______________________________
               Name of Issuer


Per:           ______________________________


               ______________________________
               Name

               ______________________________
               Official Capacity

(Please print the name of the individual whose signature appears in the
official capacity)



     Schedule 1 Personal Information
     to Appendix A 
     Authorization of Indirect
     Collection of Personal Information

     [Name of Issuer]




Name and Position with or Relationship to Issuer

Name and Address of Employer, if other than Issuer



Residential
Address



Date and Place of Birth




Citizenship



     Schedule 2 Public Official
     to Appendix A 
     Authorization of Indirect
     Collection of Personal Information



Local Jurisdiction
Public Official


Alberta
Executive Director
Alberta Securities Commission
Suite 400
300 - 5th Avenue S.W.
Calgary, Alberta  T2P 3C4
Telephone: (403) 297-4228


British Columbia
Supervisor, Registration
British Columbia Securities Commission
Suite 200
865 Hornby Street
Vancouver, British Columbia  V6Z 2H4
Telephone: (604) 899-5692
Toll Free within British Columbia: (800) 373-6393


Manitoba
Director
Manitoba Securities Commission
Consumer and Corporate Affairs
Adminstration
1034 - 405 Broadway
Winnipeg, Manitoba  R3C 3L6
Telephone: (204) 945-2653



New Brunswick
Administrator
Department of Justice
Securities Branch
Harbour Building, 133 Prince William Street
Suite 606, P.O. Box 5001
Saint John, New Brunswick  E2L 4Y9
Telephone: (506) 658-3060


Newfoundland
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


Northwest Territories
Government of the Northwest Territories
Securities Registries
Department of Justice
P.O. Box 1320,
Yellowknife, Northwest Territories  X1A 2L9


Nova Scotia
Deputy Director, Compliance and Enforcement
Nova Scotia Securities Commission
P.O. Box 458
Halifax, Nova Scotia  B3J 2P8
Telephone: (902)424-5354


Nunavut
Nunavut Legal Registries
Government of Nunavut
BAG 9500
Yellowknife, Northwest Territories  X1A 2R3


Ontario
Administrative Assistant to the Director of Corporate Finance
Ontario Securities Commission
18th Floor, 20 Queen Street West
Toronto, Ontario  M5H 2S8
(416) 597-0681


Prince Edward Island
Deputy Registrar, Securities Division
Shaw Building
95 Rochford Street, P.O. Box 2000, 4th Floor
Charlottetown, Prince Edward Island  C1A 7N8
Telephone: (902) 368-4550



Quebec
Secretary and Director
Legal Department
Commission d'accŠs … l'information
Qu‚bec City (Head Office)
575, rue St-Amable
Bureau 1.10
Qu‚bec, Qu‚bec  G1R 2G4
Telephone: (418) 528-7741
Toll Free in Qu‚bec: (888) 628-7741



Saskatchewan
Director
Saskatchewan Securities Commission
800-1920 Broad Street
Regina, Saskatchewan  S4P 3V7
Telephone: (306) 787-5842


Yukon
Registrar of Securities
Department of Justice
Andrew A. Philipsen Law Centre
2130 - 2nd Avenue, 3rd Floor
Whitehorse, Yukon Territory  Y1A 5H6
     Telephone: (867) 667-5005






NATIONAL INSTRUMENT 44-101
SHORT FORM PROSPECTUS DISTRIBUTIONS
APPENDIX B
ISSUER FORM OF SUBMISSION TO
JURISDICTION AND APPOINTMENT OF
AGENT FOR SERVICE OF PROCESS


1.   Name of issuer (the "Issuer"):
          ___________________________________________________________________

2.   Jurisdiction of incorporation, or equivalent, of Issuer:
          ___________________________________________________________________

3.   Address of principal place of business of Issuer:
          ___________________________________________________________________

4.   Description of securities (the "Securities"):
          ___________________________________________________________________

5.   Date of the short form prospectus (the "Short Form Prospectus") under
which the Securities are offered:
          ___________________________________________________________________

6.   Name of agent for service of process (the "Agent"):
          ___________________________________________________________________

7.   Address for service of process of Agent in Canada (the address may be
anywhere in Canada):
          ___________________________________________________________________

8.   The Issuer designates and appoints the Agent at the address of the
Agent stated above as its agent upon whom may be served any notice,
pleading, subpoena, summons or other process in any action, investigation
or administrative, criminal, quasi-criminal, penal or other proceeding (the
"Proceeding") arising out of, relating to or concerning the distribution of
the Securities made or purported to be made under the Short Form Prospectus
or the obligations of the Issuer as a reporting issuer, and irrevocably
waives any right to raise as a defence in any such Proceeding any alleged
lack of jurisdiction to bring such Proceeding.

9.   The Issuer irrevocably and unconditionally submits to the
non-exclusive jurisdiction of

          (a)  the judicial, quasi-judicial and administrative tribunals
of each of the provinces [and territories] of Canada in which the
securities are distributed under the Short Form Prospectus; and

          (b)  any administrative proceeding in any such province [or
territory],

          in any Proceeding arising out of or related to or concerning
the distribution of the Securities made or purported to be made under the
Short Form Prospectus or the obligations of the issuer as a reporting
issuer.

10.  Until six years after it has ceased to be a reporting issuer in any
Canadian province or territory, the Issuer shall file a new submission to
jurisdiction and appointment of agent for service of process in this form
at least 30 days before termination of this submission to jurisdiction and
appointment of agent for service of process.

11.  Until six years after it has ceased to be a reporting issuer in any
Canadian province or territory, the Issuer shall file an amended submission
to jurisdiction and appointment of agent for service of process at least 30
days before any change in the name or above address of the Agent.
12.  This submission to jurisdiction and appointment of agent for service
of process shall be governed by and construed in accordance with the laws
of [insert province or territory of above address of Agent].

     Dated: _________________________   _______________________________
                                   Signature of Issuer

                                   ________________________________                                 Print name and title of signing
                                   officer of Issuer


     AGENT

The undersigned accepts the appointment as agent for service of process of
[insert name of Issuer] under the terms and conditions of the appointment
of agent for service of process stated above.


Dated: ____________________   ________________________________________
                              Signature of Agent


                              ________________________________________
                              Print name of person signing and, if
Agent is not an individual, the title of the person



     NATIONAL INSTRUMENT 44-101
     SHORT FORM PROSPECTUS DISTRIBUTIONS
     APPENDIX C
     NON-ISSUER FORM OF SUBMISSION TO
     JURISDICTION AND APPOINTMENT OF
     AGENT FOR SERVICE OF PROCESS

1.   Name of issuer (the "Issuer"):
          ___________________________________________________________________

2.   Jurisdiction of incorporation, or equivalent, of Issuer:
          ___________________________________________________________________

3.   Address of principal place of business of Issuer:
          ___________________________________________________________________

4.   Description of securities (the "Securities"):
          ___________________________________________________________________

5.   Date of the short form prospectus (the "Short Form Prospectus") under
which the Securities are offered:
          ___________________________________________________________________

6.   Name of person filing this form (the "Filing Person"):
          ___________________________________________________________________

7.   Filing Person's relationship to Issuer:
          ___________________________________________________________________

8.   Jurisdiction of incorporation, or equivalent, of Filing Person, if
applicable, or jurisdiction of residence of Filing Person:
          ___________________________________________________________________

9.   Address of principal place of business of Filing Person:
          ___________________________________________________________________

10.  Name of agent for service of process (the "Agent"):
          ___________________________________________________________________

11.  Address for service of process of Agent in Canada (which address may
be anywhere in Canada):
          ___________________________________________________________________

12.  The Filing Person designates and appoints the Agent at the address of
the Agent stated above as its agent upon whom may be served any notice,
pleading, subpoena, summons or other process in any action, investigation
or administrative, criminal, quasi-criminal, penal or other proceeding (the
"Proceeding") arising out of, relating to or concerning the distribution of
the Securities made or purported to be made under the Short Form
Prospectus, and irrevocably waives any right to raise as a defence in any
such Proceeding any alleged lack of jurisdiction to bring the Proceeding.

13.  The Filing Person irrevocably and unconditionally submits to the
non-exclusive jurisdiction of 

     (a)  the judicial, quasi-judicial and administrative tribunals of
each of the provinces [and territories] of Canada in which the securities
are distributed under the Short Form Prospectus; and

     (b)  any administrative proceeding in any such province [or
territory],

     in any Proceeding arising out of or related to or concerning the
distribution of the Securities made or purported to be made under the Short
Form Prospectus.

14.  Until six years after completion of the distribution of the
Securities made under the Short Form Prospectus, the Filing Person shall
file a new submission to jurisdiction and appointment of agent for service
of process in this form at least 30 days before termination of this
submission to jurisdiction and appointment of agent for service of process.

15.  Until six years after completion of the distribution of the
Securities under the Short Form Prospectus, the Filing Person shall file an
amended submission to jurisdiction and appointment of agent for service of
process at least 30 days before a change in the name or above address of
the Agent.

16.  This submission to jurisdiction and appointment of agent for service
of process shall be governed by and construed in accordance with the laws
of [insert province or territory of above address of Agent].


Dated: _________________________   ________________________________________
                              Signature of Filing Person

                              ________________________________________
                              Print name of person signing and, if
the Filing Person is not an individual, the title of the person


     AGENT

The undersigned accepts the appointment as agent for service of process of
[insert name of Filing Person] under the terms and conditions of the
appointment of agent for service of process stated above.


Dated: _________________________   ________________________________________
                              Signature of Agent

                              ________________________________________
                              Print name of person signing and, if
the Agent is not an individual, the title of the person

     NATIONAL INSTRUMENT 44-101
     SHORT FORM PROSPECTUS DISTRIBUTIONS
     FORM 44-101F1
     AIF

     TABLE OF CONTENTS

AIF
Item 1:   Cover Page
     1.1  Date
     1.2  Review of Renewal AIF    
     1.3  Revisions 

Item 2:   Corporate Structure 
     2.1  Name and Incorporation   
     2.2  Intercorporate Relationships  

Item 3:   General Development of the Business     
     3.1  Three Year History  
     3.2  Significant Acquisitions and Significant Dispositions  
     3.3  Trends    

Item 4:   Narrative Description of the Business   
     4.1  General   
     4.2  Issuers with Asset-backed Securities Outstanding  
     4.3  Issuers With Mineral Projects 
     4.4  Issuers with Oil and Gas Operations     

Item 5:   Selected Consolidated Financial Information  
     5.1  Annual Information  
     5.2  Dividends 
     5.3  Foreign GAAP   

Item 6:   Management's Discussion and Analysis    
     6.1  Form 44-101F2 Disclosure 
     6.2  Foreign GAAP   

Item 7:   Market for Securities    
     7.1  Market for Securities    

Item 8:   Directors and Officers   
     8.1  Name, Address, Occupation and Security Holding    
     8.2  Corporate Cease Trade Orders or Bankruptcies 
     8.3  Penalties or Sanctions   
     8.4  Personal Bankruptcies    
     8.5  Conflicts of Interest    

Item 9:   Additional Information   
     9.1  Additional Information   




     NATIONAL INSTRUMENT 44-101
     SHORT FORM PROSPECTUS DISTRIBUTIONS
     FORM 44-101F1
     AIF

INSTRUCTIONS

(1)  An AIF is intended to provide background information that is
essential to a proper understanding of the nature of an issuer and its
operations and prospects.

(2)  Focus the AIF disclosure on the issuer and external factors affecting
the issuer specifically; do not focus, unless specifically required, on
external factors that affect issuers generally.

(3)  Do not omit any of the disclosure prescribed by this Form.  In
determining the degree of detail required, apply a standard of materiality. 
Materiality is a matter of judgment in particular circumstances, and should
generally be determined in relation to an item's significance to investors,
analysts and other users of the information.  An item of information, or an
aggregate of items, is considered material if it is probable that its
omission or misstatement would influence or change an investment decision
with respect to the issuer's securities.  In determining whether
information is material, take into account both quantitative and
qualitative factors.  This concept of materiality is consistent with the
financial reporting notion of materiality contained in the Handbook.

(4)  A requirement in this Form to discuss or disclose forward-looking
information does not call for a forecast or projection as defined in the
Handbook.  An issuer that chooses to provide a forecast or projection is
required to comply with National Policy Statement No. 48 Future-Oriented
Financial Information, or any successor instrument.

(5)  An issuer that is a special purpose vehicle may have to modify the
disclosure items in this Form to reflect the special purpose nature of its
business.

(6)  Any information required in an AIF may be incorporated by reference
in the AIF.  Clearly identify in an AIF any document incorporated by
reference.  If an excerpt of a document is incorporated by reference,
clearly identify the excerpt in the AIF by caption and paragraph of the
document.  Any material incorporated by reference in an AIF is required
under subsection 3.3(1) of National Instrument 44-101 to be filed with the
AIF unless it has been previously filed.

(7)  Date an AIF no earlier than the date of the auditor's report on the
issuer's financial statements for the financial year covered by the AIF.

(8)  Unless otherwise specified in this Form, present the information in
an AIF as at a date not later than the date of the AIF and not earlier than
the last day of the issuer's most recently completed financial year, except
for

     (a)  an AIF filed by a successor issuer following a reorganization,
in which case present the information as at a date not earlier than the
latest financial year end of any of the participants in the reorganization
that were reporting issuers at the time of the reorganization; and

     (b)  an AIF filed by an issuer of asset-backed securities that has
not completed its first financial year, in which case present the
information as at a date within 30 days before the date that the initial
AIF is filed.

(9)  If a material change affecting the issuer occurs after the date as at
which the disclosure in the AIF is required, and before filing, include
this information in the AIF.

(10) Terms used and not defined in this Form that are defined or
interpreted in National Instrument 44-101 Short Form Prospectus
Distributions shall bear that definition or interpretation.  Other
definitions are set out in National Instrument 14-101 Definitions.

(11) All references to an issuer in Items 3 through 6 of this Form are to
be read as applying to an issuer and its subsidiaries and investees, if the
disclosure concerning the issuer's subsidiaries and investees is material.

Item 1:   Cover Page

1.1  Date - Insert the date of the AIF on the cover page.

1.2  Review of Renewal AIF - If the issuer has been notified that its
renewal AIF is being reviewed, include the following statement in bold type
on the cover page of the renewal AIF until notified that the review has
been completed.

          "This annual information form is currently under review by the
Canadian securities regulatory authorities of one or more jurisdictions.
Information contained herein is subject to change."

INSTRUCTION    The statement required under Item 1.2 may be added to paper
copies of the renewal AIF by way of a stamp, sticker or other method that
will ensure that the statement may not be deleted or removed from the
renewal AIF.

1.3  Revisions - If revisions are made to an AIF after filing, identify
the AIF as a "revised initial AIF" or a "revised renewal AIF", as the case
may be, on the cover page.

Item 2:   Corporate Structure

2.1  Name and Incorporation

(1)  State the full corporate name of the issuer or, if the issuer is an
unincorporated entity, the full name under which it exists and carries on
business.

(2)  State the statute under which the issuer is incorporated, continued
or organized or, if the issuer is an unincorporated entity, the laws of the
jurisdiction or foreign jurisdiction under which it is established and
exists.  If material, state whether the articles or other constating or
establishing documents of the issuer have been amended and describe the
substance of the material amendments.

2.2  Intercorporate Relationships - Describe, by way of a diagram or
otherwise, the intercorporate relationships among the issuer and the
issuer's subsidiaries as of the most recent financial year end of the
issuer.  For each subsidiary state 

     (a)  the percentage of the votes attaching to all voting securities
of the subsidiary represented by voting securities beneficially owned, or
over which control or direction is exercised, by the issuer; 

     (b)  the percentage of each class of non-voting securities
beneficially owned, or over which control or direction is exercised, by the
issuer; and

     (c)  the place of incorporation or continuance.


INSTRUCTION    A particular subsidiary may be omitted if

     (a)  the total assets of the subsidiary do not constitute more than
10 per cent of the consolidated assets of the issuer at the most recent
financial year end;

     (b)  the sales and operating revenues of the subsidiary do not
exceed 10 per cent of the consolidated sales and operating revenues of the
issuer at the most recent financial year end; and

     (c)  the conditions in paragraphs (a) and (b) would be satisfied if

          (i)  the subsidiaries that may be omitted under paragraphs (a)
and (b) were considered in the aggregate, and

          (ii) the reference to 10 per cent in those paragraphs were
changed to 20 per cent.

Item 3:   General Development of the Business

3.1  Three Year History - Describe the general development of the business
of the issuer over its last three completed financial years.  Include only
major events or conditions that have influenced the general development of
the issuer's business.  If the business consists of the production or
distribution of more than one product or the rendering of more than one
kind of service, describe the principal products or services.  Also discuss
changes in the issuer's business that are expected to occur during the
current financial year of the issuer.

INSTRUCTION    Include the business of subsidiaries only insofar as is
necessary to explain the character and development of the business
conducted by the combined enterprise.

3.2  Significant Acquisitions and Significant Dispositions

(1)  Disclose 

     (a)  any significant acquisition completed by the issuer during its
most recently completed financial year for which financial statement
disclosure would be required under Part 4 or 5 of National Instrument
44-101 if the AIF were a short form prospectus; and 

     (b)  any significant disposition completed by the issuer during its
most recently completed financial year.

(2)  Under paragraph (1) include particulars of

     (a)  the nature of the assets acquired or disposed of;

     (b)  the date of each significant acquisition or significant
disposition;

     (c)  the consideration, both monetary and non-monetary, paid to or
by the issuer;

     (d)  any material obligations that must be complied with to keep any
significant acquisition or significant disposition agreement in good
standing;

     (e)  the impact of the significant acquisition or significant
disposition on the operating results and financial position of the issuer;

     (f)  any valuation opinion obtained within the last 12 months
required under Canadian securities legislation or directives of a Canadian
securities regulatory authority or a requirement of a Canadian stock
exchange or other Canadian market to support the value of the consideration
received or paid by the issuer or any of its subsidiaries for the assets,
including the name of the author, the date of the opinion, the assets to
which the opinion relates and the value attributed to the assets; and

     (g)  whether the transaction is with an insider, associate or
affiliate of the issuer and, if so, disclose the identity of the other
parties and the relationship of the other parties to the issuer.

3.3  Trends - Discuss any trend, commitment, event or uncertainty that is
both presently known to management and reasonably expected to have a
material effect on the issuer's business, financial condition or results of
operations, providing forward-looking information based on the issuer's
expectations as of the date of the AIF.

INSTRUCTION    Issuers are encouraged, but not required, to supply other
forward-looking information.  Optional forward-looking disclosure involves
anticipating a future trend or event or anticipating a less predictable
effect of a known event, trend or uncertainty.  This other forward-looking
information is to be distinguished from presently known information that is
reasonably expected to have a material effect on future operating results,
such as known future increases in costs of labour or materials, which is
information required to be disclosed.

Item 4:   Narrative Description of the Business

4.1  General

(1)  Describe the business of the issuer with reference to the reportable
operating segments as defined in the Handbook and the issuer's business in
general.  Include the following for each reportable operating segment of
the issuer:

     1.   For principal products or services, 

          (a)  the methods of their distribution and their principal
markets;

          (b)  as dollar amounts or as percentages, for each of the two
most recently completed financial years, the revenues for each category of
principal products or services that accounted for 15 per cent or more of
total consolidated revenues for the applicable financial year derived from

               (i)  sales to customers, other than investees, outside
the consolidated entity, 

               (ii) sales or transfers to investees, and

               (iii)     sales or transfers to controlling shareholders.

     2.   The competitive conditions in the principal markets and
geographic areas in which the issuer operates, including, if reasonably
possible, an assessment of the issuer's competitive position.

     3.   If there has been a public announcement of the introduction of
a new product, the status of the product.

     4.   The sources, pricing and availability of raw materials,
component parts or finished products.

     5.   The importance, duration and effect on the segment of
identifiable intangible properties such as brand names, circulation lists,
copyrights, franchises, licences, patents, software, subscription lists and
trademarks.

     6.   The extent to which the business of the segment is cyclical or
seasonal.

     7.   A description of any aspect of the issuer's business that may
be affected in the current financial year by renegotiation or termination
of contracts or sub-contracts and the likely effect.

     8.   The financial and operational effects of environmental
protection requirements on the capital expenditures, earnings and
competitive position of the issuer in the current financial year and the
expected effect in future years.

     9.   The number of employees, as at the most recent financial year
end or as an average over the year, whichever is more relevant.

     10.  Any risks associated with foreign operations of the issuer and
any dependence of the segment upon the foreign operations.

(2)  Disclose the nature and results of any bankruptcy, receivership or
similar proceedings against the issuer or any of its subsidiaries, or any
voluntary bankruptcy, receivership or similar proceedings by the issuer or
any of its subsidiaries, within the three most recently completed financial
years or the current financial year.

(3)  Disclose the nature and results of any material reorganization of the
issuer or any of its subsidiaries within the three most recently completed
financial years or the current financial year.

4.2  Issuers with Asset-backed Securities Outstanding - For issuers with
asset-backed securities outstanding that were distributed under a
prospectus, disclose

(a)  a description of any events, covenants, standards or preconditions
that may reasonably be expected to affect the timing or amount of any
payments or distributions to be made under the asset-backed securities;

(b)  for the two most recently completed financial years of the issuer or
the lesser period commencing on the first date on which the issuer had
asset-backed securities outstanding, information on the underlying pool of
financial assets relating to

          (i)  the composition of the pool as of the end of each
financial year or partial period;

          (ii) income and losses from the pool on at least an annual
basis or such shorter period as is reasonable given the nature of the
underlying pool of assets;

          (iii)     the payment, prepayment and collection experience of the
pool on at least an annual basis or such shorter period as is reasonable
given the nature of the underlying pool of assets;

          (iv) servicing and other administrative fees; and

          (v)  any significant variances experienced in the matters
referred to in clauses (i), (ii), (iii) or (iv); 

(c)  if any of the information disclosed under paragraph (b) has been
audited, the existence and results of the audit;

(d)  the investment parameters applicable to investments of any cash flow
surpluses;

(e)  the amount of payments made during the two most recently completed
financial years or the lesser period commencing on the first date on which
the issuer had asset-backed securities outstanding, in respect of principal
and interest or capital and yield, each stated separately, on asset-backed
securities of the issuer outstanding;

(f)  the occurrence of any event that has led to or with the passage of
time could lead to, the accelerated payment of principal, interest or
capital of asset-backed securities; and

(g)  the identity of any principal obligors for the outstanding
asset-backed securities of the issuer at the end of the most recent
financial year or interim period, the percentage of the underlying pool of
financial assets represented by obligations of each principal obligor and
whether the principal obligor has filed an AIF in any jurisdiction or a
Form 10-K or Form 20-F in the United States.

INSTRUCTIONS

(1)  Present the information required under paragraph (b) in a manner that
will enable a reader to easily determine if, and the extent to which, the
events, covenants, standards and preconditions referred to in paragraph (a)
have occurred, are being satisfied or may be satisfied.

(2)  If the information required under paragraph (b)

     (i)  is not compiled specifically on the underlying pool of
financial assets, but is compiled on a larger pool of the same assets from
which the securitized assets are randomly selected such that the
performance of the larger pool is representative of the performance of the
pool of securitized assets, or 

     (ii) in the case of a new issuer, where the underlying pool of
financial assets will be randomly selected from a larger pool of the same
assets such that the performance of the larger pool will be representative
of the performance of the pool of securitized assets to be created,

          then an issuer may comply with paragraph (b) by providing the
information required based on the larger pool and disclosing that it has
done so.

4.3  Issuers With Mineral Projects - For issuers with a mineral project,
disclose the following information for each property material to the
issuer:

     1.   Property Description and Location 

          (a)  The area (in hectares or other appropriate units) and the
location of the property.

          (b)  The nature and extent of the issuer's title to or
interest in the property, including surface rights, obligations that must
be met to retain the property and the expiration date of claims, licences
and other property tenure rights.

          (c)  The terms of any royalties, overrides, back-in rights,
payments or other agreements and encumbrances to which the property is
subject.

          (d)  All environmental liabilities to which the property is
subject.

          (e)  The location of all known mineralized zones, mineral
resources, mineral reserves and mine workings, existing tailing ponds,
waste deposits and important natural features and improvements.

          (f)  To the extent known, the permits that must be acquired to
conduct the work proposed for the property and if the permits have been
obtained.

     2.   Accessibility, Climate, Local Resources, Infrastructure and
Physiography

          (a)  The means of access to the property.

          (b)  The proximity of the property to a population centre and
the nature of transport.

          (c)  To the extent relevant to the mining project, the climate
and length of the operating season.

          (d)  The sufficiency of surface rights for mining operations,
the availability and sources of power, water, mining personnel, potential
tailings storage areas, potential waste disposal areas, heap leach pads
areas and potential processing plant sites.

          (e)  The topography, elevation and vegetation.

     3.   History

          (a)  The prior ownership and development of the property and
ownership changes and the type, amount, quantity and results of the
exploration work undertaken by previous owners, and any previous production
on the property, to the extent known.

          (b)  If a property was acquired within the three most recently
completed financial years of the issuer or during its current financial
year from, or is intended to be acquired by the issuer from, an insider or
promoter of the issuer or an associate or affiliate of an insider or
promoter, the name and address of the vendor, the relationship of the
vendor to the issuer, and the consideration paid or intended to be paid to
the vendor.

          (c)  To the extent known, the name of every person or company
that has received or is expected to receive a greater than five per cent
interest in the consideration received or to be received by the vendor
referred to in subparagraph (b).

     4.   Geological Setting - The regional, local and property geology.

     5.   Exploration  - The nature and extent of all exploration work
conducted by, or on behalf of, the issuer on the property, including

          (a)  the results of all surveys and investigations and the
procedures and parameters relating to surveys and investigations;

          (b)  an interpretation of the exploration information;

          (c)  whether the surveys and investigations have been carried
out by the issuer or a contractor and if by a contractor, identifying the
contractor; and

          (d)  a discussion of the reliability or uncertainty of the
data obtained in the program.

     6.   Mineralization - The mineralization encountered on the
property, the surrounding rock types and relevant geological controls,
detailing length, width, depth and continuity together with a description
of the type, character and distribution of the mineralization.

     7.   Drilling - The type and extent of drilling, including the
procedures followed and an interpretation of all results.

     8.   Sampling and Analysis - The sampling and assaying including 

          (a)  description of sampling methods and the location, number,
type, nature, spacing or density of samples collected;

          (b)  identification of any drilling, sampling or recovery
factors that could materially impact the accuracy or reliability of the
results;

          (c)  a discussion of the sample quality and whether the
samples are representative and of any factors that may have resulted in
sample biases;

          (d)  rock types, geological controls, widths of mineralized
zones, cut-off grades and other parameters used to establish the sampling
interval; and

          (e)  quality control measures and data verification
procedures.

     9.   Security of Samples - The measures taken to ensure the validity
and integrity of samples taken.

     10.  Mineral Resource and Mineral Reserve Estimates - The mineral
resources and mineral reserves, if any, including

          (a)  the quantity and grade or quality of each category of
mineral resources and mineral reserves;

          (b)  the key assumptions, parameters and methods used to
estimate the mineral resources and mineral reserves; and

          (c)  the extent to which the estimate of mineral resources and
mineral reserves may be materially affected by metallurgical,
environmental, permitting, legal, title, taxation, socio-economic,
marketing, political and other relevant issues.

     11.  Mining Operations - For development properties and production
properties, the mining method, metallurgical process, production forecast,
markets, contracts for sale of products, environmental conditions, taxes,
mine life and expected payback period of capital.

     12.  Exploration and Development - A description of the issuer's
current and contemplated exploration or development activities, to the
extent they are material.

INSTRUCTIONS

(1)  Issuers are reminded that disclosure regarding mineral exploration
development or production activities on material properties is required to
comply with National Instrument 43-101 Standards of Disclosure for Mineral
Projects, once that National Instrument is in force, including the use of
the appropriate terminology to describe mineral reserves and mineral
resources. 

(2)  Disclosure is required for each property material to the issuer. 
Materiality is to be determined in the context of the issuer's overall
business and financial condition, taking into account quantitative and
qualitative factors.  A property will not generally be considered material
to an issuer if the book value of the property as reflected in the issuer's
most recently filed financial statements or the value of the consideration
paid or to be paid (including exploration obligations) is less than 10 per
cent of the book value of the total of the issuer's mineral properties and
related plant and equipment.

(3)  Once National Instrument 43-101 comes into force, the information
required under these items is required under National Instrument 43-101 to
be based upon a technical report or other information prepared by or under
the supervision of a qualified person, as that term is defined in National
Instrument 43-101.

(4)  In giving the information required under these items, include the
nature of ownership interests, such as fee interests, leasehold interests,
royalty interests and any other types and variations of ownership
interests.

4.4  Issuers with Oil and Gas Operations - For issuers with oil and gas
operations, disclose the following (in tabular form, if appropriate):

1.   Drilling Activity - The number of wells the issuer has drilled or has
participated in drilling, the number of these wells that were completed as
oil wells and gas wells that are capable of production, each stated
separately, and the number of dry holes, expressed in each case as gross
and net wells, during each of the two most recently completed financial
years of the issuer.

2.   Location of Production - The geographical areas of the issuer's
production, the groups of oil and gas properties, the individual oil and
gas properties and the plants, facilities and installations that, in each
case, are owned or leased by the issuer and are material to the issuer's
operations or exploratory activities.

3.   Location of Wells - The location, stated separately for oil wells and
gas wells, by jurisdiction, if in Canada, by state, if in the United
States, and by country otherwise, of producing wells and wells capable of
producing, in which the issuer has an interest and which are material, with
the interest expressed in terms of gross and net wells.

4.   Interest in Material Properties - For interests in material
properties to which no proved reserves have been attributed, the gross
acreage in which the issuer has an interest and the net interest of the
issuer, and the location of acreage by geographical area.

5.   Reserve Estimates - To the extent material, estimated reserve volumes
and discounted cash flow from such reserves, stated separately by country
and by categories and types that conform to the classifications,
definitions and disclosure requirements of National Policy Statement No.
2-B Guide for Engineers and Geologists Submitting Oil and Gas Reports to
Canadian Provincial Securities Administrators or any successor instrument,
on both a gross and net basis as at the most recent financial year end,
including information on royalties.

6.   Source of Reserve Estimates - The source of the reserve estimates and
whether the reserve estimates have been prepared by the issuer or by
independent engineers or other qualified independent persons and any other
information relating to reserve estimates required to be disclosed in an
AIF by any successor instrument to National Policy Statement No. 2-B. 

7.   Reconciliation of Reserves - A reconciliation of the reserve volumes
by categories and types that conform to the classifications, definitions
and disclosure requirements of National Policy Statement No. 2-B or any
successor instrument, as at the financial year end immediately preceding
the most recently completed financial year to the reserve volume
information furnished under paragraph 5, with the effects of production,
acquisitions, dispositions, discoveries and revision of estimates shown
separately if material.

8.   History - For each quarter of the most recently completed financial
year of the issuer, with comparative data for the same periods in the
preceding financial year,

     (a)  the average daily production volume, before deduction of
royalties, of

          (i)  conventional crude oil,

          (ii) natural gas liquids, and

          (iii)     natural gas;

     (b)  the following on a per barrel basis for conventional crude oil
and natural gas liquids and on a per thousand cubic feet basis for natural
gas

          (i)  the average net product prices received,

          (ii) royalties,

          (iii)     operating expenses, specifying the particular items
included, and

          (iv) netback received;

     (c)  the average net product price received for the following, if
the issuer's production of the following is material to the issuer's
overall production,

          (i)  light and medium conventional crude oil,

          (ii) heavy conventional crude oil, and 

          (iii)     synthetic crude oil; and

     (d)  the dollar amounts expended on

          (i)  property acquisition,

          (ii) exploration, including drilling, and

          (iii)     development, including facilities.

9.   Future Commitments - A description of the issuer's future material
commitments to buy, sell, exchange or transport oil or gas, stating for
each commitment separately

     (a)  the aggregate price;

     (b)  the price per unit;

     (c)  the volume to be purchased, sold, exchanged or transported; and

     (d)  the term of the commitment.

10.  Exploration and Development - A description of the issuer's current
and contemplated exploration or development activities, to the extent they
are material.

INSTRUCTION    The information required under this item shall be derived from
or supported by information obtained from a report prepared under National
Policy No. 2-B or any successor instrument.

Item 5:   Selected Consolidated Financial Information

5.1  Annual Information - Provide the following financial data for the
issuer in summary form for each of the three most recently completed
financial years, accompanied by a discussion of the factors affecting the
comparability of the data, including discontinued operations, changes in
accounting policies, significant acquisitions or significant dispositions
and major changes in the direction of the business:

     1.   Net sales or total revenues.

     2.   Income from continuing operations, in total and on a per share
and fully diluted per share basis, calculated in accordance with the
Handbook.

     3.   Net income or loss, in total and on a per share and fully
diluted per share basis, calculated in accordance with the Handbook.

     4.   Total assets.

     5.   Total long-term financial liabilities as defined in the
Handbook.

     6.   Cash dividends declared per share for each class of share.

     7.   Such other information as the issuer believes would enhance an
understanding of and would highlight trends in financial condition and
results of operations.

5.2  Dividends

(1)  Describe any restriction that could prevent the issuer from paying
dividends.

(2)  Disclose the issuer's dividend policy and if a decision has been made
to change the dividend policy, disclose the intended change in dividend
policy.

5.3  Foreign GAAP - An issuer may present the selected consolidated
financial information required in this Item 5 on the basis of foreign GAAP
if

(a)  the issuer's primary financial statements have been prepared using
foreign GAAP; and

(b)  where the issuer is required under securities legislation to have
reconciled its financial statements to Canadian GAAP or the issuer has
otherwise done so, the issuer provides a cross-reference to the notes to
the financial statements containing the reconciliation of the financial
statements to Canadian GAAP.

Item 6:   Management's Discussion and Analysis

6.1  Form 44-101F2 Disclosure

(1)  Provide the disclosure required under Form 44-101F2.

(2)  If the issuer is incorporated, organized or continued under the laws
of Canada or a jurisdiction and has based the discussion in the MD&A on
financial statements prepared in accordance with foreign GAAP, provide a
restatement of those parts of the MD&A that would read differently if they
were based on financial statements of the issuer prepared in accordance
with Canadian GAAP.

6.2  Foreign GAAP

(1)  An issuer that has securities registered under section 12 of the 1934
Act or has a reporting obligation under subsection 15(d) of the 1934 Act
may satisfy the requirement in subsection 6.1(1) of this Item 6 by
including disclosure that is required under the item requirements
applicable to it under the 1934 Act for management's discussion and
analysis.

(2)  If an issuer's primary financial statements have been prepared using
foreign GAAP and the issuer is required under securities legislation to
have reconciled its financial statements to Canadian GAAP at the time of
filing its financial statements, or has otherwise done so at that time,
then provide a cross-reference in the MD&A to the notes to the financial
statements containing the reconciliation.

Item 7:   Market for Securities

7.1  Market for Securities - Identify the exchange(s) and quotation
system(s) on which the issuer's securities are listed and posted for
trading or quoted.

Item 8:   Directors and Officers
8.1  Name, Address, Occupation and Security Holding

(1)  List the name and municipality of residence of each director and
executive officer of the issuer and indicate their respective positions and
offices held with the issuer and their respective principal occupations
within the five preceding years.

(2)  State the period or periods during which each director has served as
a director and when his or her term of office will expire.

(3)  State the number and percentage of securities of each class of voting
securities of the issuer or any of its subsidiaries beneficially owned,
directly or indirectly, or over which control or direction is exercised, by
all directors and executive officers of the issuer as a group.

(4)  Disclose the board committees of the issuer and identify the members
of each committee.

(5)  If the principal occupation of a director or officer of the issuer is
acting as an officer of a person or company other than the issuer, disclose
the fact and state the principal business of the person or company.

INSTRUCTION    For the purposes of subsection (3), securities of subsidiaries
that are beneficially owned, directly or indirectly, or over which control
or direction is exercised by directors or executive officers through
ownership or control or direction over securities of the issuer do not need
to be included.

8.2  Corporate Cease Trade Orders or Bankruptcies - If a director or
officer of the issuer, or a shareholder holding a sufficient number of
securities of the issuer to affect materially the control of the issuer,
is, or within the 10 years before the date of the AIF has been, a director
or officer of any other issuer that, while that person was acting in that
capacity,

(a)  was the subject of a cease trade or similar order, or an order that
denied the other issuer access to any exemptions under Canadian securities
legislation, for a period of more than 30 consecutive days, state the fact
and describe the basis on which the order was made and whether the order is
still in effect; or

(b)  became bankrupt, made a proposal under any legislation relating to
bankruptcy or insolvency or was subject to or instituted any proceedings,
arrangement or compromise with creditors or had a receiver, receiver
manager or trustee appointed to hold its assets, state the fact.

8.3  Penalties or Sanctions

(1)  Describe the penalties or sanctions imposed and the grounds on which
they were imposed, or the terms of the settlement agreement and the
circumstances that gave rise to the settlement agreement, if a director or
officer of the issuer, or a shareholder holding a sufficient number of
securities of the issuer to affect materially the control of the issuer,
has 

     (a)  been subject to any penalties or sanctions imposed by a court
relating to Canadian securities legislation or by a Canadian securities
regulatory authority or has entered into a settlement agreement with a
Canadian securities regulatory authority; or

     (b)  been subject to any other penalties or sanctions imposed by a
court or regulatory body that would likely be considered important to a
reasonable investor in making an investment decision.

(2)  Despite paragraph (1), no disclosure is required of a settlement
agreement entered into before the date National Instrument 44-101 came into
force unless the disclosure would likely be considered important to a
reasonable investor in making an investment decision.

8.4  Personal Bankruptcies - If a director or officer of the issuer, or a
shareholder holding a sufficient number of securities of the issuer to
affect materially the control of the issuer, or a personal holding company
of any such persons has, within the 10 years before the date of the AIF,
become bankrupt, made a proposal under any legislation relating to
bankruptcy or insolvency, or was subject to or instituted any proceedings,
arrangement or compromise with creditors, or had a receiver, receiver
manager or trustee appointed to hold the assets of the director or officer,
state the fact.

8.5  Conflicts of Interest - Disclose particulars of existing or potential
material conflicts of interest between the issuer or a subsidiary of the
issuer and a director or officer of the issuer or a subsidiary of the
issuer.

Item 9:   Additional Information

9.1  Additional Information

(1)  Include a statement to the effect that the issuer, upon request to
the secretary of the issuer, will provide to any person or company

     (a)  when the securities of the issuer are in the course of a
distribution under a preliminary short form prospectus or a short form
prospectus,

          (i)  one copy of the AIF of the issuer, together with one copy
of any document, or the pertinent pages of any document, incorporated by
reference in the AIF,

          (ii) one copy of the comparative financial statements of the
issuer for its most recently completed financial year for which financial
statements have been filed together with the accompanying report of the
auditor and one copy of the most recent interim financial statements of the
issuer that have been filed, if any, for any period after the end of its
most recently completed financial year,

          (iii)     one copy of the information circular of the issuer in
respect of its most recent annual meeting of shareholders that involved the
election of directors or one copy of any annual filing prepared instead of
that information circular, as appropriate, and

          (iv) one copy of any other documents that are incorporated by
reference into the preliminary short form prospectus or the short form
prospectus and are not required to be provided under clauses (i), (ii) or
(iii); or

     (b)  at any other time, one copy of any documents referred to in
clauses (a)(i), (ii) and (iii), provided that the issuer may require the
payment of a reasonable charge if the request is made by a person or
company who is not a security holder of the issuer.

(2)  Include a statement to the effect that additional information
including directors' and officers' remuneration and indebtedness, principal
holders of the issuer's securities, options to purchase securities and
interests of insiders in material transactions, if applicable, is contained
in the issuer's information circular for its most recent annual meeting of
shareholders that involved the election of directors, and that additional
financial information is provided in the issuer's comparative financial
statements for its most recently completed financial year.
________________________________________________________________________

     NATIONAL INSTRUMENT 44-101
     SHORT FORM PROSPECTUS DISTRIBUTIONS
      FORM 44-101F2 MD&A

     TABLE OF CONTENTS

     Item 1:   General
     Item 2:   Quarterly Information
     Item 3:   Liquidity and Capital Resources
     Item 4:   Results of Operations

     NATIONAL INSTRUMENT 44-101
     SHORT FORM PROSPECTUS DISTRIBUTIONS
     FORM 44-101F2  MD&A

INSTRUCTIONS

(1)  MD&A is supplemental analysis and explanation that accompanies, but
does not form part of, an issuer's financial statements.  MD&A provides
management with the opportunity to discuss an issuer's current financial
results, position and future prospects.  MD&A is intended to give a reader
the ability to look at the issuer through the eyes of management by
providing both a historical and prospective analysis of the business of the
issuer.  MD&A requires that management discuss the dynamics of the business
and analyze the financial statements.  Coupled with the financial
statements, this information should enable readers to better assess the
issuer's performance, position and future prospects.

(2)  Focus the MD&A on material information about the financial condition
of the issuer, as well as its operations, with particular emphasis on
liquidity, capital resources and known material trends, commitments,
events, risks or uncertainties that are reasonably expected to have a
material effect on the issuer's business, financial condition or results of
operations.

(3)  In this Form, "capital resources" means indebtedness, share capital
and any other financial arrangement, whether or not it is reflected on the
balance sheet of an issuer, that can reasonably be considered to provide
financial resources to the issuer.

(4)  Issuers are not required to disclose information described in this
Form if the information is not material.  Materiality is a matter of
judgement in particular circumstances and should generally be determined in
relation to an item's significance to investors, analysts and other users
of the information.  An item of information, or an aggregate of items, is
considered material if it is probable that its omission or misstatement
would influence or change an investment decision with respect to the
issuer's securities.  In determining whether information is material, take
into account both quantitative and qualitative factors.  This concept of
materiality is consistent with the financial reporting notion of
materiality in the Handbook.

(5)  If information required under this Form is disclosed in a note to an
issuer's financial statements, the issuer may comply with the disclosure
requirement by providing a cross-reference to the note in which the
information appears.

(6)  Focus the MD&A on the primary financial statements, even if the
primary financial statements have been prepared using foreign GAAP.

(7)  The nature of the disclosure required under this Form is
intentionally general.  This Form contains a minimum of specific
instructions in order to allow, as well as encourage, issuers to discuss
their businesses in the most appropriate manner and to tailor their
comments to their individual circumstances.  Issuers should avoid
boilerplate.

(8)  Staff of the CSA from time to time publishes MD&A guides and reports
on MD&A and financial statement reviews.  Issuers are encouraged to refer
to this material. 


Item 1:   General

(1)  Provide an analysis of the issuer's financial condition, cash flows
and results of operations in the most recently completed financial year,
including a comparison against the previously completed financial year. 
Provide all information necessary to understand the analysis and
comparison.  Include

     (a)  an analysis and comparison over a period longer than two
financial years if necessary to describe a trend;

     (b)  an analysis and comparison on the basis of each reportable
operating segment or other part of the business, as well as on the issuer
as a whole, if necessary to understand the analysis and comparison;

     (c)  factors internal to the issuer as well as external economic and
industry factors affecting the issuer;

     (d)  an explanation of why changes have or have not occurred in the
financial condition and results of operations of the issuer;

     (e)  the effect of discontinued operations; and 

     (f)  major changes in the direction of the business.

INSTRUCTION

     (1)  For purposes of paragraph (b), in making the determination
whether an analysis and comparison on the basis of a reportable operating
segment or other part of the business is required, give consideration to
whether any part of the business has a disproportionate effect on revenues,
profitability or cash needs; whether there are any legal or other
restrictions on the free flow of funds from one part of the issuer's
business to another; and whether known trends, demands, commitments, events
or uncertainties within a part of the business are reasonably likely to
have a material effect on the business as a whole.

     (2)  For purposes of paragraph (c), in providing an explanation of
causes affecting more than one item, an overall analysis is sufficient.

     (3)  Issuers need only include information that is reasonably
available to the issuer and that does not clearly appear in the issuer's
financial statements.  Numerical data included in, or readily calculable
from, the financial statements need not be repeated in the analysis and
comparison.  For example, if it is clear from the comparative financial
statements what the amount of increase or decrease in revenues or the
respective percentage change would be from the prior year, it is not
necessary to include this information in the discussion since it is readily
calculable.  Nonetheless, showing these increases and decreases immediately
before the discussion is often useful to readers.

(2)  Describe and quantify any events or items that have had a material
impact on the issuer's financial condition, cash flows or results of
operations during the issuer's fourth quarter of its most recently
completed financial year, including extraordinary or infrequently occurring
items, year-end and other adjustments and disposals of business segments.  

INSTRUCTION    Infrequently occurring items are those which do not have all of
the characteristics of extraordinary items, as that term is defined by the
Handbook, but result from transactions or events that are not expected to
occur frequently over several years or are not typical of the issuer's
normal business activities.

(3)  Disclose information on risks and uncertainties facing the issuer
necessary to understand the issuer's financial condition, changes in
financial condition and results of operations.

(4)  Provide an analysis of the risks, events and uncertainties that could
cause reported financial information to not necessarily be indicative of
future operating results or of future financial position.  Include both
qualitative and quantitative descriptions of factors that

     (a)  could have an effect on future operations or financial position
and have not had an effect in the past; and

     (b)  have had an effect on reported operations or financial
position, and are not expected to have an effect in the future.

(5)  Describe any changes in the accounting policies of the issuer adopted
subsequent to its most recent financial year end or any changes in its
accounting policies that are expected to be adopted by the issuer,
including those resulting from a change in an accounting standard, or the
issuance of a new accounting standard, that does not require adoption until
some future date.  Disclose the estimated effect on the financial
statements of the implementation of any changes in the accounting policies
described.

(6)  If not already disclosed in the issuer's financial statements,
provide

     (a)  a discussion of the nature and extent of the issuer's use of
financial instruments and the business purposes that they serve;

     (b)  an analysis of the risks associated with the issuer's financial
instruments;

     (c)  an analysis of management's policies for controlling the risks
associated with the issuer's financial instruments, including an analysis
of, if applicable, the issuer's policies for the hedging of risk exposures,
the avoidance of undue concentrations of risk and any requirements for
collateral to mitigate credit risks, and, if the issuer has no policies for
controlling the risks associated with the issuer's financial instruments, a
statement indicating that the issuer does not have any such policies;

     (d)  a discussion of the relationships between financial instruments
and the components of individual financial instruments that may affect the
amount, timing or certainty of cash flows;

     (e)  disclosure of significant accounting policies for financial
instruments, including a description of how each class of financial
instrument is reported in the financial statements, the policies for
recognition and measurement of financial instruments, and the financial
statement classification of gains and losses; and

     (f)  significant assumptions made in determining the fair value of
financial instruments, the total amount of the change in fair value of
financial instruments recognized in income for the period, and the total
amount of deferred or unrecognized gains and losses on financial
instruments.


INSTRUCTION

     (1)  The discussion required under paragraph (a) should be designed
to enhance a reader's understanding of the significance of recognized and
unrecognized financial instruments on the issuer's financial position,
results and cash flows.  The information should also be designed to assist
a reader in assessing the amounts, timing, and certainty of future cash
flows associated with those instruments.

     (2)  For purposes of paragraph (c), if the issuer is exposed to
significant price, credit or liquidity risks, consideration should be given
to providing a sensitivity analysis or tabular information that assists
readers in assessing the degree of exposure.  For example, an analysis of
the effect of a hypothetical change in the prevailing level of interest or
currency rates on the fair value of financial instruments and future
earnings and cash flows may be useful in describing the issuer's exposure
to price risk.

     (3)  A discussion of the existence and terms of master netting
agreements and the relationship between liability and equity components of
convertible debt instruments would be appropriate for purposes of paragraph
(d).

(7)  If a decision to proceed with a transaction has been made by an
issuer's board of directors, or by senior management with the expectation
of concurrence from the board of directors, and the transaction involves an
asset acquisition or disposition or an acquisition or disposition of a
business, whether structured as an asset or share transaction, discuss the
transaction and its anticipated effect as part of MD&A.  Disclosure is not
required if the issuer has made a confidential filing under the continuous
disclosure provisions of securities legislation.

Item 2:   Quarterly Information

(1)  Subject to paragraphs (2) and (3), for each of the eight most
recently completed quarters ending at the end of the most recently
completed financial year, provide the information required in paragraphs 1,
2 and 3 of Item 5.1 of the AIF.

(2)  For an issuer that has not been a reporting issuer for the eight most
recently completed quarters ending at the end of the most recently
completed financial year, provide the information required in paragraphs 1,
2 and 3 of Item 5.1 of the AIF for the period that the issuer was not a
reporting issuer only if the issuer has prepared quarterly financial
statements for that period.

(3)  If the issuer is only required to file six month interim financial
statements, the information required under paragraph (1) may instead be
provided for each of the four most recently completed six month periods
ended at the end of the most recently completed financial year.

Item 3:   Liquidity and Capital Resources

(1)  With respect to the issuer's liquidity,

     (a)  discuss the ability of the issuer to generate adequate amounts
of cash and cash equivalents, in the short term and the long term, when
needed and to maintain capacity to provide for planned growth;

     (b)  identify any known trends or expected fluctuations in the
issuer's liquidity, taking into account known demands, commitments, events
or uncertainties; if a deficiency is identified, indicate the course of
action that has been taken or is proposed to be taken to remedy the
deficiency;

     (c)  describe those balance sheet conditions or income or cash flow
items that the issuer believes may be indicators of its liquidity;

     (d)  describe generally the requirements relating to working
capital;

     (e)  disclose the nature and extent of legal or practical
restrictions on the ability of subsidiaries to transfer funds to the issuer
and the effect that these restrictions have had or are expected to have on
the ability of the issuer to meet its obligations; and

     (f)  if the issuer is in arrears in the payment of dividends,
interest or principal payment on borrowings, disclose this fact and provide
details; if the issuer is in default on any debt covenants or was in
default during the most recently completed financial year, disclose
information concerning the default and the method or anticipated method of
curing the default; if the issuer is unable to make required redemptions or
retractions or sinking fund payments, disclose this information and provide
details; and if the issuer anticipates being, in the current financial
year, in any of the circumstances described in this paragraph, disclose
this information and provide details.

INSTRUCTION    Examples of the disclosure required under paragraph (d) include
situations where significant quantities of inventory are required to be
carried to meet rapid delivery requirements of customers or where extended
payment terms have been provided to customers or furnished by suppliers.

(2)  With respect to the issuer's capital resources,

     (a)  describe and quantify commitments for capital expenditures as
of the end of the most recently completed financial year, indicate the
general purpose of these commitments and the anticipated source of funds
needed to fulfil these commitments, and quantify expenditures that are
necessary but not yet committed to meet plans discussed under MD&A or
elsewhere in the AIF;

     (b)  describe any known trends, favourable or unfavourable, in the
issuer's capital resources, indicating any expected changes in the mix and
relative cost of these resources; and

     (c)  briefly discuss sources of financing that have been arranged
but not yet utilized.

INSTRUCTION    Discussions of liquidity and capital resources may be combined
if this facilitates the discussion.

Item 4:   Results of Operations

(1)  Describe any unusual or infrequent events or transactions and any
significant economic changes that in each case materially affect income or
loss from continuing operations and the extent to which income or loss from
continuing operations is affected. Also disclose any other significant
components of revenue or expense necessary to understand the results of
operations.

(2)  Describe any known trends or uncertainties that have had or that the
issuer reasonably expects will have a favourable or unfavourable effect on
net sales or revenues or income or loss from continuing operations.  If the
issuer knows of factors that are expected to cause a change in the
relationship between costs and revenues, disclose the expected change in
the relationship and the cause.

INSTRUCTION    Examples of such events include known future changes in costs
of labour or materials or price changes or inventory adjustments.

(3)  Provide a discussion of the extent to which any changes in net sales
or revenues are attributable to changes in selling prices, to changes in
the volume or quantity of goods or services being sold, or to the
introduction of new products or services.

(4)  Discuss briefly any effect of inflation and specific price changes on
the issuer's net sales and revenues and on income or loss from continuing
operations.  For purposes of the discussion, no specific numerical
financial data need be presented.

(5)  If the issuer's business is still in the development stage, include
the analysis of the issuer's results of operation a discussion of the
issuer's material expenditures.
________________________________________________________________________

     NATIONAL INSTRUMENT 44-101
     SHORT FORM PROSPECTUS DISTRIBUTIONS
     FORM 44-101F3
     SHORT FORM PROSPECTUS

     TABLE OF CONTENTS

Item 1:   Cover Page Disclosure
     1.1  Required Language
     1.2  Preliminary Short Form Prospectus Disclosure
     1.3  Basic Disclosure about the Distribution
     1.4  Distribution
     1.5  Non-Fixed Price Distributions
     1.6  Reduced Price Distributions
     1.7  Market for Securities
     1.8  Underwriter(s)
     1.9  International Issuers

Item 2:   Name of Issuer and Intercorporate Relationships
     2.1  Name of Issuer
     2.2  Intercorporate Relationships

Item 3:   Summary Description of Business
     3.1  Summary of Description of Business

Item 4:   Consolidated Capitalization and Financial Information Released
     4.1  Consolidated Capitalization
     4.2  Financial Information of the Issuer Released

Item 5:   Use of Proceeds
     5.1  Proceeds
     5.2  Principal Purposes

Item 6:   Plan of Distribution
     6.1  Disclosure of Market Out
     6.2  Best Efforts Offering
     6.3  Determination of Price
     6.4  Over-Allotments
     6.5  Minimum Distribution
     6.6  Reduced Price Distributions
     6.7  Listing Application
     6.8  Conditional Listing Approval

Item 7:   Earnings Coverage Ratios
     7.1  Earnings Coverage Ratios

Item 8:   Description of Securities Being Distributed
     8.1  Shares
     8.2  Debt Securities
     8.3  Asset-backed Securities
     8.4  Specified Derivatives
     8.5  Other Securities
     8.6  Modification of Terms
     8.7  Ratings
     8.8  Constraints
     8.9  Other Attributes

Item 9:   Selling Security Holder
     9.1  Selling Security Holder

Item 10:  Resource Property
     10.1 Resource Property

Item 11:  Significant Acquisitions and Significant Dispositions
     11.1 Significant Acquisitions and Significant Dispositions

Item 12:  Documents Incorporated by Reference
     12.1 Mandatory Incorporation by Reference
     12.2 Mandatory Incorporation by Reference of Future Documents
     12.3 Exception for Guaranteed Securities
     12.4 Required Language
     12.5 Exception for Certain Filings
     12.6 List of Material Change Reports
     12.7 Reverse Take-Overs

Item 13:  Issues of Guaranteed Securities
     13.1 Issuer Disclosure
     13.2 Credit Supporter Disclosure

Item 14:  Relationship between Issuer or Selling Security holder and
Underwriter
     14.1 Relationship between Issuer or Selling Security holder
               and Underwriter

Item 15:  Interest of Experts
     15.1 Interest of Experts

Item 16:  Promoters
     16.1 Promoters

Item 17:  Risk Factors
     17.1 Risk Factors

Item 18:  Other Material Facts
     18.1 Other Material Facts

Item 19:  Statutory Rights of Withdrawal and Rescission
     19.1 General
     19.2 Non-fixed Price Offerings

Item 20:  Reconciliation to Canadian GAAP
     20.1 Reconciliation to Canadian GAAP

Item 21:  Certificates
     21.1 Officers, Directors and Promoters
     21.2 Underwriters
     21.3 Related Credit Supporters
     21.4 Amendments

NATIONAL INSTRUMENT 44-101
SHORT FORM PROSPECTUS DISTRIBUTIONS
FORM 44-101F3
SHORT FORM PROSPECTUS

INSTRUCTIONS

     (1)  The objective of the short form prospectus is to provide
information concerning the issuer that an investor needs in order to make
an informed investment decision.  This Form sets out specific disclosure
requirements that are in addition to the general requirement under
securities legislation to provide full, true and plain disclosure of all
material facts relating to the securities to be distributed.  Certain rules
of specific application impose prospectus disclosure obligations in
addition to those described in this Form.

(2)  Terms used and not defined in this Form that are defined or
interpreted in National Instrument 44-101 Short Form Prospectus
Distributions shall bear that definition or interpretation.  Other
definitions are set out in National Instrument 14-101 Definitions.

(3)  In determining the degree of detail required a standard of
materiality should be applied.  Materiality is a matter of judgement in the
particular circumstance, and should generally be determined in relation to
an item's significance to investors, analysts and other users of
information.  An item of information, or an aggregate of items, is
considered material if it is probable that its omission or misstatement
would influence or change an investment decision with respect to the
issuer's securities. In determining whether information is material, take
into account both quantitative and qualitative factors. The potential
significance of items should be considered individually rather than on a
net basis, if the items have an offsetting effect.  This concept of
materiality is consistent with the financial reporting notion of
materiality contained in the Handbook.   

(4)  Unless an item specifically requires disclosure only in the
preliminary short form prospectus, the disclosure requirements set out in
this Form apply to both the preliminary short form prospectus and the short
form prospectus.  Details concerning the price and other matters dependent
upon or relating to price, such as the number of securities being
distributed, may be left out of the preliminary short form prospectus,
along with specifics concerning the plan of distribution, to the extent
that these matters have not been decided.

(5)  Any information required in a short form prospectus may be
incorporated by reference in the short form prospectus, other than
confidential material change reports.  Clearly identify in a short form
prospectus any document incorporated by reference.  If an excerpt of a
document is incorporated by reference, clearly identify the excerpt in the
short form prospectus by caption and paragraph of the document.  Any
material incorporated by reference in a short form prospectus is required
under sections 10.2 and 10.3 of National Instrument 44-101 to be filed with
the short form prospectus unless it has been previously filed.

(6)  The disclosure must be understandable to readers and presented in any
easy to read format.  The presentation of information should comply with
the plain language principles listed in section 9.2 of Companion Policy
44-101CP Short Form Prospectus Distributions.  If technical terms are
required, clear and concise explanations should be included.

(7)  No reference need be made to inapplicable items and, unless otherwise
required in this Form, negative answers to items may be omitted.

(8)  Where the term "issuer" is used, it may be necessary, in order to
meet the requirement for full, true and plain disclosure of all material
facts, to also include disclosure with respect to the issuer's subsidiaries
and investees.  If it is more likely than not that a person or company will
become a subsidiary or investee, it may be necessary to also include
disclosure with respect to the person or company.

(9)  An issuer that is a special purpose vehicle may have to modify the
disclosure items to reflect the special purpose nature of its business.

(10) If disclosure is required as of a specific date and there has been a
material change or change that is otherwise significant in the required
information subsequent to that date, present the information as of the date
of the change or a date subsequent to the change instead. 

(11) If the term "class" is used in any item to describe securities, the
term includes a series of a class.

Item 1:   Cover Page Disclosure

1.1  Required Language - State in italics at the top of the cover page the
following:

     "No securities regulatory authority has expressed an opinion about
these securities and it is an offence to claim otherwise."

1.2  Preliminary Short Form Prospectus Disclosure - Every preliminary
short form prospectus shall  have printed in red ink and italics on the top
of the cover page the following, with the bracketed information completed:

          "A copy of this preliminary short form prospectus has been
filed with the securities regulatory authority(ies) in [each of/certain of
the provinces/provinces and territories of Canada] but has not yet become
final for the purpose of the sale of securities.  Information contained in
this preliminary short form prospectus may not be complete and may have to
be amended.  The securities may not be sold until a receipt for the short
form prospectus is obtained from the securities regulatory authority(ies)."

INSTRUCTION    Issuers shall complete the bracketed information by

     (i)  inserting the names of each jurisdiction in which the issuer
intends to offer securities under the short form prospectus;

     (ii) stating that the filing has been made in each of the provinces
of Canada or each of the provinces and territories; or

     (iii)     identifying the filing jurisdictions by exception (i.e., every
province of Canada or every province and territory of Canada, except
[excluded jurisdiction]).

1.3  Basic Disclosure about the Distribution - State the following
immediately below the disclosure required under Items 1.1 and 1.2, with the
bracketed information completed:

[Preliminary] Short Form Prospectus

[Initial Public Offering or New Issue and/or Secondary Offering]
     (Date)
     Name of Issuer
     
[number and type of securities qualified for distribution under the short
form prospectus, including any options or warrants, and the price per
security]


INSTRUCTIONS

(1)  The description of the number and type of securities being
distributed shall include the restricted share terms, if any, prescribed by
securities legislation.

(2)  If the offering price is in a currency other than the Canadian dollar
or the U.S. dollar, comply with the exchange rate disclosure requirements
of National Policy Statement No. 14 Acceptability of Currencies in Material
Filed with Securities Regulatory Authorities, or any successor instrument. 

1.4  Distribution

(1)  If the securities are being distributed for cash, provide the
information called for below, in substantially the following tabular form
or in a note to the table:
     


Price to public


(a)
Underwriting discounts or commissions
(b)
Proceeds to issuer or selling security holders
(c)


Per security





Total





(2)  If there is an over-allotment option, describe the terms of the
option and the fact that the short form prospectus qualifies both the grant
of the option and the issuance or transfer of securities that will be
issued or transferred if the option is exercised.

(3)  If the distribution of the securities is to be on a best efforts
basis, provide totals for both the minimum and maximum subscriptions, if
applicable.

(4)  If debt securities are distributed at a premium or a discount, state
in bold type the effective yield if held to maturity.

(5)  Disclose separately those securities that are underwritten, those
under option and those to be sold on a best efforts basis and, in the case
of a best efforts distribution, the latest date that the distribution is to
remain open.

(6)  In column (b) of the table, disclose only commissions paid or payable
in cash by the issuer or selling security holder and discounts granted. 
Set out in a note to the table

     (a)  commissions or other consideration paid or payable by persons
or companies other than the issuer or selling security holder;

     (b)  consideration other than discounts granted and cash paid or
payable by the issuer or selling security holder, including warrants and
options; and

     (c)  any finder's fees or similar required payment.

(7)  If a security is being distributed for the account of a selling
security holder, state the name of the selling security holder and a
cross-reference to the applicable section in the short form prospectus
where further information about the selling security holder is provided. 
State the portion of expenses of the distribution to be borne by the
selling security holder and, if none of the expenses of the distribution
are being borne by the selling security holder, include a statement to that
effect and discuss the reasons why this is the case.

(8)  If the underwriter has been granted a compensation option, state
whether the short form prospectus qualifies the grant of all or part of the
compensation option and provide a cross-reference to the applicable section
in the short form prospectus where further information about the
compensation option is provided.

INSTRUCTIONS

(1)  Estimate amounts, if necessary.  For non-fixed price distributions
that are being made on a best efforts basis, disclosure of the information
called for by the table may be set forth as a percentage or a range of
percentages and need not be set forth in tabular form.

(2)  If debt securities are being distributed, express the information as
a percentage.

1.5  Non-Fixed Price Distributions - If the securities are being
distributed at non-fixed prices, disclose

(a)  the discount allowed or commission payable to the underwriter;

(b)  any other compensation payable to the underwriter and, if applicable,
that the underwriter's compensation will be increased or decreased by the
amount by which the aggregate price paid for the securities by the
purchasers exceeds or is less than the gross proceeds paid by the
underwriter to the issuer or selling security holder;

(c)  that the securities to be distributed under the short form prospectus
will be distributed, as applicable, at 

          (i)  prices determined by reference to the prevailing price of
a specified security in a specified market, 

          (ii) market prices prevailing at the time of sale, or 

          (iii)     prices to be negotiated with purchasers;

     (d)  that prices may vary as between purchasers and during the
period of distribution;

     (e)  if the price of the securities is to be determined by reference
to the prevailing price of a specified security in a specified market, the
price of the specified security in the specified market at the latest
practicable date;

     (f)  if the price of the securities will be the market price
prevailing at the time of sale, the market price at the latest practicable
date; and

     (g)  the net proceeds or, if the distribution is to be made on a
best efforts basis, the minimum amount of net proceeds, if any, to be
received by the issuer or selling security holder.

1.6  Reduced Price Distributions - If an underwriter wishes to be able to
decrease the price at which securities are distributed for cash from the
initial offering price disclosed in the short form prospectus, include in
bold type a cross-reference to the section in the short form prospectus
where disclosure concerning the possible price decrease is provided.

1.7  Market for Securities

(1)  Identify the exchange(s) and quotation system(s), if any, on which
securities of the issuer of the same class as the securities being
distributed are traded or quoted and the market price of those securities
as of the latest practicable date.

(2)  Disclose any intention to stabilize the market and provide a
cross-reference to the section in the short form prospectus where further
information about market stabilization is provided.

(3)  If no market for the securities being distributed under the short
form prospectus exists or is to exist after the distribution, state the
following in bold type:

          "There is no market through which these securities may be sold
and purchasers may not be able to resell securities purchased under the
short form prospectus."

1.8  Underwriter(s)

(1)  State the name of each underwriter.

(2)  If applicable, 

     (a)  until Multilateral Instrument 33-105 Underwriting Conflicts
comes into force, provide the disclosure required by Item 15 of Appendix B
of National Policy Statement No. 47 Prompt Offering Qualification System as
that National Policy read immediately before it was revoked; and

     (b)  after Multilateral Instrument 33-105 comes into force, comply
with the requirements of Multilateral Instrument 33-105 for cover page
prospectus disclosure.

(3)  If an underwriter has agreed to purchase all of the securities being
distributed at a specified price and the underwriter's obligations are
subject to conditions, state the following, with the bracketed information
completed:

          "We, as principals, conditionally offer these securities,
subject to prior sale, if, as and when issued by [name of issuer] and
accepted by us in accordance with the conditions contained in the
underwriting agreement referred to under Plan of Distribution."

(4)  If an underwriter has agreed to purchase a specified number or
principal amount of the securities at a specified price, state that the
securities are to be taken up by the underwriter, if at all, on or before a
date not later than 42 days after the date of the receipt for the short
form prospectus.

(5)  If there is no underwriter involved in the distribution, provide a
statement in bold type to the effect that no underwriter has been involved
in the preparation of the short form prospectus or performed any review of
the contents of the short form prospectus.

1.9  International Issuers - If the issuer, a selling security holder, a
credit supporter of the securities being distributed under the short form
prospectus or a promoter of the issuer is incorporated, continued or
otherwise organized under the laws of a foreign jurisdiction or resides
outside of Canada, comply with National Instrument 41-101 Prospectus
Disclosure Requirements by stating the following on the cover page or under
a separate heading elsewhere in the short form prospectus, with the
bracketed information completed:

          "The [issuer, selling security holder, credit supporter and/or
promoter] is incorporated, continued or otherwise organized under the laws
of a foreign jurisdiction or resides outside of Canada.  Although [the
issuer, selling security holder, credit supporter and/or promoter] has
appointed [name(s) and address(es) of agent(s) for service] as its agent(s)
for service of process in [list jurisdictions] it may not be possible for
investors to collect from the issuer, selling security holder, credit
supporter or promoter, judgments obtained in Canadian courts predicated on
the civil liability provisions of securities legislation."

Item 2:   Name of Issuer and Intercorporate Relationships

2.1  Name of Issuer - State the full corporate name of the issuer or, if
the issuer is an unincorporated entity, the full name under which the
entity exists and carries on business and the address(es) of the issuer's
head and registered office.

2.2  Intercorporate Relationships - Describe, by way of a diagram or
otherwise, the intercorporate relationships among the issuer and the
issuer's subsidiaries as of the most recent financial year end of the
issuer.  For each subsidiary state:

     (a)  the percentage of the votes attaching to all voting securities
of the subsidiary represented by voting securities beneficially owned, or
over which control or direction is exercised, by the issuer;

     (b)  the percentage of each class of non-voting securities
beneficially owned, or over which control or direction is exercised, by the
issuer; and

     (c)  the place of incorporation or continuance.

INSTRUCTION    A particular subsidiary may be omitted if

     (a)  the total assets of the subsidiary do not constitute more than
10 per cent of the consolidated assets of the issuer at the most recent
financial year end;

     (b)  the sales and operating revenues of the subsidiary do not
exceed 10 per cent of the consolidated sales and operating revenues of the
issuer at the most recent financial year end; and

     (c)  the conditions in paragraphs (a) and (b) would be satisfied if

          (i)  the subsidiaries that may be omitted under paragraphs (a)
and (b) were considered in the aggregate, and

          (ii) the reference to 10 per cent in those paragraphs were
changed to 20 per cent.

Item 3:   Summary Description of Business

3.1  Summary of Description of Business - Provide a brief summary on a
consolidated basis of the business carried on and intended to be carried on
by the issuer.

Item 4:   Consolidated Capitalization and Financial Information Released

4.1  Consolidated Capitalization - Describe any material change in, and
the effect of the material change on, the share and loan capital of the
issuer, on a consolidated basis, since the date of the comparative
financial statements for the issuer's most recently completed financial
year filed with the securities regulatory authority.

4.2  Financial Information of the Issuer Released - If before the short
form prospectus is filed, financial information about the issuer for a
period for which financial statements are required to be filed is publicly
disseminated by or on behalf of the issuer through news release or
otherwise, the short form prospectus shall include the content of the news
release or public communication.

Item 5:   Use of Proceeds

5.1  Proceeds - State the estimated net proceeds to be received by the
issuer or selling security holder or, in the case of a non-fixed price
distribution or a distribution to be made on a best efforts basis, the
minimum amount, if any, of net proceeds to be received by the issuer or
selling security holder from the sale of the securities distributed.  If
the short form prospectus is used for a special warrant or similar
transaction, state the amount that has been received by the issuer of the
special warrants or similar securities on the sale of the special warrants
or similar securities.

5.2  Principal Purposes - Describe in reasonable detail and, if
appropriate using tabular form, each of the principal purposes, with
approximate amounts, for which the net proceeds will be used by the issuer.

Item 6:   Plan of Distribution

6.1  Disclosure of Market Out - If securities are distributed by an
underwriter that has agreed to purchase all of the securities at a
specified price and the underwriter's obligations are subject to
conditions, include a statement in substantially the following form, with
the bracketed information completed and with modifications necessary to
reflect the terms of the distribution:

          "Under an agreement dated [insert date of agreement] between
[insert name of issuer or selling security holder] and [insert name(s) of
underwriter(s)], as underwriter[s], [insert name of issuer or selling
security holder] has agreed to sell and the underwriter[s] [has/have]
agreed to purchase on [insert closing date] the securities at a price of
[insert offering price], payable in cash to [insert name of issuer or
selling security holder] against delivery.  The obligations of the
underwriter[s] under the agreement may be terminated at [its/their]
discretion on the basis of [its/their] assessment of the state of the
financial markets and may also be terminated upon the occurrence of certain
stated events.  The underwriter[s] [is/are], however, obligated to take up
and pay for all of the securities if any of the securities are purchased
under the agreement."

6.2  Best Efforts Offering - Outline briefly the plan of distribution of
any securities being distributed other than on the basis described in Item
6.1.

6.3  Determination of Price - Disclose the method by which the
distribution price has been or will be determined and, if estimates have
been provided, explain the process for determining the estimates.

6.4  Over-Allotments - If the issuer, a selling security holder or an
underwriter knows or has reason to believe that there is an intention to
over-allot or that the price of any security may be stabilized to
facilitate the distribution of the securities, disclose this information.

6.5  Minimum Distribution - If a minimum amount of funds is required under
the issue and the securities are to be distributed on a best efforts basis,
state the minimum amount required to be raised and the maximum that could
be raised.  Also indicate that the distribution will not continue for a
period of more than 90 days after the date of the receipt for the short
form prospectus if subscriptions representing the minimum amount of funds
are not obtained within that period, unless each of the persons and
companies who subscribed within that period has consented to the
continuation.

6.6  Reduced Price Distributions - If an underwriter wishes to be able to
decrease the price at which securities are distributed for cash from the
initial public offering price disclosed in the short form prospectus and
thereafter change, from time to time, the price at which securities are
distributed under the short form prospectus in accordance with the
procedures permitted by National Instrument 44-101, disclose that, after
the underwriter has made a reasonable effort to sell all of the securities
at the initial public offering price disclosed in the short form
prospectus, the offering price may be decreased, and further changed from
time to time, to an amount not greater than the initial offering price
disclosed in the short form prospectus and that the compensation realized
by the underwriter will be decreased by the amount that the aggregate price
paid by purchasers for the securities is less than the gross proceeds paid
by the underwriter to the issuer or selling security holder.

6.7  Listing Application - If application has been made to list or quote
the securities being distributed, include a statement in substantially the
following form with the bracketed information completed:

          "The issuer has applied to [list/quote] the securities
distributed under this short form prospectus on [name of exchange or other
market].  [Listing/Quotation] will be subject to the issuer fulfilling all
the listing requirements of [name of exchange or other market]."

6.8  Conditional Listing Approval - If application has been made to list
or quote the securities being distributed and conditional listing approval
has been received, include a statement in substantially the following form,
with the bracketed information completed:

          "[name of exchange or other market] has conditionally approved
the [listing/quotation] of these securities.  [Listing/Quotation] is
subject to the [name of the issuer] fulfilling all of the requirements of
the [name of exchange or market] on or before [date], [including
distribution of these securities to a minimum number of public security
holders.]"

Item 7:   Earnings Coverage Ratios

7.1  Earnings Coverage Ratios  

(1)  If the securities being distributed are debt securities having a term
to maturity in excess of one year or are preferred shares, disclose the
following earnings coverage ratios adjusted in accordance with paragraph
(2):

     1.   The earnings coverage ratio based on the 12 month period ended
on the last day of the most recently completed period for which audited
annual financial statements of the issuer have been, or are required to
have been, filed with any Canadian securities regulatory authority.

     2.   The earnings coverage ratio based on the 12 month period ended
on the last day of the most recently completed period for which interim
financial statements of the issuer have been, or are required to have been,
filed with any Canadian securities regulatory authority, if the period is
subsequent to the last day of the most recently completed period for which
audited annual financial statements of the issuer have been, or are
required to have been, filed with any Canadian securities regulatory
authority.

(2)  Adjust the ratios referred to in paragraph (1) to reflect

     (a)  the issuance of the securities being distributed under the
short form prospectus, based on the price at which these securities are
expected to be distributed;

     (b)  in the case of a distribution of preferred shares, 

          (i)  all preferred shares issued since the date of the annual
or interim financial statements, and

          (ii) all preferred shares repurchased, redeemed, or otherwise
retired since the date of the annual or interim financial statements and
all preferred shares to be repurchased, redeemed, or otherwise retired from
the proceeds to be realized from the sale of securities under the short
form prospectus;

     (c)  the issuance of all long-term financial liabilities, as defined
in the Handbook; 

     (d)  the repayment, redemption or other retirement of all long-term
financial liabilities, as defined in the Handbook, since the date of the
annual or interim financial statements and all long-term financial
liabilities to be repaid or redeemed from the proceeds to be realized from
the sale of securities distributed under the short form prospectus; and

     (e)  the servicing costs that were incurred, or are expected to be
incurred, in relation to the adjustments.

(3)  If the issuer is distributing, or has outstanding, debt securities
that are accounted for, in whole or in part, as equity under Canadian GAAP,
disclose in notes to the ratios required under paragraph (1)

     (a)  that the ratios have been calculated excluding the carrying
charges for those securities that have been reflected in equity in the
calculation of the issuer's interest and dividend obligations;

     (b)  that if those securities had been accounted for in their
entirety as debt for the purpose of calculating the ratios required under
paragraph (1), the entire amount of the annual carrying charges for those
securities would have been reflected in the calculation of the issuer's
interest and dividend obligations; and

     (c)  the earnings coverage ratios for the periods referred to in
paragraph (1), calculated as though those securities had been accounted for
as debt.

INSTRUCTIONS

(1)  Cash flow coverage may be disclosed but only as a supplement to
earnings coverage and only if the method of calculation is fully disclosed. 
Earnings coverage is calculated by dividing an entity's earnings (the
numerator) by its interest and dividend obligations (the denominator).

(2)  For the earnings coverage calculation 

     (a)  the numerator should be calculated using consolidated net
income before interest and income taxes;

     (b)  imputed interest income from the proceeds of a distribution
should not be added to the numerator; 

     (c)  an issuer may also present, as supplementary disclosure, a
coverage calculation based on earnings before discontinued operations and
extraordinary items;

     (d)  for distributions of debt securities, the appropriate
denominator is interest expense determined in accordance with generally
accepted accounting principles, after giving effect to the new debt issue
and any retirement of obligations plus the amount of interest that has been
capitalized during the period;

     (e)  for distributions of preferred shares 

          (i)  the appropriate denominator is dividends declared during
the period, together with undeclared dividends on cumulative preferred
shares, after giving effect to the new preferred share issue, plus the
issuer's annual interest requirements, including the amount of interest
that has been capitalized during the period, less any retirement
obligations,

          (ii) the coverage calculation should gross up dividends to a
before-tax equivalent (the "prior deduction method") using the issuer's
effective income tax rate (the rate that is reconciled to the basic income
tax rate in the issuer's financial statement notes), and

          (iii)     the combined interest and dividend method (the "combined
method"), and not the prior deduction method, should be used to calculate
earnings coverage; and

     (f)  for distributions of both debt securities and preferred shares,
the appropriate denominator is the same as for a preferred share issue,
except that the denominator should also reflect the effect of the debt
being offered pursuant to the short form prospectus.

(3)  The prior deduction method referred to in Instruction 2(e)(ii)
reflects the net coverage for preferred dividends after meeting interest
obligations and results in a higher ratio than the combined method.  As
investors may falsely interpret the higher ratio as indicating less risk,
without appreciating the fact that debtholders rank before preferred
shareholders, the combined method should be used, although disclosure of a
supplementary coverage ratio calculated using the prior deduction method is
permitted.

(4)  The denominator represents a pro forma calculation of the aggregate
of an issuer's interest obligations on all long-term debt and dividend
obligations (including both dividends declared and undeclared dividends on
cumulative preferred shares) with respect to all outstanding preferred
shares, as adjusted to reflect

     (a)  the issuance of all long-term debt and, in addition in the case
of an issuance of preferred shares, all preferred shares issued, since the
date of the annual or interim financial statements;

     (b)  the issuance of the securities that are to be distributed under
the short form prospectus, based on a reasonable estimate of the price at
which these securities will be distributed;

     (c)  the repayment or redemption of all long-term debt since the
date of the annual or interim financial statements, all long-term debt to
be repaid or redeemed from the proceeds to be realized from the sale of
securities under the short form prospectus and, in addition, in the case of
an issuance of preferred shares, all preferred shares repaid or redeemed
since the date of the annual or interim financial statements and all
preferred shares to be repaid or redeemed from the proceeds to be realized
from the sale of securities under the short form prospectus; and

     (d)  the servicing costs that were incurred, or will be incurred, in
relation to the above adjustments.

(5)  If meaningful in the circumstances, the earnings coverage ratio must
be calculated and disclosed based on a pro forma income statement that is
included in a short form prospectus.

(6)  For debt securities, disclosure of earnings coverage shall include
language similar to the following:

          "The Company's interest requirements, after giving effect to
the issue of [the debt securities to be distributed under the short form
prospectus], amounted to $ for the 12 months ended .  The Company's
earnings before interest and income tax for the 12 months then ended was
$, which is  times the Company's interest requirements for this period."

(7)  For preferred share issues, disclosure of earnings coverage shall
include language similar to the following:

          "The Company's dividend requirements on all of its preferred
shares, after giving effect to the issue of [the preferred shares to be
distributed under the short form prospectus], and adjusted to a before-tax
equivalent using an effective income tax rate of %, amounted to $ for the
12 months ended .  The Company's interest requirements for the 12 months
then ended amounted to $.  The Company's earnings before interest and
income tax for the 12 months ended  was $, which is  times the Company's
aggregate dividend and interest requirements for this period."

(8)  If the issuer is a wholly-owned subsidiary of a credit supporter, has
no operations or only minimal operations, that are independent of the
credit supporter and is an entity that functions essentially as a special
purpose vehicle, disclose the earnings coverage of the credit supporter. 
If this disclosure is included, the earnings coverage of the issuer may not
be material and, if not material, may be omitted.  If the issuer is a
wholly-owned subsidiary of the credit supporter but has more than minimal
operations that are independent of the credit supporter, or if the issuer
is not a wholly-owned subsidiary of the credit supporter, the earnings
coverage of both the credit supporter and the issuer shall be disclosed.

(9)  If the earnings coverage is less than one-to-one, disclose this fact
in bold-face on the cover page of the short form prospectus.  While the
actual coverage ratio should not be disclosed in these circumstances, the
dollar amount of the coverage deficiency (i.e., the dollar amount of
earnings required to attain a ratio of one-to-one) should be disclosed in
the body of the short form prospectus.

(10) Other earnings coverage calculations may be included as supplementary
disclosure to the required earnings coverage calculations outlined above as
long as their derivation is disclosed and they are not given greater
prominence than the required earnings coverage calculations.

Item 8:   Description of Securities Being Distributed

8.1  Shares - If shares are being distributed, state the description or
the designation of the class of the shares and describe all material
attributes and characteristics, including

     (a)  dividend rights;

     (b)  voting rights;

     (c)  rights upon dissolution or winding up;

     (d)  pre-emptive rights;

     (e)  conversion or exchange rights;

     (f)  redemption, retraction, purchase for cancellation or surrender
provisions;

     (g)  sinking or purchase fund provisions; 

     (h)  provisions permitting or restricting the issuance of additional
securities and any other material restrictions; and

     (i)  provisions requiring a shareholder to contribute additional
capital.

8.2  Debt Securities - If debt securities are being distributed, describe
all material attributes and characteristics of the indebtedness and the
security, if any, for the debt including 

     (a)  provisions for interest rate, maturity and premium, if any;

     (b)  conversion or exchange rights;

     (c)  redemption, retraction, purchase for cancellation or surrender
provisions;

     (d)  sinking or purchase fund provisions;

     (e)  the nature and priority of any security for the debt
securities, briefly identifying the principal properties subject to lien or
charge;

     (f)  provisions permitting or restricting the issuance of additional
securities, the incurring of additional indebtedness and other material
negative covenants including restrictions against payment of dividends and
restrictions against giving security on the assets of the issuer or its
subsidiaries and provisions as to the release or substitution of assets
securing the debt securities;

     (g)  the name of the trustee under any indenture relating to the
debt securities and the nature of any material relationship between the
trustee or any of its affiliates and the issuer or any of its affiliates;
and

     (h)  any financial arrangements between the issuer and any of its
affiliates or among its affiliates that could affect the security for the
indebtedness.

8.3  Asset-backed Securities - If asset-backed securities are being
distributed, describe

     (a)  the material attributes and characteristics of the asset-backed
securities, including 

          (i)  the rate of interest or stipulated yield and any premium,

          (ii) the date for repayment of principal or return of capital
and any circumstances in which payments of principal or capital may be made
before such date, including any redemption or pre-payment obligations or
privileges of the issuer and any events that may trigger early liquidation
or amortization of the underlying pool of financial assets,

          (iii)     provisions for the accumulation of cash flows to provide
for the repayment of principal or return of capital,

          (iv) provisions permitting or restricting the issuance of
additional securities and any other material negative covenants applicable
to the issuer,

          (v)  the nature, order and priority of the entitlements of
holders of asset-backed securities and any other entitled persons or
companies to receive cash flows generated from the underlying pool of
financial assets, and

          (vi) any events, covenants, standards or preconditions that
may reasonably be expected to affect the timing or amount of payments or
distributions to be made under the asset-backed securities, including those
that are dependent or based on the economic performance of the underlying
pool of financial assets;

     (b)  information on the underlying pool of financial assets, for the
period from the date as at which the following information was presented in
the issuer's current AIF to a date not more than 90 days before the date of
the issuance of a receipt for the preliminary short form prospectus, of

          (i)  the composition of the pool as of the end of the period,

          (ii) income and losses from the pool for the period, presented
on an at least an annual basis or such shorter period as is reasonable
given the nature of the underlying pool of assets, and

          (iii)     the payment, prepayment and collection experience of the
pool for the period on at least an annual basis or such shorter period as
is reasonable given the nature of the underlying pool of assets,

     (c)  the type or types of the financial assets, the manner in which
the financial assets originated or will originate and, if applicable, the
mechanism and terms of the agreement governing the transfer of the
financial assets comprising the underlying pool to or through the issuer,
including the consideration paid for the financial assets;

     (d)  any person or company who

          (i)  originated, sold or deposited a material portion of the
financial assets comprising the pool, or has agreed to do so,

          (ii) acts, or has agreed to act, as a trustee, custodian,
bailee or agent of the issuer or any holder of the asset-backed securities,
or in a similar capacity,

          (iii)     administers or services a material portion of the
financial assets comprising the pool or provides administrative or
managerial services to the issuer, or has agreed to do so, on a conditional
basis or otherwise, if 

               (A)  finding a replacement provider of the services at a
cost comparable to the cost of the current provider is not reasonably
likely,

               (B)  a replacement provider of the services is likely to
achieve materially worse results than the current provider, 

               (C)  the current provider of the services is likely to
default in its service obligations because of its current financial
condition, or

               (D)  the disclosure is otherwise material,

          (iv) provides a guarantee, alternative credit support or other
credit enhancement to support the obligations of the issuer under the
asset-backed securities or the performance of some or all of the financial
assets in the pool, or has agreed to do so, or

          (v)  lends to the issuer in order to facilitate the timely
payment or repayment of amounts payable under the asset-backed securities,
or has agreed to do so;

     (e)  the general business activities and material responsibilities
under the asset-backed securities of a person or company referred to in
paragraph (d);

     (f)  the terms of any material relationships between 

          (i)  any of the persons or companies referred to in paragraph
(d) or any of their respective affiliates, and 

          (ii) the issuer;

     (g)  any provisions relating to termination of services or
responsibilities of any of the persons or companies referred to in
paragraph (d) and the terms on which a replacement may be appointed; and

     (h)  any risk factors associated with the asset-backed securities,
including disclosure of material risks associated with changes in interest
rates or prepayment levels, and any circumstances where payments on the
asset-backed securities could be impaired or disrupted as a result of any
reasonably foreseeable event that may delay, divert or disrupt the cash
flows dedicated to service the asset-backed securities.

INSTRUCTIONS

(1)  Present the information required under paragraph (b) in a manner that
will enable a reader to easily determine whether, and the extent to which,
the events, covenants, standards and preconditions referred to in clause
(a)(vi) have occurred, are being satisfied or may be satisfied.

(2)  If the information required under paragraph (b) is not compiled
specifically from the underlying pool of financial assets, but is compiled
from a larger pool of the same assets from which the securitized assets are
randomly selected such that the performance of the larger pool is
representative of the performance of the pool of securitized assets, then
an issuer may comply with paragraph (b) by providing the information
required based on the larger pool and disclosing that it has done so.

(3)  Issuers are required to summarize contractual arrangements in plain
language and may not merely restate the text of the contracts referred to. 
The use of diagrams to illustrate the roles of, and the relationship among,
the persons and companies referred to in paragraph (d) and the contractual
arrangements underlying the asset-backed securities is encouraged.

8.4  Specified Derivatives - If specified derivatives are being
distributed, describe fully the material attributes and characteristics of
the specified derivatives, including 

     (a)  the calculation of the value or payment obligations under the
derivatives;

     (b)  the exercise of the derivatives;

     (c)  the settlement of exercises of the derivatives;

     (d)  the underlying interest of the derivatives;

     (e)  the role of a calculation expert in connection with the
derivatives;

     (f)  the role of any credit supporter of the derivatives; and

     (g)  the risk factors associated with the derivatives.

8.5  Other Securities - If securities other than shares, debt securities,
asset-backed securities or specified derivatives are being distributed,
describe fully the material attributes and characteristics of those
securities.

8.6  Modification of Terms - Describe provisions as to modification,
amendment or variation of any rights or other terms attached to the
securities being distributed.  If the rights of holders of securities may
be modified otherwise than in accordance with the provisions attached to
the securities or the provisions of the governing statute relating to the
securities, explain briefly.

8.7  Ratings - If one or more ratings, including provisional ratings, have
been received from one or more approved rating organizations for the
securities being distributed and the rating or ratings continue in effect,
disclose

     (a)  each security rating, including a provisional rating, received
from an approved rating organization;

     (b)  the name of each approved rating organization that has assigned
a rating for the securities to be distributed;

     (c)  a definition or description of the category in which each
approved rating organization rated the securities to be distributed and the
relative rank of each rating within the organization's overall
classification system;

     (d)  an explanation of what the rating addresses and what
attributes, if any, of the securities to be distributed are not addressed
by the rating;

     (e)  any factors or considerations identified by the approved rating
organization as giving rise to unusual risks associated with the securities
to be distributed;

     (f)  a statement that a security rating is not a recommendation to
buy, sell or hold securities and may be subject to revision or withdrawal
at any time by the rating organization; and

     (g)  any announcement made by, or any proposed announcement known to
the issuer to be made by, an approved rating organization that the
organization is reviewing or intends to revise or withdraw a rating
previously assigned and required to be disclosed under this paragraph.

8.8  Constraints - If there are constraints imposed on the ownership of
securities of the issuer to ensure that the issuer has a required level of
Canadian ownership, describe the mechanism, if any, by which the level of
Canadian ownership of the securities of the issuer will be monitored and
maintained.

8.9  Other Attributes - 

(1)  If the rights attaching to the securities being distributed are
materially limited or qualified by the rights of any other class of
securities, or if any other class of securities ranks ahead of or equally
with the securities being distributed, include information about the other
securities that will enable investors to understand the rights attaching to
the securities being distributed.

(2)  If securities of the class being distributed may be partially
redeemed or repurchased, state the manner of selecting the securities to be
redeemed or repurchased.

INSTRUCTIONS

(1)  This Item requires only a brief summary of the provisions that are
material from an investment standpoint.  The provisions attaching to the
securities being distributed or any other class of securities do not need
to be set out in full.  They may, in the issuer's discretion, be attached
as a schedule to the prospectus.

(2)  No information need be given as to any class of securities that is to
be redeemed or otherwise retired if appropriate steps to assure redemption
or retirement have been or will be taken before or contemporaneously with
the delivery of the securities being distributed.


Item 9:   Selling Security Holder

9.1  Selling Security Holder - If any of the securities being distributed
are to be distributed for the account of a security holder, state the
following:

1.   The name of the security holder. 

2.   The number or amount of securities owned by the security holder of
the class being distributed.

3.   The number or amount of securities of the class being distributed for
the account of the security holder. 

4.   The number or amount of securities of the issuer of any class to be
owned by the security holder after the distribution, and the percentage
that number or amount represents of the total outstanding.

5.   Whether the securities referred to in paragraph 2, 3 or 4 are owned
both of record and beneficially, of record only, or beneficially only.

6.   The date or dates the security holder acquired the securities.

7.   If the security holder in the 12 months preceding the date of the
preliminary short form prospectus acquired any securities of the same class
as the securities being distributed, the cost to the security holder in the
aggregate and on a per security basis.

Item 10:  Resource Property

10.1 Resource Property - If a material part of the proceeds of a
distribution is to be expended on a particular resource property and if the
current AIF does not contain the disclosure required under Item 4.3 or 4.4,
as appropriate, of Form 44-101F1 for the property or that disclosure is
inadequate or incorrect due to changes, disclose the information required
under Item 4.3 or 4.4, as appropriate.

Item 11:  Significant Acquisitions and Significant Dispositions

11.1 Significant Acquisitions and Significant Dispositions 

(1)  Disclose 

     (a)  any significant acquisition completed by the issuer or any
significant probable acquisition proposed by the issuer, for which
financial statements are required under Part 4 or 5 of the National
Instrument; and

     (b)  any significant disposition completed by the issuer during the
most recently completed financial year or the current financial year for
which pro forma financial statements are required under Part 6 of the
National Instrument.

(2)  Include particulars of

     (a)  the nature of the assets acquired or disposed of or to be
acquired or disposed of;

     (b)  the actual or proposed date of each significant acquisition or
significant disposition;

     (c)  the consideration, both monetary and non-monetary, paid or to
be paid to or by the issuer;

     (d)  any material obligations that must be complied with to keep any
significant acquisition or significant disposition agreement in good
standing;

     (e)  the effect of the significant acquisition or significant
disposition on the operating results and financial position of the issuer;

     (f)  any valuation opinion obtained within the last 12 months
required under Canadian securities legislation or Canadian securities
directions of a Canadian securities regulatory authority or a requirement
of a Canadian stock exchange to support the value of the consideration
received or paid by the issuer or any of its subsidiaries for the assets,
including the name of the author, the date of the opinion, the assets to
which the opinion relates and the value attributed to the assets; and

     (g)  whether the transaction is with an insider, associate, or
affiliate of the issuer and if so, disclose the identity of the other
parties and the relationship of the other parties to the issuer.

(3)  Include the financial statements required under Part 4 of National
Instrument 44-101.

Item 12:  Documents Incorporated by Reference

12.1 Mandatory Incorporation by Reference  

(1)  In addition to any other document that an issuer may choose to
incorporate by reference, specifically incorporate by reference in the
short form prospectus, by means of a statement in the short form prospectus
to that effect, the documents set forth below:

     1.   The issuer's current AIF, if it has one.

     2.   Material change reports, except confidential material change
reports, filed after the commencement of the issuer's current financial
year.

     3.   The comparative interim financial statements for the issuer's
most recently completed financial period for which the issuer prepares
interim financial statements that have been filed.

     4.   The comparative financial statements, together with the
accompanying report of the auditor, for the issuer's most recently
completed financial year for which annual financial statements have been
filed.

     5.   If, before the prospectus is filed, financial information about
the issuer for a financial period more recent that the period for which
financial statements are required under paragraphs 3 or 4 is publicly
disseminated by, or on behalf of, the issuer through news release or
otherwise, the content of the news release or public communication.

     6.   MD&A for the annual comparative financial statements referred
to in paragraph 4. 

     7.   MD&A for the issuer's interim financial statements included in
the short form prospectus, to the extent that the issuer is required to
file interim MD&A with a Canadian securities regulatory authority.

     8.   Except as provided in Item 12.5, information circulars or, if
the issuer is not required under securities legislation to prepare
information circulars, annual filings that, in each case, have been filed
after the commencement of the issuer's current financial year.

(2)  In the statement incorporating the documents listed in paragraph (1)
by reference in a short form prospectus, clarify that the documents are not
incorporated by reference to the extent their contents are modified or
superseded by a statement contained in the short form prospectus or in any
other subsequently filed document that is also incorporated by reference in
the short form prospectus.

(3)  If the issuer 

     (a)  has filed an AIF in a form of a current  annual report on Form
10-K or Form 20-F under the 1934 Act, as permitted under section 3.4 of
National Instrument 44-101;

     (b)  is incorporated, organized or continued under the laws of
Canada or a jurisdiction; and

     (c)  has based the discussion in the MD&A that forms part of the AIF
on financial statements prepared other than in accordance with Canadian
GAAP,

     the issuer shall incorporate by reference a supplement which shall
restate, based on financial statements of the issuer prepared in accordance
with Canadian GAAP , those parts of the annual MD&A that are based on
financial statements prepared in accordance with foreign GAAP which would
read differently if they were based on financial statements prepared in
accordance with Canadian GAAP.

INSTRUCTION

(1)  Paragraph 3 of subsection (1), requires issuers to include interim
financial statements for only the most recently completed three, six or
nine month period. (See the definition of "interim period" in National
Instrument 44-101.)  Issuers that choose to incorporate additional interim
financial statements are reminded that subsection 10.3 of National
Instrument 44-101 requires a comfort letter from an auditor to be
delivered, commenting on any unaudited financial statement included in the
short form prospectus.

(2)  Paragraph 5 of subsection (1) requires issuers to incorporate only
the news release or other public communication through which more recent
financial information is released to the public.  However, if the financial
statements from which the information in the news release has been derived
have been filed, then the financial statements must be incorporated by
reference.

(3)  Paragraph 6 of subsection (1) is a document that forms part of or is
incorporated by reference in an issuer's AIF.

(4)  Any material incorporated by reference in a short form prospectus is
required under sections 10.2 and 10.3 of National Instrument 44-101 to be
filed with the short form prospectus unless it has been previously filed.

12.2 Mandatory Incorporation by Reference of Future Documents - State that
the following documents, if filed by the issuer after the date of the short
form prospectus and before the termination of the distribution, are deemed
to be incorporated by reference in the short form prospectus:

1.   Material change reports, except confidential material change reports.

2.   Comparative interim financial statements.

3.   Comparative financial statements for the issuer's most recently
completed financial year, together with the accompanying report of the
auditor.

4.   Except as provided in Item 12.5, information circulars or, if the
issuer is not required under securities legislation to prepare information
circulars, annual filings.

12.3 Exception for Guaranteed Securities - Despite Items 12.1 and 12.2,
paragraphs 3 and 4 of Item 12.1(1) do not apply to an issuer to which
paragraph 1 or 2 of Item 13.1 applies.

12.4 Required Language - State the following, with the first sentence in
bold type and the bracketed information completed:

     "Information has been incorporated by reference in this prospectus
from documents filed with securities commissions or similar authorities in
Canada.  Copies of the documents incorporated herein by reference may be
obtained on request without charge from the secretary of the issuer at
[insert complete address and telephone number].  [Insert if the offering is
made in Quebec - "For the purpose of the Province of Quebec, this
simplified prospectus contains information to be completed by consulting
the permanent information record.  A copy of the permanent information
record may be obtained from the secretary of the issuer at the
above-mentioned address and telephone number"]."

12.5 Exception for Certain Filings

(1)  An issuer is not required to incorporate by reference in a short form
prospectus the disclosure required under securities legislation in an
information circular or annual filing of

     (a)  the repricing downward of options or freestanding stock
appreciation rights;

     (b)  the composition of the compensation committee of the board of
directors of an issuer and its report on executive compensation; and

     (c)  a graph comparing the yearly percentage change in the issuer's
cumulative total shareholder return on publicly traded securities with the
cumulative total return of a broad equity market index or a published
industry or line-of-business index or other issuers.

(2)  An issuer is not required to incorporate by reference in a short form
prospectus disclosure in an information circular of an issuer's corporate
governance practices, if that disclosure is in the information circular in
order to comply with disclosure requirements of an exchange or other market
on which the issuer's securities trade.

12.6 List of Material Change Reports - List the material change reports
filed by the issuer since the commencement of the issuer's current
financial year.  In each case, provide the date of filing and a brief
description of the material change.

12.7 Reverse Take-Overs - If an issuer has been involved in a business
combination accounted for as a reverse take-over bid, financial statements
of the legal subsidiary, as that term is used in the Handbook, shall be
incorporated by reference in the short form prospectus.

Item 13:  Issues of Guaranteed Securities

13.1 Issuer Disclosure

(1)  If a credit supporter has provided a guarantee or alternative credit
support to the issuer for all or substantially all of the payments to be
made under the securities to be distributed, provide the following
disclosure about the issuer:

     1.   If the issuer is a wholly owned subsidiary of the credit
supporter, has no operations or only minimal operations that are
independent of the credit supporter and is an entity that functions
essentially as a special purpose division of the credit supporter, a
statement that the financial results of the issuer are included in the
consolidated financial results of the credit supporter.

     2.   If the issuer is a wholly owned subsidiary of the credit
supporter but has more than minimal operations that are independent of the
credit supporter, a summary of financial information relating to the
issuer's operations in a note to the most recent audited annual financial
statements of the credit supporter included in the short form prospectus.

     3.   If the issuer is not a wholly owned subsidiary of the credit
supporter, a full narrative description of the business of the issuer.

(2)  If paragraph 3 of paragraph (1) applies to an issuer and the issuer
does not have a current AIF that is incorporated by reference into the
short form prospectus, include the required description either

     (a)  directly, or

     (b)  by incorporating by reference

          (i)  if the issuer is a reporting issuer and has an annual
information form that has been prepared in compliance with and filed under
Canadian securities legislation of a jurisdiction and would be a current
AIF if that annual information form had been filed under National
Instrument 44-101, the issuer's annual information form and all other
documents required to be incorporated by reference in a short form
prospectus under Item 12, or

          (ii) if clause (i) is not applicable and the issuer has a
class of securities registered under section 12(b) or 12(g) of the 1934 Act
or is required to file reports under section 15(d) of the 1934 Act, the
issuer's latest annual report on Form 10-K or Form 20-F filed with the SEC
under the 1934 Act or any other document that would be required to be
incorporated by reference in a Form S-3 or Form F-3 registration statement
filed under the 1933 Act if the issuer were registering on Form S-3 or Form
F-3 the securities distributed under the short form prospectus.

INSTRUCTION    For purposes of Item 13.1, an issuer is considered to be a
wholly owned subsidiary of the credit supporter, if the credit supporter
owns voting securities representing 96 per cent or more of the votes
attached to the outstanding voting securities of the issuer.

13.2 Credit Supporter Disclosure - If a credit supporter has provided a
guarantee or alternative credit support for all or substantially all of the
payments to be made under the securities being distributed, include
statements by the credit supporter providing disclosure about the credit
supporter by complying with the following:

     1.   If the credit supporter is a reporting issuer and has a current
AIF or an annual information form that has been prepared in compliance with
and filed under Canadian securities legislation of a jurisdiction and would
be a current AIF if that annual information form had been filed under
National Instrument 44-101, incorporating by reference into the short form
prospectus the credit supporter's annual information form and all other
documents that would be required to be incorporated by reference under Item
12 if the credit supporter were the issuer of the securities.

     2.   If paragraph 1 is not applicable and the credit supporter has a
class of securities registered under section 12(b) or 12(g) of the 1934 Act
or is required to file reports under section 15(d) of the 1934 Act,
incorporating by reference into the short form prospectus all documents
that would be required to be incorporated by reference in a Form S-3 or
Form F-3 registration statement filed under the 1933 Act if the securities
distributed under the short form prospectus were being registered on Form
S-3 or Form F-3.

     3.   If neither paragraph 1 nor paragraph 2 applies to the credit
supporter, providing directly in the short form prospectus the same
disclosure that would be contained in the short form prospectus through the
incorporation by reference of the documents referred to in Item 12.1 if the
credit supporter were the issuer of the securities and those documents had
been prepared by the credit supporter.

     4.   Providing such other information about the credit supporter as
is necessary to provide full, true and plain disclosure of all material
facts concerning the securities to be distributed.

INSTRUCTION    Documents incorporated by reference are required under sections
8.1 and 8.2 of National Instrument 44-101 to be filed with the short form
prospectus unless they have been previously filed.

Item 14:  Relationship between Issuer or Selling Security holder and
Underwriter

14.1 Relationship between Issuer or Selling Security holder and
Underwriter - If the issuer or selling security holder is a connected
issuer of an underwriter of the distribution, or if the issuer or selling
security holder is also an underwriter, 

     (a)  until Multilateral Instrument 33-105 Underwriting Conflicts
comes into force, provide the disclosure required by Item 15 of Appendix B
of National Policy Statement No. 47 Prompt Offering Qualification System as
that National Policy read immediately before it was revoked; and

     (b)  after Multilateral Instrument 33-105 comes into force, comply
with the requirements of that Multilateral Instrument.

Item 15:  Interest of Experts

15.1 Interest of Experts

(1)  Disclose all direct or indirect interests in the property of the
issuer or of an associated party or affiliate of the issuer received or to
be received by a person or company whose profession or business gives
authority to a statement made by the person or company and who is named in
a short form prospectus or a document specifically incorporated by
reference in a short form prospectus as having prepared or certified a part
of that document or a report or valuation described in a short form
prospectus or in a document specifically incorporated by reference into a
short form prospectus.

(2)  Disclose the beneficial ownership, direct or indirect, by a person or
company referred to in paragraph (1) of any securities of the issuer or any
associated party or affiliate of the issuer.

(3)  For the purposes of paragraph (2), if ownership is less than one per
cent, a general statement to that effect shall be sufficient.

(4)  If a person, or a director, officer or employee of a person or
company, referred to in paragraph (1) is or is expected to be elected,
appointed or employed as a director, officer or employee of the issuer or
of any associated party or affiliate of the issuer, disclose the fact or
expectation.

Item 16:  Promoters

16.1 Promoters 

(1)  For a person or company that is, or has been within the two years
immediately preceding the date of the preliminary short form prospectus, a
promoter of the issuer or of a subsidiary of the issuer state

     (a)  the person or company's name;

     (b)  the number and percentage of each class of voting securities of
the issuer or any of its subsidiaries beneficially owned, directly or
indirectly, or over which control is exercised by the person or company;

     (c)  the nature and amount of anything of value, including money,
property, contracts, options or rights of any kind received or to be
received by the promoter or a subsidiary of the promoter, directly or
indirectly, from the issuer or from a subsidiary of the issuer, and the
nature and amount of any assets, services or other consideration therefor
received or to be received by the issuer or a subsidiary of the issuer; and

     (d)  for an asset acquired within the two years before the date of
the preliminary short form prospectus or thereafter, or to be acquired, by
the issuer or by a subsidiary of the issuer from a promoter or a subsidiary
of a promoter

          (i)  the consideration paid or to be paid for the asset and
the method by which the consideration has been or will be determined,

          (ii) the person or company making the determination referred
to in subparagraph (i) and the person or company's relationship with the
issuer, the promoter, or an affiliate of the issuer or of the promoter, and

          (iii)     the date that the asset was acquired by the promoter and
the cost of the asset to the promoter.

(2)  If a promoter or past promoter referred to in paragraph (1) has been
a director, officer or promoter of any person or company during the 10
years ending on the date of the preliminary short form prospectus that 

     (a)  was the subject of a cease trade or similar order, or an order
that denied the person or company access to any exemptions under Canadian
securities legislation, for a period of more than 30 consecutive days,
state the fact and describe the basis on which the order was made and
whether the order is still in effect; or

     (b)  became bankrupt, made a proposal under any legislation relating
to bankruptcy or insolvency or been subject to or instituted any
proceedings, arrangement or compromise with creditors or had a receiver,
receiver manager or trustee appointed to hold its assets, state the fact.

(3)  Describe the penalties or sanctions imposed and the grounds on which
they were imposed or the terms of the settlement agreement and the
circumstances that gave rise to the settlement agreement, if a promoter or
past promoter referred to in paragraph (1) has 

     (a)  been subject to any penalties or sanctions imposed by a court
relating to Canadian securities legislation or by a Canadian securities
regulatory authority or has entered into a settlement agreement with a
Canadian securities regulatory authority; or

     (b)  been subject to any other penalties or sanctions imposed by a
court or regulatory body that would be likely to be considered important to
a reasonable investor in making an investment decision.

(4)  Despite paragraph (3), no disclosure is required of a settlement
agreement entered into before the date National Instrument 44-101 came into
force unless the disclosure would likely be considered important to a
reasonable investor in making an investment decision.

(5)  If a promoter or past promoter referred to in paragraph (1) has,
within the 10 years before the date of the preliminary short form
prospectus, become bankrupt, made a proposal under any legislation relating
to bankruptcy or insolvency, or was subject to or instituted any
proceedings, arrangement or compromise with creditors, or had a receiver,
receiver manager or trustee appointed to hold the assets of the promoter,
state the fact.

Item 17:  Risk Factors

17.1 Risk Factors - Describe the factors material to the issuer that a
reasonable investor would consider relevant to an investment in the
securities being distributed.

Item 18:  Other Material Facts

18.1 Other Material Facts - Give particulars of any material facts about
the securities being distributed that are not disclosed under the preceding
items or in the documents incorporated by reference into the short form
prospectus and are necessary in order for the short form prospectus to
contain full, true and plain disclosure of all material facts relating to
the securities to be distributed.

Item 19:  Statutory Rights of Withdrawal and Rescission

19.1 General - Include a statement in substantially the following form,
with the bracketed information completed:

          "Securities legislation in [certain of the provinces [and
territories] of Canada/the Province of [insert name of local jurisdiction,
if applicable]] provides purchasers with the right to withdraw from an
agreement to purchase securities.  This right may be exercised within two
business days after receipt or deemed receipt of a prospectus and any
amendment.  [In several of the provinces/provinces and territories,]
[T/t]he securities legislation further provides a purchaser with remedies
for rescission [or [, in some jurisdictions,] damages] if the prospectus
and any amendment contains a misrepresentation or is not delivered to the
purchaser, provided that the remedies for rescission [or damages] are
exercised by the purchaser within the time limit prescribed by the
securities legislation of the purchaser's province [or territory].  The
purchaser should refer to any applicable provisions of the securities
legislation of the purchaser's province [or territory] for the particulars
of these rights or consult with a legal adviser."

19.2 Non-fixed Price Offerings - In the case of a non-fixed price
offering, replace, if applicable in the jurisdiction in which the short
form prospectus  is filed, the second sentence in the legend in Item 19.1
with a statement in substantially the following form:

          "This right may only be exercised within two business days
after receipt or deemed receipt of a prospectus and any amendment,
irrespective of the determination at a later date of the purchase price of
the securities distributed."

Item 20:  Reconciliation to Canadian GAAP

20.1 Reconciliation to Canadian GAAP - If financial statements prepared in
accordance with foreign GAAP are included in the short form prospectus and
a reconciliation to Canadian GAAP has not been incorporated by reference in
the short form prospectus, include in the short form prospectus the
reconciliation to Canadian GAAP required under paragraph (b) of subsection
7.1(2) of the National Instrument.

Item 21:  Certificates

21.1 Officers, Directors and Promoters - Include a certificate in the
following form signed by 

     (a)  the chief executive officer and the chief financial officer or,
if no such officers have been appointed, a person acting on behalf of the
issuer in a capacity similar to a chief executive officer and a person
acting on behalf of the issuer in a capacity similar to that of a chief
financial officer;

     (b)  on behalf of the board of directors of the issuer, any two
directors of the issuer duly authorized to sign, other than the persons
referred to in paragraph (a), and 

     (c)  any person or company who is a promoter of the issuer:

     "This short form prospectus, together with the documents incorporated
herein by reference, constitutes full, true and plain disclosure of all
material facts relating to the securities offered by this prospectus as
required by the securities legislation of [insert name of each jurisdiction
in which qualified]. [Insert if offering made in Quebec - "For the purpose
of the Province of Quebec, this simplified prospectus, as supplemented by
the permanent information record, contains no misrepresentation that is
likely to affect the value or the market price of the securities to be
distributed."]"

21.2 Underwriters - If there is an underwriter, include a certificate in
the following form signed by the underwriter or underwriters who, with
respect to the securities being distributed, are in a contractual
relationship with the issuer or selling security holders:

     "To the best of our knowledge, information and belief, this short
form prospectus, together with the documents incorporated herein by
reference, constitutes full, true and plain disclosure of all material
facts relating to the securities offered by this prospectus as required by
the securities legislation of [insert name of each jurisdiction in which
qualified].  [Insert if offering made in Quebec - "For the purpose of the
Province of Quebec, to our knowledge, this simplified prospectus, as
supplemented by the permanent information record, contains no
misrepresentation that is likely to affect the value or the market price of
the securities to be distributed."]"

21.3 Related Credit Supporters - If disclosure concerning a credit
supporter is prescribed by Item 13.2 and the credit supporter is a related
credit supporter, an issuer shall include a certificate of the related
credit supporter in the form required in Item 21.1 signed by

     (a)  the chief executive officer and the chief financial officer or,
if no such officers have been appointed, a person acting on behalf of the
related credit supporter in a capacity similar to a chief executive officer
and a person acting on behalf of the related credit supporter in a capacity
similar to that of a chief financial officer; and

     (b)  on behalf of the board of directors of the related credit
supporter, any two directors of the related credit supporter duly
authorized to sign, other than the persons referred to in paragraph (a).

21.4 Amendments

(6)  Include in an amendment to a short form prospectus that does not
restate the short form prospectus the certificates required under Items
21.1, 21.2 and, if applicable, Item 21.3 with the reference in each
certificate to "this short form prospectus" omitted and replaced by "the
short form prospectus dated [insert date] as amended by this amendment".

(7)  Include in an amended and restated short form prospectus the
certificates required under Items 21.1, 21.2 and, if applicable, Item 21.3
with the reference in each certificate to "this short form prospectus"
omitted and replaced by "this amended and restated short form prospectus".
________________________________________________________________________

     ALBERTA SECURITIES COMMISSION

     RULE 44-801

     IMPLEMENTING NATIONAL INSTRUMENT 44-101
     SHORT FORM PROSPECTUS DISTRIBUTIONS 


PART 1    DEFINITIONS

1.1  Definitions

     (a)  In this Rule:

          (i)  "NI 44-101" means National Instrument 44-101 Short Form
Prospectus Distributions; 

          (ii) "Form 44-101F2" means Form 44-101F2 Short Form
Prospectus;

          (iii)     "NP 47" means National Policy Statement No. 47 Prompt
Offering Qualification System;

          (iv) "qualified issuer" means an issuer referred to in
subsection 2.1(2) of NI 44-101; and

          (v)  "rules" mean the Alberta Securities Commission Rules.

     (b)  Each term used in this Rule that is defined or interpreted in
Part 1 of NI 44-101 has the meaning ascribed to it in that Part.

PART 2    DESIGNATION OF FORM 

2.1  Short Form of Prospectus 

     (a)  A preliminary short form prospectus prepared and certified in
accordance with NI 44-101 is a preliminary short form prospectus for the
purposes of section 95.1 of the Act.

     (b)  A short form prospectus prepared and certified in accordance
with NI 44-101 is a short form prospectus for the purposes of section 95.1
of the Act.

     (c)  References in the Schedule to the Securities Regulation to a
preliminary prospectus or a prospectus include a preliminary short form
prospectus or a short form prospectus, respectively, certified and filed in
accordance with NI 44-101. 

PART 3    DISTRIBUTIONS OF SECURITIES OF AN ELIGIBLE ISSUER

3.1  Exemptions from the Act and Rules  

The following do not apply to a distribution of securities made in
compliance with NI 44-101 by a qualified issuer:

     (a)  section 81 of the Act and section 77 of the rules, as they
concern the form and content of a preliminary prospectus or prospectus; 

     (b)  sections 90 and 91 of the Act;

     (c)  sections 98 and 99 of the rules; and

     (d)  to the extent inconsistent with NI 44-101 and Form 44-101F2,
sections 105, 108, 109, 111 and 114 of the rules. 
          
3.2  AIF Deemed Prospectus for Qualification as Reporting Issuer 

For the purposes of paragraph 1(t.1)(ii) of the Act, an initial AIF that
has been filed by an issuer and accepted by the Executive Director in
accordance with NI 44-101 is deemed to be a prospectus for which the issuer
has obtained a receipt, provided that all continuous disclosure documents
referred to in subparagraph 2.2(1)(a)(ii) of NI 44-101 have been filed with
the Executive Director.

3.3  Sending of Comparative Audited Financial Statements 

The requirement in section 122 of the Act  that comparative audited annual
financial statements be sent to securityholders concurrently with filing
does not apply to an issuer that has, because of the requirements of NI
44-101, filed earlier than 140 days after the end of a financial year
comparative audited annual financial statements in respect of that
financial year, provided that the comparative audited annual financial
statements are sent to the securityholders referred to in section 122 of
the Act within 140 days from the end of that financial year.

3.4  Specified Prospectus Disclosure 

National Instrument 41-101 Prospectus Disclosure Requirements does not
apply to a preliminary short form prospectus or to a short form prospectus
certified, filed and receipted in accordance with NI 44-101.

3.5  Transition

The following do not apply, for one year after the date of the receipt for
a preliminary short form prospectus, to a distribution of securities for
which the short form prospectus was certified, filed and receipted before
the coming into force of NI 44-101, in accordance with the Act and NP 47: 

     (a)  section 81 of the Act, as it concerns the form and content of a
preliminary prospectus or prospectus; and

     (b)  subsections 98(2) and (3) of the rules.


PART 4    EFFECTIVE DATE

4.1  Effective Date 

This Rule comes into force on December 31, 2000.
________________________________________________________________________

     REPEAL OF 
     ALBERTA SECURITIES COMMISSION
     ORDERS 

The order of the Alberta Securities Commission dated February 17, 1993, In
the Matter of National Policy Statement No. 47 - "Prompt Offering
Qualification System" (the "February 17, 1993 Order"), is repealed.

The order of the Alberta Securities Commission dated July 22, 1993, In the
Matter of the Prompt Offering Qualification System and the Solicitation of
Expressions of Interest (the "July 22, 1993 Order"), is repealed.

Effective Date

The repeal of the February 17, 1993 Order and the July 22, 1993 Order is
effective on December 31, 2000.
________________________________________________________________________

NATIONAL INSTRUMENT 44-102
SHELF DISTRIBUTIONS

     TABLE OF CONTENTS

     PART 1    DEFINITIONS AND INTERPRETATION
     1.1  Definitions

     PART 2    SHELF QUALIFICATION AND PERIOD OF RECEIPT EFFECTIVENESS
     2.1  General
     2.2  Shelf Qualification for Distributions Qualified under Section
2.2 (Basic Qualification) or 2.8 (Following a Reorganization) of National
Instrument 44-101
     2.3  Shelf Qualification for Distributions Qualified under Section
2.3 of National Instrument 44-101 (Substantial Issuers)
     2.4  Shelf Qualification for Distributions Qualified under Section
2.4 of National Instrument 44-101 (Approved Rating Non-Convertible
Securities)
     2.5  Shelf Qualification for Distributions made under Section 2.5 of
National Instrument 44-101 (Guaranteed Non-Convertible Debt Securities,
Preferred Shares and Cash Settled Derivatives)
     2.6  Shelf Qualification for Distributions made under Section 2.6 of
National Instrument 44-101 (Guaranteed Convertible Debt Securities or
Preferred Shares)
     2.7  Shelf Qualification for Distributions made under Section 2.7 of
National Instrument 44-101 (Asset-Backed Securities)
     2.8  Lapse Date - Ontario
     2.9  Lapse Date - Alberta
     2.10 Prohibited Offerings

     PART 3    UNALLOCATED SHELF
     3.1  Unallocated Shelf Permitted
     3.2  Distributions of Equity Securities Under Unallocated Shelf


     PART 4    DISTRIBUTIONS OF NOVEL DERIVATIVES OR ASSET-BACKED
SECURITIES UNDER SHELF
     4.1  Distributions of Novel Derivatives or Asset-Backed Securities
Under Shelf

     PART 5    BASE SHELF PROSPECTUSES
     5.1  Opting out of the Shelf Procedures After a Preliminary
Prospectus has been Receipted
     5.2  Opting into the Shelf Procedures After a Preliminary Prospectus
has been Receipted
     5.3  Form of Base Shelf Prospectus
     5.4  Dollar Value of Securities
     5.5  Required Disclosure
     5.6  Disclosure that may be Omitted
     5.7  Issue of Receipt
     5.8  Amendments

     PART 6    SHELF PROSPECTUS SUPPLEMENTS
     6.1  Requirement to Use Shelf Prospectus Supplements
     6.2  Incorporation by Reference
     6.3  Shelf Prospectus Supplement Disclosure
     6.4  Filing Requirement For Shelf Prospectus Supplements
     6.5  Underwriters' Conflicts of Interest
     6.6  Market Stabilization
     6.7  Delivery Requirement

     PART 7    SHELF SUPPORTING DOCUMENTS
     7.1  General
     7.2  Consents
     7.3  Auditor's Comfort Letters
     7.4  Underwriting Agreements

     PART 8    MEDIUM TERM NOTE PROGRAMS AND OTHER CONTINUOUS
DISTRIBUTIONS UNDER SHELF
     8.1  General
     8.2  Additional Disclosure Requirements
     8.3  Filing Requirement
     8.4  Requirement to Update Earnings Coverage Ratios


     PART 9    AT-THE-MARKET DISTRIBUTIONS OF EQUITY SECURITIES UNDER
SHELF     
     9.1  At-the-Market Distributions of Equity Securities Under Shelf     

     PART 10   TRANSITIONAL SHELF PROCEDURES 
     10.1 Transitional Shelf Procedures 

     PART 11   EXEMPTIONS     
     11.1 Exemption 
     11.2 Evidence of Exemption    

APPENDIX A - METHOD 1 FOR SHELF PROSPECTUS CERTIFICATES

APPENDIX B - METHOD 2 FOR SHELF PROSPECTUS CERTIFICATES

NATIONAL INSTRUMENT 44-102
SHELF DISTRIBUTIONS

PART 1    DEFINITIONS AND INTERPRETATION

1.1  Definitions

(1)  In this Instrument

     "acting jointly or in concert" has the meaning ascribed to that
phrase in securities legislation;

     "at-the-market distribution" means a non-fixed price distribution of
equity securities under the shelf procedures into a pre-existing trading
market in which securities of the same class are traded;

     "base shelf prospectus" means a short form prospectus that is
prepared in the form required under National Instrument 44-101 Short Form
Prospectus Distributions, as varied in accordance with this Instrument;

     "clearing corporation" has the meaning ascribed to that term in
National Instrument 81-102 Mutual Funds;

     "conventional convertible security" means a security of an issuer
that is, according to its terms, convertible into, or exchangeable for,
other securities of the issuer, or of an affiliate of the issuer;

     "conventional warrant or right" means a security of an issuer, other
than a clearing corporation, that gives the holder the right to purchase
securities of the issuer or of an affiliate of the issuer;

     "index participation unit" means a security traded on a stock
exchange in Canada or the United States and issued by an issuer the only
purpose  of which is to 

     (a)  hold the securities that are included in a specified widely
quoted market index in substantially the same proportion as those
securities are reflected in the index;or

     (b)  invest in a manner that causes the issuer to replicate the
performance of that index;

     "method 1" means the method described in Appendix A of providing
forward looking prospectus certificates in a base shelf prospectus or in a
shelf prospectus supplement that establishes an MTN program or continuous
distribution;

     "method 2" means the method described in Appendix B of providing
non-forward looking prospectus certificates in a base shelf prospectus and
a shelf prospectus supplement;

     "MTN program" means a continuous distribution of debt securities in
which the specific variable terms of the individual debt securities and the
method of distribution of those securities are determined at the time of
the distribution;

     "novel" means

     (a)  for a specified derivative proposed to be distributed using the
shelf procedures

          (i)  a derivative of a type that has not been distributed by
way of prospectus in at least one jurisdiction before the proposed
distribution, or 

          (ii) a derivative of a type that has been distributed by way
of prospectus in at least one jurisdiction before the proposed
distribution, but 

               (A)  the attributes of the derivative differ materially
from the attributes of derivatives of the same type previously distributed
by way of prospectus,

               (B)  the structure and contractual arrangements
underlying the derivative differ materially from the structure and
contractual arrangements underlying derivatives of the same type previously
distributed by way of prospectus, or

               (C)  the type of the underlying interest for the
derivative differs materially from the type of underlying interest for
derivatives of the same type previously distributed by way of prospectus,
and 

     (b)  for an asset-backed security proposed to be distributed using
the shelf procedures

          (i)  a security of a type that has not been distributed by way
of prospectus in at least one jurisdiction before the proposed
distribution, or 

          (ii) a security of a type that has been distributed by way of
prospectus in at least one jurisdiction before the proposed distribution,
but 

               (A)  the attributes of the security differ materially
from the attributes of securities of the same type previously distributed
by way of prospectus,

               (B)  the structure and contractual arrangements
underlying the security differ materially from the structure and
contractual arrangements underlying securities of the same type previously
distributed by way of prospectus, or

               (C)  the type of financial assets servicing the security
differ materially from the type of financial assets servicing securities of
the same type previously distributed by way of prospectus;

     "pricing supplement" means a shelf prospectus supplement that
contains the price of securities distributed under an MTN program or other
continuous distribution using the shelf procedures;

     "shelf information" means the information permitted by this
Instrument to be omitted from a base shelf prospectus;

     "shelf procedures" means the requirements in this Instrument for the
distribution of securities under a base shelf prospectus and a shelf
prospectus supplement; 

     "shelf prospectus supplement" means a supplement to a base shelf
prospectus, containing some or all of the information omitted from the base
shelf prospectus as permitted by this Instrument; 

     "special warrant" means a security that, by its terms or the terms of
an accompanying contractual obligation, entitles or requires the holder to
acquire another security without payment of material additional
consideration and obliges the issuer of the special warrant or the other
security to undertake efforts to file a prospectus to qualify the
distribution of the other security;

     "specified derivative" means an instrument, agreement or security,
the market price, value or payment obligations of which are derived from,
referenced to, or based on an underlying interest, other than one that is
also 

     (a)  a conventional convertible security,

     (b)  a specified asset-backed security,

     (c)  an index participation unit,

     (d)  a government or corporate strip bond, 

     (e)  a capital, equity dividend or income share of a subdivided
equity or fixed income security,

     (f)  a conventional warrant or right, or

     (g)  a special warrant; and

     "stabilization provisions" means those provisions of securities
legislation that prohibit an issuer, selling securityholder, underwriter or
dealer, or an affiliate of any of the foregoing persons or companies, or
any person or company acting jointly or in concert with any of them from
trading in securities being distributed by way of prospectus during the
period of distribution.

(2)  All terms defined in National Instrument 44-101 and used, but not
defined, in this Instrument have the respective meanings ascribed to them
in National Instrument 44-101.

1.2  Amendments - References in this Instrument, other than in Appendix A
and Appendix B, to an amendment to a prospectus include both an amendment
that does not fully restate the text of a prospectus and an amended and
restated prospectus.

1.3  Market Value Calculation - For the purposes of this Instrument, the
aggregate market value of an issuer's equity securities on a date shall be
calculated in accordance with section 2.9 of National Instrument 44-101.

PART 2    SHELF QUALIFICATION AND PERIOD OF RECEIPT EFFECTIVENESS

2.1  General - An issuer shall not file a short form prospectus that is a
base shelf prospectus, unless the issuer is qualified to do so under this
Instrument or has been exempted from this section under section 11.1.

2.2  Shelf Qualification for Distributions Qualified under Section 2.2
(Basic Qualification) or 2.8 (Following a Reorganization) of National
Instrument 44-101 

(1)  An issuer is qualified to file a preliminary short form prospectus
that is a preliminary base shelf prospectus if, at the time of filing, the
issuer is qualified under section 2.2 or 2.8 of National Instrument 44-101
to file a prospectus in the form of a short form prospectus.

(2)  An issuer that has filed a preliminary base shelf prospectus in
reliance on the qualification criteria in subsection (1) is qualified to
file a short form prospectus that is the corresponding base shelf
prospectus.

(3)  A receipt issued for a base shelf prospectus of an issuer qualified
under subsection (2) is effective until the earliest of

     (a)  the date 25 months from the date of its issue;

     (b)  the time immediately before the entering into of an agreement
of purchase and sale for a security to be sold under the base shelf
prospectus, if at that time

          (i)  the issuer does not have a current AIF, or

          (ii) the aggregate market value of the issuer's equity
securities, listed and posted for trading on an exchange in Canada, has not
been $75,000,000 or more on a date within 60 days before the date of the
agreement; and
     (c)  the lapse date, if any, prescribed by securities legislation,
if relief has not been granted to the issuer extending the lapse date for
the distribution.

2.3  Shelf Qualification for Distributions Qualified under Section 2.3 of
National Instrument 44-101 (Substantial Issuers)

(1)  An issuer is qualified to file a preliminary short form prospectus
that is a preliminary base shelf prospectus if, at the time of filing, the
issuer is qualified under section 2.3 of National Instrument 44-101 to file
a prospectus in the form of a short form prospectus.

(2)  An issuer that has filed a preliminary base shelf prospectus in
reliance on subsection (1) is qualified to file a short form prospectus
that is the corresponding base shelf prospectus.

(3)  A receipt issued for a base shelf prospectus of an issuer qualified
under subsection (2) is effective until the earliest of

     (a)  the date 25 months from the date of its issue;

     (b)  the time immediately before the entering into of an agreement
of purchase and sale for a security to be sold under the base shelf
prospectus, if at that time

          (i)  the issuer does not have a current AIF, or

          (ii) the aggregate market value of the issuer's equity
securities, listed and posted for trading on an exchange in Canada, has not
been $300,000,000 or more on a date within 60 days before the date of the
agreement; and

     (c)  the lapse date, if any, prescribed by securities legislation,
if relief has not been granted to the issuer extending the lapse date for
the distribution.

2.4  Shelf Qualification for Distributions Qualified under Section 2.4 of
National Instrument 44-101 (Approved Rating Non-Convertible Securities)

(1)  An issuer is qualified to file a preliminary short form prospectus
that is a preliminary base shelf prospectus for approved rating
non-convertible securities if, at the time of filing, the issuer has
reasonable grounds for believing that, if it were to distribute securities
under the base shelf prospectus, the securities distributed would receive
an approved rating and would not receive a rating lower than an approved
rating from any approved rating organization.

(2)  An issuer that has filed a preliminary base shelf prospectus in
reliance on the qualification criteria in subsection (1) is qualified  to
file a short form prospectus that is the corresponding base shelf
prospectus if, at the time of the filing of the base shelf prospectus, the
issuer has reasonable grounds for believing that, if it were to distribute
non-convertible securities under the base shelf prospectus, the securities
distributed would receive an approved rating and would not receive a rating
lower than an approved rating from any approved rating organization.

(3)  A receipt issued for a base shelf prospectus of an issuer filed under
subsection (2) is effective until the earliest of

     (a)  the date 25 months from the date of its issue;

     (b)  the time immediately before the entering into of an agreement
of purchase and sale for a security to be sold under the base shelf
prospectus, if at that time

          (i)  the issuer does not have a current AIF,

          (ii) the securities to which the agreement relates

               (A)  have not received a final approved rating, 

               (B)  are the subject of an announcement by an approved
rating organization of which the issuer is or ought to be aware that the
approved rating given by the organization may be down-graded to a rating
category that would not be an approved rating, or 

               (C)  have received a provisional or final rating lower
than an approved rating from any approved rating organization; and

     (c)  the lapse date, if any, prescribed by securities legislation,
if relief has not been granted to the issuer extending the lapse date for
the distribution.

2.5  Shelf Qualification for Distributions made under Section 2.5 of
National Instrument 44-101 (Guaranteed Non-Convertible Debt Securities,
Preferred Shares and Cash Settled Derivatives)

(1)  An issuer is qualified to file a short form prospectus that is a
preliminary base shelf prospectus for non-convertible debt securities,
non-convertible preferred shares or non-convertible cash settled
derivatives if, at the time of filing, the issuer is qualified under
section 2.5 of National Instrument 44-101 to file a prospectus in the form
of a short form prospectus.

(2)  An issuer that has filed a preliminary base shelf prospectus in
reliance on subsection (1) is qualified to file a short form prospectus
that is the corresponding base shelf prospectus. 

(3)  A receipt issued for a base shelf prospectus of an issuer qualified
under subsection (2) is effective until the earliest of

     (a)  the date 25 months from the date of its issue;

     (b)  the time immediately before the entering into of an agreement
of purchase and sale for a security to be sold under the base shelf
prospectus, if at that time
 
          (i)  a person or company has not provided a guarantee or
alternative credit support for the securities to which the shelf prospectus
supplement relates that satisfies the criteria in paragraph 1 of subsection
2.5(1) of National Instrument 44-101, 

          (ii) the credit supporter referred to in subparagraph (i)

               (A)  is not a reporting issuer, or 

               (B)  does not have a current AIF, or

          (iii)     the aggregate market value of the equity securities of
the credit supporter referred to in subparagraph (i), listed and posted for
trading on an exchange in Canada has not been $75,000,000 or more on a date
within 60 days before the date of the agreement, and either of the
following are true:

               1.   The credit supporter does not have issued and
outstanding non-convertible securities that 

               (A)  have received an approved rating, 

               (B)                      have not been the subject
of an announcement by an approved rating organization of which the issuer
is or ought to be aware that the approved rating given by the organization
may be down-graded to a rating category that would not be an approved
rating, and

               (C)  have not received a rating lower than an approved
rating from any approved rating organization.

               2.   The securities to which the agreement relates 

               (A)  have not received a final approved rating, 

               (B)  have been the subject of an announcement by an
approved rating organization of which the issuer is or ought to be aware
that the approved rating given by the organization may be down-graded to a
rating category that would not be an approved rating, and

               (C)  have received a provisional or final rating lower
than an approved rating from any approved rating organization; and

          (c)  the lapse date, if any, prescribed by securities
legislation, if relief has not been granted to the issuer extending the
lapse date for the distribution.

2.6  Shelf Qualification for Distributions made under Section 2.6 of
National Instrument 44-101 (Guaranteed Convertible Debt Securities or
Preferred Shares)

(1)  An issuer is qualified to file a short form prospectus that is a
preliminary base shelf prospectus for convertible debt securities and
convertible preferred shares if, at the time of filing, the issuer is
qualified under section 2.6 of National Instrument 44-101 to file a
prospectus in the form of a short form prospectus.

(2)  An issuer that has filed a preliminary base shelf prospectus in
reliance on subsection (1) is qualified to file a short form prospectus
that is the corresponding base shelf prospectus.

(3)  A receipt issued for a base shelf prospectus qualified under
subsection (2) is effective until the earliest of

     (a)  the date 25 months from the date of its issue;

     (b)  the time immediately before the entering into of an agreement
of purchase and sale for a security to be sold under the base shelf
prospectus, if at that time

          (i)  the issuer of the securities into which the securities to
which the agreement relates are convertible has not provided a guarantee or
alternative credit support that satisfies the criteria in subsection 2.6
(1) of National Instrument 44-101, 

          (ii) the credit supporter referred to in subparagraph (i)

               (A)  is not a reporting issuer, 

               (B)  does not have a current AIF, or  

               (C)  does not have equity securities listed and posted
for trading on an exchange in Canada, the aggregate market value of which
has been $75,000,000 or more on a date within 60 days before the date of
the agreement; and

     (c)  the lapse date, if any, prescribed by securities legislation,
if relief has not been granted to the issuer extending the lapse date for
the distribution.

2.7  Shelf Qualification for Distributions made under Section 2.7 of
National Instrument 44-101 (Asset-Backed Securities)

(1)  An issuer qualified under section 2.7 of National Instrument 44-101
to file a prospectus in the form of a short form prospectus may file a
preliminary base shelf prospectus for asset-backed securities if, at the
time of filing, the issuer has reasonable grounds for believing that 

     (a)  all asset-backed securities that it may distribute under the
base shelf prospectus will receive an approved rating; and 

     (b)  no asset-backed securities that it may distribute under the
base shelf prospectus will receive a rating lower than an approved rating
from any approved rating organization. 

(2)  An issuer that has filed a preliminary base shelf prospectus in
reliance on the qualification criteria in section 2.7 of National
Instrument 44-101 may file the corresponding base shelf prospectus if, at
the time of the filing of the base shelf prospectus, the issuer has
reasonable grounds for believing that 

     (a)  all asset-backed securities that it may distribute under the
base shelf prospectus will receive an approved rating; and 

     (b)  no asset-backed securities that it may distribute under the
base shelf prospectus will receive a rating lower than an approved rating
from any approved rating organization.

(3)  A receipt issued for a base shelf prospectus qualified under
subsection (2) is effective for a distribution of asset-backed securities
until the earliest of

     (a)  the date 25 months from the date of its issue;

     (b)  the time immediately before the entering into of an agreement
of purchase and sale for an asset-backed security to be sold under the base
shelf prospectus, unless at that time the asset-backed securities to which
the agreement relates

          (i)  have not received a final approved rating,

          (ii) have been the subject of an announcement by an approved
rating organization of which the issuer is or ought reasonably to be aware
that the approved rating given by the organization may be down-graded to a
rating category that would not be an approved rating, or

          (iii)     have received a provisional or final rating lower than an
approved rating from any approved rating organization; and

     (c)  the lapse date, if any, prescribed by securities legislation,
if relief has not been granted to the issuer extending the lapse date for
the distribution.

2.8  Lapse Date - Ontario - In Ontario, the lapse date prescribed by
securities legislation for a receipt issued for a base shelf prospectus is
extended to the date 25 months from the date of issuance of the receipt.

2.9  Lapse Date - Alberta - In Alberta, the lapse date prescribed by
securities legislation for a receipt issued for a base shelf prospectus is
the date 25 months from the date of the issuance of the receipt.

2.10 Prohibited Offerings - Despite any provision in this Instrument, the
shelf procedures shall not be used for a distribution of rights under a
rights offering.

PART 3    UNALLOCATED SHELF

3.1  Unallocated Shelf Permitted - A base shelf prospectus may pertain to
more than one type of security for which the issuer is qualified to file a
prospectus in the form of a short form prospectus.

3.2  Distributions of Equity Securities Under Unallocated Shelf - An
issuer or selling security holder that forms a reasonable expectation that
a distribution of a tranche of equity securities will proceed under a base
shelf prospectus that is not specifically restricted to equity securities
shall immediately issue a news release that announces the intention to
proceed with the distribution.

PART 4    DISTRIBUTIONS OF NOVEL DERIVATIVES OR ASSET-BACKED SECURITIES
UNDER SHELF

4.1  Distributions of Novel Derivatives or Asset-Backed Securities Under
Shelf 

(1)  If a base shelf prospectus pertains to specified derivatives or
asset-backed securities, the issuer or the selling security holder, as the
case may be, shall file before or concurrently with the base shelf
prospectus an undertaking that it will not distribute under the base shelf
prospectus specified derivatives or asset-backed securities, as the case
may be, in the local jurisdiction that, at the time of distribution, are
novel without pre-clearing with the regulator in accordance with subsection
(2) the disclosure to be contained in a shelf prospectus supplement
pertaining to the distribution of the novel specified derivatives or
asset-backed securities.

(2)  The undertaking referred to in subsection (1) shall state that the
issuer or the selling security holder, as the case may be, shall not
distribute specified derivatives or asset-backed securities in the local
jurisdiction that, at the time of distribution, are novel, unless

     (a)  the draft shelf prospectus supplement or, if more than one
shelf prospectus supplement is to be used, the draft shelf prospectus
supplements, pertaining to the distribution of the novel specified
derivatives or asset-backed securities have been delivered to the regulator
in substantially final form; and 

     (b)  either

          (i)  the regulator has confirmed his or her acceptance of each
draft shelf prospectus supplement in substantially final form or each shelf
prospectus supplement in final form, or  

          (ii) 21 days have elapsed since the date of delivery to the
regulator of each draft shelf prospectus supplement in substantially final
form and the regulator has not provided written comments on the draft shelf
prospectus supplement.

PART 5    BASE SHELF PROSPECTUSES

5.1  Opting out of the Shelf Procedures After a Preliminary Prospectus has
been Receipted - An issuer that has filed a preliminary base shelf
prospectus shall not file a short form prospectus that is not a base shelf
prospectus unless the issuer files

     (a)  either

          (i)  an amended preliminary short form prospectus in
accordance with National Instrument 44-101 that is not a preliminary base
shelf prospectus, or

          (ii) a new preliminary short form prospectus that is not a
preliminary base shelf prospectus; and

     (b)  a covering letter stating that the issuer or the selling
security holder, as the case may be, has decided not to use the shelf
procedures for the distribution. 

5.2  Opting into the Shelf Procedures After a Preliminary Prospectus has
been Receipted - An issuer that has filed a preliminary short form
prospectus that is not a preliminary base shelf prospectus shall not file a
base shelf prospectus for the distribution unless the issuer files

     (a)  either

          (i)  an amended preliminary base shelf prospectus in
accordance with this Instrument, or

          (ii) a new preliminary short form prospectus that is a
preliminary base shelf prospectus in accordance with this Instrument; and

     (b)  a covering letter stating that the issuer or the selling
securityholder, as the case may be, has decided to use the shelf procedures
for the distribution.

5.3  Form of Base Shelf Prospectus - Despite National Instrument 44-101, a
short form prospectus that is a base shelf prospectus may vary from Form
44-101F3 to the extent required or permitted by this Instrument.

5.4  Dollar Value of Securities - A base shelf prospectus shall pertain to
no more than the dollar value of securities that the person or company
proposing to distribute securities under the base shelf prospectus
reasonably expects, at the time the base shelf prospectus is filed, to
distribute within 25 months after the date of the receipt for the base
shelf prospectus.

5.5  Required Disclosure - A base shelf prospectus shall contain the
following:

     1.   A statement at the top of the cover page identifying the short
form prospectus as a base shelf prospectus.

     2.   The following statement in red ink in italics on the cover
page:

               "This short form prospectus has been filed under
legislation in [insert name[s] of the jurisdiction[s] where qualified] that
permits certain information about these securities to be determined after
this prospectus has become final and that permits the omission from this
prospectus of that information.  The legislation requires the delivery to
purchasers of a prospectus supplement containing the omitted information
within a specified period of time after agreeing to purchase any of these
securities."

     3.   A statement that all shelf information omitted from the base
shelf prospectus will be contained in one or more shelf prospectus
supplements that will be delivered to purchasers together with the base
shelf prospectus.

     4.   A statement that each shelf prospectus supplement will be
incorporated by reference into the base shelf prospectus for the purposes
of securities legislation as of the date of the shelf prospectus supplement
and only for the purposes of the distribution of the securities to which
the shelf prospectus supplement pertains.

     5.   A statement of the aggregate dollar amount of securities that
may be raised under the base shelf prospectus. 

     6.   Disclosure of the types of securities that may be distributed
under the base shelf prospectus.

     7.   If an undertaking is required to be filed under subsection
4.1(1), a statement that the issuer or the selling security holder, as the
case may be, has filed an undertaking that it will not distribute specified
derivatives or asset-backed securities, as the case may be, that, at the
time of distribution, are novel without pre-clearing with the regulator the
disclosure to be contained in the shelf prospectus supplement pertaining to
the distribution of the novel specified derivatives or asset-backed
securities.

     8.   The prospectus certificates prescribed by 

          (a)  method 1, if 

               (i)  the base shelf prospectus is being used to
establish an MTN program or other continuous distribution, or

               (ii) method 2 has not been elected; or

          (b)  method 2, if method 2 has been elected.

5.6  Disclosure that may be Omitted - If the specified circumstances
exist, a base shelf prospectus may omit the following information:

     1.   The variable terms of the securities that may be distributed
under the base shelf prospectus, if not known on the date the base shelf
prospectus is filed.

     2.   The dollar amount, size and other specific terms of each
tranche of securities that may be distributed under the base shelf
prospectus, if not known on the date the base shelf prospectus is filed.

     3.   The variable terms of the plans of distribution for the
securities that may be distributed under the base shelf prospectus, if not
known on the date the base shelf prospectus is filed.

     4.   The name and prospectus certificate of an underwriter if, at
the time of the filing of the base shelf prospectus, no underwriter is, and
it is not known to the issuer that a particular underwriter will be, in a
contractual relationship with the issuer or selling security holder
requiring the underwriter to distribute under the base shelf prospectus.

     5.   If one or more underwriters have agreed to purchase the
securities to be distributed under the base shelf prospectus at a specified
price, the statement required under Form 44-101F3 that the securities are
to be taken up by the underwriters, if at all, on or before a specified
date.

     6.   If the securities to be distributed under the base shelf
prospectus are underwritten on a best efforts basis for which a minimum
amount of funds are required by an issuer, the disclosure required under
Form 44-101F3 concerning the maximum length of time for which the
distribution may continue and concerning the disposition of subscription
funds.

     7.   Any other information that pertains only to a specific
distribution of securities under the base shelf prospectus, if not known on
the date the base shelf prospectus is filed.

     8.   Any other information required under National Instrument 44-101
or other securities legislation that is not known and cannot be ascertained
at the time of filing of the base shelf prospectus.

5.7  Issue of Receipt - Despite the omission of shelf information, the
regulator may issue a receipt for a base shelf prospectus.

5.8  Amendments - If a material change occurs at a time when no securities
are being distributed under a base shelf prospectus, the provisions of
securities legislation that require the filing of an amendment to a
prospectus if a material change occurs are satisfied by

     (a)  the filing of a material change report; and

     (b)  the incorporation by reference in the base shelf prospectus of
the material change report.

PART 6    SHELF PROSPECTUS SUPPLEMENTS

6.1  Requirement to Use Shelf Prospectus Supplements - An issuer or
selling security holder that distributes securities under a base shelf
prospectus shall supplement the disclosure in the base shelf prospectus
with a shelf prospectus supplement, or more than one shelf prospectus
supplement, in order for the prospectus to contain full, true and plain
disclosure of all material facts relating to the securities distributed
under the prospectus.

6.2  Incorporation by Reference  

     (1)  An issuer shall incorporate by reference in the corresponding
base shelf prospectus by means of a statement in the base shelf prospectus
each shelf prospectus supplement referred to in section 6.1 as of the date
of the shelf prospectus supplement and only for purposes of the
distribution to which the shelf prospectus supplement pertains.

     (2)  If an issuer does not incorporate by reference in a base shelf
prospectus a shelf prospectus supplement required to be incorporated by
reference under subsection (1), the shelf prospectus supplement is
conclusively deemed for purposes of securities legislation to be
incorporated by reference in the issuer's base shelf prospectus as of the
date of the shelf prospectus supplement and only for purposes of the
distribution to which the shelf prospectus supplement pertains.

6.3  Shelf Prospectus Supplement Disclosure 

(1)  A shelf prospectus supplement shall contain the following:

     1.   The name of the issuer on the cover page.

     2.   The dates of the corresponding base shelf prospectus and of
each previously filed shelf prospectus supplement corresponding to the same
base shelf prospectus and pertaining to the same distribution, on the cover
page.

     3.   The prospectus certificates prescribed by

          (a)  method 1, if the shelf prospectus supplement establishes
an MTN program or other continuous distribution; or

          (b)  method 2, if the prospectus certificates prescribed by
method 1 have not been included in the corresponding base shelf prospectus
and if method 1 is not mandatory under paragraph (a).

     4.   A list of each document that is incorporated by reference into
the corresponding base shelf prospectus as of the date of the shelf
prospectus supplement and provides disclosure pertaining to the securities
being distributed under the shelf prospectus supplement.

(2)  If only one shelf prospectus supplement is used to supplement the
disclosure in the corresponding base shelf prospectus pertaining to a
distribution of securities, that shelf prospectus supplement shall contain
the following, and if more than one shelf prospectus supplement is used to
supplement the disclosure in the corresponding base shelf prospectus
pertaining to a distribution of securities, the shelf prospectus
supplements used shall, together, contain the following:

     1.   All of the shelf information pertaining to the distribution of
securities that was not disclosed in the corresponding base shelf
prospectus.

     2.   All material facts relating to the securities to be distributed
and all other information required under securities legislation to be
disclosed in a short form prospectus that is not disclosed, either directly
or through incorporation by reference, in the corresponding base shelf
prospectus.

6.4  Filing Requirement For Shelf Prospectus Supplements  

(1)  A shelf prospectus supplement shall be filed in the local
jurisdiction if a base shelf prospectus to which the shelf prospectus
supplement pertains was filed in the local jurisdiction.

(2)  A shelf prospectus supplement that is required to be filed under
subsection (1) shall be filed,

     (a)  if the shelf prospectus supplement pertains to a distribution
of securities, other than an MTN program or other continuous distribution,
on or before the earlier of

          (i)  the date the shelf prospectus supplement was first sent
or delivered to a purchaser or a prospective purchaser, and 

          (ii) the date two business days after the offering price of
the securities to which it pertains is determined; or

     (b)  in all other circumstances, on or before the date two business
days after the date the shelf prospectus supplement was first sent or
delivered to a purchaser or a prospective purchaser.

6.5  Underwriters' Conflicts of Interest - For a distribution of
securities under a base shelf prospectus, the provisions of securities
legislation that regulate conflicts of interest in connection with a
distribution of securities of a registrant, a connected issuer of a
registrant or a related issuer of a registrant

     (a)  concerning the participation of independent underwriters shall
be satisfied

          (i)  on a tranche-by-tranche basis for a distribution other
than an MTN program or other continuous distribution, or

          (ii) on the basis of the total dollar amount of securities
that, at any given time, have been or are being distributed under the
program or distribution for a distribution of securities under an MTN
program or other continuous distribution; and

     (b)  concerning disclosure, to the extent not previously satisfied
in the base shelf prospectus, shall be satisfied by including the
prescribed disclosure in a shelf prospectus supplement pertaining to the
distribution.

6.6  Market Stabilization - The stabilization provisions shall be
satisfied on a tranche-by-tranche basis for a non-continuous distribution
of securities under a base shelf prospectus.

6.7  Delivery Requirement - The shelf prospectus supplement or supplements
that, together with the corresponding base shelf prospectus, contain full,
true and plain disclosure of all material facts relating to the securities
being distributed shall be sent by prepaid mail or delivered to a purchaser
of the securities with the base shelf prospectus.

PART 7    SHELF SUPPORTING DOCUMENTS 

7.1  General - The provisions of National Instrument 44-101 requiring the
filing of supporting documents with a preliminary short form prospectus, a
short form prospectus or a prospectus amendment do not apply to a filing of
a preliminary base shelf prospectus, a base shelf prospectus or an
amendment to a preliminary base shelf prospectus or to a base shelf
prospectus, except to the extent varied in this Part.

7.2  Consents 

(1)  If any solicitor, auditor, accountant, engineer or appraiser, or any
other person or company whose profession gives authority to a statement
made by that person or company, is 

     (a)  named in a document that is

          (i)  incorporated by reference into a base shelf prospectus,
and

          (ii) filed after the date of filing of the base shelf
prospectus; and

     (b)  named in the document as having prepared or certified 

          (i)  any part of the base shelf prospectus,amendment or shelf
prospectus supplement, or

          (ii) a report or valuation referred to in the base shelf
prospectus or shelf prospectus supplement, either directly or in a document
incorporated by reference, 

     the issuer shall file the written consent of the person or company to
being named and to that use of the report or valuation in accordance with
subsection (2).

(2)  A consent of an expert required under subsection (1) shall be filed
in accordance with the following:

     1.   If the document in which the expert is named is incorporated by
reference into the base shelf prospectus by means of a statement to that
effect in the base shelf prospectus, the consent shall be filed

          (a)  no later than the time the document is filed, if the base
shelf prospectus establishes an MTN program or other continuous
distribution; and

          (b)  in all other circumstances, no later than the time of the
next filing of a shelf prospectus supplement corresponding to the base
shelf prospectus.

     2.   If the document in which the expert is named is incorporated by
reference into a shelf prospectus supplement by means of a statement to
that effect in the shelf prospectus supplement and filed before or
concurrently with the shelf prospectus supplement, the consent shall be
filed no later than the time the shelf prospectus supplement is filed.

     3.   If the document in which the expert is named is incorporated by
reference into a shelf prospectus supplement by means of a statement to
that effect in the shelf prospectus supplement and filed after the shelf
prospectus supplement is filed, the consent shall be filed no later than
the time the document is filed.

7.3  Auditor's Comfort Letters - An auditor's comfort letter for unaudited
financial statements incorporated by reference into a base shelf prospectus
but filed after the date of filing of the base shelf prospectus shall be
filed

     (a)  concurrently with the unaudited financial statements, if the
base shelf prospectus establishes an MTN program or other continuous
distribution; and

     (b)  in all other circumstances, no later than the time of the next
filing of a shelf prospectus supplement corresponding to the base shelf
prospectus.

7.4  Underwriting Agreements 

(1)  If, at the time an issuer files a base shelf prospectus, no
underwriter is in a contractual relationship with the issuer or selling
security holder requiring the underwriter to distribute securities under
the base shelf prospectus, the issuer is not required to file a copy of an
underwriting agreement with the base shelf prospectus.

(2)  If an underwriter enters into a contractual relationship with an
issuer or selling security holder requiring the underwriter to distribute
securities under a base shelf prospectus after the base shelf prospectus is
filed, the issuer shall file a copy of the underwriting agreement
pertaining to the distribution concurrently with the next shelf prospectus
supplement filed pertaining to that distribution.


PART 8    MEDIUM TERM NOTE PROGRAMS AND OTHER CONTINUOUS DISTRIBUTIONS
UNDER SHELF

8.1  General - An issuer that is qualified under Part 2 to file a base
shelf prospectus for securities may distribute those securities by way of
an MTN program or other continuous distribution, if it files

     (a)  a base shelf prospectus or a shelf prospectus supplement that
establishes the program or distribution; and

     (b)  a pricing supplement.

8.2  Additional Disclosure Requirements 

(1)  Despite section 5.5, a base shelf prospectus or shelf prospectus
supplement that establishes an MTN program or other continuous distribution
shall contain the following:

     1.   A description of the method of distribution, including the name
of any underwriter involved in the distribution and the amount of any
underwriting fee, discount or commission.

     2.   A description of the intended parameters of the terms of the
MTN program or other continuous distribution.

     3.   At the option of the issuer or selling security holder
proposing to distribute securities under the MTN program or other
continuous distribution, a statement that the issuer or selling security
holder, as the case may be, reserves the right to issue securities under
the MTN program or other continuous distribution on terms outside the
intended parameters disclosed under paragraph 2.

(2)  A pricing supplement for an MTN program or other continuous
distribution under the shelf procedures shall contain the following:

     1.   The terms of the securities distributed that are not disclosed
in the base shelf prospectus or shelf prospectus supplement establishing
the MTN program or other continuous distribution.

     2.   A list of each document that is incorporated by reference into
the corresponding base shelf prospectus as of the date of the pricing
supplement and that provides disclosure pertaining to the securities being
distributed under the MTN program or other continuous distribution.

8.3  Filing Requirement - If an issuer sends or delivers to a purchaser or
a prospective purchaser in the local jurisdiction a pricing supplement in a
particular month, the issuer shall, despite section 6.4, file within seven
days after the end of the month 

     (a)  a copy of each pricing supplement sent or delivered to a
purchaser or prospective purchaser during the month, if the pricing
supplement had not previously been sent or delivered to any purchaser or
prospective purchaser;  or

     (b)  a summary of the information contained in each pricing
supplement sent or delivered to a purchaser or prospective purchaser during
the month, including

          (i)  a list of the pricing supplements referred to in
paragraph (a),

          (ii) the terms of the securities distributed under each
pricing supplement sent or delivered to a purchaser or a prospective
purchaser during the month, and 

          (iii)     the aggregate amount of securities distributed under each
pricing supplement sent or delivered to a purchaser or a prospective
purchaser during the month.

8.4  Requirement to Update Earnings Coverage Ratios - An issuer
distributing securities by way of an MTN program or other continuous
distribution using the shelf procedures shall 

     (a)  calculate updated earnings coverage ratios for the ratios
contained in its base shelf prospectus each time the issuer prepares
interim or audited annual financial statements, using the 12 month period
that ended on the last day of the most recently completed financial period;
and 

     (b)  file the updated earnings coverage ratios, concurrently with
the filing of its financial statements, either

          (i)  as an exhibit to the financial statements, or 

          (ii) as a shelf prospectus supplement corresponding to the
base shelf prospectus.

PART 9    AT-THE-MARKET DISTRIBUTIONS OF EQUITY SECURITIES UNDER SHELF

9.1  At-the-Market Distributions of Equity Securities Under Shelf

(1)  Despite section 11.1 of National Instrument 44-101, equity securities
may be distributed by way of an at-the-market distribution using the shelf
procedures if the market value of equity securities distributed does not
exceed 10 percent of the aggregate market value of the issuer's outstanding
equity securities of the same class as the class of securities distributed,
calculated in accordance with section 2.9 of National Instrument 44-101, as
at the last trading day of the month before the month in which the first
trade under the at-the-market distribution is made.

(2)  No underwriter or dealer distributing equity securities by way of an
at-the-market distribution, or any affiliate of such an underwriter or
dealer, or any person or company acting jointly or in concert with such an
underwriter or dealer, shall, in connection with the distribution,
over-allot the securities or effect a transaction that is intended to
stabilize or maintain the market price of the securities.

(3)  An issuer shall include in a base shelf prospectus or shelf
prospectus supplement pertaining to an at-the-market distribution a
statement that no underwriter or dealer involved in the distribution, no
affiliate of such an underwriter or dealer and no person or company acting
jointly or in concert with such an underwriter or dealer has over-allotted,
or will over-allot, securities in connection with the distribution or
effect any other transactions that are intended to stabilize or maintain
the market price of the securities.


PART 10   TRANSITIONAL SHELF PROCEDURES

10.1 Transitional Shelf Procedures

(1)  A receipt issued for a shelf prospectus filed under National Policy
Statement No. 44 is a receipt for the purposes of a base shelf prospectus
under this Instrument.

(2)  A preliminary shelf prospectus filed under National Policy Statement
No. 44 is a preliminary base shelf prospectus under this Instrument.

(3)  A receipt issued for a shelf prospectus filed under National Policy
Statement No. 44 before National Instrument 44-101 came into force shall
expire

     (a)  if the issuer relied on section 4.1 or 4.4 of National Policy
Statement No. 47 or section 164 or 168 of the Regulation Concerning
Securities (Qu‚bec) to be qualified to file the shelf prospectus, at the
time specified in section 2.2 of this Instrument;

     (b)  if the issuer relied on section 4.2 of National Policy
Statement No. 47 or an exemption granted under the Securities Act (Qu‚bec)
to be qualified to file the shelf prospectus, at the time specified in
section 2.3 of this Instrument;

     (c)  if the issuer relied on paragraph 4.3(1)(a) of National Policy
Statement No. 47 or section 165 of the Regulation Concerning Securities
(Qu‚bec) to be qualified to file the shelf prospectus, at the time
specified in section 2.4 of this Instrument;

     (d)  if the issuer relied on paragraph 4.3(1)(b) of National Policy
Statement No. 47 or section 166 of the Regulation Concerning Securities
(Qu‚bec) to be qualified to file the shelf prospectus, at the time
specified in section 2.5 of this Instrument; and

     (e)  if the issuer relied on subsection 4.3(2) of National Policy
Statement No. 47 or an exemption granted under the Securities Act (Qu‚bec)
to be qualified to file the shelf prospectus, at the time specified in
section 2.6 of this Instrument.

PART 11   EXEMPTIONS

11.1 Exemption 

(1)  The regulator or the securities regulatory authority may grant an
exemption from this Instrument, in whole or in part, subject to such
conditions or restrictions as may be imposed in the exemption.

(2)  Despite subsection (1), in Ontario and Alberta, only the regulator
may grant such an exemption.

(3)  An application made to the securities regulatory authority or
regulator for an exemption from this Instrument shall include a letter or
memorandum describing the matters relating to the exemption, and indicating
why consideration should be given to the granting of the exemption.

11.2 Evidence of Exemption

(1)  Subject to subsection (2) and without limiting the manner in which an
exemption under this Part may be evidenced, the granting under this Part of
an exemption, other than an exemption, in whole or in part from Part 2, may
be evidenced by the issuance of a receipt for a base shelf prospectus or an
amendment to a base shelf prospectus.

(2)  An exemption under this Part may be evidenced in the manner set out
in subsection (1) only if

     (a)  the person or company that sought the exemption 

          (i)  sent to the regulator the letter or memorandum referred
to in subsection 11.1(3) on or before the date of filing of the preliminary
base shelf prospectus, or 

          (ii) sent to the regulator the letter or memorandum referred
to in subsection 11.1(3) after the date of filing of the preliminary base
shelf prospectus and received a written acknowledgement from the regulator
that the exemption may be evidenced in the manner set out in subsection
(1); and

     (b)  the regulator has not before, or concurrently with, the
issuance of the receipt, sent to the person or company that sought the
exemption notice that the exemption sought can not be evidenced in the
manner set out in subsection (1).

PART 12   EFFECTIVE DATE

12.1 Effective Date - This Instrument shall come into force on December
31, 2000.


     NATIONAL INSTRUMENT 44-102
     SHELF DISTRIBUTIONS
     APPENDIX A

     METHOD 1 FOR SHELF PROSPECTUS CERTIFICATES


METHOD 1: FORWARD LOOKING CERTIFICATES TO BE INCLUDED IN BASE SHELF
PROSPECTUSES OR SUPPLEMENTS ESTABLISHING AN MTN PROGRAM OR OTHER CONTINUOUS
DISTRIBUTION

PART (1)  Base Shelf Prospectuses

1.1  Certificate of Issuer and Promoter - If a base shelf prospectus
establishes an MTN program or other continuous distribution, or if method 2
has not been elected by an issuer, the preliminary base shelf prospectus
and the base shelf prospectus shall contain a certificate in the following
form signed by 

     (a)  the chief executive officer and the chief financial officer of
the issuer or, if no such officers have been appointed, a person acting on
behalf of the issuer in a capacity similar to that of a chief executive
officer and a person acting on behalf of the issuer in a capacity similar
to that of a chief financial officer;

     (b)  on behalf of the board of directors of the issuer, any two
directors of the issuer, other than the persons referred to in paragraph
(a), duly authorized to sign;  and 

     (c)  any person or company who is a promoter of the issuer:

               "This short form prospectus, together with the documents
incorporated in this prospectus by reference, will, as of the date of the
last supplement to this prospectus relating to the securities offered by
this prospectus and the supplement(s), constitute full, true and plain
disclosure of all material facts relating to the securities offered by this
prospectus and the supplement(s) as required by the securities legislation
of [insert name of each jurisdiction in which qualified] [insert if
distribution made in Quebec---"and will not contain any misrepresentation
likely to affect the value or the market price of the securities to be
distributed"]". 

1.2  Underwriters' Certificates - A preliminary base shelf prospectus and
a base shelf prospectus shall contain an underwriter's certificate in the
following form signed by each underwriter who, at the time of filing, is,
or it is known will be, in a contractual relationship with the issuer for
the securities to be distributed under the base shelf prospectus, if

     (a)  the base shelf prospectus establishes an MTN program or other
continuous distribution; or 

     (b)  method 2 has not been elected by the underwriter:

               "To the best of our knowledge, information and belief,
this short form prospectus, together with the documents incorporated in
this prospectus by reference will, as of the date of the last supplement to
this prospectus relating to the securities offered by this prospectus and
the supplement(s), constitute full, true and plain disclosure of all
material facts relating to the securities offered by this prospectus and
the supplement(s) as required by the securities legislation of [insert name
of each jurisdiction in which qualified] [insert if distribution made in
Quebec---"and will not contain any misrepresentation likely to affect the
value or the market price of the securities to be distributed"].".

1.3  Credit Supporter's Certificate - A preliminary base shelf prospectus
and a base shelf prospectus shall contain a certificate in the form
described in section 1.1 signed by a credit supporter of the securities to
be distributed under the base shelf prospectus, if

     (a)  National Instrument 44-101 requires a prospectus certificate of
the credit supporter; and 

     (b)  either

          (i)  the base shelf prospectus establishes an MTN program or
other continuous distribution, or

          (ii) method 2 has not been elected by the credit supporter.

1.4  Amendments  

(1)  An amendment to a base shelf prospectus or an amended and restated
base shelf prospectus shall, subject to subsection (2), contain 

     (a)  the certificates required under section 1.1 to be included in a
base shelf prospectus, if the base shelf prospectus contains an issuer's
certificate in the form described in section 1.1;

     (b)  the certificates required under section 1.2 to be included in a
base shelf prospectus, if the base shelf prospectus contains an
underwriter's certificate in the form described in section 1.2; and

     (c)  the certificate required under section 1.3 to be included in a
base shelf prospectus, if the base shelf prospectus contains a credit
supporter's certificate in the form described in section 1.3.

(2)  In each certificate required under subsection (1), the reference to
"this short form prospectus" shall be omitted and replaced by 

     (a)  in the case of an amendment to a base shelf prospectus, "the
short form prospectus dated [insert date] as amended by this amendment";
and

     (b)  in the case of an amended and restated base shelf prospectus,
"this amended and restated short form prospectus".

PART 2    Shelf Prospectus Supplements establishing an MTN Program

2.1  Certificate of Issuer and Promoter - If an issuer's certificate in
the form described in section 1.1 was not included in the corresponding
base shelf prospectus, a shelf prospectus supplement that establishes an
MTN program or other continuous distribution shall contain a certificate in
the following form signed by 

     (a)  the chief executive officer and the chief financial officer of
the issuer or, if no such officers have been appointed, a person acting on
behalf of the issuer in a capacity similar to that of a chief executive
officer and a person acting on behalf of the issuer in a capacity similar
to that of a chief financial officer;

     (b)  on behalf of the board of directors of the issuer, any two
directors of the issuer, other than the persons referred to in paragraph
(a), duly authorized to sign; and 

     (c)  any person or company who is a promoter of the issuer:

          "The short form prospectus, together with the documents
incorporated in the prospectus by reference, as supplemented by the
foregoing, will, as of the date of the last supplement to the prospectus
relating to the securities offered by the prospectus and the supplement(s),
constitute full, true and plain disclosure of all material facts relating
to the securities offered by the prospectus and the supplement(s) as
required by the securities legislation of [insert name of each jurisdiction
in which qualified] [insert if distribution made in Quebec---"and will not
contain any misrepresentation likely to affect the value or the market
price of the securities to be distributed"].".

2.2  Underwriters' Certificates - A shelf prospectus supplement that
establishes an MTN program or other continuous distribution shall contain a
certificate in the following form signed by each underwriter who

     (a)  is in a contractual relationship with the issuer for the
securities being distributed under the shelf prospectus supplement; and

     (b)  did not sign and include in the corresponding base shelf
prospectus a certificate in the form described in section 1.2:

          "To the best of our knowledge, information and belief, the
short form prospectus, together with the documents incorporated in the
prospectus by reference, as supplemented by the foregoing, will, as of the
date of the last supplement to the prospectus relating to the securities
offered by the prospectus and the supplement(s), constitute full, true and
plain disclosure of all material facts relating to the securities offered
by the prospectus and the supplement as required by the securities
legislation of [insert name of jurisdiction in which qualified] [insert if
distribution made in Quebec---"and will not contain any misrepresentation
likely to affect the value or the market price of the securities to be
distributed"]".

2.3  Credit Supporter's Certificate - A shelf prospectus supplement that
establishes an MTN program or other continuous distribution shall contain a
certificate in the form described in section 2.1 signed by a credit
supporter of the securities being distributed under the shelf prospectus
supplement, if

     (a)  National Instrument 44-101 requires a prospectus certificate of
the credit supporter; and

     (b)  a prospectus certificate of the credit supporter in the form
described in section 1.3 was not included in the corresponding base shelf
prospectus.

2.4  Amendments  

(1)  An amendment to a shelf prospectus supplement or an amended and
restated shelf prospectus supplement that establishes an MTN program or
other continuous distribution shall, subject to subsection (2), contain 

     (a)  the certificates required under section 2.1 to be included in a
shelf prospectus supplement, if the shelf prospectus supplement contains an
issuer's certificate in the form described in section 2.1;

     (b)  the certificates required under section 2.2 to be included in a
shelf prospectus supplement, if the shelf prospectus supplement contains an
underwriter's certificate in the form described in section 2.2; and 

     (c)  the certificate required under section 2.3 to be included in a
shelf prospectus supplement, if the shelf prospectus supplement contains a
credit supporter's certificate in the form described in section 2.3.

(2)  In each certificate required under subsection (1), the reference to
"this shelf prospectus supplement" shall be omitted and replaced by 

     (a)  in the case of an amendment to a shelf prospectus supplement,
"the shelf prospectus supplement dated [insert date] as amended by this
amendment"; and

     (b)  in the case of an amended and restated shelf prospectus
supplement, "this amended and restated shelf prospectus supplement".


     NATIONAL INSTRUMENT 44-102
     SHELF DISTRIBUTIONS
     APPENDIX B
METHOD 2 FOR SHELF PROSPECTUS CERTIFICATES

METHOD 2: NON-FORWARD LOOKING PROSPECTUS CERTIFICATES TO BE INCLUDED IN
BOTH BASE SHELF PROSPECTUSES AND SUPPLEMENTS

PART 1    Base Shelf Prospectus

1.1  Certificate of Issuer and Promoter - If method 2 is elected by an
issuer, a preliminary base shelf prospectus and a base shelf prospectus
shall contain a certificate in the following form signed by 

     (a)  the chief executive officer and the chief financial officer of
the issuer or, if no such officers have been appointed, a person acting on
behalf of the issuer in a capacity similar to that of a chief executive
officer and a person acting on behalf of the issuer in a capacity similar
to that of a chief financial officer;

     (b)  on behalf of the board of directors of the issuer, any two
directors of the issuer, other than the persons referred to in paragraph
(a), duly authorized to sign; and 

     (c)  any person or company who is a promoter of the issuer:

          "This short form prospectus, together with the documents
incorporated in this prospectus by reference, constitutes full, true and
plain disclosure of all material facts relating to the securities offered
by this prospectus as required by the securities legislation of [insert
name of each jurisdiction in which qualified] [insert if distribution made
in Quebec---"and does not contain any misrepresentation likely to affect
the value or the market price of the securities to be distributed"]".

1.2  Underwriters' Certificates - A preliminary base shelf prospectus and
a base shelf prospectus shall contain an underwriter's certificate in the
following form signed by each underwriter who 

     (a)  at the time of filing, is, or it is known will be, in a
contractual relationship with the issuer for the securities to be
distributed under the base shelf prospectus; and

     (b)  elects method 2:

          "To the best of our knowledge, information and belief, the
short form prospectus, together with the documents incorporated in the
prospectus by reference, constitutes full, true and plain disclosure of all
material facts relating to the securities offered by this prospectus as
required by the securities legislation of [insert name of each jurisdiction
in which qualified] [insert if distribution made in Quebec---"and does not
contain any misrepresentation likely to affect the value or the market
price of the securities to be distributed"]".

1.3  Credit Supporter's Certificate - A base shelf prospectus shall
contain a certificate in the form described in section 1.1 signed by a
credit supporter of the securities to be distributed under the base shelf
prospectus, if

     (a)  National Instrument 44-101 requires a prospectus certificate of
the credit supporter; and 

     (b)  method 2 is elected by the credit supporter.

1.4  Amendments  

(1)  An amendment to a base shelf prospectus or an amended and restated
base shelf prospectus shall, subject to subsection (2), contain 

     (a)  the certificates required under section 1.1 to be included in a
base shelf prospectus, if the issuer has elected method 2;

     (b)  the certificate described in section 1.2 signed by each
underwriter who

          (i)  at the time of filing the amendment or the amended and
restated base shelf prospectus, is, or it is known will be, in a
contractual relationship with the issuer for the securities to be
distributed under the base shelf prospectus, and

          (ii) has elected method 2; and 

     (c)  the certificate required under section 1.3 to be included in a
base shelf prospectus, if the base shelf prospectus contains a credit
supporter's certificate in the form described in section 1.3.

(2)  In each certificate required under subsection (1), the reference to
"this short form prospectus" shall be omitted and replaced by 

     (a)  in the case of an amendment to a base shelf prospectus, "the
short form prospectus dated [insert date] as amended by this amendment";
and

     (b)  in the case of an amended and restated base shelf prospectus,
"this amended and restated short form prospectus".

PART 2    Shelf Prospectus Supplement

2.1  Certificate of Issuer and Promoter - If method 2 is elected by an
issuer, each shelf prospectus supplement shall contain a certificate in the
following form signed by 

     (a)  the chief executive officer and the chief financial officer of
the issuer or, if no such officers have been appointed, a person acting on
behalf of the issuer in a capacity similar to that of a chief executive
officer and a person acting in a capacity similar to that of a chief
financial officer;

     (b)  on behalf of the board of directors of the issuer, any two
directors of the issuer, other than the persons referred to in paragraph
(a) duly authorized to sign; and 

     (c)  any person or company who is a promoter of the issuer:

          "The short form prospectus, together with the documents
incorporated in the prospectus by reference, as supplemented by the
foregoing, constitutes full, true and plain disclosure of all material
facts relating to the securities offered by the prospectus and this
supplement as required by the securities legislation of [insert name of
each jurisdiction in which qualified] [insert if distribution made in
Quebec---"and does not contain any misrepresentation likely to affect the
value or the market price of the securities to be distributed"].".

2.2  Underwriters' Certificates - Each shelf prospectus supplement shall
contain a certificate in the following form signed by each underwriter who

     (a)  is in a contractual relationship with the issuer for the
securities being distributed under the supplement; and

     (b)  has elected method 2:

          "To the best of our knowledge, information and belief, the
short form prospectus, together with the documents incorporated in the
prospectus by reference, as supplemented by the foregoing, constitutes
full, true and plain disclosure of all material facts relating to the
securities offered by the prospectus and this supplement as required by the
securities legislation of [insert name of each jurisdiction in which
qualified] [insert if distribution made in Quebec---"and does not contain
any misrepresentation likely to affect the value or the market price of the
securities to be distributed"].".

2.3  Credit Supporter's Certificate - Each shelf prospectus supplement
shall contain a certificate in the form described in section 2.1 signed by
a credit supporter of the securities being distributed under the shelf
prospectus supplement, if

     (a)  National Instrument 44-101 requires a prospectus certificate of
the credit supporter; and 

     (b)  method 2 is elected by the credit supporter.

2.4  Amendments  

(1)  An amendment to a shelf prospectus supplement or an amended and
restated shelf prospectus supplement shall, subject to subsection (2),
contain 

     (a)  the certificates required under section 2.1 to be included in a
shelf prospectus supplement, if the shelf prospectus supplement contains an
issuer's certificate in the form described in section 2.1;

     (b)  the certificate described in section 2.2 signed by each
underwriter who

          (i)  at the time of filing the amendment or the amended and
restated shelf prospectus supplement, is in a contractual relationship with
the issuer for the securities being distributed under the shelf prospectus
supplement, and

          (ii) has elected method 2; and

     (c)  the certificate required under section 2.3 to be included in a
shelf prospectus supplement, if the shelf prospectus supplement contains a
credit supporter's certificate in the form described in section 2.3.

(2)  In each certificate required under subsection (1), the reference to
"this shelf prospectus supplement" shall be omitted and replaced by 

     (a)  in the case of an amendment to a shelf prospectus supplement,
"the shelf prospectus supplement dated [insert date] as amended by this
amendment"; and

     (b)  in the case of an amended and restated shelf prospectus
supplement, "this amended and restated shelf prospectus supplement".



     ALBERTA SECURITIES COMMISSION RULE 44-802

     IMPLEMENTING

      NATIONAL INSTRUMENT 44-102

     SHELF DISTRIBUTIONS

PART  1   DEFINITIONS

1.1  Definitions

     (a)  In this Rule:

          (i)  "NI 44-101" means National Instrument 44-101 Short Form
Prospectus Distributions;

          (ii) "NI 44-102" means National Instrument 44-102 Shelf
Distributions; and

          (iii)     "shelf distribution" means a distribution:

               (A)  in respect of which a preliminary base shelf
prospectus and base shelf prospectus that comply with the requirements of
NI 44-102 are filed under section 81 of the Act in accordance with the
requirements and procedures set out in NI 44-102;

               (B)  in respect of which the preliminary base shelf
prospectus and base shelf prospectus referred to in paragraph (A) are
supplemented and amended under sections 85 and 89 of the Act to the extent
required by, and in accordance with, the procedures set out in NI 44-102;
and

               (C)  for which the procedures of NI 44-102 are available
and that otherwise complies with the requirements and procedures set out in
the Act and the Alberta Securities Commission rules as varied by NI 44-102
and this Rule. 

     (b)  Each term used in this Rule that is defined or interpreted in
Part 1 of  NI 44-102 has the meaning given to it in that Part.

PART  2   EXEMPTIONS FROM CERTAIN PROSPECTUS REQUIREMENTS 

2.1   Exemptions from Part 8 of the Act

     To the extent that they are inconsistent with NI 44-101, as varied by
NI 44-102, the requirements of Part 8 of the Act and the Alberta Securities
Commission Rules thereunder, as they concern the form and content of a
preliminary prospectus and a prospectus, do not apply to a shelf
distribution. 

PART 3    LAPSE DATE

3.1  Lapse Date Specified

     The lapse date for a receipt issued for a base shelf prospectus is
the date 25 months from the date of the issuance of the receipt.


PART 4    EFFECTIVE DATE

4.1  Effective Date 

     This Rule comes into force on December 31, 2000.
________________________________________________________________________

     REPEAL OF 
     ALBERTA SECURITIES COMMISSION
     ORDER 

The order of the Alberta Securities Commission dated May 9, 1991, In the
Matter of National Policy Statement No. 44 - "Rules for Shelf Prospectus
Offerings and for Pricing Offerings after the Final Prospectus is
Receipted"  (the "May 9, 1991 Order"), is repealed.

Effective Date

The repeal of the May 9, 1991 Order is effective on December 31, 2000.
________________________________________________________________________

NATIONAL INSTRUMENT 44-103

POST-RECEIPT PRICING

     TABLE OF CONTENTS

     PART 1    DEFINITIONS AND INTERPRETATION     
     1.1  Definitions    
          1.2  Amendments     

     PART 2    USE OF THE PREP PROCEDURES    
          2.1  Prohibited Offerings     
          2.2  Opting out of the PREP Procedures After a Preliminary
Prospectus has been Receipted and before a Prospectus has been Receipted   
          2.3  Opting into the PREP Procedures After a Preliminary
Prospectus has been Receipted and before the Prospectus has been Receipted 
          2.4  Opting out of the PREP Procedures After a Prospectus has
been Receipted 

     PART 3    BASE PREP PROSPECTUSES   
          3.1  Form of Base PREP Prospectus  
          3.2  Required Disclosure 
          3.3  Disclosure that may be Omitted     
          3.4  Issuance of Receipt 
          3.5  Expiry of Receipt   
          3.6  Amendment to a Base PREP Prospectus     

     PART 4    SUPPLEMENTED PREP PROSPECTUSES     
          4.1  Requirement to Use a Supplemented PREP Prospectus 
          4.2  Incorporation by Reference    
          4.3  Restriction on Changes   
          4.4  Changes in the Size of Distribution     
          4.5  Required Disclosure 
          4.6  Legend to be Omitted     
          4.7  Amendment to a Supplemented PREP Prospectus  
          4.8  Timing of Filing of Supplemented PREP Prospectus  
          4.9  Delivery Requirement     
          4.10 Underwriting Agreements  

     PART 5    TRANSITIONAL PREP PROCEDURES  
          5.1  Transitional PREP Procedures  

     PART 6    EXEMPTIONS     
          6.1  Exemption 
          6.2  Evidence of Exemption

NATIONAL INSTRUMENT 44-103
POST-RECEIPT PRICING

PART 1 DEFINITIONS AND INTERPRETATION

1.1  Definitions

(1)  In this Instrument

     "base PREP prospectus" means a prospectus that at the time of
issuance of a receipt for the prospectus omits some or all of the PREP
information as permitted by this Instrument;

     "PREP information" means the information permitted by this Instrument
to be omitted from a base PREP prospectus;

     "PREP procedures" means the requirements in this Instrument for the
distribution under a base PREP prospectus and a supplemented PREP
prospectus of securities, the price of which is determined after a receipt
has been obtained for the base PREP prospectus; and

     "supplemented PREP prospectus" means a prospectus filed under the
PREP procedures containing PREP information.

(2)  All terms defined in National Instrument 44-101 Short Form Prospectus
Distributions and used, but not defined, in this Instrument have the
respective meanings ascribed to them in National Instrument 44-101.

1.2  Amendments - References in this Instrument to an amendment to a
prospectus include both an amendment that does not fully restate the text
of a prospectus and an amended and restated prospectus.

PART 2 USE OF THE PREP PROCEDURES

2.1  Prohibited Offerings - Despite the other provisions of this
Instrument, the PREP procedures shall not be used for a distribution of
rights under a rights offering.

2.2  Opting out of the PREP Procedures After a Preliminary Prospectus has
been Receipted and before a Prospectus has been Receipted - An issuer that
has obtained a receipt for a preliminary base PREP prospectus for a
distribution of securities shall not file a prospectus for the distribution
that is not a base PREP prospectus, unless the issuer files a covering
letter, before or concurrently with the filing of the prospectus, stating
that the issuer or the selling security holder, as the case may be, has
decided not to use the PREP procedures for the distribution.

2.3  Opting into the PREP Procedures After a Preliminary Prospectus has
been Receipted and before the Prospectus has been Receipted - An issuer
that has obtained a receipt for a preliminary prospectus that is not a
preliminary base PREP prospectus for a distribution of securities shall not
file a base PREP prospectus for the distribution, unless the issuer files a
covering letter, before or concurrently with the base PREP prospectus,
stating that the issuer or the selling security holder, as the case may be,
has decided to use the PREP procedures for the distribution.

2.4  Opting out of the PREP Procedures After a Prospectus has been
Receipted - If a receipt has been issued for a base PREP prospectus for a
distribution of securities and the issuer or the selling security holder
decides, before a supplemented PREP prospectus is filed, no longer to use
the PREP procedures for the distribution, the issuer shall file 

     (a)  either

          (i)  an amended prospectus that is not a base PREP prospectus
or a supplemented PREP prospectus, or

          (ii) a new preliminary prospectus that is not a preliminary
base PREP prospectus; and

     (b)  a covering letter stating that the issuer or the selling
security holder, as the case may be, has decided not to use the PREP
procedures for the distribution.

PART 3 BASE PREP PROSPECTUSES

3.1  Form of Base PREP Prospectus - The required form of prospectus under
securities legislation may be varied for a PREP prospectus to the extent
provided for in this Instrument.

3.2  Required Disclosure

(1)  A base PREP prospectus of an issuer shall contain the following:

     1.   A statement at the top of the cover page identifying the
prospectus as a base PREP prospectus.

     2.   The following statement in red ink and in italics on the cover
page:

               "This [insert throughout, if applicable, "short form"]
prospectus has been filed under procedures in [insert names of each
jurisdiction where qualified] that permit certain information about these
securities to be determined after the prospectus has become final and that
permit the omission of that information from this prospectus. The
procedures require the delivery to purchasers of a supplemented PREP
prospectus containing the omitted information within a specified period of
time after agreeing to purchase any of these securities."

     3.   A statement that all disclosure contained in a supplemented
PREP prospectus that is not contained in the base PREP prospectus will be
incorporated by reference into the base PREP prospectus as of the date of
the supplemented PREP prospectus.

     4.   If securities other than shares are being distributed, a
statement of the aggregate dollar amount of securities to which the base
PREP prospectus pertains.

     5.   If shares are being distributed,

          (a)  the aggregate dollar amount of the shares to which the
base PREP prospectus pertains, if

               (i)  the proceeds of the offering are to be applied to a
specific purpose identified in the prospectus and a minimum amount must be
raised through the offering in order to accomplish the purpose, and 

               (ii) there is no pre-existing trading market in which
securities of the same class as the securities to be distributed under the
prospectus are traded; and

          (b)  otherwise, either the aggregate number, or the aggregate
dollar amount, of the shares to which the base PREP prospectus pertains.

     6.   Any earnings coverage ratios required under securities
legislation, which may be expressed as ranges based on a reasonable
estimate of the PREP information.

     7.   A  certificate in the following form signed by 

          (a)  the chief executive officer and the chief financial
officer, or, if no such officers have been appointed, a person acting on
behalf of the issuer in a capacity similar to a chief executive officer and
a person acting on behalf of the issuer in a capacity similar to that of a
chief financial officer;

          (b)  on behalf of the board of directors of the issuer, any
two directors of the issuer, duly authorized to sign, other than the
persons referred to in paragraph (a), and 

          (c)  any person or company who is a promoter of the issuer:

               "This [insert, if applicable, "short form"] prospectus,
together with the documents and information incorporated herein by
reference, will, as of the date of the supplemented prospectus providing
the information permitted to be omitted from this prospectus, constitute
full, true and plain disclosure of all material facts relating to the
securities offered by this prospectus as required under securities
legislation of [insert name of each jurisdiction in which qualified]. 
[Insert if distribution made in Qu‚bec - "For the purpose of the Province
of Qu‚bec, this [describe document], [insert in the case of short form
prospectus distributions - "simplified prospectus,as supplemented by the
permanent information record,"] will as of the date of the supplemented
prospectus contain no misrepresentation likely to affect the value or the
market price of the securities to be distributed."]"

     8.   A certificate in the following form signed by each underwriter,
if any, who for the securities to be distributed under the prospectus, is
in a contractual relationship with the issuer or selling security holder:

               "To the best of our knowledge, information and belief,
this [insert, if applicable, "short form"] prospectus, together with the
documents incorporated herein by reference, will, as of the date of the
supplemented prospectus providing the information permitted to be omitted
from this prospectus, constitute full, true and plain disclosure of all
material facts relating to the securities offered by this prospectus as
required under securities legislation of [insert name of each jurisdiction
in which qualified].  [Insert if distribution made in Qu‚bec - "For the
purpose of the Province of Qu‚bec, to our knowledge, this [describe
document], [insert in the case of short form prospectus distributions -
"simplified prospectus, as supplemented by the permanent information
record,"]  will as of the date of the supplemented prospectus contain no
misrepresentation likely to affect the value or the market price of the
securities to be distributed."]"

     9.   If securities legislation requires a prospectus certificate of
a credit supporter, a certificate in the form described in paragraph 7
signed by the credit supporter and if the credit supporter is a corporation
signed by

          (a)  the chief executive officer and the chief financial
officer or, if no such officers have been appointed, a person acting on
behalf of the credit supporter in a capacity similar to a chief executive
officer and a person acting on behalf of the credit supporter in a capacity
similar to that of a chief financial officer;and

          (b)  on behalf of the board of directors, of the credit
supporter, any two directors of the credit supporter duly authorized to
sign, other than the persons referred to in paragraph (a).

(2)  Despite subsection (1), a preliminary base PREP prospectus is not
required to contain the information required in paragraphs 4, 5 and 6 of
subsection (1), if the information is not known at the time of filing the
preliminary base PREP prospectus.

3.3  Disclosure that may be Omitted - A base PREP prospectus may omit the
following:

     1.   The public offering price of the securities to be distributed.

     2.   The amount of cash underwriting fees, discounts and commissions
for the distribution of the securities.

     3.   The net proceeds of the distribution.

     4.   If shares are being distributed and only the aggregate number
of securities to be distributed is disclosed and the aggregate dollar
amount of shares is not required to be disclosed under paragraph 5 of
subsection 3.2(1), the gross proceeds of the distribution.

     5.   Any dividend or interest rate of the securities to be
distributed.

     6.   Any dividend or interest payment dates, record dates and any
dates from which dividends or interest accrue for the securities to be
distributed.

     7.   Any redemption, purchase for cancellation, conversion and
exchange prices of the securities.

     8.   The identity of the members of the underwriting syndicate,
other than the lead underwriter and any co-lead underwriter and the
disclosure required under Item 14 of Form 44-101F3 Short Form Prospectus.

     9.   The delivery dates of securities to be purchased under the
distribution.

     10.  If one or more underwriters have agreed to purchase the
securities to be distributed at a specified price, the statement required
under securities legislation that the securities are to be taken up by the
underwriters, if at all, on or before a specified date.

     11.  If the securities to be distributed are underwritten on a best
efforts basis for which a minimum amount of funds are required by an
issuer, disclosure required under securities legislation concerning the
maximum length of time for which the distribution may continue and
concerning the disposition of subscription funds.

     12.  Other terms of the securities to be distributed that are
mathematically derivable from any of the information referred to in
paragraphs 1 through 11.

3.4  Issuance of Receipt - Despite the omission of PREP information, the
regulator may issue a receipt for a base PREP prospectus.

3.5  Expiry of Receipt

     (1)  Subject to subsection (2), a receipt issued for a base PREP
prospectus expires 90 days after issuance unless a supplemented PREP
prospectus is filed within the 90 day period.

     (2)  If a supplemented PREP prospectus is not filed within 20 days
of the filing of a base PREP prospectus, the receipt issued for the base
PREP prospectus expires at the time immediately before the entering into of
the first agreement of purchase and sale for a security to which the base
PREP prospectus pertains, unless a receipt has been issued within the
preceding 20 days for an amended base PREP prospectus that updates to the
date of the filing of the amended base PREP prospectus all of the
disclosure contained in the base PREP prospectus.

3.6  Amendment to a Base PREP Prospectus - An amendment to a base PREP
prospectus, other than an amendment filed under section 2.4 to opt out of
the PREP procedures, shall contain the certificates required under
subsection 3.2(1) to be included in a base PREP prospectus with the
following changes: 

     1.   If the amendment is not a restatement of the base PREP
prospectus, insert the phrase "as amended by this amendment" after the
reference in each certificate to the base PREP prospectus.

     2.   If the amendment is an amended and restated base PREP
prospectus, preface the reference in each certificate to the document with
the phrase "this amended and restated".

PART 4 SUPPLEMENTED PREP PROSPECTUSES

4.1  Requirement to Use a Supplemented PREP Prospectus - An issuer or
selling security holder that distributes securities under a base PREP
prospectus shall supplement the disclosure in the base PREP prospectus with
a supplemented PREP prospectus in order for the prospectus to contain full,
true and plain disclosure of all material facts relating to the securities
distributed under the prospectus.

4.2  Incorporation by Reference - The content of a supplemented PREP
prospectus that is not also contained in the corresponding base PREP
prospectus is incorporated by reference in the base PREP prospectus as of
the date of the supplemented PREP prospectus.

4.3  Restriction on Changes - A supplemented PREP prospectus shall be
identical to the corresponding base PREP prospectus, except for the changes
permitted or required under this Part.

4.4  Changes in the Size of Distribution 

(1)  The size of the distribution as disclosed in the base PREP prospectus
under paragraph 4 or 5 of subsection 3.2(1) may be increased or decreased
by up to 20 percent in a supplemented PREP prospectus.

(2)  If the size of the distribution as disclosed in the base PREP
prospectus under paragraph 4 or 5 of subsection 3.2(1) is increased or
decreased by up to 20 percent in a supplemented PREP prospectus and that
increase or decrease is a material change, the provisions of securities
legislation that require the filing of an amendment to a prospectus if a
material change occurs are satisfied by the filing of the supplemented PREP
prospectus.

(3)  Despite the provisions of securities legislation regarding the
prescribed form of certificates for prospectus amendments, a supplemented
PREP prospectus filed in order to satisfy provisions of securities
legislation that require the filing of an amendment to a prospectus if a
material change occurs shall contain the certificates required in
subsection 4.5(2).

4.5  Required Disclosure

(1)  A supplemented PREP prospectus shall be dated the date that the
public offering price of the securities is determined.

(2)  A supplemented PREP prospectus shall contain the following:

     1.   All of the PREP information omitted from the base PREP
prospectus.

     2.   Instead of the earnings coverage ratios expressed as ranges
based on a reasonable estimate of the PREP information as permitted under
paragraph 6 of subsection 3.2(1), the earnings coverage ratios required
under securities legislation.

     3.   Instead of the prospectus certificate required under paragraph
7 of subsection 3.2(1), a certificate in the following form signed by 

     (a)  the chief executive officer and the chief financial officer,
or, if no such officers have been appointed, a person acting on behalf of
the issuer in a capacity similar to a chief executive officer and a person
acting on behalf of the issuer in a capacity similar to that of a chief
financial officer;

     (b)  on behalf of the board of directors of the issuer, any two
directors of the issuer, duly authorized to sign, other than the persons
referred to in paragraph (a), and 

     (c)  any person of company who is a promoter of the issuer:

          "This [insert, if applicable, "short form"] prospectus,
together with the documents information incorporated herein by reference,
constitutes full, true and plain disclosure of all material facts relating
to the securities offered by this prospectus as required under securities
legislation of [insert name of each jurisdiction in which qualified]. 
[Insert if distribution made in Qu‚bec - "For the purpose of the Province
of Qu‚bec, this [describe document], [insert in the case of short form
prospectus distributions - "simplified prospectus,as supplemented by the
permanent information record,"] contains no misrepresentation likely to
affect the value or the market price of the securities to be
distributed."]"

     4.   Instead of the prospectus certificate required under paragraph
8 of subsection 3.2(1), a certificate in the following form signed by the
each underwriter, if any, who for the securities to be distributed under
the prospectus, is in a contractual relationship with the issuer or selling
security holder:

               "To the best of our knowledge, information and belief,
this [insert throughout in the case of short form prospectus distributions
- "short form"] [insert in the case of short form prospectus distributions
- ", together with the documents incorporated herein by reference,"]
constitutes full, true and plain disclosure of all material facts relating
to the securities offered by this prospectus as required under the
securities legislation of [insert name of each jurisdiction in which
qualified].  [Insert if distribution made in Qu‚bec - "For the purpose of
the Province of Qu‚bec, this [insert in the case of short form prospectus
distributions - "simplified prospectus, as supplemented by the permanent
information record,"] contains no misrepresentation that is likely to
affect the value or the market price of the securities to be
distributed."]"

     5.   Instead of the prospectus certificate required under paragraph
9 of subsection 3.2(1), a certificate signed by a credit supporter in the
form described in paragraph 3 if securities legislation requires a
prospectus certificate of a credit supporter.

     6.   A list and brief description of each document that has been
incorporated by reference in the base PREP prospectus since the issuance of
a receipt for the base PREP prospectus.

4.6  Legend to be Omitted - A supplemented PREP prospectus shall omit the
legend required under paragraph 2 of subsection 3.2(1).

4.7  Amendment to a Supplemented PREP Prospectus - An amendment to a
supplemented PREP prospectus shall contain the certificates required under
subsection 4.5(2) to be included in a supplemented PREP prospectus with the
following changes: 

     1.   If the amendment is not a restatement of the supplemented PREP
prospectus, the phrase "as amended by this amendment" inserted after the
reference in each certificate to the supplemented PREP prospectus.

     2.   If the amendment is an amended and restated supplemented PREP
prospectus, the reference in each certificate to the document prefaced by
the phrase "this amended and restated".

4.8  Timing of Filing of Supplemented PREP Prospectus - If securities are
distributed using the PREP procedures in the local jurisdiction, a
supplemented PREP prospectus prepared in accordance with this Instrument
shall be filed in the local jurisdiction by the second business day
following the date of the determination of the information omitted from the
base PREP prospectus.

4.9  Delivery Requirement - If securities are being distributed using the
PREP procedures, the requirement under securities legislation to deliver a
prospectus to a purchaser of securities shall be satisfied by the delivery
of a supplemented PREP prospectus.

4.10 Underwriting Agreements - Despite the provisions of securities
legislation, an underwriting agreement or other material contract that
relates to a distribution of securities that cannot be completed until the
distribution is priced and that is required under securities legislation to
be filed or delivered to the regulator with a prospectus 

     (a)  shall be filed or delivered, as the case may be, with the base
PREP prospectus in draft form and may omit PREP information; and

     (b)  shall be refiled or redelivered, as the case may be, in final
form, together with the supplemented PREP prospectus or base PREP
prospectus amendment containing the PREP information and a copy of the
agreement, blacklined against the draft form filed under paragraph (a).

PART 5 TRANSITIONAL PREP PROCEDURES

5.1  Transitional PREP Procedures

(1)  An issuer that has filed and obtained a receipt for a PREP prospectus
under National Policy Statement No. 44, or pursuant to securities
legislation in the Province of Qu‚bec,before this Instrument came into
force is considered to have filed and obtained a receipt for a base PREP
prospectus under this Instrument.

(2)  An issuer that has filed a preliminary PREP prospectus under National
Policy Statement No. 44, or pursuant to securities legislation in the
Province of Qu‚bec, is considered to have filed a preliminary base PREP
prospectus under this Instrument.

PART 6 EXEMPTIONS

6.1 Exemption 

(1)  The regulator or the securities regulatory authority may grant an
exemption from this Instrument, in whole or in part, subject to such
conditions or restrictions as may be imposed in the exemption.

(2)  Despite subsection (1), in Ontario and Alberta, only the regulator
may grant such an exemption.

(3)  An application made to the securities regulatory authority or
regulator for an exemption from this Instrument shall include a letter or
memorandum describing the matters relating to the exemption, and indicating
why consideration should be given to the granting of the exemption.

6.2 Evidence of Exemption

(1)  Subject to subsection (2) and without limiting the manner in which an
exemption under this Part may be evidenced, the granting of an exemption
under this Part may be evidenced by the issuance of a receipt for a base
PREP prospectus or an amendment to a base PREP prospectus.

(2)  An exemption under this Part may be evidenced in the manner set out
in subsection (1) only if

     (a)  the person or company that sought the exemption 

          (i)  sent to the regulator the letter or memorandum referred
to in subsection 6.1(3) on or before the date of the filing of the
preliminary base PREP prospectus, or

          (ii) sent to the regulator the letter or memorandum referred
to in subsection 6.1(3) after the date of the filing of the preliminary
base PREP prospectus and received a written acknowledgement from the
regulator that the exemption may be evidenced in the manner set out in
subsection (1); and 

     (b)  the regulator has not, before or concurrently with, the
issuance of the receipt, sent notice to the person or company that sought
the exemption that the exemption sought may not be evidenced in the manner
set out in subsection (1).

PART 6 EFFECTIVE DATE

6.1  Effective Date - This Instrument shall come into force on December
31, 2000.
________________________________________________________________________

     ALBERTA SECURITIES COMMISSION RULE 44-803

     IMPLEMENTING

      NATIONAL INSTRUMENT 44-103 
     POST-RECEIPT PRICING 

PART 1 DEFINITIONS

1.1  Definitions

     (a)  In this Rule, "NI 44-103" means National Instrument 44-103
Post-Receipt Pricing.

     (b)       Each term used in this Rule that is defined or
interpreted in Part 1 of  NI 44-103 has the meaning given to it in that
Part.

PART 2 EXEMPTION FROM CERTAIN PROSPECTUS REQUIREMENTS

2.1   Exemption from Prospectus Form and Content Requirements 

     To the extent that they are inconsistent with NI 44-103, the
requirements of Part 8 of the Act and the Alberta Securities Commission
Rules thereunder, as they concern the form and content of a preliminary
prospectus and a prospectus, do not apply to a distribution for which the
PREP procedures are available under, and that is effected in compliance
with, NI 44-103.

PART 3    EFFECTIVE DATE

3.1  Effective Date 

     This Rule comes into force on December 31, 2000.
________________________________________________________________________

     TREASURY

     CERTIFICATE OF REGISTRATION

     (Loan and Trust Corporations Act)

Notice is hereby given that a Certificate of Registration was issued to
Coril Trust Company on October 18, 2000. The effective date of the
Certificate is October 18, 2000.

Dated at Edmonton, Alberta, October 18, 2000.

     T.S. Stroich, FCA, Director, Financial Institutions.


     ADVERTISEMENTS

     INSURANCE NOTICE

     (Insurance Act)

     AMERICAN REINSURANCE COMPANY

Notice is hereby given that American Reinsurance Company has taken out a
licence in the Province of Alberta and is authorized to transact the
following classes of Insurance.

Accident and Sickness; Aircraft; Automobile; Boiler and Machinery; Credit;
Fidelity; Hail; Liability; Marine; Property; Surety

Effective October 27, 2000.

21-22     Randolf Scott, Chief Agent for Canada.
     _______________

     CIBC GENERAL INSURANCE COMPANY
     THE PERSONAL DIRECT INSURANCE COMPANY OF CANADA, and,
     LA PERSONNELLE DIRECTS, COMPAGNIE D'ASSURANCE DU CANADA

By virtue of amending letters patent, pursuant to section 225 of the
Insurance Companies Act of Canada dated September 1, 2000, the name of CIBC
General Insurance Company was changed to The Personal Direct Insurance
Company of Canada, and, La Personnelle Directs, Compagnie D'Assurance Du
Canada.

20-21
     _______________

     CT DIRECT INSURANCE INC./CT ASSURANCE DIRECTE INC.
     TD GENERAL INSURANCE COMPANY/COMPAGNIE
     D'ASSURANCES G�N�RALES TD

By virtue of amending letters patent dated August 31, 2000, the name of CT
Direct Insurance Inc. / CT assurance directe inc. was changed to TD General
Insurance Company / Compagnie d'assurances g‚n‚rales TD.

20-21     Lisette L. Cyr, Assistant Corporate Secretary.
     _______________

     THE LOYALIST INSURANCE COMPANY

Notice is hereby given that The Loyalist Insurance Company has taken out a
licence in the Province of Alberta, and is authorized to transact the
following clases of Insurance:

Automobile Fidelity, Liability, Property, Surety and Vehicle Warranty.

Effective October 24, 2000.

21-22     Mark Heintzman, Chief Operating Officer.



     NOTICE OF CERTIFICATE OF INTENT TO DISSOLVE

     (Business Corporations Act)

Notice is hereby given that a Certificate of Intent to Dissolve was issued
to Tempany Holdings Inc. on October 2, 2000.

Dated at Calgary, Alberta, October 18, 2000.
________________________________________________________________________

     NOTICE OF DISSOLUTION OF PARTNERSHIP

     (Partnership Act)

     A-1 CHESNEY AIR CARE

Take notice that on December 31, 1999, the partners of A-1 Chesney Air
Care, consisting of Chesney Sheet Metal Ltd. and A-1 Air Care Mechanical
Services Inc., respectively declared their intention to dissolve the
partnership effective immediately. The partnership was located at Calgary,
Alberta. This Notice is delivered in accordance with subsection 39(2) of
the Partnership Act (Alberta).

21-22
























     ALBERTA GOVERNMENT SERVICES
     _______________

     CORPORATE REGISTRY
     _______________

     REGISTRAR'S PERIODICAL


     ALBERTA GOVERNMENT SERVICES

     CORPORATE REGISTRY

     REGISTRAR'S PERIODICAL

CORPORATE REGISTRATIONS, INCORPORATIONS, AND CONTINUATIONS
 
(Business Corporations Act, Cemetery Companies Act, Companies Act,
Co-operative Associations Act, Credit Union Act, Loan and Trust
Corporations Act, Religious Societies' Land Act, Rural Utilities Act,
Societies Act, Partnership Act)
________________________________________________________________________

2000067 ONTARIO INC. Other Prov/Territory Corps Registered 2000 OCT 11
Registered Address: 4500, 855 - 2 STREET S.W., CALGARY ALBERTA, T2P 4K7.
No: 219009776.

3189503 CANADA LTD. Federal Corporation Registered 2000 OCT 10 Registered
Address: 3700, 400 - 3RD AVENUE S.W., CALGARY ALBERTA, T2P 4H2. No:
219007697.

383 HOLDINGS LTD. Named Alberta Corporation Incorporated 2000 OCT 10
Registered Address: 406, 501 - 18 AVENUE SW, CALGARY ALBERTA, T2S 0C7. No:
209008366.

3NET COMMUNICATIONS LTD. Named Alberta Corporation Incorporated 2000 OCT 10
Registered Address: 21 FOXBOROUGH GARDENS, ST. ALBERT ALBERTA, T8N 5E6. No:
209007251.

3WEB CORP. Named Alberta Corporation Incorporated 2000 OCT 10 Registered
Address: 3000, 237 - 4TH AVENUE SW, CALGARY ALBERTA, T2P 4X7. No:
209007020.

724 HUNTER INVESTMENTS INC. Named Alberta Corporation Incorporated 2000 OCT
10 Registered Address: 176 SCENIC RIDGE CR N.W., CALGARY ALBERTA, T3L 1V7.
No: 209007046.

891458 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 499 - 1ST STREET SE, MEDICINE HAT ALBERTA, T1A 0A7. No:
208914580.

895003 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 01
Registered Address: 6307 - 123 STREET, EDMONTON ALBERTA, T6H 3T3. No:
208950030.

895224 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 3828 EASTWOOD CRES, RED DEER ALBERTA, T4N 2W1. No:
208952242.

895265 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 3700, 400 - 3RD AVENUE S.W., CALGARY ALBERTA, T2P 4H2.
No: 208952655.

896593 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 3527- 18TH STREET SW, CALGARY ALBERTA, T2T 4T9. No:
208965939.


896595 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 2218 TUSCARORA MANOR NW, CALGARY ALBERTA, T3L 2J9. No:
208965954.

896675 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 11
Registered Address: 2600, 10180 - 101 STREET, EDMONTON ALBERTA, T5J 3Y2.
No: 208966754.

897190 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 116 HODSON CR, OKOTOKS ALBERTA, T0L1T1. No: 208971903.

897741 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 12
Registered Address: 12 MAPLE PLACE, CALGARY ALBERTA, T2V 1V7. No:
208977413.

899045 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 01
Registered Address: 1500, 736 - 6TH AVENUE S.W., CALGARY ALBERTA, T2P 3T7.
No: 208990457.

899173 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 05
Registered Address: 18067 - 107 AVENUE, EDMONTON ALBERTA, T5S 1K3. No:
208991737.

899429 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 2600, 10180 - 101 STREET, EDMONTON ALBERTA, T5J 3Y2.
No: 208994293.

899435 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 2600, 10180 - 101 STREET, EDMONTON ALBERTA, T5J 3Y2.
No: 208994350.

899457 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 2600, 10180 - 101 STREET, EDMONTON ALBERTA, T5J 3Y2.
No: 208994574.

899467 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 1780, 10123 - 99 STREET, EDMONTON ALBERTA, T5J 3H1. No:
208994673.

899470 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 2600, 10180 - 101 STREET, EDMONTON ALBERTA, T5J 3Y2.
No: 208994707.


899499 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 05
Registered Address: 9111 - 39 AVENUE, EDMONTON ALBERTA, T6E 5Y2. No:
208994996.

899562 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 01
Registered Address: 1059 56 ST NW, EDMONTON ALBERTA, T6L 1Y4. No:
208995621.

899571 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 600 CAPITAL PLACE, 9707 - 110 STREET, EDMONTON ALBERTA,
T5K 2L9. No: 208995712.

899631 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 01
Registered Address: 10306 - 158 AVENUE, EDMONTON ALBERTA, T5X 4H4. No:
208996314.

899632 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 4808 - 50 AVENUE, WETASKIWIN ALBERTA, T9A 0S2. No:
208996322.

899634 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 14019 - 63 ST., EDMONTON ALBERTA, T5A 1R6. No:
208996348.

899636 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 108, 9824 - 97 AVENUE, GRANDE PRAIRIE ALBERTA, T8V 7K2.
No: 208996363.

899641 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 3700, 400 - 3RD AVENUE S.W., CALGARY ALBERTA, T2P 4H2.
No: 208996413.

899646 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 10012-101 STREET, PEACE RIVER ALBERTA, T8S 1S2. No:
208996462.

899647 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 02
Registered Address: #418, 715-5 AVENUE S.W., CALGARY ALBERTA, T2P 2X6. No:
208996470.

899650 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 02
Registered Address: B309, 9612 FRANKLIN AVENUE, FORT MCMURRAY ALBERTA, T9H
2J9. No: 208996504.

899660 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 05
Registered Address: 9111 - 39 AVENUE, EDMONTON ALBERTA, T6E 5Y2. No:
208996603.

899673 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 10012-101 STREET, PEACE RIVER, ALBERTA, T8S 1S2. No:
208996736.

899678 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 390 BELANCA CRESCENT S.W., MEDICINE HAT ALBERTA, T1A
7Z1. No: 208996785.

899679 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 4507 54 ST, DRAYTON VALLEY ALBERTA, T7A 1K7. No:
208996793.

899688 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 1, 3295 DUNMORE RD SE, MEDICINE HAT ALBERTA, T1B 3R2.
No: 208996884.

899699 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 1042 REAL CR NE, CALGARY ALBERTA, T2E 5H1. No:
208996991.

899703 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 6 ROSEVIEW DR NW, CALGARY ALBERTA, T2K 1N7. No:
208997031.

899711 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 985 EAST AVENUE, PINCHER CREEK ALBERTA, T0K 1W0. No:
208997114.

899713 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 03
Registered Address: #800, 10310 JASPER AVENUE, EDMONTON ALBERTA, T5J 2W4.
No: 208997130.

899729 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 602, 734 - 7 AVENUE SW, CALGARY ALBERTA, T2P 3P8. No:
208997296.

899733 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 602, 734 - 7 AVENUE SW, CALGARY ALBERTA, T2P 3P8. No:
208997338.

899736 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 5307 - 109 A AVENUE, EDMONTON ALBERTA, T6A 1S6. No:
208997361.

899738 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 1000, 400 THIRD AVENUE S.W., CALGARY ALBERTA, T2P 4H2.
No: 208997387.

899742 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 96 ABERGALE WAY NE, CALGARY ALBERTA, T2A 6H7. No:
208997429.

899743 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 413 10TH ST SE, MEDICINE HAT ALBERTA, T1A 1R2. No:
208997437.

899748 ALBERTA INC. Numbered Alberta Corporation Incorporated 2000 OCT 02
Registered Address: #600, 5920 MACLEOD TRAIL SOUTH, CALGARY ALBERTA, T2H
0K2. No: 208997486.

899749 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 18611 - 122 AVE., EDMONTON ALBERTA, T5L 4H8. No:
208997494.

899755 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 10
Registered Address: 499 - 1ST STREET S.E., MEDICINE HAT ALBERTA, T1A 0A7.
No: 208997551.

899756 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 888, 10004 - 104 AVENUE, EDMONTON ALBERTA, T5J 0K1. No:
208997569.

899758 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 5014 - 50 STREET, VIKING ALBERTA, T0B 4N0. No:
208997585.

899759 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 1 HALLGREN DRIVE, SYLVAN LAKE ALBERTA, T4S 1T4. No:
208997593.

899763 ALBERTA INC. Numbered Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 2015 BAYFIELD PLACE S.W., CALGARY ALBERTA, T2V 3M7. No:
208997635.

899768 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 7201 96 ST, PEACE RIVER ALBERTA, T8S 1E3. No:
208997684.

899771 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 63 WOODGREEN DRIVE SW, CALGARY ALBERTA, T2W 4G6. No:
208997718.

899776 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 3000, 237 - 4 AVENUE S.W., CALGARY ALBERTA, T2P 4X7.
No: 208997767.

899777 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 2250 SCOTIA 1 10060 JASPER AVENUE, EDMONTON ALBERTA,
T5J 3R8. No: 208997775.

899779 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 201, 1731 - 9A STREET SW, CALGARY ALBERTA, T2T3E7. No:
208997791.

899782 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 3000, 237 - 4 AVENUE S.W., CALGARY ALBERTA, T2P 4X7.
No: 208997825.

899786 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 203 MISTY MORNING DRIVE, R.R. 10, CALGARY ALBERTA, T3Z
2Z8. No: 208997866.

899794 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 02
Registered Address: #600, 220 - 4 STREET SOUTH, LETHBRIDGE ALBERTA, T1J
4J7. No: 208997940.

899815 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 10711 - 46 STREET, EDMONTON ALBERTA, T6A 1Y7. No:
208998153.

899821 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 3200, 10180 - 101 STREET, EDMONTON ALBERTA, T5J 3W8.
No: 208998211.

899825 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 14 CHIPPEWA ROAD, SHERWOOD PARK ALBERTA, T8A 3Y1. No:
208998252.

899828 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 120 MUSKRAT ST, BANFF ALBERTA, T0L 0C0. No: 208998286.

899831 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 03
Registered Address: #1, 42ND STREET S.W., CALGARY ALBERTA, T3C 1Y2. No:
208998310.

899832 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 11, 5125 - 50 AVENUE, VERMILION ALBERTA, T9X 1A8. No:
208998328.

899842 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 1, 800 BOWCROFT PLACE, COCHRANE ALBERTA, T0L 0W1. No:
208998427.

899847 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 140, 55 CASTLERIDGE BLVD N.E., CALGARY ALBERTA, T3J
3J8. No: 208998476.

899848 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 1250 WEBER CENTRE, 5555 CALGARY TRAIL SOUTH, EDMONTON
ALBERTA, T6H 5P9. No: 208998484.

899862 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 1100-10303 JASPER AVE NW, EDMONTON ALBERTA, T5J 3N6.
No: 208998625.

899875 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 117 ARBOUR RIDGE CIRCLE N.W., CALGARY ALBERTA, T3G 3Y9.
No: 208998757.

899876 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 03
Registered Address: #108, 9824 - 97 AVENUE, GRANDE PRAIRIE ALBERTA, T8V
7K2. No: 208998765.

899877 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 03
Registered Address: OLD STRAHCONA LAW OFFICES 7904 - 103 STREET, EDMONTON
ALBERTA, T6E 6C3. No: 208998773.

899888 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 3302 - 44 ST, LEDUC ALBERTA, T9E 6S5. No: 208998880.

899891 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 88 VENTURA WAY N.E., CALGARY ALBERTA, T2E 8G5. No:
208998914.

899895 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 90 MOUNT GIBRALTAR HEIGHTS SE, CALGARY ALBERTA, T2Z
3R3. No: 208998955.

899896 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 2100, 777 - 8 AVENUE SW, CALGARY ALBERTA, T2P 3R5. No:
208998963.

899899 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 1202, 333 - 7 AVENUE S.W., CALGARY ALBERTA, T2P 2Z1.
No: 208998997.

899900 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 1202, 333 - 7 AVENUE S.W., CALGARY ALBERTA, T2P 2Z1.
No: 208999003.

899902 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 172 MILLPARK RD SW, CALGARY ALBERTA, T2Y 2M5. No:
208999029.


899905 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 209, 8989 MACLEOD TRAIL S.W., CALGARY ALBERTA, T2H 0M2.
No: 208999052.

899909 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 236 12 ST NW, MEDICINE HAT ALBERTA, T1A 6P9. No:
208999094.

899915 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 207, 9252 - 34 AVENUE, EDMONTON ALBERTA, T6E 5P2. No:
208999151.

899918 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 03
Registered Address: #2200, 411-1ST STREET SE, CALGARY ALBERTA, T2G 5E7. No:
208999185.

899919 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 2502 PINE PLAZA, GRANDE CACHE ALBERTA, T0E 0Y0. No:
208999193.

899929 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 10952 - GRANDE AVENUE, GRANDE CACHE ALBERTA, T0E 0Y0.
No: 208999292.

899935 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 10402 - SHAND AVENUE, GRANDE CACHE ALBERTA, T0E 0Y0.
No: 208999359.

899945 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 509 10080 JASPER AVE., EDMONTON ALBERTA, T5J 1V9. No:
208999458.

899951 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 509 10080 JASPER AVE., EDMONTON ALBERTA, T5J 1V9. No:
208999516.

899964 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 5011 53 AVENUE, PONOKA ALBERTA, T4J 1H4. No: 208999649.

899965 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 110 PATTERSON HILL S.W., CALGARY ALBERTA, T3H 3J3. No:
208999656.

899973 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 12306 120 AVE., EDMONTON ALBERTA, T5L 4T9. No:
208999730.

899983 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 04
Registered Address: #2140, 10123 - 99 STREET, EDMONTON ALBERTA, T5J 3H1.
No: 208999839.

899992 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 1000, 10035 - 105 STREET, EDMONTON ALBERTA, T5J 3T2.
No: 208999920.

899997 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 7734 - 78TH AVENUE, EDMONTON ALBERTA, T6C 0M9. No:
208999979.

899998 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 03
Registered Address: #1202, 333 - 7TH AVENUE S.W., CALGARY ALBERTA, T2P 2Z1.
No: 208999987.

899999 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 03
Registered Address: #1202, 333 - 7TH AVENUE S.W., CALGARY ALBERTA, T2P 2Z1.
No: 208999995.

900000 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 03
Registered Address: #1202, 333 - 7TH AVENUE S.W., CALGARY ALBERTA, T2P 2Z1.
No: 209000009.

900017 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 04
Registered Address: PLAN 8922260 BLOCK 1 NW27 83 23 W5 No: 209000173.

900018 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 2003 - 35 STREET, EDMONTON ALBERTA, T6L 3G1. No:
209000181.

900019 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 10339 - 121 STREET, EDMONTON ALBERTA, T5N 1K8. No:
209000199.

900028 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 05
Registered Address: C/O RAYMOND F. KUTZ, #201, 102 - 2 STREET S.W., SUNDRE
ALBERTA, T0M 1X0. No: 209000280.

900032 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 259, 16 MIDLAKE BLVD SE, CALGARY ALBERTA, T2X 2X7. No:
209000322.

900048 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 102,10171 SASKATCHEWAN DRIVE, EDMONTON ALBERTA, T6E
4R5. No: 209000488.

900053 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 40 WESTVIEW TRAILER CRT, WHITECOURT ALBERTA, T7S 1K4.
No: 209000538.

900055 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 5505 53 AVE, DRAYTON VALLEY ALBERTA, T7A 1S1. No:
209000553.

900064 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 10810 105 AVENUE, LACRETE ALBERTA, T0H 2H0. No:
209000645.

900067 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 22 OGDEN AVENUE, RED DEER ALBERTA, T4N 5B1. No:
209000678.


900072 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 04
Registered Address: #203, 1201 KINGSWAY AVE SE, MEDICINE HAT ALBERTA, T1A
2Y2. No: 209000728.

900086 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 11243 25 AVE NW, EDMONTON ALBERTA, T6J 4X5. No:
209000868.

900095 ALBERTA LIMITED Numbered Alberta Corporation Incorporated 2000 OCT
04 Registered Address: 5211 20 AVE NW, CALGARY ALBERTA, T3B 0V9. No:
209000959.

900100 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 20 WOODLAND CRESCENT, SYLVAN LAKE ALBERTA, T4S 1L9. No:
209001007.

900110 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 5502A - 48 AVENUE, TABER ALBERTA, T1G 1S5. No:
209001106.

900111 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 04
Registered Address: A211-1600 90 AVE SW, CALGARY ALBERTA, T2V 5A2. No:
209001114.

900113 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 168 MIDGLEN WAY SE, CALGARY ALBERTA, T2X 1G6. No:
209001130.

900115 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 20413-111 AVENUE, EDMONTON ALBERTA, T5S 1X9. No:
209001155.

900116 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 908, 5940 MACLEOD TRAIL SOUTH, CALGARY ALBERTA, T2H
2G4. No: 209001163.

900117 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 27 BRIDLEWOOD CIRCLE SW, CALGARY ALBERTA, T2Y 3L9. No:
209001171.

900118 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 2113 - 20 STREET, NANTON ALBERTA, T0L 1R0. No:
209001189.

900119 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 9710-105 STREET, EDMONTON ALBERTA, T5K 1A4. No:
209001197.

900123 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 05
Registered Address: 17010-90 AVENUE, EDMONTON ALBERTA, T5T 1L6. No:
209001239.

900139 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 163 RIVERVALLEY CR. SE, CALGARY ALBERTA, T2C 3C1. No:
209001395.

900143 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 1507 - 4TH STREET, NISKU ALBERTA, T9E 7M9. No:
209001437.

900154 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 2400, 10303 JASPER AVENUE, EDMONTON ALBERTA, T5J 3N6.
No: 209001544.

900160 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 2500, 10155 - 102 STREET, EDMONTON ALBERTA, T5J 4G8.
No: 209001601.

900164 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 204, 12044 FORT ROAD, EDMONTON ALBERTA, T5B 4H1. No:
209001643.

900165 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 2401 TD TOWER, 10088 102 AVENUE, EDMONTON ALBERTA, T5J
2Z1. No: 209001650.

900171 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 04
Registered Address: #640, 1414 - 8TH STREET S.W., CALGARY ALBERTA, T2R 1J6.
No: 209001718.

900177 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 43 WATERSTONE CRESCENT, AIRDRIE ALBERTA, T4B 2E5. No:
209001775.

900184 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 05
Registered Address: 300, 8170 - 50 STREET, EDMONTON ALBERTA, T6B 1E6. No:
209001841.

900185 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 04
Registered Address: SE 17 - 21 - 27 WEST 4 No: 209001858.

900190 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 1700, 10405 JASPER AVENUE, EDMONTON ALBERTA, T5J 3N4.
No: 209001908.

900199 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 1152 SOUTHGLEN DRIVE SW, CALGARY ALBERTA, T2W 0X1. No:
209001999.

900201 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 4615 47 STREET, ROCKY MOUNTAIN HOUSE ALBERTA, T0M 1T0.
No: 209002013.

900202 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 10511 26 AVE NW, EDMONTON ALBERTA, T6J 4C1. No:
209002021.

900213 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 468 BIG SPRINGS DRIVE, AIRDRIE ALBERTA, T4A 1A1. No:
209002138.

900214 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 04
Registered Address: NE 16 39 7 W 5 No: 209002146.

900217 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 04
Registered Address: #104, 2003- 14TH STREET NW, CALGARY ALBERTA, T2M 3N4.
No: 209002179.


900218 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 117 BLISS AVENUE, HINTON ALBERTA, T7V 1C2. No:
209002187.

900230 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 936 NORMANDY COURT, SHERWOOD PARK ALBERTA, T8A 5X3. No:
209002302.

900231 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 311 SANDSTONE MEWS, OKOTOKS ALBERTA, T0L1T3. No:
209002310.

900237 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 8 ARBOUR CRESCENT, ST. ALBERT ALBERTA, T8N 2T9. No:
209002377.

900238 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 05
Registered Address: 1152 SOUTHGLEN DRIVE SW, CALGARY ALBERTA, T2W 0X1. No:
209002385.

900239 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 4406- 39TH AVENUE, LEDUC ALBERTA, T9E 4Y7. No:
209002393.

900260 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 05
Registered Address: C/O 5016 - 52 STREET, CAMROSE ALBERTA, T4V 1V7. No:
209002609.

900274 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 05
Registered Address: #204, 2635 - 37TH AVENUE S.W., CALGARY ALBERTA, T1Y
5Z6. No: 209002740.

900275 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 05
Registered Address: 17715 - 98A AVENUE, EDMONTON ALBERTA, T5T 5W8. No:
209002757.

900283 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 05
Registered Address: 5038 - 50 AVENUE, VEGREVILLE ALBERTA, T9C 1S1. No:
209002831.

900284 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 05
Registered Address: #2200, 411-1 STREET S.E., CALGARY ALBERTA, T2G 5E7. No:
209002849.

900285 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 05
Registered Address: 301, 888 - 7TH AVE S.W., CALGARY ALBERTA, T2P 3J3. No:
209002856.

900287 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 05
Registered Address: 202, 15241 STONY PLAIN RD., EDMONTON ALBERTA, T5P 3Y4.
No: 209002872.

900288 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 05
Registered Address: #1900, 10123 - 99 STREET, EDMONTON ALBERTA, T5J 3H1.
No: 209002880.

900289 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 05
Registered Address: 129 SUNHAVEN CLOSE SE, CALGARY ALBERTA, T2X 2W2. No:
209002898.

900292 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 05
Registered Address: 10022 - 102 AVENUE, GRANDE PRAIRIE ALBERTA, T8V 0Z7.
No: 209002922.

900298 ALBERTA INC. Numbered Alberta Corporation Incorporated 2000 OCT 05
Registered Address: 1120 - 40 STREET SE, CALGARY ALBERTA, T2A 1J8. No:
209002989.

900299 ALBERTA INC. Numbered Alberta Corporation Incorporated 2000 OCT 11
Registered Address: APT. 5, 346 - 4TH AVENUE N.E., CALGARY ALBERTA, T2E
0J3. No: 209002997.

900301 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 05
Registered Address: 1413 - 2ND STREET S.W., CALGARY ALBERTA, T2R 0W7. No:
209003011.

900303 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 12
Registered Address: #103, 14- 2ND AVENUE SE, HIGH RIVER ALBERTA, T1V 1G4.
No: 209003037.

900318 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 05
Registered Address: #300, 14925 - 111 AVENUE, EDMONTON ALBERTA, T5M 2P6.
No: 209003185.

900326 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 05
Registered Address: 217 9 STREET, VAUXHALL ALBERTA, T0K 2K0. No: 209003268.

900336 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 05
Registered Address: 538- 9TH AVENUE SE, CALGARY ALBERTA, T2G 0S1. No:
209003367.

900348 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 05
Registered Address: 1800, 350 - 7 AVENUE SW, CALGARY ALBERTA, T2P 3N9. No:
209003482.

900350 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 05
Registered Address: #200, 209 - 19TH STREET NW, CALGARY ALBERTA, T2N 2H9.
No: 209003508.

900352 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 05
Registered Address: 110 CHAPARRAL PARK S.E., CALGARY ALBERTA, T2X 3K9. No:
209003524.

900353 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 05
Registered Address: 1500, 10180 - 101 STREET, EDMONTON ALBERTA, T5J 4K1.
No: 209003532.

900357 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 05
Registered Address: 5011-51 STREET, WHITECOURT ALBERTA, T7S 1P7. No:
209003573.

900385 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 05
Registered Address: 5208 52 AVE, DRAYTON VALLEY ALBERTA, T7A 1S9. No:
209003854.

900388 ALBERTA INC. Numbered Alberta Corporation Incorporated 2000 OCT 05
Registered Address: 1200, 700 - 2ND STREET S.W., CALGARY ALBERTA, T2P 4V5.
No: 209003888.

900390 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 05
Registered Address: 402-1006, 18 AVE. SW, CALGARY ALBERTA, T2M 0V8. No:
209003904.


900393 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 05
Registered Address: 210, 840 - 6TH AVENUE S.W., CALGARY ALBERTA, T2P 3E5.
No: 209003938.

900400 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 05
Registered Address: 210, 840 - 6TH AVENUE S.W., CALGARY ALBERTA, T2P 3E5.
No: 209004001.

900401 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 05
Registered Address: 1B, 333-2ND STREET WEST, BROOKS ALBERTA, T1R 1G4. No:
209004019.

900423 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 05
Registered Address: 10501 104 AVENUE, LACRETE ALBERTA, T0H 2H0. No:
209004233.

900436 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 05
Registered Address: 2260-10123 99 ST NW, EDMONTON ALBERTA, T5J 3H1. No:
209004365.

900440 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 05
Registered Address: 4712- 30TH AVENUE SW, CALGARY ALBERTA, T3E 0T9. No:
209004407.

900442 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 05
Registered Address: #207, 10335-172 STREET, EDMONTON ALBERTA, T5S 1K9. No:
209004423.

900443 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 06
Registered Address: 5012 49 STREET, LLOYDMINSTER ALBERTA, T9V 0K2. No:
209004431.

900453 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 05
Registered Address: #207, 10335-172 STREET, EDMONTON ALBERTA, T5S 1K9. No:
209004530.

900458 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 05
Registered Address: #208, 15132 STONY PLAIN ROAD, EDMONTON ALBERTA, T5P
3Y3. No: 209004589.

900464 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 06
Registered Address: 1803 - 49 STREET, EDMONTON ALBERTA, T6L 2X3. No:
209004647.

900466 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 06
Registered Address: 1400, 350 - 7TH AVENUE SW, CALGARY ALBERTA, T2P 3N9.
No: 209004662.

900468 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 06
Registered Address: 1400, 350 - 7TH AVENUE SW, CALGARY ALBERTA, T2P 3N9.
No: 209004688.

900469 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 06
Registered Address: #600, 12220 STONY PLAIN ROAD, EDMONTON ALBERTA, T5N
3Y4. No: 209004696.

900471 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 06
Registered Address: 1400, 350 - 7TH AVENUE SW, CALGARY ALBERTA, T2P 3N9.
No: 209004712.

900477 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 06
Registered Address: 1400, 350 - 7TH AVENUE SW, CALGARY ALBERTA, T2P 3N9.
No: 209004779.

900478 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 06
Registered Address: 2401 TD TOWER, 10088 102 AVENUE, EDMONTON ALBERTA, T5J
2Z1. No: 209004787.

900481 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 06
Registered Address: PT SW 18 - 48 - 23 - W4 No: 209004811.

900482 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 06
Registered Address: #400, 603 - 7TH AVENUE S.W., CALGARY ALBERTA, T2P 2T5.
No: 209004829.

900484 ALBERTA LTD Numbered Alberta Corporation Incorporated 2000 OCT 06
Registered Address: 10912 96 STREET, GRANDE PRAIRIE ALBERTA, T8V 2A2. No:
209004845.

900485 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 06
Registered Address: 1400, 350 - 7TH AVENUE SW, CALGARY ALBERTA, T2P 3N9.
No: 209004852.

900487 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 06
Registered Address: #600, 12220 STONY PLAIN ROAD, EDMONTON ALBERTA, T5N
3Y4. No: 209004878.

900488 ALBERTA INC. Numbered Alberta Corporation Incorporated 2000 OCT 06
Registered Address: APT. 421, 10511 - 19 AVENUE NW, EDMONTON ALBERTA, T6J
5S8. No: 209004886.

900493 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 06
Registered Address: C/O SUITE 555, 999 - 8TH STREET S.W., CALGARY ALBERTA,
T2R 1J5. No: 209004936.

900496 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 06
Registered Address: #108, 9824 - 97 AVENUE, GRANDE PRAIRIE ALBERTA, T8V
7K2. No: 209004969.

900501 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 06
Registered Address: #108, 9824 - 97 AVENUE, GRANDE PRAIRIE ALBERTA, T8V
7K2. No: 209005016.

900503 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 06
Registered Address: 6315 4TH STREET N.W., CALGARY ALBERTA, T2K 1B7. No:
209005032.

900509 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 06
Registered Address: #418, 715-5 AVENUE S.W., CALGARY ALBERTA, T2P 2X6. No:
209005099.

900510 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 06
Registered Address: 5217 - 51 AVENUE, WETASKIWIN ALBERTA, T9A 0V5. No:
209005107.


900521 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 06
Registered Address: 102, 2411 - 4TH STREET NW, CALGARY ALBERTA, T2M 2Z8.
No: 209005214.

900531 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 10
Registered Address: BAY #1 3424 26 STREET N.E., CALGARY ALBERTA, T1Y 4T7.
No: 209005313.

900540 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 06
Registered Address: 101, 9802 97 AVE, GRANDE PRAIRIE ALBERTA, T8V 7K2. No:
209005404.

900545 ALBERTA INC. Numbered Alberta Corporation Incorporated 2000 OCT 06
Registered Address: 192 HIDDEN HILLS RD NW, CALGARY ALBERTA, T3A 5Y1. No:
209005453.

900549 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 06
Registered Address: 13, 5918 - 5 STREET SE, CALGARY ALBERTA, T2H 1L5. No:
209005495.

900551 ALBERTA INC. Numbered Alberta Corporation Incorporated 2000 OCT 06
Registered Address: 248 DOVELY PLACE SE, CALGARY ALBERTA, T2B 2K6. No:
209005511.

900557 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 06
Registered Address: #1200, 633 - 6TH AVENUE S.W., CALGARY ALBERTA, T2P 2Y5.
No: 209005578.

900559 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 06
Registered Address: #6 12415 STONY PLAIN ROAD, EDMONTON ALBERTA, T5N 3N3.
No: 209005594.

900560 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 06
Registered Address: 1007, 920 - 9 AVENUE SW, CALGARY ALBERTA, T2P 2T9. No:
209005602.

900585 ALBERTA INC. Numbered Alberta Corporation Incorporated 2000 OCT 06
Registered Address: 3400, 150 - 6TH AVENUE S.W., CALGARY ALBERTA, T2P 3Y7.
No: 209005859.

900606 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 06
Registered Address: 24-86-16-W5 No: 209006063.

900610 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 06
Registered Address: 1413 - 2ND STREET S.W., CALGARY ALBERTA, T2R 0W7. No:
209006105.

900614 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 06
Registered Address: 1413 - 2ND STREET S.W., CALGARY ALBERTA, T2R 0W7. No:
209006147.

900617 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 06
Registered Address: #42 PARKSIDE DRIVE, RED DEER ALBERTA, T4P 1K1. No:
209006170.

900619 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 06
Registered Address: 1413 - 2ND STREET S.W., CALGARY ALBERTA, T2R 0W7. No:
209006196.


900621 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 06
Registered Address: 5105 51 ST, DRAYTON VALLEY ALBERTA, T7A 1S7. No:
209006212.

900625 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 10
Registered Address: 1413 - 2ND STREET S.W., CALGARY ALBERTA, T2R 0W7. No:
209006253.

900639 ALBERTA INC. Numbered Alberta Corporation Incorporated 2000 OCT 06
Registered Address: 215 - 1300 - 8 STREET SW, CALGARY ALBERTA, T2R 1B2. No:
209006394.

900640 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 06
Registered Address: 9927 WILDE RD SE, CALGARY ALBERTA, T2J 1G3. No:
209006402.

900646 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 07
Registered Address: 9931 - 106 AVENUE, GRANDE PRAIRIE ALBERTA, T8V 1J4. No:
209006469.

900647 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 07
Registered Address: 9931 - 106 AVENUE, GRANDE PRAIRIE ALBERTA, T8V 1J4. No:
209006477.

900648 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 07
Registered Address: 9931 - 106 AVENUE, GRANDE PRAIRIE ALBERTA, T8V 1J4. No:
209006485.

900650 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 07
Registered Address: APT 308A 13115 127 STREET, EDMONTON ALBERTA, T5L 1B3.
No: 209006501.

900651 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 07
Registered Address: 10118 86 AVE NW, EDMONTON ALBERTA, T6E 2M1. No:
209006519.

900655 ALBERTA INC. Numbered Alberta Corporation Incorporated 2000 OCT 07
Registered Address: 12451 LAKE FRASER WAY SE, CALGARY ALBERTA, T2J 3T3. No:
209006550.

900658 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 08
Registered Address: 501, 933 - 17 AVENUE SW, CALGARY ALBERTA, T2T 5R6. No:
209006584.

900664 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 10
Registered Address: 7 - 211 - 1ST AVENUE, BASSANO ALBERTA, TOJ OBO. No:
209006642.

900665 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 10
Registered Address: 12124 60 ST NW, EDMONTON ALBERTA, T5W 3Z8. No:
209006659.

900670 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 10
Registered Address: 4558 - 32 AVE., EDMONTON ALBERTA, T6L 4X5. No:
209006709.

900686 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 10
Registered Address: #306, 9945 - 50 STREET, EDMONTON ALBERTA, T6A 0L4. No:
209006865.

900691 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 10
Registered Address: C/O 5016 - 52 STREET, CAMROSE ALBERTA, T4V 1V7. No:
209006915.

900694 ALBERTA INC. Numbered Alberta Corporation Incorporated 2000 OCT 10
Registered Address: 13 ARBOUR RIDGE CLOSE NW, CALGARY ALBERTA, T3G 4M6. No:
209006949.

900705 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 10
Registered Address: 11 WATERLOO DRIVE S.W., CALGARY ALBERTA, T3C 3E9. No:
209007053.

900707 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 10
Registered Address: 1413 - 2ND STREET S.W., CALGARY ALBERTA, T2R 0W7. No:
209007079.

900719 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 10
Registered Address: 1413 - 2ND STREET S.W., CALGARY ALBERTA, T2R 0W7. No:
209007194.

900720 ALBERTA INC. Numbered Alberta Corporation Incorporated 2000 OCT 10
Registered Address: 2250, 520 5TH AVENUE S.W., CALGARY ALBERTA, T2P 3R7.
No: 209007202.

900724 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 10
Registered Address: 231, 30 RICHARD COURT SW, CALGARY ALBERTA, T2E 7N2. No:
209007244.

900726 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 10
Registered Address: 1413 - 2ND STREET S.W., CALGARY ALBERTA, T2R 0W7. No:
209007269.

900734 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 10
Registered Address: #400, 603 - 7TH AVENUE S.W., CALGARY ALBERTA, T2P 2T5.
No: 209007343.

900738 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 11
Registered Address: 2900 10180 101 ST, EDMONTON ALBERTA, T5J 3V5. No:
209007384.

900752 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 11
Registered Address: 200, 209 - 19TH STREET N.W., CALGARY ALBERTA, T2N 2H9.
No: 209007525.

900754 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 10
Registered Address: 3000,700 - 9TH AVENUE S.W., CALGARY ALBERTA, T2P 3V4.
No: 209007541.

900755 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 10
Registered Address: BAY "E", 7703 - 30 STREET SE, CALGARY ALBERTA, T2C 1V4.
No: 209007558.

900757 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 10
Registered Address: 229 RIVEBRPOINT NW, EDMONTON ALBERTA, T5A 4Z2. No:
209007574.

900764 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 10
Registered Address: 29 SHERWOOD PARK MALL, 2020 SHERWOOD DRIVE, SHERWOOD
PARK ALBERTA, T8A 3H9. No: 209007640.

900765 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 10
Registered Address: 12026 - 102 AVENUE, EDMONTON ALBERTA, T5K 0R9. No:
209007657.

900767 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 10
Registered Address: 1400, 350 - 7TH AVENUE SW, CALGARY ALBERTA, T2P 3N9.
No: 209007673.

900774 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 10
Registered Address: NW21-71-09-6 SOUTH BEAVERLODGE No: 209007749.

900776 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 10
Registered Address: 1400, 350 - 7TH AVENUE SW, CALGARY ALBERTA, T2P 3N9.
No: 209007764.

900794 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 10
Registered Address: 225C WHEATLAND TRAIL, STRATHMORE ALBERTA, T1P 1K3. No:
209007947.

900800 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 10
Registered Address: 1400, 350 - 7TH AVENUE SW, CALGARY ALBERTA, T2P 3N9.
No: 209008002.

900810 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 10
Registered Address: N1/2 SW 20-66-24 WEST4M No: 209008101.

900813 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 10
Registered Address: 417 - 10 AVENUE, CARSTAIRS ALBERTA, T0M 0N0. No:
209008135.

900821 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 10
Registered Address: LOT 5, BLOCK 4, PLAN 7911041, SECTION 8, TOWNSHIP 24,
RANGE 2 WEST OF THE 5TH MERIDIAN No: 209008218.

900826 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 10
Registered Address: 200 80 CHIPPEWA ROAD, SHERWOOD PARK ALBERTA, T8A 4W6.
No: 209008267.

900828 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 10
Registered Address: B - 239 - 11 STREET N.E., CALGARY ALBERTA, T2E 4N3. No:
209008283.

900830 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 10
Registered Address: 501, 4901 48TH STREET, RED DEER ALBERTA, T4N 6M4. No:
209008309.

900839 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 10
Registered Address: #255, 125- 9TH AVENUE SE, CALGARY ALBERTA, T2G 0P6. No:
209008390.

900841 ALBERTA CORP. Numbered Alberta Corporation Incorporated 2000 OCT 10
Registered Address: 420 - 6 STREET NW, SUNDRE ALBERTA, T0M 1X0. No:
209008416.

900843 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 10
Registered Address: #600, 12220 STONY PLAIN ROAD, EDMONTON ALBERTA, T5N
3Y4. No: 209008432.


900845 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 10
Registered Address: SE 17, 104, 16, W5 No: 209008457.

900848 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 10
Registered Address: 209 RAILWAY AVENUE SE, YOUNGSTOWN ALBERTA, T0J 3P0. No:
209008481.

900852 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 10
Registered Address: 12035 62 ST, EDMONTON ALBERTA, T5W 4C9. No: 209008523.

900853 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 10
Registered Address: #200, 2312 - 4 STREET SW, CALGARY ALBERTA, T2S 1X2. No:
209008531.

900856 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 10
Registered Address: #200, 2312 - 4 STREET SW, CALGARY ALBERTA, T2S 1X2. No:
209008564.

900857 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 10
Registered Address: #200, 2312 - 4 STREET SW, CALGARY ALBERTA, T2S 1X2. No:
209008572.

900858 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 10
Registered Address: 12035 62 ST, EDMONTON ALBERTA, T5W 4C9. No: 209008580.

900862 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 10
Registered Address: 9715 - 42 AVENUE, EDMONTON ALBERTA, T6E 5P8. No:
209008622.

900863 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 10
Registered Address: 14827D RIVERBEND ROAD, EDMONTON ALBERTA, T6H 5A9. No:
209008630.

900864 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 11
Registered Address: 4710 - 50 STREET, LEDUC ALBERTA, T9E 6W2. No:
209008648.

900869 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 11
Registered Address: 1400, 350 - 7TH AVENUE SW, CALGARY ALBERTA, T2P 3N9.
No: 209008697.

900875 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 13
Registered Address: NW 28 68 22 W4TH No: 209008754.

900878 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 11
Registered Address: 1400, 350 - 7TH AVENUE SW, CALGARY ALBERTA, T2P 3N9.
No: 209008788.

900886 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 11
Registered Address: 113 HARVEST GROVE PLACE NE, CALGARY ALBERTA, T3K 5C4.
No: 209008861.

900887 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 11
Registered Address: 2700, 10155 - 102 STREET, EDMONTON ALBERTA, T5J 4G8.
No: 209008879.


900888 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 11
Registered Address: 5014 - 50 AVENUE, BONNYVILLE ALBERTA, T9N 2H9. No:
209008887.

900900 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 11
Registered Address: 10, 1015 CENTRE STREET N.W., CALGARY ALBERTA, T2E 2P8.
No: 209009000.

900912 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 11
Registered Address: SUITE 304, 1000-9TH AVENUE SW, CALGARY ALBERTA, T2P
2Y6. No: 209009125.

900914 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 11
Registered Address: #640, 1414 - 8TH STREET S.W., CALGARY ALBERTA, T2R 1J6.
No: 209009141.

900915 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 11
Registered Address: 90 MOUNT GIBRALTAR HEIGHTS SE, CALGARY ALBERTA, T2Z
3R3. No: 209009158.

900920 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 11
Registered Address: 31 SYLVAN DRIVE, ST. ALBERT ALBERTA, T8N 0G7. No:
209009208.

900926 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 11
Registered Address: 4730-44 STREET, MAYERTHORPE ALBERTA, T0E 1N0. No:
209009265.

900934 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 11
Registered Address: 900, 630 - 3RD AVENUE SW, CALGARY ALBERTA, T2P 4L4. No:
209009349.

900936 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 11
Registered Address: #101, 5133 - 49 STREET, ROCKY MOUNTAIN HOUSE ALBERTA,
T0M 1T1. No: 209009364.

900943 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 11
Registered Address: 900, 630 - 3RD AVENUE SW, CALGARY ALBERTA, T2P 4L4. No:
209009430.

900967 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 11
Registered Address: 22 PERRON ST, ST. ALBERT ALBERTA, T8N 1E4. No:
209009679.

900969 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 11
Registered Address: 602, 734 - 7 AVENUE SW, CALGARY ALBERTA, T2P 3P8. No:
209009695.

900971 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 11
Registered Address: 900, 630 - 3RD AVENUE SW, CALGARY ALBERTA, T2P 4L4. No:
209009711.

900975 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 11
Registered Address: 602, 734 - 7 AVENUE SW, CALGARY ALBERTA, T2P 3P8. No:
209009752.

900978 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 11
Registered Address: 602, 734 - 7 AVENUE SW, CALGARY ALBERTA, T2P 3P8. No:
209009786.


900984 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 12
Registered Address: 1440,736-6TH AVE SW, CALGARY ALBERTA, T2P 3T7. No:
209009844.

900989 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 11
Registered Address: 900, 630 - 3RD AVENUE SW, CALGARY ALBERTA, T2P 4L4. No:
209009893.

900996 ALBERTA INC. Numbered Alberta Corporation Incorporated 2000 OCT 12
Registered Address: 1200, 700 - 2ND STREET S.W., CALGARY ALBERTA, T2P 4V5.
No: 209009968.

900998 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 11
Registered Address: 9835 147 STREET, EDMONTON ALBERTA, T5N 3B5. No:
209009984.

901001 ALBERTA INC. Numbered Alberta Corporation Incorporated 2000 OCT 12
Registered Address: 1200, 700 - 2ND STREET S.W., CALGARY ALBERTA, T2P 4V5.
No: 209010016.

901007 ALBERTA INC. Numbered Alberta Corporation Incorporated 2000 OCT 12
Registered Address: 1200, 700 - 2ND STREET S.W., CALGARY ALBERTA, T2P 4V5.
No: 209010073.

901010 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 11
Registered Address: 900, 630 - 3RD AVENUE SW, CALGARY ALBERTA, T2P 4L4. No:
209010107.

901016 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 11
Registered Address: 10514 173A AVE NW, EDMONTON ALBERTA, T5X 3H2. No:
209010164.

901023 ALBERTA INC. Numbered Alberta Corporation Incorporated 2000 OCT 11
Registered Address: 700, 10655 SOUTHPORT ROAD S.W., CALGARY ALBERTA, T2W
4Y1. No: 209010230.

901025 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 11
Registered Address: 9 ROCQUE DR, FORT SASKATCHEWAN ALBERTA, T8L 2N2. No:
209010255.

901026 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 11
Registered Address: UNIT 212 5831 57 ST, RED DEER ALBERTA, T4N 2L5. No:
209010263.

901028 ALBERTA INC. Numbered Alberta Corporation Incorporated 2000 OCT 11
Registered Address: 700, 10655 SOUTHPORT ROAD S.W., CALGARY ALBERTA, T2W
4Y1. No: 209010289.

901038 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 11
Registered Address: 10017 96 AVE, GRANDE PRAIRIE ALBERTA, T8V 0M4. No:
209010388.

901041 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 11
Registered Address: 851, 315A - 39TH AVENUE SE, CALGARY ALBERTA, T2G 1X5.
No: 209010412.

901044 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 11
Registered Address: 151 EDGEBROOK CLOSE N.W., CALGARY ALBERTA, T3A 4W7. No:
209010446.

901047 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 11
Registered Address: #2, 714 - 10TH STREET, CANMORE ALBERTA, T1W 2A6. No:
209010479.

901053 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 11
Registered Address: 800-10310 JASPER AVE NW, EDMONTON ALBERTA, T5J 2W4. No:
209010537.

901055 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 11
Registered Address: 1902 31 AVENUE SW, CALGARY ALBERTA, T2T 1S9. No:
209010552.

901056 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 11
Registered Address: A205 8111 96 ST, GRANDE PRAIRIE ALBERTA, T8V 5Z9. No:
209010560.

901057 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 12
Registered Address: B216 - 44 AVE. N.W., CALGARY ALBERTA, T2K 0J1. No:
209010578.

901064 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 11
Registered Address: 404-10216-124 STREET, EDMONTON ALBERTA, T5N 4A3. No:
209010644.

901081 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 12
Registered Address: 2900, 10180-101 STREET, EDMONTON ALBERTA, T5J 3V5. No:
209010818.

901082 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 12
Registered Address: 3700, 400 - 3RD AVENUE SW, CALGARY ALBERTA, T2P 4H2.
No: 209010826.

901085 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 12
Registered Address: 1800-10123 99 ST NW, EDMONTON ALBERTA, T5J 3H1. No:
209010859.

901087 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 12
Registered Address: #600, 220 - 4 STREET SOUTH, LETHBRIDGE ALBERTA, T1J
4J7. No: 209010875.

901097 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 12
Registered Address: 2111 - 221 TEMPLEGREEN DRIVE N.E., CALGARY ALBERTA, T1Y
5S6. No: 209010974.

901104 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 12
Registered Address: #970, 10655 SOUTHPORT ROAD S.W., CALGARY ALBERTA, T2W
4Y1. No: 209011048.

901121 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 12
Registered Address: #300, 1324-17TH AVENUE S.W., CALGARY ALBERTA, T2T 5S8.
No: 209011212.

901124 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 12
Registered Address: 3000, 700 - 9TH AVENUE S.W., CALGARY ALBERTA, T2P 3V4.
No: 209011246.

901126 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 4816 MACLEOD TRAIL SOUTH, CALGARY ALBERTA, T2G 0A8. No:
209011261.

901133 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 12
Registered Address: #300, 1324-17TH AVENUE S.W., CALGARY ALBERTA, T2T 5S8.
No: 209011337.


901134 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 12
Registered Address: #201, 7 PERRON STREET, ST. ALBERT ALBERTA, T8N 1E3. No:
209011345.

901143 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 12
Registered Address: #300, 1324-17TH AVENUE S.W., CALGARY ALBERTA, T2T 5S8.
No: 209011436.

901152 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 12
Registered Address: 1050, 10201 SOUTHPORT ROAD S.W., CALGARY ALBERTA, T2W
4X9. No: 209011527.

901155 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 12
Registered Address: #2, 401 MAIN STREET NE, SLAVE LAKE ALBERTA, T0G 2A0.
No: 209011550.

901180 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 12
Registered Address: 5011 51ST AVENUE, WHITECOURT ALBERTA, T7S 1P7. No:
209011808.

901190 ALBERTA INC. Numbered Alberta Corporation Incorporated 2000 OCT 12
Registered Address: 5206 - 50 STREET, LEDUC ALBERTA, T9E 6Z6. No:
209011907.

901191 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 12
Registered Address: 5749 - 40 AVE, STETTLER ALBERTA, T0C 2L1. No:
209011915.

901195 ALBERTA INC. Numbered Alberta Corporation Incorporated 2000 OCT 12
Registered Address: 72 RANCHRIDGE WAY N.W., CALGARY ALBERTA, T3G 1Z9. No:
209011956.

901203 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 10, 1475 ST. EDWARD BLVD., LETHBRIDGE ALBERTA, T1H 2P9.
No: 209012038.

901211 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 12
Registered Address: 9624 - 107 AVENUE, EDMONTON ALBERTA, T5H 0T9. No:
209012111.

901220 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 12
Registered Address: 4618 - 51 AVE., COLD LAKE ALBERTA, T9M 1Y9. No:
209012202.

901221 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 12
Registered Address: 4807 - 51ST STREET, COLD LAKE ALBERTA, T9M 1P2. No:
209012210.

901225 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 12
Registered Address: #414, 604- 1ST STREET SW, CALGARY ALBERTA, T2P 1M7. No:
209012251.

901240 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 12
Registered Address: #306, 9945 - 50 STREET, EDMONTON ALBERTA, T6A 0L4. No:
209012400.

901245 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 12
Registered Address: 221 HAMPTONS SQUARE NW, CALGARY ALBERTA, T3A 5K9. No:
209012459.

901252 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 12
Registered Address: 5202 52 AVE, DRAYTON VALLEY ALBERTA, T7A 1S2. No:
209012525.

901264 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 13
Registered Address: #315, 1400 - 1ST STREET SW, CALGARY ALBERTA, T2R 0V8.
No: 209012640.

901287 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 2ND FLR., 10704 108 STREET, EDMONTON ALBERTA, T5H 3A3.
No: 209012871.

901293 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 13
Registered Address: #640, 1414 - 8TH STREET S.W., CALGARY ALBERTA, T2R 1J6.
No: 209012939.

901295 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 108, 2841 - 109 STREET, EDMONTON ALBERTA, T6J 6B7. No:
209012954.

901298 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 108, 2841 - 109 STREET, EDMONTON ALBERTA, T6J 6B7. No:
209012988.

901300 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 108, 2841 - 109 STREET, EDMONTON ALBERTA, T6J 6B7. No:
209013002.

901302 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 108, 2841 - 109 STREET, EDMONTON ALBERTA, T6J 6B7. No:
209013028.

901303 ALBERTA LTD Numbered Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 12509 97B STREET, GRANDE PRAIRIE ALBERTA, T8V 7K4. No:
209013036.

901304 ALBERTA LTD Numbered Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 70 RIVERVIEW CIRCLE, COCHRANE ALBERTA, T4C 1K3. No:
209013044.

901307 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 108, 2841 - 109 STREET, EDMONTON ALBERTA, T6J 6B7. No:
209013077.

901310 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 108, 2841 - 109 STREET, EDMONTON ALBERTA, T6J 6B7. No:
209013101.

901312 ALBERTA LTD Numbered Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 11356 LEONARD STREET, GRAND CACHE ALBERTA, T0E 0Y0. No:
209013127.

901334 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 537 - 7TH STREET SOUTH, LETHBRIDGE ALBERTA, T1J 2G8.
No: 209013341.

901335 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 4713 - 50 STREET, ST. PAUL ALBERTA, T0A 3A4. No:
209013358.


901344 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 40 1323 44 AVE NE, CALGARY ALBERTA, T2E 6L5. No:
209013440.

901349 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 91 TUSCANY VALLEY DRIVE N.W., CALGARY ALBERTA, T3L 2E7.
No: 209013499.

901350 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 222 MAIN STREET NORTH, AIRDRIE ALBERTA, T4B 2B8. No:
209013507.

901354 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 212 - 9714 MAIN STREET, FORT MCMURRAY ALBERTA, T9H 1T6.
No: 209013549.

901361 ALBERTA INC. Numbered Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 44 HAWKTREE CLOSE NW, CALGARY ALBERTA, T3G 3T3. No:
209013614.

901363 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 13
Registered Address: #400, 10235 - 101 STREET, EDMONTON ALBERTA, T5J 3G1.
No: 209013630.

901368 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 36, 10001 BROOKPARK BLVD SW, CALGARY ALBERTA, T2W 3E3.
No: 209013689.

901372 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 1816- 16A ST. SW, CALGARY ALBERTA, T2T 4J8. No:
209013721.

901373 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 212, 25 HOWARTH ST., RED DEER ALBERTA, T4N 6J6. No:
209013739.

901374 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 506 - 7 ST, FOX CREEK ALBERTA, T0H 1P0. No: 209013747.

901377 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 13
Registered Address: #6 GILBY ST., SHERWOOD PARK ALBERTA, T8A 2X2. No:
209013770.

901378 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 147 CEDAR RIDGE CRES SW, CALGARY ALBERTA, T2W 2B4. No:
209013788.

901379 ALBERTA INC. Numbered Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 368 WHITERIDGE CRESCENT N.E., CALGARY ALBERTA, T1Y 3E8.
No: 209013796.

901380 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 13
Registered Address: SUITE 208, 3112-11TH STREET N.E., CALGARY ALBERTA, T2E
7J1. No: 209013804.

901381 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 204, 430 6TH AVE SE, MEDICINE HAT ALBERTA, T1A 2S8. No:
209013812.

901384 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 9433 - 100A STREET, EDMONTON ALBERTA, T5K 0V4. No:
209013846.

901386 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 1560, 521 - 3RD AVENUE SW, CALGARY ALBERTA, T2P 3T3.
No: 209013861.

901388 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 13
Registered Address: A-11233 94 ST NW, EDMONTON ALBERTA, T5G 1H1. No:
209013887.

901391 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 13
Registered Address: NE 9 66 23 W4 No: 209013911.

901392 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 4718 50 AVENUE, BENTLEY ALBERTA, T0C 0J0. No:
209013929.

901393 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 13
Registered Address: #418, 715-5 AVENUE S.W., CALGARY ALBERTA, T2P 2X6. No:
209013937.

901407 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 4038 79 ST NW, CALGARY ALBERTA, T3B 2N8. No: 209014075.

901410 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 300, 10655 SOUTHPORT ROAD SW, CALGARY ALBERTA, T2W 4Y1.
No: 209014109.

901412 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 600, 12220 STONY PLAIN ROAD, EDMONTON ALBERTA, T5N 3Y4.
No: 209014125.

901414 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 12707-74 STREET, EDMONTON ALBERTA, T5C 0W8. No:
209014141.

901419 ALBERTA LTD Numbered Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 7818 CEDARWOOD PARK, GRANDE PRAIRIE ALBERTA, T8V 4R8.
No: 209014190.

901424 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 160 RIVERWOOD CLOSE SE, CALGARY ALBERTA, T2C 3Z6. No:
209014240.

901429 ALBERTA INC. Numbered Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 4640 17 AVE NW, CALGARY ALBERTA, T3B 0P3. No:
209014299.

901436 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 1800, 350 - 7 AVENUE SW, CALGARY ALBERTA, T2P 3N9. No:
209014364.


901440 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 137 SANDPIPER CIRCLE NW, CALGARY ALBERTA, T3K 3R4. No:
209014406.

901443 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 4910 - 51 ST., STETTLER ALBERTA, T0C 2L0. No:
209014430.

901444 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 222-10 MCKENNEY AVE, ST. ALBERT ALBERTA, T8N 5R9. No:
209014448.

901457 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 13
Registered Address: SW CORNER 27-40-7-W5 No: 209014570.

901461 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 19B 9620 ELBOW DR SW, CALGARY ALBERTA, T2V 1M2. No:
209014612.

901469 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 12032 62 ST, EDMONTON ALBERTA, T5W 4C8. No: 209014695.

901476 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 14
Registered Address: 1104, 10117 JASPER AVENUE, EDMONTON ALBERTA, T5J 1W8.
No: 209014760.

901484 ALBERTA INC. Numbered Alberta Corporation Incorporated 2000 OCT 14
Registered Address: 301 9006 132 AVE, EDMONTON ALBERTA, T5E 0Y2. No:
209014844.

901490 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 14
Registered Address: PLAN 581HW BLOCK 1 LOT 3 No: 209014901.

901491 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 14
Registered Address: 440, 7220 FISHER STREET SE, CALGARY ALBERTA, T2H 2H8.
No: 209014919.

901495 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 15
Registered Address: #200, 2312 - 4 STREET SW, CALGARY ALBERTA, T2S 1X2. No:
209014950.

901497 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2000 OCT 15
Registered Address: #200, 2312 - 4 STREET SW, CALGARY ALBERTA, T2S 1X2. No:
209014976.

99 SUPERMARKET LTD. Named Alberta Corporation Incorporated 2000 OCT 11
Registered Address: 2ND FLOOR, 10704 - 108 STREET, EDMONTON ALBERTA, T5H
3A3. No: 209009554.

A B M REPAIRS & MAINTENANCE LTD. Named Alberta Corporation Incorporated
2000 OCT 05 Registered Address: 3123 135 AVENUE, EDMONTON ALBERTA, T5A 2Z2.
No: 209003078.

A-ONE VACUUM (2000) LIMITED Named Alberta Corporation Incorporated 2000 OCT
12 Registered Address: 11-2703 79 STREET NW, EDMONTON ALBERTA, T6K 3Z6. No:
209010933.


AB & H (2000) INC. Named Alberta Corporation Incorporated 2000 OCT 12
Registered Address: 108 EDCATH RISE NW, CALGARY ALBERTA, T3A 3Z9. No:
209012269.

ABCS CONSULTING LTD. Named Alberta Corporation Incorporated 2000 OCT 10
Registered Address: 305A, 7301 - 4A STREET SW, CALGARY ALBERTA, T2V 4V8.
No: 209007517.

ABORIGINAL FAMILY SUPPORT SERVICES LTD. Named Alberta Corporation
Incorporated 2000 OCT 04 Registered Address: 709 - 68 AVENUE SW, CALGARY
ALBERTA, T2V 0N3. No: 209002286.

ACCEPTED SPECIALTIES INC. Named Alberta Corporation Incorporated 2000 OCT
03 Registered Address: 160 ABBOTTSFIELD ROAD, EDMONTON ALBERTA, T5W 4S9.
No: 208997965.

ACCOUSTIC VISION LTD. Named Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 2423 - 98TH AVENUE SW, CALGARY ALBERTA, T2V 4S7. No:
209013903.

ACE-INNOVATIONS LTD. Named Alberta Corporation Incorporated 2000 OCT 13
Registered Address: #8 1216 34 AVE N.E., CALGARY ALBERTA, T2E 6L9. No:
209014497.

ACTION INTERNATIONAL (LETHBRIDGE) INC. Named Alberta Corporation
Incorporated 2000 OCT 13 Registered Address: #600, 220 - 4 STREET SOUTH,
LETHBRIDGE ALBERTA, T1J 4J7. No: 209014505.

ACTIVBAX INCORPORATED Named Alberta Corporation Incorporated 2000 OCT 05
Registered Address: 404-10216-124 STREET, EDMONTON ALBERTA, T5N 4A3. No:
209002690.

ADRITEK CONSULTING LIMITED Named Alberta Corporation Incorporated 2000 OCT
02 Registered Address: 2209 23 STREET S.W., CALGARY ALBERTA, T2T 5H6. No:
208997262.

ADVANCED NPD INC. Named Alberta Corporation Incorporated 2000 OCT 12
Registered Address: 2940, 150 - 6TH AVENUE S.W., CALGARY ALBERTA, T2P 3Y7.
No: 209011949.

AFFORDABLE TRUCK AND BOBCAT LTD. Named Alberta Corporation Incorporated
2000 OCT 13 Registered Address: BOX 1 SITE 2 RR1, GIBBONS ALBERTA, T0A 1N0.
No: 209012160.

AGAPE PROFESSIONAL SERVICES INC. Named Alberta Corporation Incorporated
2000 OCT 12 Registered Address: 349 2211 19 ST NE, CALGARY ALBERTA, T2E
4Y5. No: 209011121.

AGENT PRODUCTIONS INC. Named Alberta Corporation Incorporated 2000 OCT 10
Registered Address: 1310, 11TH STREET SW, CALGARY ALBERTA, T2R 1G6. No:
209007988.

AIR KING FURNACE CLEANING INC. Named Alberta Corporation Incorporated 2000
OCT 03 Registered Address: SW 1/4 SEC 5 TOWN 38 RANGE 19 WEST OF THE 4TH
MERIDIAN No: 209000264.

AIRWAYS MALL INC. Named Alberta Corporation Incorporated 2000 OCT 12
Registered Address: 1000, 440 - 2ND AVENUE SW, CALGARY ALBERTA, T2P 5E9.
No: 209010990.


ALAVI & ASSOCIATES INC. Named Alberta Corporation Incorporated 2000 OCT 14
Registered Address: 9715 - 42 AVENUE, EDMONTON ALBERTA, T6E 5P8. No:
208966952.

ALBERTA AIR PHOTO HISTORIANS LTD Named Alberta Corporation Incorporated
2000 OCT 03 Registered Address: 11439 - 9TH AVENUE, EDMONTON ALBERTA, T6J
6X8. No: 208998492.

ALBERTA DSM LTD. Named Alberta Corporation Incorporated 2000 OCT 02
Registered Address: #72 SHAWCLIFFE BAY S.W., CALGARY ALBERTA, T2Y 1H1. No:
208997098.

ALBERTA INJURY LAW CENTER INC. Named Alberta Corporation Incorporated 2000
OCT 02 Registered Address: 112, 80 CHIPPEWA ROAD, SHERWOOD PARK ALBERTA,
T8A 4W6. No: 208996868.

ALBERTA VACATION HOME SERVICES LTD. Named Alberta Corporation Incorporated
2000 OCT 06 Registered Address: 120-70 SHAWVILLE BLVD SW, CALGARY ALBERTA,
T2Y 2Z3. No: 209006097.

ALGONQUIN FRANCHISE CORPORATION Federal Corporation Registered 2000 OCT 04
Registered Address: 2500, 10303 JASPER AVENUE, EDMONTON ALBERTA, T5J 3N6.
No: 219001377.

ALGONQUIN TRAVEL TECHNOLOGIES INC. Federal Corporation Registered 2000 OCT
04 Registered Address: 2500, 10303 JASPER AVENUE, EDMONTON ALBERTA, T5J
3N6. No: 219001450.

ALL ABOUT CONTROL LTD. Named Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 429 FIRST STREET N.W., AIRDRIE ALBERTA, T4B 1E2. No:
208996330.

ALL-ALTA WATER WELL TESTING AND MAINTENANCE LTD. Named Alberta Corporation
Incorporated 2000 OCT 02 Registered Address: 4824 51 STREET, RED DEER
ALBERTA, T4N 2A5. No: 208996520.

ALL-CAN ENTERPRISE LTD. Named Alberta Corporation Incorporated 2000 OCT 10
Registered Address: 10557 109 STREET, EDMONTON ALBERTA, T5H 3B1. No:
209008184.

ALVAREZ, SLOAN AND ASSOCIATES LTD. Named Alberta Corporation Continued In
2000 OCT 12 Registered Address: 2218 - 27TH AVENUE SW, CALGARY ALBERTA, T2T
1H9. No: 209008663.

AMAZON CLEANING SERVICES LTD. Named Alberta Corporation Incorporated 2000
OCT 12 Registered Address: 2900, 10180 - 101 STREET, EDMONTON ALBERTA, T5J
3V5. No: 209011980.

AMBER RESOURCES INC. Named Alberta Corporation Incorporated 2000 OCT 10
Registered Address: 17731 - 103 AVENUE, EDMONTON ALBERTA, T5S 1N8. No:
209007822.

AMBERCREST MANAGEMENT INC. Named Alberta Corporation Incorporated 2000 OCT
11 Registered Address: 1900, 350 - 7TH AVENUE, S.W., CALGARY ALBERTA, T2P
3N9. No: 209010495.


AMBITION INTEGRITY RESULTS PROMOTIONS INC. Named Alberta Corporation
Incorporated 2000 OCT 02 Registered Address: 95 STRATTON CR. SW, CALGARY
ALBERTA, T3H 1T7. No: 208997601.

AMG 6 INC. Named Alberta Corporation Incorporated 2000 OCT 12 Registered
Address: 2900, 10180-101 STREET, EDMONTON ALBERTA, T5J 3V5. No: 209010966.

ANDERE CONSULTING LTD. Named Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 163 DOUGLAS AVENUE, RED DEER ALBERTA, T4R 2G5. No:
209010313.

ANDREW D. GRASBY PROFESSIONAL CORPORATION Named Alberta Corporation
Incorporated 2000 OCT 04 Registered Address: 3300, 421 7TH AVENUE S.W.,
CALGARY ALBERTA, T2P 4K9. No: 209001940.

APPENDIX PUBLISHING INC. Other Prov/Territory Corps Registered 2000 OCT 04
Registered Address: SUITE 201, 4990 - 92 AVENUE, EDMONTON ALBERTA, T6B 2V4.
No: 219000296.

APPLICATED SECURITY TECHNOLOGIES, LTD. Foreign Corporation Registered 2000
OCT 13 Registered Address: #35 GREENWICH CRESCENT, ST. ALBERT ALBERTA, T8N
0Z5. No: 219014313.

ARGO MULTIMEDIA INC. Named Alberta Corporation Incorporated 2000 OCT 05
Registered Address: 9607 - 69A STREET, EDMONTON ALBERTA, T6B 1W4. No:
209003193.

ARIA CAPITAL INVESTMENTS INC. Named Alberta Corporation Incorporated 2000
OCT 02 Registered Address: 13 ARBOUR STONE RISE NW., CALGARY ALBERTA, T3G
4N2. No: 208997304.

ARTIC SOLUTIONS INC. Named Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 149 VILLAGE DRIVE, SHERWOOD PARK ALBERTA, T8A 4M5. No:
208999508.

ARTISTIQUE GIFT SHOPPE INC. Named Alberta Corporation Incorporated 2000 OCT
13 Registered Address: #68-55 CASTLERIDGE BLVD. NE, CALGARY ALBERTA, T3J
3L6. No: 209013176.

ASHCAN GEOLOGICAL LTD. Named Alberta Corporation Incorporated 2000 OCT 06
Registered Address: 130 LAKE PLACID CLOSE S.E., CALGARY ALBERTA, T2J 4Y8.
No: 209005024.

ASSOCIATED ROOFING TECHNOLOGIES INC. Named Alberta Corporation Incorporated
2000 OCT 03 Registered Address: 235 RIVER POINT NW, EDMONTON ALBERTA, T5A
4Z2. No: 208998369.

AUGER ENTERPRISES LTD. Named Alberta Corporation Incorporated 2000 OCT 12
Registered Address: BIGSTONE CREE NATION RESERVE No: 209012590.

AVAYA CANADA CORP. Other Prov/Territory Corps Registered 2000 OCT 12
Registered Address: 2900, 10180-101 STREET, EDMONTON ALBERTA, T5J 3V5. No:
219011392.

AVENTIS PASTEUR LIMITED Other Prov/Territory Corps Registered 2000 OCT 12
Registered Address: 2900, 10180 101 STREET, EDMONTON ALBERTA, T5J 3V5. No:
218986537.


AVIATAS VENTURES INC. Named Alberta Corporation Incorporated 2000 OCT 01
Registered Address: 848 SHAWNEE DRIVE SW, CALGARY ALBERTA, T2Y 1X4. No:
208996231.

AVISTA SERVICES, INC. Foreign Corporation Registered 2000 OCT 06 Registered
Address: 2600, 10180-101 STREET, EDMONTON ALBERTA, T5J 3Y2. No: 219005667.

AVISTAR INC. Named Alberta Corporation Incorporated 2000 OCT 12 Registered
Address: 5808-190A STREET, EDMONTON ALBERTA, T6M 2G5. No: 209012582.

AZAM SALES LTD. Named Alberta Corporation Incorporated 2000 OCT 10
Registered Address: 1, 745 9 ST SE, MEDICINE HAT ALBERTA, T1A 1P3. No:
209005461.

B & L WOODWORK LTD. Named Alberta Corporation Incorporated 2000 OCT 06
Registered Address: #70, 10035-184 STREET, EDMONTON ALBERTA, T5S 1B6. No:
209006014.

B&B CARR DEVELOPMENT INC. Named Alberta Corporation Incorporated 2000 OCT
05 Registered Address: 311 FOREST ROAD S.E., CALGARY ALBERTA, T2A 1T4. No:
209003136.

B.D.B. ENTERPRISES INC. Named Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 143, 5120 - 47 STREET NE, CALGARY ALBERTA, T3J 3R2. No:
209000066.

B.L. LUSSIER PIPELINE SERVICES LTD. Named Alberta Corporation Incorporated
2000 OCT 06 Registered Address: 3304 TEMPLE WAY, CALGARY ALBERTA, T1Y 3V6.
No: 209006345.

B.R.I. FINANCIAL INC. Named Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 10605 - 172 STREET, EDMONTON ALBERTA, T5S 1P1. No:
208997064.

BABYLON MODELLING INC. Named Alberta Corporation Incorporated 2000 OCT 12
Registered Address: 701, 10060 JASPER AVENUE, EDMONTON ALBERTA, T5J 3R8.
No: 209011899.

BABYONE (CANADA) INC. Named Alberta Corporation Incorporated 2000 OCT 12
Registered Address: 2500, 10104 - 103 AVENUE, EDMONTON ALBERTA, T5J 1V3.
No: 209012327.

BAKERS DIRECT INC. Named Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 200 724 11 AVENUE SW, CALGARY ALBERTA, T2R 0E4. No:
208995803.

BAR XO VETERINARY SERVICES 2000 INC. Named Alberta Corporation Incorporated
2000 OCT 06 Registered Address: 20451 50 STREET, EDMONTON ALBERTA, T5E 5S7.
No: 209004126.

BAR-B-3 INVESTMENTS INC. Named Alberta Corporation Incorporated 2000 OCT 11
Registered Address: 10954 - 117 ST., EDMONTON ALBERTA, T5H 3N6. No:
209008812.

BASKIT KASE GIFTS, PROMOTIONS & NOTIONS INC. Named Alberta Corporation
Incorporated 2000 OCT 12 Registered Address: 176 ERIN MEADOW WAY SE,
CALGARY ALBERTA, T2B 3P7. No: 209010750.

BECK'S OILFIELD CONSULTING LTD. Named Alberta Corporation Incorporated 2000
OCT 13 Registered Address: 200, 4708 - 50TH AVENUE, RED DEER ALBERTA, T4N
4A1. No: 209013192.

BELL EXPRESSVU INC. Federal Corporation Registered 2000 OCT 10 Registered
Address: 1000, 400 - 3RD AVENUE S.W., CALGARY ALBERTA, T2P 4H2. No:
219006608.

BELLEVUE VETERINARY CLINIC LTD. Named Alberta Corporation Incorporated 2000
OCT 12 Registered Address: #600, 220 - 4 STREET SOUTH, LETHBRIDGE ALBERTA,
T1J 4J7. No: 209010834.

BENDIXON INVESTMENTS INC. Named Alberta Corporation Incorporated 2000 OCT
11 Registered Address: 60 FERN GLADE CRESCENT, SYLVAN LAKE ALBERTA, T4S
1Z5. No: 209009083.

BENT METAL LTD. Named Alberta Corporation Incorporated 2000 OCT 05
Registered Address: 76 SHAWNESSY DRIVE SW, CALGARY ALBERTA, T2Y 1B4. No:
209003698.

BERGMAN CONTRACT OPERATING LTD. Named Alberta Corporation Incorporated 2000
OCT 10 Registered Address: SW 18, 21, 15, W4 No: 209006881.

BEYNON'S MECHANICAL SERVICES LTD. Named Alberta Corporation Incorporated
2000 OCT 12 Registered Address: 115A 4TH AVENUE W., COCHRANE ALBERTA, N/A.
No: 209012343.

BEYOND THE LIMITS SKI & MARINE LTD. Named Alberta Corporation Incorporated
2000 OCT 02 Registered Address: 99 - 21546 TWP RD 520, SHERWOOD PARK
ALBERTA, T8E 1G5. No: 208997247.

BF LTD. Named Alberta Corporation Incorporated 2000 OCT 12 Registered
Address: 304, 10035 - 114 STREET, EDMONTON ALBERTA, T5K 1R6. No: 209012830.

BHULLAR TRANSPORTATION LTD. Named Alberta Corporation Incorporated 2000 OCT
12 Registered Address: 244 CORAL KEYS DR NE, CALGARY ALBERTA, T3J 3K6. No:
209012145.

BLAINCO ENERGY VENTURES LTD. Named Alberta Corporation Incorporated 2000
OCT 04 Registered Address: 1900, 736 - 6TH AVENUE S.W., CALGARY ALBERTA,
T2P 3T7. No: 209002203.

BLASTING IMPRESSIONS LTD. Named Alberta Corporation Incorporated 2000 OCT
05 Registered Address: 612 - 3RD AVENUE SOUTH, LETHBRIDGE ALBERTA, T1J 4A2.
No: 209004118.

BOB BAGGETT & SONS TRANSPORATION LTD. Named Alberta Corporation
Incorporated 2000 OCT 11 Registered Address: 9831 - 107 ST. #2, WESTLOCK
ALBERTA, T7P 1R9. No: 209008945.

BODY SOLUTIONS INC. Named Alberta Corporation Incorporated 2000 OCT 05
Registered Address: 402 CENTRE AVE WEST, BLACK DIAMOND ALBERTA, T0L0H0. No:
209003292.

BOLSON MATERIALS CORPORATION Named Alberta Corporation Incorporated 2000
OCT 13 Registered Address: 10612 105 AVENUE, EDMONTON ALBERTA, T5H 0L2. No:
209014067.


BONDED (2000) LTD. Named Alberta Corporation Incorporated 2000 OCT 05
Registered Address: 200, 508 - 24 AVENUE SW, CALGARY ALBERTA, T2S 0K4. No:
209003672.

BOOMERANG UNISEX CLOTHING LTD. Named Alberta Corporation Incorporated 2000
OCT 10 Registered Address: 103, 5720 MACLEOD TRAIL SW, CALGARY ALBERTA, T2H
0J6. No: 209007533.

BORDER CITY AUTO INDUSTRIAL INC. Named Alberta Corporation Incorporated
2000 OCT 11 Registered Address: 5012 49TH STREET, 2ND FLOOR, LLOYDMINSTER
ALBERTA, T9V 0K2. No: 209010503.

BOUTHILLIER VENTURES LTD. Named Alberta Corporation Incorporated 2000 OCT
13 Registered Address: 143 BERMUDA CLOSE NW, CALGARY ALBERTA, T3K 1G4. No:
209012863.

BOWEN FAMILY PROPERTIES LTD. Named Alberta Corporation Incorporated 2000
OCT 06 Registered Address: #105, 2034 - 19TH AVENUE, DIDSBURY ALBERTA, T0M
0W0. No: 209005255.

BOX-X CONTRACTING LTD. Named Alberta Corporation Incorporated 2000 OCT 15
Registered Address: 1704 WOODSIDE BLVD., AIRDRIE ALBERTA, T4B 2K1. No:
209010438.

BRENT SAFRONIUK PROFESSIONAL CORPORATION Dental Professional Corporation
Incorporated 2000 OCT 03 Registered Address: THIRD FLOOR, 14505 BANNISTER
ROAD SE, CALGARY ALBERTA, T2X 3J3. No: 208999680.

BRENT W. NEUFELD PROFESSIONAL CORPORATION Optometry Professional
Corporation Incorporated 2000 OCT 12 Registered Address: #200, 4870 - 51
STREET, CAMROSE ALBERTA, T4V 1S1. No: 209012152.

BREWER ENERGY SYSTEMS TECHNOLOGY INC. Named Alberta Corporation
Incorporated 2000 OCT 03 Registered Address: 214-9914 MORRISON STREET, FORT
MCMURRAY ALBERTA, T9H 4A4. No: 208998443.

BRIAN BREMNER CONTRACTING LTD. Named Alberta Corporation Incorporated 2000
OCT 11 Registered Address: 22 IMPERIAL DRIVE, RAINBOW LAKE ALBERTA, T0H
2Y0. No: 209008747.

BROADHURST FINANCIAL INC. Named Alberta Corporation Incorporated 2000 OCT
10 Registered Address: 593 SUNMILLS DRIVE SE, CALGARY ALBERTA, T2X 3B1. No:
209007277.

BROOKS BEST WESTERN LTD. Named Alberta Corporation Incorporated 2000 OCT 06
Registered Address: 196-3 AVENUE WEST, DRUMHELLER ALBERTA, TOJ OYO. No:
209004803.

BROOKVILLE WELDING LTD. Named Alberta Corporation Incorporated 2000 OCT 05
Registered Address: 53423 RR 211, ARDROSSAN ALBERTA, T8G 2B7. No:
209004092.

BRZ ARCHITECTURE LTD. Named Alberta Corporation Incorporated 2000 OCT 05
Registered Address: 200, 1029 - 17 AVENUE SW, CALGARY ALBERTA, T2T 0A9. No:
209004464.

BUILDING HOPE COMPASSIONATE ASSOCIATION, A NAZARENE MINISTRY CENTRE Alberta
Society Incorporated 2000 SEP 29 Registered Address: 3831 - 116 AVENUE,
EDMONTON ALBERTA, T5W 0W8. No: 509004214.

BUILTRITE INTERIORS LTD. Named Alberta Corporation Incorporated 2000 OCT 01
Registered Address: C/O 9715 - 42 AVENUE, EDMONTON ALBERTA, T6E 5P8. No:
208950105.

BURSTALL WINGER LLP Alberta Limited Liability Partnership Registered 2000
OCT 12 Registered Address: 3100, 324 - 8TH AVENUE S.W., CALGARY ALBERTA,
T2P 2Z2. No: AL8959421.

C. JENSEN TRACKHOE SERVICES LTD. Named Alberta Corporation Incorporated
2000 OCT 10 Registered Address: #202, 10030 - 106 STREET, WESTLOCK ALBERTA,
T7P 2K4. No: 209007897.

C.A.M. CONTRACTING LTD. Named Alberta Corporation Incorporated 2000 OCT 13
Registered Address: #203, 4520 - 47 ST., LEDUC ALBERTA, T9E 4P5. No:
209013945.

C.F.R. DEVELOPMENTS INC. Named Alberta Corporation Incorporated 2000 OCT 10
Registered Address: #413, 1333 - 8TH STREET S.W., CALGARY ALBERTA, T2R 1M6.
No: 209008317.

C.O.S. COMPUTER TRADING POST LTD. Other Prov/Territory Corps Registered
2000 OCT 10 Registered Address: 201, 4702 - 49TH AVENUE, RED DEER ALBERTA,
T4N 6L5. No: 219006715.

CAIER OILFIELD CONSULTING LTD. Named Alberta Corporation Incorporated 2000
OCT 11 Registered Address: 19 - 13TH STREET S.E., MEDICINE HAT ALBERTA, T1A
1W4. No: 209008721.

CALGARY 2002 BRIER SOCIETY Alberta Society Incorporated 2000 OCT 04
Registered Address: 4 MANNING CLOSE NE, CALGARY ALBERTA, T2E 7N5. No:
509007167.

CALGARY HERALD GROUP ULC Other Prov/Territory Corps Registered 2000 OCT 13
Registered Address: 2900, 10180 - 101 STREET, EDMONTON ALBERTA, T5J 3V5.
No: 219014347.

CALIBURN RESOURCES LTD. Named Alberta Corporation Incorporated 2000 OCT 05
Registered Address: 1600, 10205 - 101 STREET, EDMONTON ALBERTA, T5J 2Z2.
No: 209004506.

CALSCAN LTD. Named Alberta Corporation Incorporated 2000 OCT 12 Registered
Address: 70 GLAMIS GARDENS SW, CALGARY ALBERTA, T3E 6S4. No: 209011089.

CAMBO ENTERPRISES INC. Named Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 11435 WILCOX STREET S.E., CALGARY ALBERTA, T2J 2E9. No:
208998468.

CAMPO ENERGY LTD. Named Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 900, 521 - 3RD AVENUE S.W., CALGARY ALBERTA, T2P 3T3.
No: 208999391.



CAMPUS SITE LTD. Named Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 1638 MERRILL LYNCH TOWER, EDMONTON CENTRE, EDMONTON
ALBERTA, T5J 2Z2. No: 208996819.

CANADA LAND DEVELOPMENT ENTERPRISES LTD. Named Alberta Corporation
Incorporated 2000 OCT 03 Registered Address: 91 SIGNATURE HEIGHTS SW,
CALGARY ALBERTA, T3H 3B9. No: 209000249.

CANADA-WIDE INDUSTRIES LTD. Named Alberta Corporation Incorporated 2000 OCT
04 Registered Address: #2, 4716 - 91 AVENUE, EDMONTON ALBERTA, T6B 2L1. No:
209001692.

CANADIAN BUSINESS CONSULTANTS CORPORATION Named Alberta Corporation
Incorporated 2000 OCT 02 Registered Address: 1000, 400 THIRD AVENUE S.W.,
CALGARY ALBERTA, T2P 4H2. No: 208998088.

CANADIAN ON-LINE COATINGS LTD. Named Alberta Corporation Incorporated 2000
OCT 04 Registered Address: 208, 4808 ROSS STREET, RED DEER ALBERTA, T4N
1X5. No: 209001874.

CANCOM ALTA HOLDINGS INC. Federal Corporation Registered 2000 OCT 10
Registered Address: 900, 630 - 3RD AVENUE SW, CALGARY ALBERTA, T2P 4L4. No:
219007291.

CANMORE TAXI & TOURS LTD. Named Alberta Corporation Incorporated 2000 OCT
02 Registered Address: 37 ROYAL CREST TERRACE, CALGARY ALBERTA, T3G 4M3.
No: 208998070.

CANTAN ENTERPRISES LTD. Named Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 820 SIERRA MORENA COURT S.W., CALGARY ALBERTA, T3H 3C6.
No: 208997973.

CARTIER CONSTRUCTION LTD. Named Alberta Corporation Incorporated 2000 OCT
05 Registered Address: 176 VILLAGE ESTATES, SHERWOOD PARK ALBERTA, T8A 4P5.
No: 209003425.

CATLYST CORPORATE FINANCE INC. Named Alberta Corporation Incorporated 2000
OCT 05 Registered Address: #220, 8723 - 82 AVENUE, EDMONTON ALBERTA, T6C
0Y9. No: 209003060.

CBIZ E-SOLUTIONS, INC. Other Prov/Territory Corps Registered 2000 OCT 10
Registered Address: 1000, 400 - 3RD AVENUE S.W., CALGARY ALBERTA, T2P 4H2.
No: 219006806.

CDSD PROCUREMENT LTD. Named Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 420 DOUGLAS GLEN BLVD SE, CALGARY ALBERTA, T2Z 2M8. No:
209013713.

CGC CONSULTING INC. Other Prov/Territory Corps Registered 2000 OCT 10
Registered Address: 406, 501 - 18TH AVENUE SW, CALGARY ALBERTA, T2S 0C7.
No: 219008299.

CHOPSTICKS INC. Named Alberta Corporation Incorporated 2000 OCT 06
Registered Address: 286, 328 CENTRE STREET S.E., CALGARY ALBERTA, T2G 4X6.
No: 209006006.


CINNAMON TRUCKING LTD. Named Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 200-9914 MORRISON STREET, FORT MCMURRAY ALBERTA, T9H
4A4. No: 208998633.

CISCO TRANSPORTS LTD. Named Alberta Corporation Incorporated 2000 OCT 04
Registered Address: NE 1/4-23-4-27-W4M No: 209001700.

CIT ALBERTA LTD. Named Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 555/17, 604 - 1 STREET SW, CALGARY ALBERTA, T2P 1M7.
No: 208998005.

CLAREANN LTD. Named Alberta Corporation Incorporated 2000 OCT 11 Registered
Address: 9808-180 STREET, EDMONTON ALBERTA, T5T 3W1. No: 209009976.

CLAYTON ASSOCIATES LTD. Named Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 2208 27 ST SW, CALGARY ALBERTA, T3E 2G1. No: 209000421.

CLEANMAX INC. Named Alberta Corporation Incorporated 2000 OCT 11 Registered
Address: #300, 1100- 8TH AVENUE SW, CALGARY ALBERTA, T2P 3T9. No:
209010248.

CLEOPATRA INTERNATIONAL LTD. Named Alberta Corporation Incorporated 2000
OCT 12 Registered Address: 75 PINELAND CLOSE NE, CALGARY ALBERTA, T1Y 3H2.
No: 209011113.

CLUB DEL SOL INC. Named Alberta Corporation Incorporated 2000 OCT 12
Registered Address: BAY 222, 11655 24TH STREET SE, CALGARY ALBERTA, T2Z
3J3. No: 209011824.

CLUB POSH INC. Named Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 5011-51 AVENUE, WHITECOURT ALBERTA, T7S 1P7. No:
208998856.

CNT CONSULTING LTD. Named Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 209, 4815 GAETZ AVENUE, RED DEER ALBERTA, T4N 4A5. No:
208998229.

COAST DIESELEC LTD. Other Prov/Territory Corps Registered 2000 OCT 12
Registered Address: #200, 209 19 STREET NW, CALGARY ALBERTA, T2N 2H9. No:
218998722.

CODY GERLITZ WELDING LTD Named Alberta Corporation Incorporated 2000 OCT 11
Registered Address: 7605 96A STREET, GRANDE PRAIRIE ALBERTA, T8V 4R7. No:
209009273.

COLD LAKE PIPELINE LTD. Named Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 3900, 421 - 7TH AVENUE S.W., CALGARY ALBERTA, T2P 4K9.
No: 209001536.

COLIN DUNCAN ENGINEERING SERVICES LTD. Named Alberta Corporation
Incorporated 2000 OCT 11 Registered Address: #1500, 407 - 2ND STREET S.W.,
CALGARY ALBERTA, T2P 2Y3. No: 209010420.

COMEAU RESOURCES LTD. Named Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 1780, 10123 - 99TH STREET, EDMONTON ALBERTA, T5J 3H1.
No: 209000371.


COMMERCIAL MORTGAGE ORIGINATION COMPANY OF CANADA Extra-Provincial Trust
Corporation Registered 2000 OCT 13 Registered Address: 30TH FLOOR, 237 - 4
AVENUE S.W., CALGARY ALBERTA, T2P 4X7. No: 309012961.

COMMUNITY FUTURES DEVELOPMENT CORPORATION OF THE SHUSWAP Federal
Corporation Registered 2000 OCT 02 Registered Address: 208, 4024 - 114 ST.,
EDMONTON ALBERTA, T6J 1M6. No: 218997088.

COMMUNITYWORX INC. Named Alberta Corporation Incorporated 2000 OCT 14
Registered Address: 908, 5940 MACLEOD TRAIL SOUTH, CALGARY ALBERTA, T2H
2G4. No: 209014794.

COMPLETE COVERAGE LTD. Named Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 1013 5TH AVENUE, WAINWRIGHT ALBERTA, T9W 1L6. No:
208997916.

CONNELLY CATTLE CO. LTD. Named Alberta Corporation Incorporated 2000 OCT 13
Registered Address: #600, 220 - 4 STREET SOUTH, LETHBRIDGE ALBERTA, T1J
4J7. No: 209014414.

CONSOLIDAIR SAFETY MANAGEMENT & SERVICES LTD. Named Alberta Corporation
Incorporated 2000 OCT 11 Registered Address: 8007 RANCHERO DRIVE N.W.,
CALGARY ALBERTA, T3G 1C4. No: 209003623.

COPEY'S CONTRACTING LTD. Named Alberta Corporation Incorporated 2000 OCT 11
Registered Address: 9 POPLAR PLACE TRAILER COURT, EDSON ALBERTA, T7E 1N4.
No: 209010198.

CORIAN DIAMOND PRODUCTS LTD. Named Alberta Corporation Incorporated 2000
OCT 06 Registered Address: #1155, 5555 CALGARY TRAIL SOUTH, EDMONTON
ALBERTA, T6H 5P9. No: 209005727.

CORION DIAMOND PRODUCTS LTD. Named Alberta Corporation Incorporated 2000
OCT 06 Registered Address: #1155, 5555 CALGARY TRAIL SOUTH, EDMONTON
ALBERTA, T6H 5P9. No: 209005990.

CORSAIR INVESTMENTS INC. Named Alberta Corporation Incorporated 2000 OCT 11
Registered Address: 1800, 717 - 7TH AVENUE S.W., CALGARY ALBERTA, T2P 0Z3.
No: 209009638.

COYOTE MOON HOLDINGS LTD Named Alberta Corporation Incorporated 2000 OCT 06
Registered Address: 2112 10TH STREET, COALDALE ALBERTA, T1M 1B4. No:
209005123.

CP THERAPY SERVICES LTD. Named Alberta Corporation Incorporated 2000 OCT 12
Registered Address: 2800, 10060 JASPER AVENUE, EDMONTON ALBERTA, T5J 3V9.
No: 209011097.

CRAZY HORSE NORTH LTD. Named Alberta Corporation Incorporated 2000 OCT 11
Registered Address: #160, 10350 - 124 STREET, EDMONTON ALBERTA, T5N 3V9.
No: 209010099.

CROSSMAN HOMES ALBERTA LTD. Named Alberta Corporation Incorporated 2000 OCT
05 Registered Address: 200-9914 MORRISON STREET, FORT MCMURRAY ALBERTA, T9H
4A4. No: 209004308.

CROWFOOT PLATES INC. Named Alberta Corporation Incorporated 2000 OCT 12
Registered Address: 49 CROWFOOT WAY NW, CALGARY ALBERTA, T3G 2L4. No:
209012186.

CROWSNEST PASS GOTTA DANCE FOUNDATION Alberta Society Incorporated 2000 OCT
03 Registered Address: P.O. BOX 66, COWLEY ALBERTA, TOK 1HO. No: 509006920.

CUBIC WELDING LTD. Named Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 9715 - 42 AVENUE, EDMONTON ALBERTA, T6E 5P8. No:
209002419.

CULVER IMAGE ARTS LTD. Named Alberta Corporation Incorporated 2000 OCT 06
Registered Address: 1000, 400 - 3RD AVENUE S.W., CALGARY ALBERTA, T2P 4H2.
No: 209005347.

CUSTOM SEAL PRODUCTS INC. Other Prov/Territory Corps Registered 2000 OCT 05
Registered Address: 48 GEORGIAN WAY, SHERWOOD PARK ALBERTA, T8A 2V2. No:
219003720.

CUSTOMER'S AUTOMOTIVE SERVICES LTD. Named Alberta Corporation Incorporated
2000 OCT 05 Registered Address: 500-5241 CALGARY TR S NW, EDMONTON ALBERTA,
T6H 5G8. No: 209004167.

CUTTING EDGE FOODS INC. Named Alberta Corporation Incorporated 2000 OCT 11
Registered Address: C/O 200, 10607 - 82 STREET, EDMONTON ALBERTA, T6A 3N2.
No: 209008341.

CYBERSURF TECHNOLOGIES CORP. Named Alberta Corporation Incorporated 2000
OCT 10 Registered Address: 3000, 237 - 4TH AVENUE SW, CALGARY ALBERTA, T2P
4X7. No: 209006287.

CYCLONIC AIR CORP. Named Alberta Corporation Incorporated 2000 OCT 05
Registered Address: SUITE 200, 18335 - 105 AVENUE, EDMONTON ALBERTA, T5S
2K9. No: 209003953.

D S PAINTING & INSPECTION INC. Named Alberta Corporation Incorporated 2000
OCT 05 Registered Address: #1, 5304 - 50TH STREET, LEDUC ALBERTA, T9E 6Z6.
No: 209004183.

D V8 LIMITED Named Alberta Corporation Incorporated 2000 OCT 04 Registered
Address: 16218 56 STREET, EDMONTON ALBERTA, T5Y 2V1. No: 209001254.

D. KOTYK HOLDINGS INC. Named Alberta Corporation Incorporated 2000 OCT 05
Registered Address: 79 EDGEWOOD BLVD. WEST, LETHBRIDGE ALBERTA, T1K 5Z5.
No: 209000439.

D. PRESTON CONTRACTING INC. Named Alberta Corporation Incorporated 2000 OCT
11 Registered Address: #600, 9835 - 101 AVENUE, GRANDE PRAIRIE ALBERTA, T8V
5V4. No: 209010065.

DALTON ENTERPRISES LTD. Named Alberta Corporation Continued In 2000 OCT 13
Registered Address: #1, 1364 SOUTHVIEW DRIVE SE, MEDICINE HAT ALBERTA, T1B
4E7. No: 209006303.


DANICO DRILLING LTD. Named Alberta Corporation Incorporated 2000 OCT 12
Registered Address: 11835-94 STREET, EDMONTON ALBERTA, T5G 1J3. No:
209012665.

DANIEL J. POWER PROFESSIONAL CORPORATION Medical Professional Corporation
Incorporated 2000 OCT 04 Registered Address: M5, 9509 - 156 STREET,
EDMONTON ALBERTA, T5P 4J5. No: 209001460.

DANIN OFFICE SUPPLIES LTD. Named Alberta Corporation Incorporated 2000 OCT
10 Registered Address: 5042-49 AVE., VERMILION ALBERTA, T9X 1B7. No:
209007368.

DARKSUN CONTRACTING INC. Named Alberta Corporation Incorporated 2000 OCT 10
Registered Address: 559 SUMMERWOOD PLACE, AIRDRIE ALBERTA, T4B 1X1. No:
209007772.

DART VENTURES INC. Named Alberta Corporation Incorporated 2000 OCT 11
Registered Address: 230 RIVERGREEN PLACE SE, CALGARY ALBERTA, T2C 3V5. No:
209008853.

DAUGHTERS OF THE NILE SOCIETY OF EDMONTON Alberta Society Incorporated 2000
SEP 27 Registered Address: 10434 - 122 STREET, EDMONTON ALBERTA, T5N 1M3.
No: 508998796.

DAVIS DISPLAY & EVENT PRODUCTIONS INC. Other Prov/Territory Corps
Registered 2000 OCT 12 Registered Address: 4507-68 AVENUE, EDMONTON
ALBERTA, T6B 2N2. No: 219011137.

DC QUALITY CONTROL SERVICES CORP Named Alberta Corporation Incorporated
2000 OCT 11 Registered Address: 52258 RANGE ROAD 232, SHERWOOD PARK
ALBERTA, T8B 1B8. No: 209010719.

DECKRA EXTERIOR LTD. Named Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 9715 - 42 AVENUE, EDMONTON ALBERTA, T6E 5P8. No:
209002427.

DEKENSIAN DEVELOPMENT CORPORATION Named Alberta Corporation Incorporated
2000 OCT 05 Registered Address: #1130, 1015 - 4TH STREET S.W., CALGARY
ALBERTA, T2R 1J4. No: 209003276.

DEMAR INDUSTRIES LTD. Named Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 484 BOUTIN AVENUE, HINTON ALBERTA, T7V 1A3. No:
209013366.

DERANN HOLDINGS LTD. Named Alberta Corporation Incorporated 2000 OCT 05
Registered Address: SW 28 - 53 - 16 - W5 No: 209002567.

DEREK A. ROGERS PROFESSIONAL CORPORATION Dental Professional Corporation
Incorporated 2000 OCT 03 Registered Address: 1, 3295 DUNMORE RD SE,
MEDICINE HAT ALBERTA, T1B 3R2. No: 208998344.

DESIGN'S BY TAM LTD. Named Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 5119 48 STREET, HIGH PRAIRIE ALBERTA, T0G 1E0. No:
208998591.


DETECH CONTRACTING INC. Named Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 5401A - 50 AVENUE, TABER ALBERTA, T1G 1V2. No:
209014638.

DIMENSIONAL SOLUTIONS INC. Named Alberta Corporation Incorporated 2000 OCT
05 Registered Address: 310 EDGEBROOK PARK NW, CALGARY ALBERTA, T3A 5T4. No:
209004498.

DIPANFILO PLUMBING & HEATING LTD. Named Alberta Corporation Incorporated
2000 OCT 04 Registered Address: 11216 - 89 STREET, EDMONTON ALBERTA, T5B
3T4. No: 209000306.

DISCOVERY PLACE FOR LIVING INC. Named Alberta Corporation Incorporated 2000
OCT 05 Registered Address: #2500, 10155 - 102 STREET, EDMONTON ALBERTA, T5J
4G8. No: 209002708.

DIVINE NAILS INC. Named Alberta Corporation Incorporated 2000 OCT 06
Registered Address: C/O 9715 - 42 AVENUE, EDMONTON ALBERTA, T6E 5P8. No:
209006410.

DIVORCE BROKER INC. Named Alberta Corporation Incorporated 2000 OCT 11
Registered Address: 1209, 10104 - 103 AVENUE, EDMONTON ALBERTA, T5J 0H8.
No: 209008804.

DOLORES J. DE GUZMAN PROFESSIONAL CORPORATION Certified General Accounting
Professional Corporation Incorporated 2000 OCT 06 Registered Address: 93
WESTPOINT GARDENS SW, CALGARY ALBERTA, T3H 4M4. No: 209000546.

DOMUS CUSTOM HOMES LTD. Named Alberta Corporation Incorporated 2000 OCT 12
Registered Address: 48-305-4625 VARSITY DR NW, CALGARY ALBERTA, T3A 0Z9.
No: 209012434.

DONALD AND MONA MEHEW RANCHING LTD. Named Alberta Corporation Incorporated
2000 OCT 06 Registered Address: 300, 220 - 4TH STREET SOUTH, LETHBRIDGE
ALBERTA, T1J 4J7. No: 209004761.

DOREL SYSTEMS INC. Named Alberta Corporation Incorporated 2000 OCT 05
Registered Address: 9111 - 39 AVENUE, EDMONTON ALBERTA, T6E 5Y2. No:
208995142.

DRIFTERS HEAVY HAUL INC. Named Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 9505 - 98A ST., MORINVILLE, AB ALBERTA, T8R 1H3. No:
209013135.

DRILL-EX OILFIELD SERVICE LTD. Named Alberta Corporation Incorporated 2000
OCT 12 Registered Address: #212, 5704 44 STREET, LLOYDMINSTER SK ALBERTA,
S9V 0Y4. No: 209011386.

DRIVELINE AUTOMOTIVE CONSULTANTS LTD. Other Prov/Territory Corps Registered
2000 OCT 12 Registered Address: 900, 521 - 3RD AVENUE S.W., CALGARY
ALBERTA, T2P 3T3. No: 219012556.

DRIVER B ENTERPRISES CORP. Named Alberta Corporation Incorporated 2000 OCT
05 Registered Address: 1225 BAPTISTE DRIVE, WEST BAPTISTE ALBERTA, T9S 1R8.
No: 209002476.


DTR PAINTING LIMITED Other Prov/Territory Corps Registered 2000 OCT 02
Registered Address: 310 KINGSWAY GARDEN MALL, EDMONTON ALBERTA, T5G 3A6.
No: 218997542.

DURANGO AUTO DETAILING LTD. Named Alberta Corporation Incorporated 2000 OCT
12 Registered Address: 9 727 33 ST NE, CALGARY ALBERTA, T2A6M6. No:
209011329.

DUSHOMA VENTURES INC. Named Alberta Corporation Incorporated 2000 OCT 10
Registered Address: 5233 - 49TH AVENUE, RED DEER ALBERTA, T4N 6G5. No:
209006782.

DYNAMIC PROPERTIES (INTERNATIONAL) INC. Named Alberta Corporation
Incorporated 2000 OCT 10 Registered Address: 335 GARRY CR. NE, CALGARY
ALBERTA, T2K 5X1. No: 209007459.

DYNAMIC SYSTEM DESIGN INC. Named Alberta Corporation Incorporated 2000 OCT
14 Registered Address: 14109 23 ST, EDMONTON ALBERTA, T5Y 1P9. No:
209014851.

E Z J CONTRACTING LTD. Named Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 6409 51 AVENUE, WHITECOURT ALBERTA, T7S 1N7. No:
209001262.

E-ADMIN.COM CORPORATION Named Alberta Corporation Incorporated 2000 OCT 06
Registered Address: #1200, 633 - 6TH AVENUE S.W., CALGARY ALBERTA, T2P 2Y5.
No: 209006246.

E-BAY OILFIELD CONTRACTING INC. Named Alberta Corporation Incorporated 2000
OCT 03 Registered Address: 5038 - 50 AVENUE, VEGREVILLE ALBERTA, T9C 1S1.
No: 208998740.

E-COMMXCO INC. Named Alberta Corporation Incorporated 2000 OCT 05
Registered Address: #1000, 425-1 STREET S.W., CALGARY ALBERTA, T2P 3L8. No:
209003615.

EAGLE'S HEIGHT CONTRACTING LTD. Named Alberta Corporation Incorporated 2000
OCT 05 Registered Address: SW 18 38 8 5 No: 209003557.

ECHO ONLINE INC. Named Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 1530, 888 - 3 STREET SW, CALGARY ALBERTA, T2P 5C5. No:
208996611.

ECHO-LOGIC LAND CORPORATION Named Alberta Corporation Incorporated 2000 OCT
14 Registered Address: 908, 5940 MACLEOD TRAIL SOUTH, CALGARY ALBERTA, T2H
2G4. No: 209014869.

ED & TONY'S WELDING PRECISION MANUFACTURING LTD. Named Alberta Corporation
Incorporated 2000 OCT 06 Registered Address: 9732-160 STREET, EDMONTON
ALBERTA, T5P 3C8. No: 209006204.

EDGE PROMOTIONAL GROUP INC. Named Alberta Corporation Incorporated 2000 OCT
10 Registered Address: 2506 TUDOR GLEN MARKET, ST. ALBERT ALBERTA, T8N 3V3.
No: 209004704.

EDMONTON AND AREA COMMUNITY HOUSING DEVELOPMENT CORPORATION LTD. Non-Profit
Private Company Incorporated 2000 SEP 27 Registered Address: 10410-81
AVENUE, EDMONTON ALBERTA, T6E 1X5. No: 519002646.

EDMONTON JOURNAL GROUP ULC Other Prov/Territory Corps Registered 2000 OCT
13 Registered Address: 2900, 10180 - 101 STREET, EDMONTON ALBERTA, T5J 3V5.
No: 219014271.

EDUARD DE JAGER PROFESSIONAL CORPORATION Medical Professional Corporation
Incorporated 2000 OCT 05 Registered Address: 1004, 10104 - 103 AVENUE,
EDMONTON ALBERTA, T5J 0H8. No: 209002633.

EDWARD M. COOPSAMMY PROFESSIONAL CORPORATION Dental Professional
Corporation Incorporated 2000 OCT 10 Registered Address: #1020, 833 - 4TH
AVENUE S.W., CALGARY ALBERTA, T2P 3T5. No: 209007871.

EGAN MARKETING INC. Named Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 200, 815- 10TH AVENUE SW, CALGARY ALBERTA, T2R 0B4. No:
209000256.

ELLWORTH INDUSTRIES LTD. Other Prov/Territory Corps Registered 2000 OCT 05
Registered Address: 10, 5925 - 12 STREET SE, CALGARY ALBERTA, T2H 2M3. No:
219003712.

ELVINS INVESTMENTS LTD. Named Alberta Corporation Continued In 2000 OCT 13
Registered Address: 3400, 150 - 6TH AVENUE S.W., CALGARY ALBERTA, T2P 3Y7.
No: 209011204.

EMMANUEL MANAGEMENT LTD Named Alberta Corporation Incorporated 2000 OCT 05
Registered Address: #3 JP II DRIVE, RADWAY ALBERTA, T0A 2V0. No: 209004100.

EMPORI.COM INC. Other Prov/Territory Corps Registered 2000 OCT 11
Registered Address: 1520, 324 - 8 AVENUE S.W., CALGARY ALBERTA, T2P 2Z2.
No: 219010659.

ENCORE ENVIRONMENTAL LTD. Named Alberta Corporation Incorporated 2000 OCT
12 Registered Address: 5126 RAILWAY AVE., ELK POINT ALBERTA, T0A 1A0. No:
209010792.

ENEVOLD INVESTMENTS LTD. Named Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 103 - 2ND AVENUE WEST, BROOKS ALBERTA, T1R 1B6. No:
208999615.

ENRIQUEPOE MOVING PICTURES INC. Named Alberta Corporation Incorporated 2000
OCT 05 Registered Address: #200, 209 19TH STREET NW, CALGARY ALBERTA, T2N
2H9. No: 209003177.

ERT ACCOUNTING SYSTEMS INC. Named Alberta Corporation Incorporated 2000 OCT
04 Registered Address: 1250, 639 FIFTH AVENUE S.W., CALGARY ALBERTA, T2P
0M9. No: 209002062.

ESQUIRE ENERGY LTD. Named Alberta Corporation Incorporated 2000 OCT 04
Registered Address: APT. #5, 4911 - 55 STREET, RED DEER ALBERTA, T4N 2J3.
No: 209001577.

ESTHER LEE PROFESSIONAL CORPORATION Dental Professional Corporation
Incorporated 2000 OCT 10 Registered Address: 602, 734 - 7 AVENUE SW,
CALGARY ALBERTA, T2P 3P8. No: 209008382.


EUROGOLD ART LTD. Named Alberta Corporation Incorporated 2000 OCT 12
Registered Address: 8219 19 AVE NW, EDMONTON ALBERTA, T6K 2C9. No:
209012749.

EVITA SOLUTIONS INC. Named Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 223 COACHWOOD CRES SW, CALGARY ALBERTA, T3H 1E7. No:
209000447.

EXCLUSIVE HARDWOOD FLOORING LTD. Named Alberta Corporation Incorporated
2000 OCT 04 Registered Address: 9249 - 50 ST., EDMONTON ALBERTA, T6B 3B6.
No: 209000413.

EXPORTWORKS INC. Named Alberta Corporation Incorporated 2000 OCT 10
Registered Address: #108, 2841 - 109 STREET, EDMONTON ALBERTA, T6J 6B7. No:
209006667.

F & M HAAS GRAIN FARM LTD. Named Alberta Corporation Incorporated 2000 OCT
05 Registered Address: 204, 430 6TH AVE SE, MEDICINE HAT ALBERTA, T1A 2S8.
No: 209002518.

F.G.S.M. HOLDINGS INC. Named Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 7252 KANANASKIS DRIVE SW, CALGARY ALBERTA, T2V 2N2. No:
208996702.

FAIRVIEW SKATEBOARD ASSOCIATION Alberta Society Incorporated 2000 SEP 25
Registered Address: BOX 2200, 10316-110 STREET, FAIRVIEW ALBERTA, TOH 1LO.
No: 509007662.

FARMCO CAPITAL LTD. Named Alberta Corporation Incorporated 2000 OCT 06
Registered Address: #200, 10923 101 STREET, EDMONTON ALBERTA, T5H 2S7. No:
209006329.

FARRELL INVESTMENTS INC. Named Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 109 ADRIAN CRESCENT, FORT MCMURRAY ALBERTA, T9J 1J4.
No: 209000355.

FASTRAC EXPRESS LTD Named Alberta Corporation Incorporated 2000 OCT 03
Registered Address: RR 5, WETASKIWIN ALBERTA, T9A 1X2. No: 208998450.

FINANCIALWORKS INC. Named Alberta Corporation Incorporated 2000 OCT 11
Registered Address: #395, 800 - 6TH AVENUE S.W., CALGARY ALBERTA, T2P 3G3.
No: 209009836.

FINE POINTS HOLDINGS INC. Named Alberta Corporation Incorporated 2000 OCT
11 Registered Address: 5206 - 50 STREET, LEDUC ALBERTA, T9E 6Z6. No:
209008655.

FIREHORSE INVESTMENTS LTD. Named Alberta Corporation Incorporated 2000 OCT
13 Registered Address: 101, 435 - 4 AVENUE SW, CALGARY ALBERTA, T2P 3A8.
No: 209014646.

FIREPLACE CONCEPTS INC. Named Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 630,11012 MACLEOD TRAIL S, CALGARY ALBERTA, T2J 6A5.
No: 209000819.

FIRST LODGING CORPORATION Named Alberta Corporation Incorporated 2000 OCT
02 Registered Address: 300, 1015 - 4TH STREET SW, CALGARY ALBERTA, T2R 1J4.
No: 208997668.

FLAMINGO BAY ENTERPRISES INC. Named Alberta Corporation Incorporated 2000
OCT 04 Registered Address: SUITE 1630, 10250 - 101 STREET, EDMONTON
ALBERTA, T5J 3P4. No: 209000587.

FOR SALE BY REALTY INC. Named Alberta Corporation Incorporated 2000 OCT 06
Registered Address: 15229 PRESTWICK BLVD. SE, CALGARY ALBERTA, T2Z 3L3. No:
209005040.

FORSYTHE INVESTMENTS LTD. Named Alberta Corporation Incorporated 2000 OCT
02 Registered Address: 300, 14925 - 111 AVENUE, EDMONTON ALBERTA, T5M 2P6.
No: 208997759.

FORTY MILE COMMUNITY ADULT LEARNING ASSOCIATION Alberta Society
Incorporated 2000 SEP 28 Registered Address: 303 MAIN STREET, FOREMOST
ALBERTA, TOK OXO. No: 508999216.

FREDERICK W. STEYN PROFESSIONAL CORPORATION Medical Professional
Corporation Incorporated 2000 OCT 05 Registered Address: 1004, 10104 - 103
AVENUE, EDMONTON ALBERTA, T5J 0H8. No: 209002674.

FREEDOM ENTERTAINMENT LTD Named Alberta Corporation Incorporated 2000 OCT
10 Registered Address: 10118 86 AVE, EDMONTON ALBERTA, T6E 2M1. No:
209008333.

FRONTLINE CONTRACTING INC. Named Alberta Corporation Incorporated 2000 OCT
13 Registered Address: 4TH FLOOR, 4943 - 50TH STREET, RED DEER ALBERTA, T4N
1Y1. No: 209013267.

FULL CIRCLE VENTURES INC. Named Alberta Corporation Incorporated 2000 OCT
06 Registered Address: 3203 - 12 AVENUE S.E., CALGARY ALBERTA, T2A 0G8. No:
209005131.

G. KIND MOTIVE POWER CONSULTING CORP. Named Alberta Corporation
Incorporated 2000 OCT 02 Registered Address: #520, 1121 CENTRE STREET N.,
CALGARY ALBERTA, T2E 7K6. No: 208996371.

G.K. CHILD SAFETY ENTERPRISES INC. Named Alberta Corporation Incorporated
2000 OCT 11 Registered Address: #B 212 - 3 AVE. WEST, BROOKS ALBERTA, T1R
1C1. No: 209008150.

G.P. KARTING INC. Named Alberta Corporation Incorporated 2000 OCT 11
Registered Address: 10022 - 102 AVENUE, GRANDE PRAIRIE ALBERTA, T8V 0Z7.
No: 209009877.

GAMASHI HOLDINGS INC. Named Alberta Corporation Incorporated 2000 OCT 12
Registered Address: 2900, 10180-101 STREET, EDMONTON ALBERTA, T5J 3V5. No:
209011071.

GAR-ANN CONSTRUCTION LIMITED Named Alberta Corporation Incorporated 2000
OCT 13 Registered Address: #2, 401 MAIN STREET N.E., SLAVE LAKE ALBERTA,
T0G 2A2. No: 209014356.

GCS RESOURCE MANAGEMENT LTD. Named Alberta Corporation Incorporated 2000
OCT 12 Registered Address: 3400, 150 - 6TH AVENUE S.W., CALGARY ALBERTA,
T2P 3Y7. No: 209012137.


GCS TRUCKING LTD. Named Alberta Corporation Incorporated 2000 OCT 11
Registered Address: #5240 MEMORIAL DRIVE N.E., CALGARY ALBERTA, T2A 2R1.
No: 209008929.

GDM INVESTMENTS INC. Named Alberta Corporation Incorporated 2000 OCT 03
Registered Address: #102, 10171 SASKATCHEWAN DRIVE, EDMONTON ALBERTA, T6E
4R5. No: 208998617.

GEDRICH TECHNOLOGIES LTD. Named Alberta Corporation Incorporated 2000 OCT
05 Registered Address: #1250, 639 - 5TH AVENUE S.W., CALGARY ALBERTA, T2P
0M9. No: 209003771.

GERB ENTERPRISES INC. Named Alberta Corporation Incorporated 2000 OCT 10
Registered Address: 820, 520 - 5TH AVENUE SW, CALGARY ALBERTA, T2P 3R7. No:
209005354.

GIDEON VAN WYK PROFESSIONAL CORPORATION Medical Professional Corporation
Incorporated 2000 OCT 12 Registered Address: 1004, 10104 - 103 AVENUE,
EDMONTON ALBERTA, T5J 0H8. No: 209010958.

GIFT LAKE SAWMILLS LTD. Named Alberta Corporation Incorporated 2000 OCT 06
Registered Address: 1500, 10665 JASPER AVENUE, EDMONTON ALBERTA, T5J 3S9.
No: 209004795.

GJS & ASSOCIATES LTD. Named Alberta Corporation Incorporated 2000 OCT 12
Registered Address: 44 RANCHRIDGE WAY NW, CALGARY ALBERTA, T3G 1Z9. No:
209012384.

GORN INDUSTRIES INC. Named Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 6004 - 101 AVENUE, EDMONTON ALBERTA, T6A 0G8. No:
208999102.

GRANDVIEW LOGGING LTD. Named Alberta Corporation Incorporated 2000 OCT 04
Registered Address: SE 15-104-15-W5 No: 209000405.

GRANT FOREST PRODUCTS INC. Other Prov/Territory Corps Registered 2000 OCT
11 Registered Address: 2900, 10180 - 101 STREET, EDMONTON ALBERTA, T5J 3V5.
No: 219010113.

GREAT NORTH TECHNOLOGIES LTD. Named Alberta Corporation Incorporated 2000
OCT 02 Registered Address: 1000, 400 THIRD AVENUE S.W., CALGARY ALBERTA,
T2P 4H2. No: 208997833.

GREEN LEAF HOLDINGS INC Named Alberta Corporation Incorporated 2000 OCT 05
Registered Address: 3112 111 AVE, EDMONTON ALBERTA, T5W 0J3. No: 209004084.

GRIFFIN CONSTRUCTION (2000) LTD. Named Alberta Corporation Incorporated
2000 OCT 03 Registered Address: 209, 4815 GAETZ AVENUE, RED DEER ALBERTA,
T4N 4A5. No: 208998278.

GROOVE ENTERPRISES INC. Named Alberta Corporation Incorporated 2000 OCT 06
Registered Address: 11708 - 11 AVENUE, EDMONTON ALBERTA, T6J 7C3. No:
209004670.

GSA VENCAP CORPORATION Named Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 1000, 400 - 3RD AVENUE S.W., CALGARY ALBERTA, T2P 4H2.
No: 208997817.

GSW & ASSOCIATES LTD. Named Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 1050, 10201 SOUTHPORT ROAD S.W., CALGARY ALBERTA, T2W
4X9. No: 209012889.

GWD INVESTMENTS INC. Named Alberta Corporation Incorporated 2000 OCT 10
Registered Address: 537 - 7TH STREET SOUTH, LETHBRIDGE ALBERTA, T1J 2G8.
No: 209007806.

HAJJ TRADING ESTABLISHMENT LTD. Named Alberta Corporation Incorporated 2000
OCT 12 Registered Address: #640, 1414 - 8TH STREET S.W., CALGARY ALBERTA,
T2R 1J6. No: 209011162.

HAMILTON BUSINESS VENTURES INC. Named Alberta Corporation Incorporated 2000
OCT 12 Registered Address: 4030 32 STREET NW, EDMONTON ALBERTA, T6T 1L4.
No: 209012277.

HAMILTON FILIPOWICZ ARCHITECTS LTD. Named Alberta Corporation Incorporated
2000 OCT 10 Registered Address: 888, 10004 - 104 AVENUE, EDMONTON ALBERTA,
T5J 0K1. No: 209005941.

HANNA WEIGH SCALE ASSOCIATION Alberta Society Incorporated 2000 OCT 12
Registered Address: BOX 1869, HANNA ALBERTA, T0J 1P0. No: 509013272.

HAVE FUN WILL TRAVEL INC. Named Alberta Corporation Incorporated 2000 OCT
11 Registered Address: 943 RANCH ESTATES PL. N.W., CALGARY ALBERTA, T3G
1M5. No: 209009919.

HAWKES AND LIVINGSTONE PROFESSIONAL CORPORATION Medical Professional
Corporation Incorporated 2000 OCT 10 Registered Address: #520, 1121 CENTRE
STREET N., CALGARY ALBERTA, T2E 7K6. No: 209007830.

HAZZARD CONSULTING SERVICES LTD. Named Alberta Corporation Incorporated
2000 OCT 11 Registered Address: 919 2ND AVENUE WEST, BROOKS ALBERTA, T1R
0B7. No: 209010453.

HEADS ABOVE SECURITY CONSULTING LTD. Named Alberta Corporation Incorporated
2000 OCT 13 Registered Address: 10613 11 AVENUE, EDMONTON ALBERTA, T6J 6J4.
No: 209013473.

HEAVY SHIELD HOLDINGS INC. Named Alberta Corporation Incorporated 2000 OCT
02 Registered Address: NE-2-22-23-W4M No: 208996850.

HEDGE ENERGY MANAGEMENT INC. Named Alberta Corporation Incorporated 2000
OCT 11 Registered Address: #204, 755 LAKE BONAVISTA DRIVE SE, CALGARY
ALBERTA, T2J 0N3. No: 209009992.

HELI-CRANE INC. Named Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 1220, 144 - 4TH AVENUE S.W., CALGARY ALBERTA, T2P 3N4.
No: 208998419.

HIGH LEVEL SUPER 8 MOTEL LTD. Named Alberta Corporation Incorporated 2000
OCT 06 Registered Address: 196-3 AVENUE WEST, DRUMHELLER ALBERTA, TOJ OYO.
No: 209004746.

HINTON QUALITY AIR LTD. Named Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 213 PEMBINA AVENUE, HINTON ALBERTA, T7V 2B3. No:
208999748.

HIRD MANAGEMENT INC. Named Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 504, 4600 CROWCHILD TRAIL NW, CALGARY ALBERTA, T3A 2L6.
No: 209001056.

HOLIDAY SHOPS 2000 INC. Named Alberta Corporation Incorporated 2000 OCT 06
Registered Address: #6 VARSITY ESTATES CLOSE N.W., CALGARY ALBERTA, T3B
5J2. No: 209005008.

HOLISTA HEALTH CORPORATION Other Prov/Territory Corps Registered 2000 OCT
11 Registered Address: 4500, 855 - 2 STREET S.W., CALGARY ALBERTA, T2P 4K7.
No: 219009396.

HOLLYWAY DRYCLEANERS (2000) LTD. Named Alberta Corporation Incorporated
2000 OCT 13 Registered Address: 29-4022 52 ST NW, EDMONTON ALBERTA, T6L
5N3. No: 209014083.

HOP-INN OILFIELD CONSULTING LTD. Named Alberta Corporation Incorporated
2000 OCT 11 Registered Address: 11, 5125 - 50 AVENUE, VERMILION ALBERTA,
T9X 1A8. No: 209009026.

HORIZON WINDOWS & RENOVATIONS LTD. Named Alberta Corporation Incorporated
2000 OCT 04 Registered Address: 9519 - 141 STREET, EDMONTON ALBERTA, T5N
2M5. No: 208994111.

HOSPITAL GREETINGS CORP. Federal Corporation Registered 2000 OCT 06
Registered Address: 1800, 350 - 7 AVENUE SW, CALGARY ALBERTA, T2P 3N9. No:
219005113.

HS WEB DEVELOPMENT & ADVERTISING CORP. Named Alberta Corporation
Incorporated 2000 OCT 05 Registered Address: 211 BRIDLEWOOD CIRCLE SW,
CALGARY ALBERTA, T2Y 3L2. No: 209002807.

HUCKLEBERRY HOLISTICS INC. Named Alberta Corporation Incorporated 2000 OCT
10 Registered Address: #202, 820 8TH STREET, CANMORE ALBERTA, T1W 2B7. No:
209008077.

HUSTLE CONSULTING LTD. Named Alberta Corporation Incorporated 2000 OCT 11
Registered Address: 4711-14A STREET S.W., CALGARY ALBERTA, T2T 3Y5. No:
209009794.

IBEX WELDING TECHNOLOGIES INC. Named Alberta Corporation Incorporated 2000
OCT 02 Registered Address: #101, 5019 - 49 AVENUE, LEDUC ALBERTA, T9E 6T5.
No: 208997478.

IBR CONSULTING SERVICES LTD. Named Alberta Corporation Incorporated 2000
OCT 06 Registered Address: #900, 10665 JASPER AVENUE, EDMONTON ALBERTA, T5G
3S9. No: 209006121.

IDEACA LIMITED Federal Corporation Registered 2000 OCT 10 Registered
Address: 308 - 11TH AVENUE S.E. SUITE 110, CALGARY ALBERTA, T2G 0Y2. No:
219008174.

IGT INC. Foreign Corporation Registered 2000 OCT 13 Registered Address:
1900, 333 - 7 AVE SW, CALGARY ALBERTA, T2P 2Z1. No: 219010774.

IMAGI - NATION FILM & TELEVISION PRODUCTIONS INC. Named Alberta Corporation
Incorporated 2000 OCT 11 Registered Address: #240, 6005 - 103 STREET,
EDMONTON ALBERTA, T6H 2H3. No: 209009653.

IMONKEY BUSINESS SOLUTIONS INC. Named Alberta Corporation Incorporated 2000
OCT 13 Registered Address: 440, 1414 - 8TH STREET SW, CALGARY ALBERTA, T2R
1J6. No: 209010784.

IN GEN COMPUTERS INC. Named Alberta Corporation Incorporated 2000 OCT 14
Registered Address: 1312 - 36 STREET, EDMONTON ALBERTA, T6L 2L9. No:
209014653.

IN LIVING COLOUR INC. Named Alberta Corporation Incorporated 2000 OCT 11
Registered Address: 205 MAIN STREET, THREE HILLS ALBERTA, T0M 2A0. No:
209005719.

INDUSTRIAL INNOVATIONS AND SERVICES LIMITED Named Alberta Corporation
Continued In 2000 OCT 04 Registered Address: 4500, 855 - 2 STREET S.W.,
CALGARY ALBERTA, T2P 4K7. No: 209001361.

INFLAVITAL CONSULTING LTD Named Alberta Corporation Incorporated 2000 OCT
06 Registered Address: 151 COUNTRY HILLS WAY NW, CALGARY ALBERTA, T3K 4W4.
No: 209003946.

INFORM BROKERAGE INC. Other Prov/Territory Corps Registered 2000 OCT 10
Registered Address: 210, 17010 - 103 AVENUE, EDMONTON ALBERTA, T5S 1K7. No:
219007887.

INFORMATIONQUAKE.COM LTD. Named Alberta Corporation Incorporated 2000 OCT
05 Registered Address: #1250, 639 - 5TH AVENUE S.W., CALGARY ALBERTA, T2P
0M9. No: 209003979.

INGVIL RESOURCES LTD. Named Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 6603 SILVERVIEW ROAD N.W., CALGARY ALBERTA, T3B 3L5.
No: 209013663.

INOTEX SERVICES GROUP LTD. Named Alberta Corporation Incorporated 2000 OCT
05 Registered Address: 300, 8170 - 50 STREET, EDMONTON ALBERTA, T6B 1E6.
No: 209002500.

INTEGRATION TECHNOLOGIES INC. Named Alberta Corporation Incorporated 2000
OCT 12 Registered Address: 92 STRATHDALE CLOSE SW, CALGARY ALBERTA, T3H
2K6. No: 209011782.

INTER PACIFIC EDUCATIONAL CONSULTING LTD. Named Alberta Corporation
Incorporated 2000 OCT 10 Registered Address: #10, 6020 - 1A STREET SW,
CALGARY ALBERTA, T2H 0G3. No: 209008143.

INVERIDGE DEVELOPMENT CORP. Named Alberta Corporation Incorporated 2000 OCT
02 Registered Address: #400, 1111 - 11 AVENUE SW, CALGARY ALBERTA, T2R 0G5.
No: 208997056.

INVERIDGE MORTGAGE (INVERMERE) LTD. Named Alberta Corporation Incorporated
2000 OCT 02 Registered Address: #400, 1111 - 11 AVENUE SW, CALGARY ALBERTA,
T2R 0G5. No: 208997106.

INVESTORFILE CORP. Named Alberta Corporation Incorporated 2000 OCT 12
Registered Address: 1400, 350 - 7TH AVENUE SW, CALGARY ALBERTA, T2P 3N9.
No: 209012467.


ISABZI.COM LTD. Named Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 1528 MERRILL LYNCH TOWER, 10205-101 ST., EDMONTON
ALBERTA, T5J 2Z2. No: 209000140.

J & J EXP TRANSPORT LTD. Named Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 5617 TEMPLE DRIVE NE, CALGARY ALBERTA, T1Y 3R7. No:
209013820.

J & J LIVESTOCK CO. LTD. Named Alberta Corporation Incorporated 2000 OCT 13
Registered Address: SUITE #201, 4811 - 48TH STREET, RED DEER ALBERTA, T4N
1S6. No: 209013523.

J. R. SLUGGETT GEOPHYSICAL CONSULTING LTD. Named Alberta Corporation
Incorporated 2000 OCT 05 Registered Address: 2110, 101 - 6TH AVENUE SW,
CALGARY ALBERTA, T2P 3P4. No: 209003995.

J. YOUNG ENTERPRISES LTD. Other Prov/Territory Corps Registered 2000 OCT 03
Registered Address: 3000, 700 - 9TH AVENUE S.W., CALGARY ALBERTA, T2P 3V4.
No: 218996767.

J.P. INVESTMENTS LTD. Named Alberta Corporation Continued In 2000 OCT 04
Registered Address: 3000, 700 - 9TH AVENUE S.W., CALGARY ALBERTA, T2P 3V4.
No: 208998666.

JAE J. YANG PROFESSIONAL CORPORATION Certified General Accounting
Professional Corporation Incorporated 2000 OCT 06 Registered Address: 219
SIENNA PARK TERRACE SW, CALGARY ALBERTA, T3M 4N1. No: 209002666.

JARDIS CLEANING SERVICES LTD. Named Alberta Corporation Incorporated 2000
OCT 11 Registered Address: 12123-124 STREET, EDMONTON ALBERTA, T5L 0N1. No:
209009745.

JAY'S CUSTOM CARPENTRY LTD. Named Alberta Corporation Incorporated 2000 OCT
13 Registered Address: 301, 1411 - 7 STREET SW, CALGARY ALBERTA, T2R 1A6.
No: 209014687.

JIM ROBERTSON TRUCKING LTD. Named Alberta Corporation Incorporated 2000 OCT
02 Registered Address: 4824 - 51 STREET, RED DEER ALBERTA, T4N 2A5. No:
208996272.

JIM'S INSPECTION SERVICES LTD. Named Alberta Corporation Incorporated 2000
OCT 13 Registered Address: 5023 - 50 AVE., WHITECOURT ALBERTA, T7S 1P2. No:
209013069.

JOCSAK ENERGY LTD. Named Alberta Corporation Incorporated 2000 OCT 05
Registered Address: 1400, 350 - 7TH AVENUE SW, CALGARY ALBERTA, T2P 3N9.
No: 209002781.

JOE PLAYER ATHLETICS INC. Named Alberta Corporation Incorporated 2000 OCT
03 Registered Address: 2600, 10180 - 101 STREET, EDMONTON ALBERTA, T5J 3Y2.
No: 208995381.

JOHANNES BOTHA PROFESSIONAL CORPORATION Medical Professional Corporation
Incorporated 2000 OCT 05 Registered Address: 1004, 10104 - 103 AVENUE,
EDMONTON ALBERTA, T5J 0H8. No: 209002583.


JOHN MEHEW RANCHING LTD. Named Alberta Corporation Incorporated 2000 OCT 05
Registered Address: 300, 220 - 4TH STREET SOUTH, LETHBRIDGE ALBERTA, T1J
4J7. No: 209003334.

JOY INC. Named Alberta Corporation Incorporated 2000 OCT 05 Registered
Address: 5019 58 ST, LACOMBE ALBERTA, T4L 1K7. No: 208986471.

JR TECHNOLOGIES INC. Named Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 9715 - 42 AVENUE, EDMONTON ALBERTA, T6E 5P8. No:
208998161.

JUNCTION8 INC. Named Alberta Corporation Incorporated 2000 OCT 06
Registered Address: 3902 - 19 STREET SW, CALGARY ALBERTA, T2T 4X9. No:
209005966.

JUNKYARD DOG LTD. Named Alberta Corporation Incorporated 2000 OCT 11
Registered Address: 500, 10655 SOUTHPORT RD SW, CALGARY ALBERTA, T2W 4Y1.
No: 209010172.

K & K CONTRACTING LTD. Named Alberta Corporation Incorporated 2000 OCT 10
Registered Address: #302, 8119 - 29 AVENUE, EDMONTON ALBERTA, T6K 3M7. No:
209008036.

K & LN HOLDINGS LTD. Named Alberta Corporation Incorporated 2000 OCT 12
Registered Address: 32 DUROCHER STREET, ST. ALBERT ALBERTA, T8N 6L9. No:
209011873.

K P HERMAN ENTERPRISES LTD. Named Alberta Corporation Incorporated 2000 OCT
13 Registered Address: NE 24 50 24 W4 No: 209013879.

KAPTOL PAINTING AND DECORATING LTD. Named Alberta Corporation Incorporated
2000 OCT 06 Registered Address: 303-117 STROUD BAY, FORT MCMURRAY ALBERTA,
T9H 4Y8. No: 209005362.

KARLIN MARKETING INC. Named Alberta Corporation Incorporated 2000 OCT 10
Registered Address: 800-10310 JASPER AVE NW, EDMONTON ALBERTA, T5J 2W4. No:
209007319.

KEG PARTY INVESTMENTS LTD. Named Alberta Corporation Incorporated 2000 OCT
13 Registered Address: 2900, 10180 - 101 STREET, EDMONTON ALBERTA, T5J 3V5.
No: 209012350.

KEL-MAR LAND CORP. Named Alberta Corporation Incorporated 2000 OCT 13
Registered Address: #400, 1111 - 11 AVENUE SW, CALGARY ALBERTA, T2R 0G5.
No: 209014398.

KENERGY DEVELOPMENT LTD. Named Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 6718 LEPINE COURT SW, CALGARY ALBERTA, T3E 6G3. No:
208999177.

KERIN DESIGN LIMITED Named Alberta Corporation Incorporated 2000 OCT 05
Registered Address: 200, 1029 - 17 AVENUE SW, CALGARY ALBERTA, T2T 0A9. No:
209004563.

KEVY'S HIGH PERFORMANCE LTD. Named Alberta Corporation Incorporated 2000
OCT 03 Registered Address: 4602 - 50 AVENUE, LLOYDMINSTER ALBERTA, T9V 0W3.
No: 208999961.

KIDZ KASTLE INC. Named Alberta Corporation Incorporated 2000 OCT 10
Registered Address: 202-10027 101 AVE, GRANDE PRAIRIE ALBERTA, T8V 0X9. No:
209007376.

KINETIC CONSTRUCTION CORP. Other Prov/Territory Corps Registered 2000 OCT
03 Registered Address: 2900 10180 101 ST, EDMONTON ALBERTA, T5J 3V5. No:
218999134.

KINGCOTT FINANCIAL SERVICES INC. Named Alberta Corporation Incorporated
2000 OCT 03 Registered Address: 600, 4911 - 51 STREET, RED DEER ALBERTA,
T4N 6V4. No: 208998526.

KIRA NAILS LTD. Named Alberta Corporation Incorporated 2000 OCT 05
Registered Address: 4442 - 36 AVENUE, EDMONTON ALBERTA, T6L 3S1. No:
209004175.

KLOMPENMAKER ENTERPRISES INC. Named Alberta Corporation Incorporated 2000
OCT 04 Registered Address: 1013 5TH AVENUE, WWAINWRIGHT ALBERTA, T9W 1L6.
No: 209000314.

KNIGHT VIDEO INC. Named Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 407 GODDARD AVENUE N.E., CALGARY ALBERTA, T2K 3T8. No:
209000231.

KNOCK SCHOOL OF IRISH DANCE INC. Named Alberta Corporation Incorporated
2000 OCT 03 Registered Address: 1600, 10104 - 103 AVENUE, EDMONTON ALBERTA,
T5J 0H8. No: 208993873.

KOCH JOHNSTON LTD. Other Prov/Territory Corps Registered 2000 OCT 12
Registered Address: 2900, 10180-101 STREET, EDMONTON ALBERTA, T5J 3V5. No:
219012226.

KYLE'S EXPRESS INC. Named Alberta Corporation Incorporated 2000 OCT 10
Registered Address: 26 GREENWOOD DRIVE, SPRUCE GROVE ALBERTA, T7X 1W8. No:
209008598.

KYSMET CONSULTING INC. Named Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 2182-39TH AVENUE N.E., CALGARY ALBERTA, T2E 6P7. No:
208953794.

LABOUR FORCE HAULING LTD. Named Alberta Corporation Incorporated 2000 OCT
13 Registered Address: 6 LINDSAY CRES, SPRUCE GROVE ALBERTA, T7X 3W7. No:
209012970.

LAEKEN RESOURCES INC. Named Alberta Corporation Incorporated 2000 OCT 11
Registered Address: SE1/4-SEC26-TWP-26-R4-W5M No: 209009315.

LAKELAND RAIL ADJACENT LANDOWNERS LTD. Named Alberta Corporation
Incorporated 2000 OCT 13 Registered Address: 4816 - 50 AVENUE, REDWATER
ALBERTA, T0A 2W0. No: 209013390.

LANEX COMPUTER CONSULTING LTD. Named Alberta Corporation Incorporated 2000
OCT 10 Registered Address: 120- 24TH AVENUE NW, CALGARY ALBERTA, T2M 1W9.
No: 209007210.

LASMANOS PHYSIOTHERAPY INC. Named Alberta Corporation Incorporated 2000 OCT
06 Registered Address: 1050, 10201 SOUTHPORT ROAD S.W., CALGARY ALBERTA,
T2W 4X9. No: 209005800.

LEARNQUEST INTERNATIONAL INC. Named Alberta Corporation Incorporated 2000
OCT 11 Registered Address: 200, 4708 - 50TH AVENUE, RED DEER ALBERTA, T4N
4A1. No: 209008689.

LECAM HOLDINGS LTD. Named Alberta Corporation Continued In 2000 OCT 10
Registered Address: 210, 17010 - 103 AVENUE, EDMONTON ALBERTA, T5S 1K7. No:
209008093.

LEDUC WORKS RESIDENTIAL INC. Named Alberta Corporation Incorporated 2000
OCT 12 Registered Address: 7, 5904C - 50 STREET, LEDUC ALBERTA, T9E 6J4.
No: 209012855.

LEGACY INDUSTRIAL CAMPS INC. Named Alberta Corporation Incorporated 2000
OCT 03 Registered Address: #800, 10310 JASPER AVENUE, EDMONTON ALBERTA, T5J
2W4. No: 208997122.

LENCHAD WELDING SERVICES LTD. Named Alberta Corporation Incorporated 2000
OCT 05 Registered Address: 26 11 6 4 No: 209003730.

LETHBRIDGE SHRINE CLUB Alberta Society Incorporated 2000 OCT 02 Registered
Address: RR #8, SITE 2 COMP 12, LETHBRIDGE ALBERTA, T1J 4P4. No: 509005849.

LIFETIME MANAGEMENT AND CONSTRUCTION LTD. Named Alberta Corporation
Incorporated 2000 OCT 12 Registered Address: #1, 5304 - 50TH STREET, LEDUC
ALBERTA, T9E 6Z6. No: 209012194.

LIGHTYEAR CAPITAL INC. Named Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 1400, 350 - 7TH AVENUE S.W., CALGARY ALBERTA, T2P 3N9.
No: 208999524.

LINFITT CONST. LTD. Named Alberta Corporation Incorporated 2000 OCT 11
Registered Address: 5319 BIRCH CRESCENT, BOYLE ALBERTA, T0A 0M0. No:
209008770.

LORENZO LAWRENCE SALON CORPORATION Named Alberta Corporation Incorporated
2000 OCT 04 Registered Address: #1230, 10020 101A AVENUE, EDMONTON ALBERTA,
T5J 3G2. No: 209001445.

LUCKY DONAIRS AND SUBS LTD. Named Alberta Corporation Incorporated 2000 OCT
10 Registered Address: 111 LONDONDERRY SQ NW, EDMONTON ALBERTA, T5C 3C4.
No: 209006626.

LWG CONTRACTING LTD. Named Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 174 - 5 STREET, NACMINE ALBERTA, T0J 2E0. No:
209001270.

MADORE AVIATION MAINTENANCE LTD. Named Alberta Corporation Incorporated
2000 OCT 12 Registered Address: 11435 COVENTRY BLVD. NE, CALGARY ALBERTA,
T3K 4A4. No: 209011030.

MAGNUM MARKETING INC. Named Alberta Corporation Continued In 2000 OCT 02
Registered Address: #4818 - 46TH STREET, OLDS ALBERTA, T4H 1P7. No:
208996975.

MAINTENANCE & DEBT ENFORCEMENT INC. Named Alberta Corporation Incorporated
2000 OCT 15 Registered Address: 1600, 10205 - 101 STREET, EDMONTON ALBERTA,
T5J 2Z2. No: 209014968.


MALCRO TRANSPORTATION LTD. Named Alberta Corporation Incorporated 2000 OCT
02 Registered Address: SE 31-8-26 W4 No: 208945790.

MAN CAPITAL CANADA LTD. Other Prov/Territory Corps Registered 2000 OCT 12
Registered Address: 2900, 10180 - 101 STREET, EDMONTON ALBERTA, T5J 3V5.
No: 219011418.

MANFRED WANKE PROFESSIONAL CORPORATION Dental Professional Corporation
Incorporated 2000 OCT 12 Registered Address: 4710 - 50 STREET, LEDUC
ALBERTA, T9E 6W2. No: 209011667.

MATRICS INNOVATIONS INC. Named Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 4824 MACLEOD TRAIL SOUTH, CALGARY ALBERTA, T2G 0A8. No:
209001353.

MCINTOSH PETROLEUM INDUSTRIES INC. Federal Corporation Registered 2000 OCT
11 Registered Address: 2600, 10180-101 STREET, EDMONTON ALBERTA, T5J 3Y2.
No: 219010006.

MEADOW CREEK RED ANGUS LTD. Named Alberta Corporation Incorporated 2000 OCT
02 Registered Address: 208 - 50 AVENUE WEST, CLARESHOLM ALBERTA, T0L 0T0.
No: 208997874.

MEGDEN RESOURCES LTD. Named Alberta Corporation Incorporated 2000 OCT 05
Registered Address: RIVER LOT 6, TOWNSHIP 94, RANGE 11 No: 209003086.

MEHEW FARMS & RANCHES LTD. Named Alberta Corporation Incorporated 2000 OCT
05 Registered Address: 300, 220 - 4TH STREET SOUTH, LETHBRIDGE ALBERTA, T1J
4J7. No: 209003409.

MEJOCA ENTERPRISES INC. Named Alberta Corporation Incorporated 2000 OCT 12
Registered Address: 129 MACEWAN RIDGE CIRCLE. NW, CALGARY ALBERTA, T3K 3W4.
No: 209011147.

MERIDIAN ENVIRONMENTAL INC. Named Alberta Corporation Incorporated 2000 OCT
06 Registered Address: #400, 603 - 7TH AVENUE S.W., CALGARY ALBERTA, T2P
2T5. No: 209004738.

MESA CONSULTING LTD. Named Alberta Corporation Incorporated 2000 OCT 05
Registered Address: 5212 VALIANT DRIVE NW, CALGARY ALBERTA, T3A 0Y7. No:
209004613.

METALSTRIP & COATINGS INC. Named Alberta Corporation Incorporated 2000 OCT
05 Registered Address: 4617 - 63 STREET, RED DEER ALBERTA, T4N 1M7. No:
209004449.

MI PETRO MAINTENANCE INC. Federal Corporation Registered 2000 OCT 11
Registered Address: 2600, 10180-101 STREET, EDMONTON ALBERTA, T5J 3Y2. No:
219010188.

MI PETRO SERVICES INC. Federal Corporation Registered 2000 OCT 12
Registered Address: 2600, 10180-101 STREET, EDMONTN ALBERTA, T5J 3Y2. No:
219011673.

MIKKEN TRANSPORT LTD. Named Alberta Corporation Incorporated 2000 OCT 11
Registered Address: 10827 BRAESIDE DRIVE S.W., CALGARY ALBERTA, T2W 1C2.
No: 209008275.

MIMI MCMASTER BUSINESS ADMINISTRATION SERVICES LTD. Named Alberta
Corporation Incorporated 2000 OCT 03 Registered Address: 4602 - 50 AVENUE,
LLOYDMINSTER ALBERTA, T9V 0W3. No: 208999862.

MJM PROJECTS INC. Named Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 200 724 11 AVENUE SW, CALGARY ALBERTA, T2R 0E4. No:
208993113.

MOBILE HOME SERVICES LTD. Named Alberta Corporation Incorporated 2000 OCT
13 Registered Address: 807, 400 - 4TH AVENUE SOUTH, LETHBRIDGE ALBERTA, T1J
4E1. No: 209013895.

MODERN HEATING LTD. Named Alberta Corporation Incorporated 2000 OCT 10
Registered Address: 9111 - 39 AVENUE, EDMONTON ALBERTA, T6E 5Y2. No:
209005388.

MONARCH CABLESYSTEMS WEST LTD. Named Alberta Corporation Incorporated 2000
OCT 04 Registered Address: 605, 734 - 7TH AVENUE S.W., CALGARY ALBERTA, T2P
3P8. No: 209000975.

MOO'S JUICE AND SUPPLEMENT SHOP INC. Named Alberta Corporation Incorporated
2000 OCT 12 Registered Address: 3 BRAE GLEN CRT SW, CALGARY ALBERTA, T2W
1B6. No: 209011568.

MOUNTAIN BREWING COMPANY LTD. Named Alberta Corporation Incorporated 2000
OCT 12 Registered Address: 3000, 700 - 9TH AVENUE S.W., CALGARY ALBERTA,
T2P 3V4. No: 209011360.

MRH CONSULTING SERVICES LTD. Named Alberta Corporation Incorporated 2000
OCT 05 Registered Address: 1206 BELLEVUE AVENUE S.E., CALGARY ALBERTA, T2G
4L4. No: 209004357.

MULTIVERSA SERVICES LTD. Named Alberta Corporation Incorporated 2000 OCT 12
Registered Address: #001, 345 4TH AVE SW, CALGARY ALBERTA, T2P 4J2. No:
209011758.

MULTIX CONSULTING INC. Named Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 834 ERIN PLACE, EDMONTON ALBERTA, T5T 1M6. No:
209001627.

MY CORPORATE ANALYST INC. Named Alberta Corporation Incorporated 2000 OCT
05 Registered Address: 1602 836 5TH AVE SW, CALGARY ALBERTA, T2P 0N5. No:
209003870.

N.K.E.C. VENTURES LTD. Named Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 4107 58 STREET NE, CALGARY ALBERTA, T1Y 4G1. No:
208999037.

NARDIS FUEL LTD. Named Alberta Corporation Continued In 2000 OCT 06
Registered Address: 3700, 400 - 3RD AVENUE S.W., CALGARY ALBERTA, T2P 4H2.
No: 209005321.

NATIONAL PUMP AND COMPRESSOR LTD. Named Alberta Corporation Incorporated
2000 OCT 10 Registered Address: LOT 11 BLUE RIDGE VIEW, CALGARY ALBERTA,
T2M 4N3. No: 209008473.

NATIONAL VALVECORP INC. Named Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 2600, 10180-101 STREET, EDMONTON ALBERTA, T5J 3Y2. No:
208996652.


NESTOROVICH HOLDINGS LTD. Named Alberta Corporation Incorporated 2000 OCT
04 Registered Address: 9831 - 107 ST. #2, WESTLOCK ALBERTA, T7P 1R9. No:
209000512.

NETWORKSOFT LIMITED Named Alberta Corporation Incorporated 2000 OCT 06
Registered Address: 323, 919 CENTRE STREET NW, CALGARY ALBERTA, T2E 2P6.
No: 209004951.

NEW ORIENTAL ARTS PLUS INC. Named Alberta Corporation Incorporated 2000 OCT
06 Registered Address: #418, 715-5 AVENUE S.W., CALGARY ALBERTA, T2P 2X6.
No: 209005149.

NORTH RIDGE TRUCK LINES INC. Named Alberta Corporation Incorporated 2000
OCT 13 Registered Address: 78092, 377 HERITAGE DRIVE SE, CALGARY ALBERTA,
T2H 2Y1. No: 209014216.

NORTH ROC (CANADA) DETERGENT INC. Named Alberta Corporation Incorporated
2000 OCT 12 Registered Address: 201-10305 116 ST NW, EDMONTON ALBERTA, T5K
1W5. No: 209012335.

NORTHCORE CAPITAL CORP. Named Alberta Corporation Incorporated 2000 OCT 12
Registered Address: SUITE 1750, 736 - 6 AVENUE S.W., CALGARY ALBERTA, T2P
3T7. No: 209012376.

NOVA-VEN INC. Named Alberta Corporation Incorporated 2000 OCT 06 Registered
Address: 45 BEAVERBROOK COURT, ST. ALBERT ALBERTA, T8N 2L4. No: 209005792.

NSL POTTERS CANADA COMPANY Other Prov/Territory Corps Registered 2000 OCT
04 Registered Address: 1900, 333 - 7 AVE SW, CALGARY ALBERTA, T2P 2Z1. No:
219002037.

O. & N. HOLDINGS CORP. Other Prov/Territory Corps Registered 2000 OCT 12
Registered Address: 5016 50TH STREET, BASHAW ALBERTA, T0B 0H0. No:
219005873.

OAKWOOD ASSOCIATES BUSINESS ADVISORY GROUP LTD. Named Alberta Corporation
Incorporated 2000 OCT 05 Registered Address: C/O RAYMOND F. KUTZ, 316, 1167
KENSINGTON CRES. NW, CALGARY ALBERTA, T2N 1X7. No: 209000389.

OBELISK SYSTEMS INC. Named Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 6640 SILVER RIDGE ROAD NW, CALGARY ALBERTA, T3B 4X3.
No: 209012947.

ODESSA MANAGEMENT INC. Named Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 70 HIGHRIDGE WAY, STONY PLAIN ALBERTA, T7Z 1M2. No:
208996561.

OILPRO INDUSTRIES INC. Named Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 2250, 520 - 5 AVENUE S.W., CALGARY ALBERTA, T2P 3R7.
No: 208990192.

OJAY ENTERPRISES LTD. Named Alberta Corporation Incorporated 2000 OCT 05
Registered Address: N 1/2 NE 1/4 6-48-6 W5 No: 208998906.

ON TIME HAULING LTD. Named Alberta Corporation Incorporated 2000 OCT 06
Registered Address: 209, 8989 MACLEOD TRAIL SW, CALGARY ALBERTA, T2H 0M2.
No: 209004340.

ON TIME HOT SHOT XPRESS INC. Named Alberta Corporation Incorporated 2000
OCT 11 Registered Address: #100 30 MCHUGH CT. NE, CALGARY ALBERTA, T2E 7X3.
No: 209009240.

ONLINETV INC. Named Alberta Corporation Incorporated 2000 OCT 05 Registered
Address: #110, 220 4TH STREET SOUTH, LETHBRIDGE ALBERTA, T1J 4J7. No:
209003029.

ONYX ENERGY INC. Named Alberta Corporation Incorporated 2000 OCT 08
Registered Address: 2220, 700 - 9 AVENUE SW, CALGARY ALBERTA, T2P 3V4. No:
209006576.

ORION CAPITAL CORP. Named Alberta Corporation Incorporated 2000 OCT 06
Registered Address: 3000, 700 - 9TH AVENUE S.W., CALGARY ALBERTA, T2P 3V4.
No: 209005867.

OUTBACK CONSULTING LTD. Named Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 4809 18 AVE, EDSON ALBERTA, T7E 1G5. No: 208996595.

OUTSOURCE MARKETING CORPORATION Named Alberta Corporation Incorporated 2000
OCT 05 Registered Address: 3000, 237 - 4TH AVENUE SW, CALGARY ALBERTA, T2P
4X7. No: 209002773.

OWEN & OWEN WELDING LTD. Named Alberta Corporation Incorporated 2000 OCT 06
Registered Address: 301 NORTH HYLAND HILL, SHERWOOD PARK ALBERTA, T8E 1B7.
No: 209004985.

PAGE PROMOTIONS (1987) INC. Named Alberta Corporation Incorporated 2000 OCT
05 Registered Address: 8808-135A AVENUE, EDMONTON ALBERTA, T5E 1S1. No:
209003805.

PAL ENERGY INC. Named Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 3400, 150 - 6TH AVENUE S.W., CALGARY ALBERTA, T2P 3Y7.
No: 209001890.

PAPER PURSUIT INC Named Alberta Corporation Incorporated 2000 OCT 05
Registered Address: 201 - 10901 100 ST, GRANDE PRAIRIE ALBERTA, T8V 2M9.
No: 208998831.

PARADISE CANYON MANAGEMENT LTD. Named Alberta Corporation Incorporated 2000
OCT 06 Registered Address: 2500, 700 - 9 AVENUE SW, CALGARY ALBERTA, T2P
3V4. No: 209006386.

PARKLAND REINFORCING LTD. Named Alberta Corporation Incorporated 2000 OCT
02 Registered Address: 204, 5000 - 50TH AVENUE, RED DEER ALBERTA, T4N 6C2.
No: 208996439.

PARTNER CONCRETE LTD. Named Alberta Corporation Incorporated 2000 OCT 06
Registered Address: 2, 523 WOODPARK BLVD. SW, CALGARY ALBERTA, T2W 4J3. No:
209006295.

PATCH INTERNATIONAL LTD. Named Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 900, 521 - 3RD AVENUE S.W., CALGARY ALBERTA, T2P 3T3.
No: 209001825.

PATMARKET INC. Named Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 3100, 324 - 8TH AVENUE S.W., CALGARY ALBERTA, T2P 2Z2.
No: 208998104.


PATRIOT OILFIELD CONTRACTING LTD. Named Alberta Corporation Incorporated
2000 OCT 06 Registered Address: 26 HOME ROAD, RAINBOW LAKE ALBERTA, T0H
2Y0. No: 209005693.

PC PUBLISHING ONLINE INC. Named Alberta Corporation Incorporated 2000 OCT
02 Registered Address: C/O 200-10923 101 ST NW, EDMONTON ALBERTA, T5H 2S7.
No: 208996447.

PDSC INC. Named Alberta Corporation Incorporated 2000 OCT 11 Registered
Address: 300 SUNDOWN WAY S.E., CALGARY ALBERTA, T2X 3B6. No: 209009760.

PEACE REGION ECONOMIC DEVELOPMENT ALLIANCE Non-Profit Private Company
Incorporated 2000 OCT 05 Registered Address: 9626 - 96 AVENUE, BAG 900-3,
PEACE RIVER ALBERTA, T8S 1T4. No: 519011233.

PEAKWARE CONSULTING GROUP INC. Named Alberta Corporation Incorporated 2000
OCT 11 Registered Address: #175, 6712 FISHER STREET SE, CALGARY ALBERTA,
T2H 2A7. No: 209010156.

PERLITA TORRES LTD. Named Alberta Corporation Incorporated 2000 OCT 14
Registered Address: 200, 9924 - 106 STREET, EDMONTON ALBERTA, T5K 1C4. No:
208966655.

PERRY AUTOMOTIVE LTD. Named Alberta Corporation Incorporated 2000 OCT 12
Registered Address: PLAN 9710954, BLOCK 2, LOT 2 No: 209011188.

PETRA CORP. Named Alberta Corporation Incorporated 2000 OCT 13 Registered
Address: #16, 53226 RR 261, EDMONTON ALBERTA, T7Y 1A3. No: 209014182.

PHASE FOUR COMPLETIONS LTD. Named Alberta Corporation Incorporated 2000 OCT
02 Registered Address: UNIT C, 4619 - 4 ST NW, CALGARY ALBERTA, T2K 1A5.
No: 208996116.

PHENIX LAND CORPORATION Named Alberta Corporation Incorporated 2000 OCT 10
Registered Address: 908, 5940 MACLEOD TRAIL SOUTH, CALGARY ALBERTA, T2H
2G4. No: 209007491.

PHILLIPS JOINT VENTURE CONSULTING INC. Named Alberta Corporation
Incorporated 2000 OCT 02 Registered Address: 199 LAKE ARROW GREEN S.E.,
CALGARY ALBERTA, T2J 3C1. No: 208998039.

PLASTICS ENGINEERING TECHNOLOGY (CANADA) LTD. Named Alberta Corporation
Incorporated 2000 OCT 05 Registered Address: 5122 - 18 A AVENUE, EDMONTON
ALBERTA, T6L 1J8. No: 209004456.

PLASTOW HOLDINGS LTD. Named Alberta Corporation Incorporated 2000 OCT 10
Registered Address: 21 HALLGREN DRIVE, SYLVAN LAKE ALBERTA, T4S 1W6. No:
209008465.

PLATINEON ENTERPRISES, INC. Named Alberta Corporation Incorporated 2000 OCT
10 Registered Address: 1560, 521 - 3RD AVENUE SW, CALGARY ALBERTA, T2P 3T3.
No: 209006683.


PLATINION, INC. Foreign Corporation Registered 2000 OCT 02 Registered
Address: 1560, 521 - 3RD AVENUE SW, CALGARY ALBERTA, T2P 3T3. No:
218989721.

PLATINUM ALLIANCE INC. Named Alberta Corporation Incorporated 2000 OCT 15
Registered Address: 1220 CROSS CRES. SW, CALGARY ALBERTA, T2V 2R8. No:
208969618.

PLAY MEDIA LTD. Other Prov/Territory Corps Registered 2000 OCT 02
Registered Address: 3700, 400 - 3RD AVENUE S.W., CALGARY ALBERTA, T2P 4H2.
No: 218997211.

POLAR PEAK ENTERPRISES LTD. Named Alberta Corporation Incorporated 2000 OCT
13 Registered Address: 3000, 237 - 4TH AVENUE SW, CALGARY ALBERTA, T2P 4X7.
No: 209013572.

PORTABLE TECHNOLOGIES INC. Named Alberta Corporation Incorporated 2000 OCT
04 Registered Address: 2ND FL - 207 - 14 STREET N.W., CALGARY ALBERTA, T2N
1Z6. No: 209002112.

PORTER CROP SOLUTIONS LTD. Named Alberta Corporation Incorporated 2000 OCT
05 Registered Address: 1000, 400 - 3RD AVENUE S.W., CALGARY ALBERTA, T2P
4H2. No: 209002484.

POULIN VENTURES LTD. Named Alberta Corporation Incorporated 2000 OCT 10
Registered Address: 5005 50TH AVENUE, VEGREVILLE ALBERTA, T9C 1T1. No:
209006279.

PRAIRIE BOYS OILFIELD SERVICES INC. Named Alberta Corporation Incorporated
2000 OCT 05 Registered Address: 10022 - 102 AVENUE, GRANDE PRAIRIE ALBERTA,
T8V 0Z7. No: 209002906.

PRAIRIE CROCUS RESPITE CARE LTD. Named Alberta Corporation Incorporated
2000 OCT 10 Registered Address: 8103 - 84 AVENUE, EDMONTON ALBERTA, T6C
1C6. No: 209008234.

PRECISION PAINTING SERVICES LTD. Named Alberta Corporation Incorporated
2000 OCT 11 Registered Address: 64 HAWKWOOD ROAD N.W., CALGARY ALBERTA, T3G
1X7. No: 209010610.

PRECISION VANTAGE NETWORK CORP. Named Alberta Corporation Incorporated 2000
OCT 03 Registered Address: #1010, 530 - 8TH AVENUE S.W., CALGARY ALBERTA,
T2P 3S8. No: 208999250.

PREMIUM FOREST EQUIPMENT LTD. Named Alberta Corporation Incorporated 2000
OCT 13 Registered Address: 157 NORTHEY AVE., RED DEER ALBERTA, T4P 2C7. No:
209013093.

PRIME CANADA REALTY INC. Named Alberta Corporation Incorporated 2000 OCT 11
Registered Address: 200, 3414 CALGARY TRAIL N., EDMONTON ALBERTA, T6J 6R5.
No: 209009331.

PRIME TECHNICAL SERVICES INC. Named Alberta Corporation Incorporated 2000
OCT 11 Registered Address: 139 TIPPING CLOSE, AIRDRIE ALBERTA, T4A 2A7. No:
209008796.

PRIMERA INDUSTRIES LTD. Named Alberta Corporation Incorporated 2000 OCT 03
Registered Address: #300, 8170 - 50 STREET, EDMONTON ALBERTA, T6B 1E6. No:
208954180.


PRINS AVIATION CONSULTING INC. Named Alberta Corporation Incorporated 2000
OCT 10 Registered Address: 2250 SCOTIA 1 10060 JASPER AVENUE, EDMONTON
ALBERTA, T5J 3R8. No: 209006766.

PRISM PRODUCTION TECHNOLOGIES INC. Other Prov/Territory Corps Registered
2000 OCT 10 Registered Address: 2900, 10180 - 101 STREET, EDMONTON ALBERTA,
T5J 3V5. No: 219006111.

PRO-ACTION TYPING DESIGNS INC Named Alberta Corporation Incorporated 2000
OCT 03 Registered Address: #3452 LANE CRESCENT S.W., CALGARY ALBERTA, T3H
2P4. No: 208999433.

PROCRAFT NETWORKS INC. Named Alberta Corporation Incorporated 2000 OCT 06
Registered Address: 441 - 25 AVE. N.E., CALGARY ALBERTA, T2E 1Y4. No:
209005073.

PROTON DIVERSIFIED LTD. Named Alberta Corporation Incorporated 2000 OCT 10
Registered Address: #108, 2841 - 109 STREET, EDMONTON ALBERTA, T6J 6B7. No:
209006741.

PUBLIC SERVICE LIGHTING 2000 INC. Other Prov/Territory Corps Registered
2000 OCT 04 Registered Address: #110, 220 4TH STREET SOUTH, LETHBRIDGE
ALBERTA, T1J 4J7. No: 219001765.

PURE LEAN HOGS (BOW ISLAND) INC. Named Alberta Corporation Incorporated
2000 OCT 04 Registered Address: THIRD FLOOR, 14505 BANNISTER ROAD S.E.,
CALGARY ALBERTA, T2X 3J3. No: 209002088.

Q.L. DUECK INC. Named Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 5107 - 48 STREET, LLOYDMINSTER ALBERTA, T9V 0H9. No:
208999847.

QCP LEASING LTD. Named Alberta Corporation Incorporated 2000 OCT 11
Registered Address: 600, 12220 STONY PLAIN ROAD, EDMONTON ALBERTA, T5N 3Y4.
No: 209009869.

QUALITY & SERVICE MACHINE LTD. Named Alberta Corporation Incorporated 2000
OCT 12 Registered Address: 499 - 1ST STREET S.E., MEDICINE HAT ALBERTA, T1A
0A7. No: 209011832.

QUALITY STUDENT SERVICES LTD. Named Alberta Corporation Incorporated 2000
OCT 05 Registered Address: 11450 - 124 STREET, EDMONTON ALBERTA, T5M 0K3.
No: 209003284.

R & G DEVELOPMENTS LTD. Other Prov/Territory Corps Registered 2000 OCT 04
Registered Address: 43 WATERSTONE CRESCENT, AIRDRIE ALBERTA, T4B 2E5. No:
219001583.

R & S EXPRESS INC. Other Prov/Territory Corps Registered 2000 OCT 12
Registered Address: 3007-57 AVENUE SE, CALGARY ALBERTA, T2C 0B2. No:
219011541.

R. & D. PODMOROFF FUEL LTD. Named Alberta Corporation Incorporated 2000 OCT
04 Registered Address: #13 FORTRESS MOUNTAIN WAY, EXSHAW ALBERTA, T0L 2C0.
No: 209000884.


R.A.K. COMMUNICATIONS LTD. Named Alberta Corporation Incorporated 2000 OCT
03 Registered Address: 385 COLLINGE ROAD, HINTON ALBERTA, T7V 1L2. No:
208999284.

R.H. GENOVA CORP. Named Alberta Corporation Incorporated 2000 OCT 06
Registered Address: #311-47 GLAMIS DR. SW., CALGARY ALBERTA, T3E 6S2. No:
209005164.

R.L.O. CONTRACT OPERATING LTD. Named Alberta Corporation Incorporated 2000
OCT 11 Registered Address: 6102 50 STREET, TABER ALBERTA, T1G 1J5. No:
209009547.

R.V. PEARSON LOSS RESOLUTION LTD. Named Alberta Corporation Incorporated
2000 OCT 02 Registered Address: 1600, 205 - 5 AVENUE SW, CALGARY ALBERTA,
T2P 2V7. No: 208996678.

RACQUET MENDERS INC. Named Alberta Corporation Incorporated 2000 OCT 13
Registered Address: #640, 1414 - 8TH STREET S.W., CALGARY ALBERTA, T2R 1J6.
No: 209013085.

RAINBOW IM SYSTEMS INC. Named Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 2410-10235 101 ST NW, EDMONTON ALBERTA, T5J 3G1. No:
209013150.

REC CENTRAL CORP. Named Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 800, 550 - 11 AVENUE SW, CALGARY ALBERTA, T2R 1M7. No:
209001122.

RED ARROW CONSULTING SERVICES & SUPPORT INC Named Alberta Corporation
Incorporated 2000 OCT 05 Registered Address: 9308 100 AVENUE, SEXSMITH
ALBERTA, T0H 3C0. No: 209002120.

RED DEER'S TELEVISION ENTERTAINMENT PUBLICATIONS INC. Named Alberta
Corporation Incorporated 2000 OCT 11 Registered Address: 79 BERKLEY RISE
N.W., CALGARY ALBERTA, T3K 1A6. No: 208973248.

RED DOG SYSTEMS INC. Named Alberta Corporation Incorporated 2000 OCT 10
Registered Address: 2200, 736 - 6TH AVENUE S.W., CALGARY ALBERTA, T2P 3T7.
No: 209008119.

RED SEAL INDUSTRIAL MAINTENANCE INC. Named Alberta Corporation Incorporated
2000 OCT 11 Registered Address: #34, 56503 RANGE ROAD 231, GIBBONS ALBERTA,
T0A 1N0. No: 209010594.

RED WILLOW ENVIRONMENTAL LTD Named Alberta Corporation Incorporated 2000
OCT 04 Registered Address: 53315 RANGE ROAD 222, ARDROSSAN ALBERTA, T8E
2M5. No: 209000470.

REDTREE CAPITAL (2000) INC. Named Alberta Corporation Incorporated 2000 OCT
10 Registered Address: 305, 505 - 3 STREET SW, CALGARY ALBERTA, T2P 3E6.
No: 209006980.

REFRESHMENTS CENTRES INC. Named Alberta Corporation Incorporated 2000 OCT
02 Registered Address: 805, 120 SILVERCREEK CLOSE N.W., CALGARY ALBERTA,
T3B 4N8. No: 208996579.


RELOAD ENTERPRISES LTD. Named Alberta Corporation Incorporated 2000 OCT 06
Registered Address: 2600, 10180 - 101 STREET, EDMONTON ALBERTA, T5J 3Y2.
No: 209004381.

REMOTE UTILITIES NETWORK (CANADA) INC. Named Alberta Corporation
Incorporated 2000 OCT 14 Registered Address: 440, 7220 FISHER STREET SE,
CALGARY ALBERTA, T2H 2H8. No: 209014885.

RGC VENTURES INC. Named Alberta Corporation Incorporated 2000 OCT 04
Registered Address: PLAZA 104, 200-9835 104 ST, FORT SASKATCHEWAN ALBERTA,
T8L 2E5. No: 209002096.

RGG ENERGY INC. Named Alberta Corporation Incorporated 2000 OCT 05
Registered Address: SUITE 605, 734 - 7TH AVENUE S.W., CALGARY ALBERTA, T2P
3P8. No: 209003961.

RICHARD A. VERHAEGHE PROFESSIONAL CORPORATION Legal Professional
Corporation Incorporated 2000 OCT 04 Registered Address: 4902 - 48 STREET,
ATHABASCA ALBERTA, T9S 1B8. No: 209000694.

RICHARD ARMSTRONG WELDING LTD. Named Alberta Corporation Incorporated 2000
OCT 05 Registered Address: ALL THAT PORTION OF THE NW1/4 13 51 20 W4(55
ACRES) No: 209003748.

RICHARD'S HANDYMAN SERVICES LTD. Named Alberta Corporation Incorporated
2000 OCT 10 Registered Address: BOX 854, MAYERTHORPE ALBERTA, T0E 1N0. No:
209002328.

RIDGELINE HOMES INC. Named Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 102, 2411 - 4TH STREET NW, CALGARY ALBERTA, T2M 2Z8.
No: 209000793.

RIG-HANDS INTERNATIONAL INC. Named Alberta Corporation Incorporated 2000
OCT 10 Registered Address: 1900, 715 - 5 AVENUE S.W., CALGARY ALBERTA, T2P
2X6. No: 209007681.

RIGHT MANAGEMENT & CONSULTING INC. Named Alberta Corporation Incorporated
2000 OCT 13 Registered Address: 222, 9768 170 STREET, EDMONTON ALBERTA, T5T
5L4. No: 209012996.

RIVER ROCK HOMES LTD. Named Alberta Corporation Incorporated 2000 OCT 10
Registered Address: 1615 22 ST. N.W., CALGARY ALBERTA, T2N 2N3. No:
209008408.

ROBINSON PETROLEUM CONSULTING LTD. Named Alberta Corporation Incorporated
2000 OCT 04 Registered Address: 408, 4625 VARSITY DRIVE N.W., CALGARY
ALBERTA, T3A 0Z9. No: 209001213.

ROCKY BRAKE & ALIGNMENT LTD. Named Alberta Corporation Incorporated 2000
OCT 03 Registered Address: 5135 - 48 STREET, RKY MTN HSE ALBERTA, T0M 1T1.
No: 208998245.

ROCKY MOUNTAIN COFFEE COMPANY LTD Named Alberta Corporation Incorporated
2000 OCT 13 Registered Address: 4 MEADOW CLOSE, COCHRANE ALBERTA, T4C 1N4.
No: 209014711.


ROCKY MOUNTAIN LUMBERJACK ASSOCIATION Alberta Society Incorporated 2000 SEP
28 Registered Address: 5109 49 STREET, ROCKY MOUNTAIN HOUSE ALBERTA, T0M
1T0. No: 509000964.

ROCKY MOUNTAIN SPRINGS WATER INC. Other Prov/Territory Corps Registered
2000 OCT 04 Registered Address: 1400, 350 - 7TH AVENUE SW, CALGARY ALBERTA,
T2P 3N9. No: 218997328.

ROD MOWBRAY TRUCKING LTD. Named Alberta Corporation Incorporated 2000 OCT
05 Registered Address: #302, 8657-51 AVENUE, EDMONTON ALBERTA, T6E 6A8. No:
209003243.

ROGO-TECH INC. Named Alberta Corporation Incorporated 2000 OCT 12
Registered Address: 4610 ST. QUENTIN STREET SW, CALGARY ALBERTA, T2T 5M4.
No: 209012780.

ROMANOSKY VINTAGE & SPORTS CAR LTD. Named Alberta Corporation Incorporated
2000 OCT 12 Registered Address: 300, 804 - 18TH AVENUE S.W., CALGARY
ALBERTA, T2T 0G8. No: 209012491.

RON-JAY CONTRACT OPERATING VENTURES LTD. Named Alberta Corporation
Incorporated 2000 OCT 03 Registered Address: 5105 51 ST, DRAYTON VALLEY
ALBERTA, T7A 1S7. No: 208999227.

ROSCO INTERIORS INC. Named Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 117 SCENIC GLEN CRES N.W., CALGARY ALBERTA, T3L 1J8.
No: 209009646.

ROYAL "T" DISTRIBUTORS INC. Named Alberta Corporation Incorporated 2000 OCT
03 Registered Address: #303, 5940 MACLEOD TRAIL S.W., CALGARY ALBERTA, T2H
2G4. No: 208999011.

ROYAL ANTLER RANCH LTD. Named Alberta Corporation Continued In 2000 OCT 12
Registered Address: 1220, 144 - 4TH AVENUE S.W., CALGARY ALBERTA, T2P 3N4.
No: 209009455.

ROYAL VINYL DECK COVERINGS LTD. Named Alberta Corporation Incorporated 2000
OCT 11 Registered Address: 5215 - 8 STREET NE, CALGARY ALBERTA, T2K 5R9.
No: 209009075.

RUBBERMAN HOLDINGS LTD. Named Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 5516 - 4TH STREET S.E., CALGARY ALBERTA, T2H 1K7. No:
209012236.

RUBEN E. JEFFERY PROFESSIONAL CORPORATION Chartered Accounting Professional
Corporation Incorporated 2000 OCT 09 Registered Address: 404-10216-124
STREET, EDMONTON ALBERTA, T5N 4A3. No: 208961532.

RX FLOORING LTD. Named Alberta Corporation Incorporated 2000 OCT 02
Registered Address: #114, 433 PINESTREAM PLACE NE, CALGARY ALBERTA, T1Y
3A4. No: 208997403.

S & L SAUNDER'S CONSULTING LTD. Named Alberta Corporation Incorporated 2000
OCT 03 Registered Address: 209, 8989 MACLEOD TRAIL S.W., CALGARY ALBERTA,
T2H 0M2. No: 208998260.


S. BLAINE BOLEN SERVICES INC. Named Alberta Corporation Incorporated 2000
OCT 05 Registered Address: PLAN 8011207;BLOCK A, NE;1;20;13;W4 No:
209002948.

S.PORTRAIT PRODUCTIONS INC. Named Alberta Corporation Incorporated 2000 OCT
10 Registered Address: 1310, 11TH STREET SW, CALGARY ALBERTA, T2R 1G6. No:
209008069.

SAFE-NET SAFETY SERVICES LTD. Named Alberta Corporation Incorporated 2000
OCT 12 Registered Address: 5008 50 AVE, COLD LAKE ALBERTA, T9M 1P1. No:
209010925.

SAJEN CONSULTING LTD. Named Alberta Corporation Incorporated 2000 OCT 06
Registered Address: 6618 HUNTRIDGE HILL NE, CALGARY ALBERTA, T2K 4X4. No:
209003813.

SAMMY LANE SERVICES (2000) INC. Named Alberta Corporation Incorporated 2000
OCT 03 Registered Address: 1101 43 ST SW, CALGARY ALBERTA, T3C 2A1. No:
209000124.

SANDHU EXPRESS LTD. Named Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 166 SAN FERNANDO PLACE NE, CALGARY ALBERTA, T1Y 7J1.
No: 209001494.

SAWKA MECHANICAL LTD. Named Alberta Corporation Incorporated 2000 OCT 10
Registered Address: 21 CHAPARRAL MEWS SE, CALGARY ALBERTA, T2X 3J8. No:
209007178.

SCHAFERS BUSINESS SERVICES LTD. Named Alberta Corporation Incorporated 2000
OCT 04 Registered Address: 504 - 50 STREET N.E., CALGARY ALBERTA, T2A 2N2.
No: 208965418.

SCOOTER CITY LTD. Named Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 2500, 10303 JASPER AVENUE, EDMONTON ALBERTA, T5J 3N6.
No: 209001296.

SENEX ENGINEERING LTD. Named Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 4500, 855 - 2ND STREET S.W., CALGARY ALBERTA, T2P 4K7.
No: 208996959.

SETTER DEVELOPMENTS (KENSINGTON) LTD. Named Alberta Corporation
Incorporated 2000 OCT 04 Registered Address: 1413 - 2ND STREET S.W.,
CALGARY ALBERTA, T2R 0W7. No: 209000272.

SHAME CONSTRUCTION LTD. Named Alberta Corporation Incorporated 2000 OCT 03
Registered Address: #2208, 10104 103 AVENUE, EDMONTON ALBERTA, T5J 0H8. No:
208998658.

SHAO HUA WANG PROFESSIONAL CORPORATION Medical Professional Corporation
Incorporated 2000 OCT 05 Registered Address: #2500, 10155 - 102 STREET,
EDMONTON ALBERTA, T5J 4G8. No: 209002617.

SHARP IMAGES INC. Named Alberta Corporation Incorporated 2000 OCT 05
Registered Address: 19019 - 86 AVE., EDMONTON ALBERTA, T5T 4Y2. No:
209003516.

SHERWOOD AUTOMOTIVE LTD. Named Alberta Corporation Incorporated 2000 OCT 05
Registered Address: 9403 47 STREET, EDMONTON ALBERTA, T6B 2B5. No:
209002542.

SHMACK'S WELDING LTD. Named Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 4212 - 42 STREET, LEDUC ALBERTA, T9E 4S3. No:
208997205.

SIDICUS CONSULTING LTD. Named Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 222 MAIN STREET NORTH, AIRDRIE ALBERTA, T4B 2B8. No:
209000462.

SIGNAL HILL MEDICAL CENTRE INC. Named Alberta Corporation Incorporated 2000
OCT 03 Registered Address: #416, 602- 11TH AVENUE SW, CALGARY ALBERTA, T2R
1J8. No: 209000108.

SILEN HOLDINGS (2000) LTD. Named Alberta Corporation Incorporated 2000 OCT
04 Registered Address: 1328 - 89 AVENUE SW, CALGARY ALBERTA, T2V 0W8. No:
209000777.

SILENT PARTNER INVESTMENTS LTD. Named Alberta Corporation Incorporated 2000
OCT 02 Registered Address: 911 - 17TH AVENUE S.E., CALGARY ALBERTA, T2G
1J5. No: 208997270.

SIMONE VENTURES LTD. Named Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 2418 BAYVIEW PLACE S.W., CALGARY ALBERTA, T2V 0L5. No:
209002161.

SINEMAKRS LTD. Named Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 112, 5920 - 1A STREET S.W., CALGARY ALBERTA, T2H 0G3.
No: 209001510.

SLOANE PSYCHOLOGICAL SERVICES INC. Named Alberta Corporation Incorporated
2000 OCT 13 Registered Address: 1705- 10TH AVENUE SW, CALGARY ALBERTA, T3C
0K1. No: 209014026.

SMARTCORE SYSTEMS INC. Federal Corporation Registered 2000 OCT 10
Registered Address: 150 - 9 AVENUE SW, CALGARY ALBERTA, T2P 2S5. No:
219003688.

SNELGROVE CONSULTING SERVICES INC. Named Alberta Corporation Incorporated
2000 OCT 05 Registered Address: 222 MAIN STREET NORTH, AIRDRIE ALBERTA, T4B
2B8. No: 209004639.

SNYDER & CO. LTD. Named Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 2613 21 ST SW, CALGARY ALBERTA, T2T 5A9. No: 208965863.

SOCIETE DES PARENTS POUR L'EDUCATION FRANCOPHONE DE WAINWRIGHT ET REGION
Alberta Society Incorporated 2000 OCT 05 Registered Address: 118 PLEASANT
DR., DENWOOD ALBERTA, TOB 1BO. No: 509010807.

SOCIETY OF FUTURA COMMUNITY CHOIRS Alberta Society Incorporated 2000 OCT 05
Registered Address: 7203 91 AVE, EDMONTON ALBERTA, T6B 0R7. No: 509007738.

SOLAIR REFRIGERATION LTD. Named Alberta Corporation Incorporated 2000 OCT
12 Registered Address: 129 PRESTWICK PARK SE, CALGARY ALBERTA, T2Z 3L6. No:
209011691.

SOLAR STORM SOLUTIONS INC. Named Alberta Corporation Incorporated 2000 OCT
05 Registered Address: 5 EVERGREEN DRIVE, ST. ALBERT ALBERTA, T8N 6E3. No:
209003912.


SOUND & FURY THEATRE SOCIETY Alberta Society Incorporated 2000 SEP 18
Registered Address: #302, 10414-77 AVENUE, EDMONTON ALBERTA, T6E 1M9. No:
508996949.

SOUTHCOAST VENTURES INC. Named Alberta Corporation Incorporated 2000 OCT 13
Registered Address: #414, 604- 1ST STREET SW, CALGARY ALBERTA, T2P 1M7. No:
209013564.

SPACKMAN AND ASSOCIATES LTD. Named Alberta Corporation Incorporated 2000
OCT 05 Registered Address: 317 SANDSTONE MEWS, OKOTOKS ALBERTA, T0L 1T3.
No: 209004142.

SPIK & SPAN INDUSTRIAL CLEANING LTD. Named Alberta Corporation Incorporated
2000 OCT 11 Registered Address: 144 BEAVERIDGE CLOSE, FORT MCMURRAY
ALBERTA, T9H 2V8. No: 209009729.

SPRING VIEW DEVELOPMENT CORPORATION Named Alberta Corporation Incorporated
2000 OCT 10 Registered Address: 183 HAMPTONS TERRACE N.W., CALGARY ALBERTA,
T3A 5S3. No: 209007392.

ST. SYLVESTER COMMUNITY FOUNDATION Alberta Society Incorporated 2000 OCT 02
Registered Address: 7318 SILVER SPRINGS BLVD. NW, CALGARY ALBERTA, T3B 4N1.
No: 509005062.

STADIUM PROPERTIES INC. Named Alberta Corporation Incorporated 2000 OCT 12
Registered Address: SUITE 1800, 717-7 AVENUE SW, CALGARY ALBERTA, T2P 0Z3.
No: 209010586.

STANDARD COMPUTING INCORPORATED Named Alberta Corporation Incorporated 2000
OCT 02 Registered Address: 1400, 350 - 7TH AVENUE SW, CALGARY ALBERTA, T2P
3N9. No: 208997676.

STAR POINT HOLDINGS LTD. Named Alberta Corporation Incorporated 2000 OCT 06
Registered Address: 16212 56 ST, EDMONTON ALBERTA, T5Y 2V1. No: 209006337.

STAR TECH AUTOMOTIVE LTD. Named Alberta Corporation Incorporated 2000 OCT
13 Registered Address: 111 3RD STREET WEST, BROOKS ALBERTA, T1R 0S3. No:
209014547.

STAR-CREST TECHNOLOGIES INC. Named Alberta Corporation Incorporated 2000
OCT 13 Registered Address: 3300, 421 7TH AVENUE S.W., CALGARY ALBERTA, T2P
4K9. No: 209014091.

STONEY'S WIRELINE 2000 LTD. Named Alberta Corporation Incorporated 2000 OCT
11 Registered Address: 1900, 350 - 7TH AVENUE, S.W., CALGARY ALBERTA, T2P
3N9. No: 209010347.

STONY HILL COMMUNICATION INC. Named Alberta Corporation Incorporated 2000
OCT 10 Registered Address: 11039 86 AVENUE, EDMONTON ALBERTA, T6G 0X1. No:
209006931.

STOWAWAY STORAGE INC Named Alberta Corporation Incorporated 2000 OCT 12
Registered Address: 11432 84 STREET, EDMONTON ALBERTA, T5B 3B4. No:
209011105.


STRATEGIC OILFIELD SERVICES LIMITED Named Alberta Corporation Incorporated
2000 OCT 12 Registered Address: 2800, 10060 JASPER AVENUE, EDMONTON
ALBERTA, T5J 3V9. No: 209012129.

STRATHCONA SEXUAL ASSAULT CENTRE LTD. Non-Profit Public Company
Incorporated 2000 SEP 29 Registered Address: 1008 VILLAGE DRIVE, SHERWOOD
PARK ALBERTA, T8A 4V6. No: 518998398.

STRONG'S VACUUM SERVICES LTD. Named Alberta Corporation Incorporated 2000
OCT 13 Registered Address: 4710 - 50 STREET, LEDUC ALBERTA, T9E 6W2. No:
209011840.

STRONGBERG MARKETING INC. Named Alberta Corporation Incorporated 2000 OCT
12 Registered Address: 11725 JASPER AVENUE, EDMONTON ALBERTA, T5K 1V7. No:
209011402.

STSN CANADA LIMITED Other Prov/Territory Corps Registered 2000 OCT 12
Registered Address: SUITE 1500, 855 - 2ND STREET SW, CALGARY ALBERTA, T2P
4J7. No: 219005238.

SUM-IT-UP BUSINESS SERVICES LTD Named Alberta Corporation Incorporated 2000
OCT 03 Registered Address: 9833 PRAIRIE RD, GRANDE PRAIRIE ALBERTA, T8V
3Z1. No: 208999243.

SUMMERSIDE COMMUNITY CHURCH Religious Society Incorporated 2000 OCT 11
Registered Address: 8441-14 AVE, EDMONTON ALBERTA, T6K 1X3. No: 549013761.

SUN SILK DIGITAL INC. Named Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 202, 4310 - 17TH AVENUE SE, CALGARY ALBERTA, T2A 0T4.
No: 209000603.

SUNDRE TRUCK STOP INC. Named Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 1510,1800-4TH STREET SW, CALGARY ALBERTA, T2S 2S5. No:
208988428.

SUNRICH WOODWORK LTD. Named Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 313 PARKVIEW DR., WETASKIWIN ALBERTA, T9A 3J9. No:
208996660.

SUNRISE VENTURES LTD. Named Alberta Corporation Incorporated 2000 OCT 05
Registered Address: 5401A - 50 AVENUE, TABER ALBERTA, T1G 1V2. No:
209004258.

SUNSATION DESIGN CORP. Named Alberta Corporation Incorporated 2000 OCT 11
Registered Address: #400, 603 - 7TH AVENUE S.W., CALGARY ALBERTA, T2P 2T5.
No: 209009562.

SUNSET GRAIN & OIL INC. Other Prov/Territory Corps Registered 2000 OCT 04
Registered Address: #240 LAMPARD CRESCENT, RED DEER ALBERTA, T4N 3T4. No:
219001062.

SUNSET HOLDINGS CORP. Named Alberta Corporation Incorporated 2000 OCT 10
Registered Address: 173-440, 10816 MACLEOD TR. S, CALGARY ALBERTA, T2J 5N8.
No: 209006030.

SUPER LEASE INC. Named Alberta Corporation Incorporated 2000 OCT 10
Registered Address: #640, 1414 - 8TH STREET S.W., CALGARY ALBERTA, T2R 1J6.
No: 209006618.


SUZI-SWEET'S ICE CREAM & CANDY COMPANY INCORPORATED Named Alberta
Corporation Incorporated 2000 OCT 14 Registered Address: #20, 41 CHELSEA
STREET NW, CALGARY ALBERTA, T2K 1P1. No: 209014679.

T C ROOFING LTD. Named Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 7508 DELWOOD RD. NW, EDMONTON ALBERTA, T5C 381. No:
208997999.

T.J. MARKETING AND RECRUITING INC. Named Alberta Corporation Incorporated
2000 OCT 10 Registered Address: 18329 - 76 AVENUE, EDMONTON ALBERTA, T5T
3Y9. No: 209007715.

T.K.O. CONSULTING 2000 LTD. Named Alberta Corporation Incorporated 2000 OCT
10 Registered Address: 5105 51 ST, DRAYTON VALLEY ALBERTA, T7A 1S7. No:
209006725.

T.S. HARP HOLDINGS LTD. Named Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 5516 - 4TH STREET S.E., CALGARY ALBERTA, T2H 1K7. No:
209012095.

T.T.I. MARKET EXPLORERS INC. Other Prov/Territory Corps Registered 2000 OCT
11 Registered Address: 2500, 10104 - 103 AVE, EDMONTON ALBERTA, T5J 1V3.
No: 219010394.

TAMARACK ENVIRONMENTAL CONSULTING INC. Named Alberta Corporation
Incorporated 2000 OCT 13 Registered Address: #203, 714 - 5 AVENUE SOUTH,
LETHBRIDGE ALBERTA, T1J 0V1. No: 209013309.

TCF HOLDINGS LTD. Named Alberta Corporation Incorporated 2000 OCT 13
Registered Address: #1270, 5555 CALGARY TRAIL SOUTH, EDMONTON ALBERTA, T6H
5P9. No: 209013986.

TDM 2000 INC. Named Alberta Corporation Incorporated 2000 OCT 12 Registered
Address: 60 DOVERVIEW PLACE SE, CALGARY ALBERTA, T2B 1Z5. No: 209011642.

TEAMUP MANAGEMENT INC. Named Alberta Corporation Incorporated 2000 OCT 11
Registered Address: 3000, 700 - 9TH AVENUE S.W., CALGARY ALBERTA, T2P 3V4.
No: 209007509.

TECH BOYZ AUTOMOTIVE LTD. Named Alberta Corporation Incorporated 2000 OCT
13 Registered Address: 75 SUTHERLAND DR., BAYS 1 & 2, BROOKS ALBERTA, T1R
1C1. No: 209014224.

TECHNOGUIDE LTD. Named Alberta Corporation Incorporated 2000 OCT 12
Registered Address: #215, 1212- 31ST AVENUE NE, CALGARY ALBERTA, T2E 7S8.
No: 209011923.

TERRA MANNA ROCK MINERALS INC. Named Alberta Corporation Incorporated 2000
OCT 04 Registered Address: 4TH FLOOR, 4943 - 50TH STREET, RED DEER ALBERTA,
T4N 1Y1. No: 209001320.

TET 3 INC. Named Alberta Corporation Incorporated 2000 OCT 12 Registered
Address: 2900, 10180-101 STREET, EDMONTON ALBERTA, T5J 3V5. No: 209010883.


TETRAD INDUSTRIES INC Named Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 2931 150 AVE, EDMONTON ALBERTA, T5Y 2B4. No: 209000710.

THE AIPOTU TEEN AND WILDLIFE FOUNDATION; ALBERTA DIVISION Alberta Society
Incorporated 2000 OCT 05 Registered Address: 132 PINEMILL MEWS N.E.,
CALGARY ALBERTA, T1Y 4R6. No: 509010120.

THE ANIMATE PRACTICE OF LIVING LIFE OUTRIGHT CLUB Alberta Society
Incorporated 2000 OCT 02 Registered Address: BSMT 402-2ND AVENUE S.,
LETHBRIDGE ALBERTA, T1J 4B3. No: 508999851.

THE ARNOLD AGENCY INC. Named Alberta Corporation Incorporated 2000 OCT 15
Registered Address: 507, 1904 - 10 STREET SW, CALGARY ALBERTA, T2T 3G1. No:
209014943.

THE AUTHENTIC T-SHIRT CO. INC. Other Prov/Territory Corps Registered 2000
OCT 12 Registered Address: 3109 16 STREET NE, CALGARY ALBERTA, T2E 7K8. No:
219012390.

THE CANADIAN MENTAL HEALTH ASSOCIATION ALBERTA EAST CENTRAL REGION 2000
Non-Profit Public Company Incorporated 2000 OCT 05 Registered Address:
4870-51 STREET, CAMROSE ALBERTA, T4V 1S1. No: 519010847.

THE CHARITY NETWORK (2000) INC. Named Alberta Corporation Incorporated 2000
OCT 05 Registered Address: 404- 1ST STREET WEST, COCHRANE ALBERTA, T4C 1A5.
No: 209004290.

THE CHEERS PROJECT INCORPORATED Named Alberta Corporation Incorporated 2000
OCT 02 Registered Address: 8B, 133 - 25TH AVENUE S.W., CALGARY ALBERTA, T2S
0K8. No: 208997742.

THE DASS CONSULTING GROUP INC. Named Alberta Corporation Incorporated 2000
OCT 13 Registered Address: STE. 1207, 10145 109 STREET, EDMONTON ALBERTA,
T5J 3M5. No: 209014034.

THE HEAD ROOM INC. Named Alberta Corporation Incorporated 2000 OCT 12
Registered Address: 8515 85 AVENUE, EDMONTON ALBERTA, T6C 1G5. No:
209011659.

THE KNEE CENTRE LTD. Named Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 10733 124 STREET, EDMONTON ALBERTA, T5M 0H2. No:
208998872.

THE METIS NATION OF ALBERTA ASSOCIATION LOCAL COUNCIL #008 Alberta Society
Incorporated 2000 OCT 06 Registered Address: 404, 10707-111 STREET,
EDMONTON ALBERTA, T5H 3G2. No: 509011011.

THE NAVIGATION GROUP (2000) INC. Named Alberta Corporation Incorporated
2000 OCT 04 Registered Address: #200, 703 - 6 AVENUE SW, CALGARY ALBERTA,
T2P 0T9. No: 209000702.

THE PAPER SHOP LTD. Named Alberta Corporation Incorporated 2000 OCT 10
Registered Address: #204, 755 LAKE BONAVISTA DRIVE SE, CALGARY ALBERTA, T2J
0N3. No: 209007566.

THE PRESIDENT'S GROUP INSURANCE AGENCY INC. Federal Corporation Registered
2000 OCT 06 Registered Address: 18 WILD HAY DRIVE, DEVON ALBERTA, T9G 1S4.
No: 218998987.

THE SIMPLE THINGS INC. Named Alberta Corporation Incorporated 2000 OCT 05
Registered Address: 14432 130 STREET, EDMONTON ALBERTA, T6V 1E2. No:
209003391.

THE WAY OF THE WORD CHRISTIAN MINISTRIES Religious Society Incorporated
2000 SEP 29 Registered Address: C/O BOX 4, COMPARTMENT 1, PARKLAND ALBERTA,
TOL 1VO. No: 549000057.

THERMAX REFRIGERATION & HEATING LTD. Named Alberta Corporation Incorporated
2000 OCT 05 Registered Address: 203, 714 - 5 AVENUE SOUTH, LETHBRIDGE
ALBERTA, T1J 0V1. No: 209003763.

THUNDERBOLT TRUCKIN LTD. Other Prov/Territory Corps Registered 2000 OCT 06
Registered Address: 400, 603 - 7TH AVENUE S.W., CALGARY ALBERTA, T2P 2T5.
No: 219000395.

TIGERS SWIM CLUB Alberta Society Incorporated 2000 SEP 26 Registered
Address: GENERAL DELIVERY, HIGH RIVER ALBERTA, T1V 1M2. No: 508999075.

TIRAS DAIRIES LTD. Named Alberta Corporation Incorporated 2000 OCT 02
Registered Address: #400, 10357 - 109 STREET, EDMONTON ALBERTA, T5J 1N3.
No: 208994962.

TODAY'S I-STRATEGIES INC. Named Alberta Corporation Incorporated 2000 OCT
05 Registered Address: 1440, 736 6 AVENUE S.W., CALGARY ALBERTA, T2P 3T7.
No: 209004373.

TONUX INC. Named Alberta Corporation Incorporated 2000 OCT 05 Registered
Address: #780, 10020 - 101A AVENUE, EDMONTON ALBERTA, T5J 3G2. No:
209003235.

TOURISM CAPITAL CORPORATION (CANADA) LTD. Federal Corporation Registered
2000 OCT 10 Registered Address: 1200, 700 - 2ND STREET S.W., CALGARY
ALBERTA, T2P 4V5. No: 219006970.

TOXIC COMMERCE INC. Named Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 900, 521 - 3RD AVENUE S.W., CALGARY ALBERTA, T2P 3T3.
No: 209001684.

TRAVEL SAVERS LTD. Named Alberta Corporation Incorporated 2000 OCT 12
Registered Address: 228, 11215 JASPER AVENUE, EDMONTON ALBERTA, T5K 0L5.
No: 209008507.

TRI-GEN CONSULTING INC. Named Alberta Corporation Incorporated 2000 OCT 06
Registered Address: 212, 12225 105 AVE, EDMONTON ALBERTA, T5N 0Y3. No:
209005545.

TRIANGLE ENTERPRISES INTERNATIONAL LTD. Named Alberta Corporation
Incorporated 2000 OCT 03 Registered Address: #406, 2675-36TH STREET N.E.,
CALGARY ALBERTA, T1Y 6H6. No: 208955385.


TRIM GIRLS INC. Named Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 225 ANDERSON GROVE SW, CALGARY ALBERTA, T2W 6H7. No:
208997577.

TRIMAC HOLDINGS LTD. Named Alberta Corporation Incorporated 2000 OCT 12
Registered Address: 2100, 800 - 5TH AVENUE S.W., CALGARY ALBERTA, T2P 2P9.
No: 209010735.

TRIPLE A RESOURCES LIMITED Named Alberta Corporation Incorporated 2000 OCT
05 Registered Address: LSD 14 - 3 - 80 - 11 - W5TH No: 209002625.

TRISTAR INTERNATIONAL INC. Named Alberta Corporation Incorporated 2000 OCT
12 Registered Address: 2900 7 AVENUE NORTH, LETHBRIDGE ALBERTA, T1H 5C6.
No: 209010214.

TROAS INVESTMENTS INC. Named Alberta Corporation Incorporated 2000 OCT 06
Registered Address: 241 KASKA ROAD, 2ND FLOOR, SHERWOOD PARK ALBERTA, T8A
4E8. No: 209004654.

TROPICAL HOUSE LTD. Named Alberta Corporation Incorporated 2000 OCT 12
Registered Address: 9068 - 51 AVENUE, EDMONTON ALBERTA, T6E 5X4. No:
209011287.

TROUT HOLDINGS LTD. Named Alberta Corporation Incorporated 2000 OCT 06
Registered Address: 900, 521 - 3RD AVENUE S.W., CALGARY ALBERTA, T2P 3T3.
No: 209004753.

TRUE FAB INDUSTRIES LTD. Named Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 108, 9824 - 97 AVENUE, GRANDE PRAIRIE ALBERTA, T8V 7K2.
No: 208996355.

TRYCAL COMPUTER SOLUTIONS LTD. Named Alberta Corporation Incorporated 2000
OCT 05 Registered Address: 378 SANDSTONE DRIVE NW, CALGARY ALBERTA, T3K
3H1. No: 209004621.

TWILITE INDUSTRIES INC. Named Alberta Corporation Incorporated 2000 OCT 06
Registered Address: 11749 20 AVENUE, BLAIRMORE ALBERTA, T0K 0E0. No:
208998807.

TYALTA PROPERTIES INC. Named Alberta Corporation Incorporated 2000 OCT 13
Registered Address: NE 1/4, S.24, T.28, R.29 WEST OF THE 4TH MERIDIAN No:
209013598.

TYROS HOLDINGS LTD Named Alberta Corporation Incorporated 2000 OCT 05
Registered Address: 12844 135 ST, EDMONTON ALBERTA, T5L 1Y2. No: 209004027.

TYS THEATRE YES SOCIETY Alberta Society Incorporated 2000 SEP 18 Registered
Address: 10203 97 STREET, EDMONTON ALBERTA, T5J 0L5. No: 508998788.

ULTIMATE DANCE SOCIETY Alberta Society Incorporated 2000 OCT 12 Registered
Address: 310 - DOUGLAS PARK BLVD., CALGARY ALBERTA, T2Z 2S6. No: 509013181.

ULTIMATE DIESEL LTD. Named Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 5403 - 76 AVE., EDMONTON ALBERTA, T6B 3A5. No:
208998542.


UNITED PHARMACISTS LTD. Other Prov/Territory Corps Registered 2000 OCT 13
Registered Address: 1400, 350 - 7 AVENUE SW, CALGARY ALBERTA, T2P 3N9. No:
219014487.

UNITED SUDANESE WOMEN ASSOCIATION IN EDMONTON Alberta Society Incorporated
2000 OCT 02 Registered Address: 6227 - 178 STREET, EDMONTON ALBERTA, T5T
3B8. No: 509001020.

URA-TECH SYSTEMS LTD. Named Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 2000 SUN LIFE PLACE, 10123 - 99 STREET, EDMONTON
ALBERTA, T5J 3H1. No: 208999573.

VALENTINA HOLDINGS LTD. Named Alberta Corporation Incorporated 2000 OCT 11
Registered Address: #600, 9835 - 101 AVENUE, GRANDE PRAIRIE ALBERTA, T8V
5V4. No: 209010149.

VALLEY CREEK RESOURCES INC. Named Alberta Corporation Incorporated 2000 OCT
06 Registered Address: 10995 VALLEY SPRINGS ROAD N.W., CALGARY ALBERTA, T3B
5S5. No: 209002005.

VALLEY INDUSTRIAL MAINTENANCE LTD. Named Alberta Corporation Incorporated
2000 OCT 03 Registered Address: NW SEC 26 TWP 66 RGE 20 MERIDIAN W4 No:
208999375.

VEGASNORTH HOLDINGS INC. Named Alberta Corporation Incorporated 2000 OCT 01
Registered Address: #3, 3820 PARKHILL PLACE SW, CALGARY ALBERTA, T2S 2W7.
No: 208996264.

VISTATECH CORPORATION Named Alberta Corporation Incorporated 2000 OCT 04
Registered Address: 4500, 855 - 2ND STREET S.W., CALGARY ALBERTA, T2P 4K7.
No: 209000827.

W & S BERNARD INVESTMENTS LTD. Other Prov/Territory Corps Registered 2000
OCT 06 Registered Address: 850, 1015 - 4 STREET SW, CALGARY ALBERTA, T2R
1J4. No: 219005816.

W. TODD KAUFFELDT PROFESSIONAL CORPORATION Chiropractic Professional
Corporation Incorporated 2000 OCT 12 Registered Address: #102,5108 50 AVE,
WETASKIWIN ALBERTA, T9A 0S6. No: 209011881.

W.J. FORREST CONSULTING LTD. Named Alberta Corporation Incorporated 2000
OCT 05 Registered Address: 428 - WOODSIDE DRIVE, AIRDRIE ALBERTA, T4B 2C6.
No: 209000363.

W.W. LOGGING LTD. Named Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 4824 - 51 STREET, RED DEER ALBERTA, T4N 2A5. No:
208996280.

WADRAFT INC. Named Alberta Corporation Incorporated 2000 OCT 05 Registered
Address: 108 RUNDLEHORN LANE N.E., CALGARY ALBERTA, T1Y 1Z3. No: 209003797.

WALLY'S SERVICES LTD. Named Alberta Corporation Incorporated 2000 OCT 10
Registered Address: 173- 440, 10816 MACLEOD TR. S, CALGARY ALBERTA, T2J
5N8. No: 209005909.

WANASKEWIN ENTERPRISES INC. Named Alberta Corporation Incorporated 2000 OCT
13 Registered Address: 27 YOHO TINDA, BRAGG CREEK ALBERTA, T0L 0K0. No:
209013200.

WARRANTY DEPOT INC. Named Alberta Corporation Incorporated 2000 OCT 12
Registered Address: 10003 169 STREET NW, EDMONTON ALBERTA, T5P 4M9. No:
209011469.

WAVEFRONT ENVIRONMENTAL TECHNOLOGIES INC. Other Prov/Territory Corps
Registered 2000 OCT 10 Registered Address: 2900, 10180 - 101 STREET,
EDMONTON ALBERTA, T5J 3V5. No: 219006137.

WAY OF LIFE ASSOCIATION INC. - ASSOCIATION MODE DE VIE, INC. Federal
Corporation Registered 2000 OCT 05 Registered Address: 5028 50 AVENUE, BOX
59, LAVOY ALBERTA, T0B 2S0. No: 539004036.

WES CONTRACTING LTD. Named Alberta Corporation Incorporated 2000 OCT 10
Registered Address: 83, 6915 RANCHVIEW DR N.W., CALGARY ALBERTA, T3G 1R8.
No: 209006816.

WESCAN UTILITY SERVICES LTD. Named Alberta Corporation Incorporated 2000
OCT 05 Registered Address: 9111 - 39 AVENUE, EDMONTON ALBERTA, T6E 5Y2. No:
208995399.

WEST JUBILEE CONSTRUCTION LTD. Named Alberta Corporation Incorporated 2000
OCT 10 Registered Address: PLAN 54113 LOT 1 BLOCK 1 No: 209007087.

WESTGROUP SOLUTIONS INC. Named Alberta Corporation Incorporated 2000 OCT 13
Registered Address: SUITE 100, GREYSTONE VII, 4208-97 STREET, EDMONTON
ALBERTA, T6E 5Z9. No: 209013143.

WESTWARD CAPITAL MANAGEMENT GROUP LTD. Other Prov/Territory Corps
Registered 2000 OCT 11 Registered Address: 2900 10180 101 ST, EDMONTON
ALBERTA, T5J 3V5. No: 219007333.

WGB CONTRACTING INC. Named Alberta Corporation Incorporated 2000 OCT 05
Registered Address: 209, 8989 MACLEOD TRAIL SW, CALGARY ALBERTA, T2H 0M2.
No: 209004274.

WHEELER PROPERTIES LTD. Named Alberta Corporation Incorporated 2000 OCT 03
Registered Address: 2500, 10303 JASPER AVENUE, EDMONTON ALBERTA, T5J 3N6.
No: 208999714.

WHITE SWAN TREATMENT CENTERS INC. Federal Corporation Registered 2000 OCT
10 Registered Address: 1500, 10665 JASPER AVENUE, EDMONTON ALBERTA, T5J
3S9. No: 219007325.

WHITEFISH LAKE BAND #128 CULTURAL/POW-WOW SOCIETY Alberta Society
Incorporated 2000 SEP 26 Registered Address: BOX 196, GOODFISH LAKE
ALBERTA, TOA 1RO. No: 508998689.

WHITEHALL ENERGY LTD. Named Alberta Corporation Incorporated 2000 OCT 05
Registered Address: 1400, 350 - 7TH AVENUE SW, CALGARY ALBERTA, T2P 3N9.
No: 209002526.

WILBEN SERVICES INC. Named Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 1600, 10205 - 101 STREET, EDMONTON ALBERTA, T5J 2Z2.
No: 209014703.


WILLINGDON VOLUNTEERS IN ACTION SOCIETY Alberta Society Incorporated 2000
SEP 28 Registered Address: P.O. BOX 113, WILLINGDON ALBERTA, T0B 4R0. No:
508997376.

WILLOWVIEW AUCTIONS LTD. Named Alberta Corporation Incorporated 2000 OCT 05
Registered Address: 916-2ND AVENUE, BEAVERLODGE ALBERTA, TOH OCO. No:
209004134.

WILRON PUMP AND COMPRESSOR LTD. Named Alberta Corporation Incorporated 2000
OCT 10 Registered Address: 11 BLUE RIDGE VIEW LCD9, CALGARY ALBERTA, T2M
4N3. No: 209008549.

WIND INVESTMENTS LTD. Named Alberta Corporation Incorporated 2000 OCT 13
Registered Address: #105, 2034 19 AVE, DIDSBURY ALBERTA, T0M 0W0. No:
209010081.

WIND RIVER INTERNATIONAL LIMITED Federal Corporation Registered 2000 OCT 12
Registered Address: 2900, 10180-101 STREET, EDMONTON ALBERTA, T5J 3V5. No:
219011426.

WINDRIVER MINING INC. Named Alberta Corporation Incorporated 2000 OCT 02
Registered Address: 5006 - 50 STREET, BARRHEAD ALBERTA, T7N 1A4. No:
208997353.

WINGS OF HOPE MEDIC AID SOCIETY Alberta Society Incorporated 2000 OCT 05
Registered Address: 7203-91 AVENUE, EDMONTON ALBERTA, T6B 0R7. No:
509007969.

WINSOR ENTERPRISES LTD. Named Alberta Corporation Incorporated 2000 OCT 06
Registered Address: 52 OAKVALE PLACE SW, CALGARY ALBERTA, T2V 1H4. No:
209004928.
WIZARD LUBRICATION PRODUCTS INC. Named Alberta Corporation Incorporated
2000 OCT 05 Registered Address: 8 CLARENDON RD. NW, CALGARY ALBERTA, T2L
0P1. No: 208989665.

WOOD WORKS CARPENTRY LTD. Named Alberta Corporation Incorporated 2000 OCT
12 Registered Address: 15615-121 ST. NW, EDMONTON ALBERTA, T5X 3B3. No:
209012319.

WOOL SOCK EQUITIES LTD Named Alberta Corporation Incorporated 2000 OCT 05
Registered Address: 3112 111 AVE, EDMONTON ALBERTA, T5W 0J3. No: 209004050.

XTREME RV ADVENTURES LTD. Named Alberta Corporation Incorporated 2000 OCT
05 Registered Address: 11 AINSLEY PLACE, ST. ALBERT ALBERTA, T8N 5V8. No:
209002732.

YAP'S REFLEXOLOGY CENTRE INC. Named Alberta Corporation Incorporated 2000
OCT 12 Registered Address: 76 CITADEL DRIVE NW, CALGARY ALBERTA, T3G 3V1.
No: 209012723.

YOUTH POTENTIAL INC. Named Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 101 HAWTHORNE CR, ST. ALBERT ALBERTA, T8N 6N7. No:
209014257.

Z-CONSULTING LTD. Named Alberta Corporation Incorporated 2000 OCT 13
Registered Address: 1056 MOYER DRIVE, SHERWOOD PARK ALBERTA, T8A 1E6. No:
209014000.

ZEENAT JAMAL MASSAGE THERAPY INC. Named Alberta Corporation Incorporated
2000 OCT 05 Registered Address: #405, 3520 - 31ST STREET N.W., CALGARY
ALBERTA, T2L 2A4. No: 209002971.

________________________________________________________________________

     CORPORATE NAME CHANGES
 
(Business Corporations Act, Cemetery Companies Act, Companies Act,
Co-operative Associations Act, Credit Union Act, Loan and Trust
Corporations Act, Religious Societies' Land Act, Rural Utilities Act,
Societies Act, Partnership Act)
________________________________________________________________________

279776 ALBERTA LTD. Named Alberta Corporation Incorporated 1982 MAY 17. New
Name: THE LANDSCAPE ARTIST INC. Effective Date: 2000 OCT 13. No: 202797767.

318636 ALBERTA LTD. Named Alberta Corporation Incorporated 1984 SEP 27. New
Name: WORKER APPEAL SERVICES INC. Effective Date: 2000 OCT 02. No:
203186366.

362544 ALBERTA LTD. Named Alberta Corporation Incorporated 1987 MAR 06. New
Name: COLE MEDICS CORP. Effective Date: 2000 OCT 13. No: 203625447.

3753760 CANADA INC. Federal Corporation Registered 2000 AUG 15. New Name:
SEEHTA FOREST PRODUCTS LTD. Effective Date: 2000 OCT 06. No: 218928810.


410371 ALBERTA LTD. Named Alberta Corporation Incorporated 1989 OCT 20. New
Name: GUY GRIERSON ENERGY LTD. Effective Date: 2000 OCT 13. No: 204103717.

574298 ALBERTA LTD. Named Alberta Corporation Incorporated 1993 JUL 20. New
Name: SEAJAY CONSULTING LTD. Effective Date: 2000 OCT 03. No: 205742984.

585285 ALBERTA LIMITED Named Alberta Corporation Incorporated 1993 OCT 27.
New Name: ADVANCED BUSINESS CONTENT NETWORK INC. Effective Date: 2000 OCT
12. No: 205852858.

588434 ALBERTA LTD. Named Alberta Corporation Incorporated 1993 NOV 19. New
Name: TRI-REZ OIL & GAS PRODUCTION LTD. Effective Date: 2000 OCT 10. No:
205884349.


593667 ALBERTA LTD. Named Alberta Corporation Incorporated 1993 DEC 23. New
Name: PEARLE AGRA-SERVICES INC. Effective Date: 2000 OCT 12. No: 205936677.

594005 ALBERTA LTD. Named Alberta Corporation Incorporated 1993 DEC 30. New
Name: RAVEN ROCK CONSULTING INC. Effective Date: 2000 OCT 04. No:
205940059.

626316 SASKATCHEWAN LTD. Other Prov/Territory Corps Registered 2000 APR 10.
New Name: BRIMAC WELL SERVICING LTD. Effective Date: 2000 OCT 04. No:
218749570.

628879 ALBERTA LTD. Named Alberta Corporation Incorporated 1994 OCT 18. New
Name: KODIAK INSPECTION SERVICES LTD. Effective Date: 2000 OCT 03. No:
206288797.

707852 ALBERTA LTD. Named Alberta Corporation Incorporated 1996 AUG 29. New
Name: FTM DEVELOPMENTS INC. Effective Date: 2000 OCT 13. No: 207078528.

708853 ALBERTA LTD. Named Alberta Corporation Incorporated 1996 SEP 06. New
Name: WILLOWRIDGE TRAVEL (2000) LTD. Effective Date: 2000 OCT 03. No:
207088535.

709178 ALBERTA LTD. Named Alberta Corporation Incorporated 1996 SEP 11. New
Name: PRAIRIE COMMUNITIES CORP. Effective Date: 2000 OCT 10. No: 207091786.

733267 ALBERTA LTD. Named Alberta Corporation Incorporated 1997 MAR 27. New
Name: JENARD DEVELOPMENTS LTD. Effective Date: 2000 OCT 13. No: 207332677.

734615 ALBERTA INC. Named Alberta Corporation Incorporated 1997 APR 09. New
Name: R.C. LEWIS ENTERPRISES LTD. Effective Date: 2000 OCT 12. No:
207346156.

754451 ALBERTA LIMITED Named Alberta Corporation Incorporated 1997 SEP 12.
New Name: TOP IMPACT DISTRIBUTION LTD. Effective Date: 2000 OCT 03. No:
207544511.

755897 ALBERTA LTD. Named Alberta Corporation Incorporated 1997 SEP 22. New
Name: SON VAN SUPPLY LTD. Effective Date: 2000 OCT 06. No: 207558974.

771148 ALBERTA LTD. Named Alberta Corporation Incorporated 1998 JAN 07. New
Name: IAN DE BIE ENERGY LTD. Effective Date: 2000 OCT 13. No: 207711482.

772019 ALBERTA LTD. Named Alberta Corporation Incorporated 1998 JAN 12. New
Name: LASER & ASSOCIATES LTD. Effective Date: 2000 OCT 03. No: 207720194.

775147 ALBERTA LTD. Named Alberta Corporation Incorporated 1998 JAN 23. New
Name: MINSKER HOLDINGS INC. Effective Date: 2000 OCT 13. No: 207751470.

780268 ALBERTA LTD. Named Alberta Corporation Incorporated 1998 APR 07. New
Name: INTEGRA AIR INC. Effective Date: 2000 OCT 12. No: 207802687.

799951 ALBERTA LTD. Named Alberta Corporation Incorporated 1998 SEP 17. New
Name: STEEL-TEC INTERNATIONAL LTD. Effective Date: 2000 OCT 04. No:
207999517.

808679 ALBERTA LTD. Named Alberta Corporation Incorporated 1998 NOV 27. New
Name: DOT P.C. INC. Effective Date: 2000 OCT 05. No: 208086793.

808807 ALBERTA LTD. Named Alberta Corporation Incorporated 1998 NOV 27. New
Name: GORD MAYBEE ENERGY LTD. Effective Date: 2000 OCT 12. No: 208088070.

810920 ALBERTA LTD. Named Alberta Corporation Incorporated 1998 DEC 14. New
Name: NATEQ HOLDINGS INC. Effective Date: 2000 OCT 05. No: 208109207.

815256 ALBERTA LTD. Named Alberta Corporation Incorporated 1999 JAN 20. New
Name: ARCHWAY PROJECTS INC. Effective Date: 2000 OCT 03. No: 208152561.

830606 ALBERTA LTD. Named Alberta Corporation Incorporated 1999 MAY 13. New
Name: DISABILITY ADVOCATES INC. Effective Date: 2000 OCT 02. No: 208306068.

837185 ALBERTA LTD. Named Alberta Corporation Incorporated 1999 JUL 02. New
Name: KOR-ALTA CONSTRUCTION MANAGEMENT LTD. Effective Date: 2000 OCT 06.
No: 208371856.

841756 ALBERTA LTD. Named Alberta Corporation Incorporated 1999 AUG 11. New
Name: DIVERSIFIED CONSULTING SERVICES INC. Effective Date: 2000 OCT 04. No:
208417568.

849051 ALBERTA LTD. Named Alberta Corporation Incorporated 1999 OCT 07. New
Name: PET CONNECTION INC. Effective Date: 2000 OCT 04. No: 208490516.

849179 ALBERTA LTD. Named Alberta Corporation Incorporated 1999 OCT 08. New
Name: ROYAL NEIGHBOR LTD. Effective Date: 2000 OCT 02. No: 208491795.

853141 ALBERTA LTD. Named Alberta Corporation Incorporated 1999 NOV 06. New
Name: RUSSELL NDE SYSTEMS INC. Effective Date: 2000 OCT 02. No: 208531418.

855106 ALBERTA LTD. Named Alberta Corporation Incorporated 1999 NOV 23. New
Name: EZEE PARTIES LTD. Effective Date: 2000 OCT 02. No: 208551069.

855685 ALBERTA INC. Named Alberta Corporation Incorporated 1999 NOV 26. New
Name: WHITEHORN LODGE INC. Effective Date: 2000 OCT 10. No: 208556852.

856051 ALBERTA LTD. Named Alberta Corporation Incorporated 1999 NOV 30. New
Name: SHORTCITED HOLDINGS INC. Effective Date: 2000 OCT 12. No: 208560516.

856932 ALBERTA LTD. Named Alberta Corporation Incorporated 1999 DEC 06. New
Name: MURIAS ENERGY CORPORATION Effective Date: 2000 OCT 13. No: 208569327.


859417 ALBERTA LTD. Named Alberta Corporation Incorporated 1999 DEC 22. New
Name: BRIAN HIEBERT ENERGY LTD. Effective Date: 2000 OCT 12. No: 208594176.

864250 ALBERTA LTD. Named Alberta Corporation Incorporated 2000 JAN 31. New
Name: CHARIS INDUSTRIES LTD. Effective Date: 2000 OCT 12. No: 208642504.

867492 ALBERTA INC. Named Alberta Corporation Incorporated 2000 FEB 25. New
Name: GPRS_PHOENIX TECHNOLOGY INC. Effective Date: 2000 OCT 06. No:
208674929.

868795 ALBERTA LTD. Named Alberta Corporation Incorporated 2000 MAR 03. New
Name: HOLDTITE ADHESIVES CANADA CORP. Effective Date: 2000 OCT 03. No:
208687954.

869144 ALBERTA LTD. Named Alberta Corporation Incorporated 2000 MAR 08. New
Name: NORTHERN LIGHTS HARVESTING LTD. Effective Date: 2000 OCT 02. No:
208691444.

870061 ALBERTA LTD. Named Alberta Corporation Incorporated 2000 MAR 13. New
Name: LYLE HATCH ENTERPRISES LTD. Effective Date: 2000 OCT 13. No:
208700617.

873705 ALBERTA LTD. Named Alberta Corporation Incorporated 2000 APR 03. New
Name: KING RICHARD CONSTRUCTION 2000 LTD. Effective Date: 2000 OCT 11. No:
208737056.

875180 ALBERTA LTD. Named Alberta Corporation Incorporated 2000 APR 11. New
Name: SCOTTY.TV LTD. Effective Date: 2000 OCT 11. No: 208751800.

877026 ALBERTA LTD. Named Alberta Corporation Incorporated 2000 APR 25. New
Name: WT KAUTZ HOLDINGS LTD. Effective Date: 2000 OCT 05. No: 208770263.

877937 ALBERTA LTD. Named Alberta Corporation Incorporated 2000 MAY 01. New
Name: ENCAP CORPORATION Effective Date: 2000 OCT 02. No: 208779371.

878112 ALBERTA LTD. Named Alberta Corporation Incorporated 2000 MAY 01. New
Name: GROUP PROVENCE INC. Effective Date: 2000 OCT 03. No: 208781120.

883379 ALBERTA LTD. Named Alberta Corporation Incorporated 2000 JUN 05. New
Name: POINT 41 PUB LTD. Effective Date: 2000 OCT 12. No: 208833798.

884760 ALBERTA LTD. Named Alberta Corporation Incorporated 2000 JUN 14. New
Name: SLT CONTRACTING LTD. Effective Date: 2000 OCT 02. No: 208847608.

884807 ALBERTA LTD. Named Alberta Corporation Incorporated 2000 JUN 14. New
Name: LUCAS AND LORI TRANSPORT LTD. Effective Date: 2000 OCT 10. No:
208848077.

885127 ALBERTA LTD. Named Alberta Corporation Incorporated 2000 JUN 15. New
Name: SEVEN-FOUR RANCHES 2000 LTD. Effective Date: 2000 OCT 03. No:
208851279.


886479 ALBERTA LTD. Named Alberta Corporation Incorporated 2000 JUN 26. New
Name: ALL POINTS TRAVEL & CRUISES INC. Effective Date: 2000 OCT 06. No:
208864793.

888014 ALBERTA LTD. Named Alberta Corporation Incorporated 2000 JUL 06. New
Name: BARE DIRECTIONAL CONSULTING INC. Effective Date: 2000 OCT 13. No:
208880146.

888523 ALBERTA LTD. Named Alberta Corporation Incorporated 2000 JUL 11. New
Name: FRISGO DEVELOPMENT INC. Effective Date: 2000 OCT 12. No: 208885236.

889261 ALBERTA LTD. Named Alberta Corporation Incorporated 2000 JUL 17. New
Name: MARSHALL TRUCKING INC. Effective Date: 2000 OCT 03. No: 208892612.

891499 ALBERTA LTD. Named Alberta Corporation Incorporated 2000 AUG 02. New
Name: THE QA GROUP INC. Effective Date: 2000 OCT 13. No: 208914994.

891559 ALBERTA LTD. Named Alberta Corporation Incorporated 2000 AUG 02. New
Name: EARL'S RESTAURANT (FORT MCMURRAY) 2000 LTD. Effective Date: 2000 OCT
13. No: 208915595.

891569 ALBERTA LTD. Named Alberta Corporation Incorporated 2000 AUG 02. New
Name: GOURMET EASY INC. Effective Date: 2000 OCT 04. No: 208915694.

891732 ALBERTA LTD. Named Alberta Corporation Incorporated 2000 AUG 03. New
Name: HOMES WEST INC. Effective Date: 2000 OCT 02. No: 208917328.

893902 ALBERTA LTD. Named Alberta Corporation Incorporated 2000 AUG 22. New
Name: KNIBBS ENTERPRISES LTD. Effective Date: 2000 OCT 12. No: 208939025.

894336 ALBERTA LTD. Named Alberta Corporation Incorporated 2000 AUG 24. New
Name: LARSEN FAMILY FARM LTD. Effective Date: 2000 OCT 11. No: 208943365.

894804 ALBERTA LTD. Named Alberta Corporation Incorporated 2000 AUG 29. New
Name: SUNLAND FARMS INC. Effective Date: 2000 OCT 11. No: 208948042.

895441 ALBERTA LTD. Named Alberta Corporation Incorporated 2000 SEP 01. New
Name: FORTCAP (ALBERTA) INC. Effective Date: 2000 OCT 04. No: 208954412.

895452 ALBERTA LTD. Named Alberta Corporation Incorporated 2000 SEP 01. New
Name: A.H. CANADA HOLDINGS LTD. Effective Date: 2000 OCT 02. No: 208954529.

895458 ALBERTA LTD. Named Alberta Corporation Incorporated 2000 SEP 01. New
Name: LHS MANAGEMENT LTD. Effective Date: 2000 OCT 04. No: 208954586.

898425 ALBERTA INC. Named Alberta Corporation Incorporated 2000 SEP 22. New
Name: WESTVISION VENTURES INC. Effective Date: 2000 OCT 10. No: 208984252.

898433 ALBERTA LTD. Named Alberta Corporation Incorporated 2000 SEP 22. New
Name: TECHNICAL MANUFACTURING INC. Effective Date: 2000 OCT 04. No:
208984336.

898660 ALBERTA LTD. Named Alberta Corporation Incorporated 2000 SEP 25. New
Name: HYPER CUBE VENTURES INC. Effective Date: 2000 OCT 04. No: 208986604.

898746 ALBERTA LTD. Named Alberta Corporation Incorporated 2000 SEP 26. New
Name: GOTACOPY.COM INC. Effective Date: 2000 OCT 05. No: 208987461.

899508 ALBERTA LTD. Named Alberta Corporation Incorporated 2000 SEP 29. New
Name: ATHABASCA NORTHERN RAILWAY LTD. Effective Date: 2000 OCT 12. No:
208995084.

899646 ALBERTA LTD. Named Alberta Corporation Incorporated 2000 OCT 02. New
Name: OLD ENGLAND FINANCIAL CORP. Effective Date: 2000 OCT 03. No:
208996462.

899794 ALBERTA LTD. Named Alberta Corporation Incorporated 2000 OCT 02. New
Name: TROUT CREEK CATTLE CO. INC. Effective Date: 2000 OCT 13. No:
208997940.

900287 ALBERTA LTD. Named Alberta Corporation Incorporated 2000 OCT 05. New
Name: ELECTRI-CITY INC. Effective Date: 2000 OCT 11. No: 209002872.

900466 ALBERTA LTD. Named Alberta Corporation Incorporated 2000 OCT 06. New
Name: MURPHY ACQUISITION COMPANY LTD. Effective Date: 2000 OCT 10. No:
209004662.

A & D INTERNATIONAL LTD. Named Alberta Corporation Incorporated 1989 MAY
12. New Name: APEX ENGINEERING INC. Effective Date: 2000 OCT 06. No:
204018501.

ACCURATE INDUSTRIAL CONSULTANTS LTD. Named Alberta Corporation Incorporated
1999 OCT 20. New Name: ACCURATE INDUSTRIAL SPRAY BOOTHS LTD. Effective
Date: 2000 OCT 04. No: 208506899.

AFFIRMED MORTGAGE INVESTMENT CORPORATION Other Prov/Territory Corps
Registered 1998 OCT 21. New Name: BANCORP FIRST MORTGAGE FUND INC.
Effective Date: 2000 OCT 03. No: 218042372.

ALBERTA MIDSTREAM INC. Named Alberta Corporation Incorporated 1999 NOV 30.
New Name: BEACON TECHNOLOGY VENTURES, INC. Effective Date: 2000 OCT 13. No:
208561563.

ALCATEL CANADA INC. Federal Corporation Registered 1997 APR 01. New Name:
NEXANS CANADA INC. Effective Date: 2000 OCT 10. No: 217337930.

ALCATEL NETWORKS CORPORATION Federal Corporation Amalgamated 2000 JUN 15.
New Name: ALCATEL CANADA INC. Effective Date: 2000 OCT 13. No: 218849263.

ALLIANCE HOMES LTD. Named Alberta Corporation Incorporated 1999 DEC 13. New
Name: RAYBORNE HOMES (2000) LTD. Effective Date: 2000 OCT 11. No:
208578971.

ANNE BELL ORIGINALS LTD. Numbered Alberta Corporation Incorporated 1996 MAR
04. New Name: 686590 ALBERTA LTD. Effective Date: 2000 OCT 02. No:
206865909.

APEC ENERGY INC. Named Alberta Corporation Incorporated 1991 MAR 11. New
Name: EXTRA ENERGY INC. Effective Date: 2000 OCT 04. No: 204872253.

ARCTIC TIMBER PRODUCTS INC. Named Alberta Corporation Incorporated 1998 DEC
02. New Name: ARCTIC TIMBER PRODUCTS LTD. Effective Date: 2000 OCT 05. No:
208095489.

AUTO VILLAGE EAST INC. Numbered Alberta Corporation Incorporated 1993 JAN
15. New Name: 552090 ALBERTA INC. Effective Date: 2000 OCT 14. No:
205520901.

AUTO VILLAGE INC. Numbered Alberta Corporation Incorporated 1995 JUL 07.
New Name: 660821 ALBERTA INC. Effective Date: 2000 OCT 14. No: 206608218.

AUTO VILLAGE NORTH INC. Numbered Alberta Corporation Incorporated 1996 APR
26. New Name: 693132 ALBERTA INC. Effective Date: 2000 OCT 14. No:
206931321.

AUTO VILLAGE REGINA INC. Numbered Alberta Corporation Incorporated 1998 AUG
11. New Name: 795766 ALBERTA INC. Effective Date: 2000 OCT 14. No:
207957663.

AUTO VILLAGE SASK INC. Numbered Alberta Corporation Incorporated 1997 DEC
05. New Name: 766006 ALBERTA INC. Effective Date: 2000 OCT 14. No:
207660069.

AUTO VILLAGE SOUTH INC. Numbered Alberta Corporation Incorporated 1995 JAN
23. New Name: 639726 ALBERTA INC. Effective Date: 2000 OCT 14. No:
206397267.

AUTO VILLAGE WEST LTD. Numbered Alberta Corporation Incorporated 1991 SEP
30. New Name: 506326 ALBERTA INC. Effective Date: 2000 OCT 14. No:
205063266.

BALUM INVESTMENT CORP Named Alberta Corporation Incorporated 1998 OCT 29.
New Name: J. GREGORY & ASSOCIATES INC. Effective Date: 2000 OCT 06. No:
208052860.

BAR X0 VETERINARY SERVICES LTD. Named Alberta Corporation Incorporated 1977
DEC 06. New Name: CHARISMATIC HOLDINGS LTD. Effective Date: 2000 OCT 05.
No: 201111192.

BASKIT KASE GIFTS, PROMOTIONS & NOTIONS INC. Named Alberta Corporation
Incorporated 1999 OCT 14. New Name: L'IL TYKES DAY HOME LTD. Effective
Date: 2000 OCT 12. No: 208497313.

BEAR TRAX PUMPJACK SERVICES LTD. Named Alberta Corporation Incorporated
1987 OCT 01. New Name: L.B.'S PUMPJACK INSPECTION SERVICES INC. Effective
Date: 2000 OCT 02. No: 203727649.

BLACK HAWK ELECTRICAL CONTRACTING LTD. Named Alberta Corporation
Incorporated 1995 MAR 07. New Name: INFRA-VISION LTD. Effective Date: 2000
OCT 10. No: 206456410.

BOYD GEOMATICS LTD. Named Alberta Corporation Incorporated 1998 MAR 31. New
Name: PIXXURES CANADA, INC. Effective Date: 2000 OCT 02. No: 207794066.


CADVENTURE TECHNICAL CENTRE (1998) INC. Numbered Alberta Corporation
Incorporated 1997 NOV 20. New Name: 763859 ALBERTA LTD. Effective Date:
2000 OCT 11. No: 207638594.

CALGARY CAR CLINIC INC. Numbered Alberta Corporation Incorporated 1995 NOV
24. New Name: 676048 ALBERTA LTD. Effective Date: 2000 OCT 04. No:
206760480.

CALGARY NATIVE WOMEN'S SHELTER SOCIETY Alberta Society Incorporated 1992
AUG 20. New Name: AWO TAAN NATIVE WOMEN'S SHELTER SOCIETY Effective Date:
2000 OCT 02. No: 505246058.

CANADIAN FIGURE SKATING ASSOCIATION: ALBERTA - NORTHWEST TERRITORIES /
NUNAVUT SECTION Alberta Society Incorporated 1979 JAN 17. New Name: SKATE
CANADA: ALBERTA-NORTHWEST TERRITORIES / NUNAVUT ASSOCIATION Effective Date:
2000 OCT 04. No: 502124035.

CARLSON INCENTIVES.MEETINGS.CONVENTIONS LTD. Named Alberta Corporation
Incorporated 1984 JUN 21. New Name: CASCADIA MOTIVATION INC. Effective
Date: 2000 OCT 10. No: 203154729.

CEILINGS INTERNATIONAL LTD. Numbered Alberta Corporation Incorporated 1991
OCT 04. New Name: 506916 ALBERTA LTD. Effective Date: 2000 OCT 03. No:
205069164.

CHASE INTERIORS LTD. Named Alberta Corporation Incorporated 1998 NOV 19.
New Name: CHASE PROJECT MANAGEMENT INC. Effective Date: 2000 OCT 10. No:
208078139.

CHATEAU LIFESTYLE COMMUNITIES (DISCOVERY RIDGE) INC. Named Alberta
Corporation Incorporated 1998 AUG 18. New Name: CHATEAU LIFESTYLE COMMUNITY
(ALTA) INC. Effective Date: 2000 OCT 10. No: 207964032.

CONSOLIDATED TAKO RESOURCES LTD. Other Prov/Territory Corps Registered 1994
NOV 16. New Name: INTERNATIONAL TAKO INDUSTRIES INC. Effective Date: 2000
OCT 12. No: 216321315.

CORIAN DIAMOND PRODUCTS LTD. Numbered Alberta Corporation Incorporated 2000
OCT 06. New Name: 900572 ALBERTA LTD. Effective Date: 2000 OCT 06. No:
209005727.

CORPUS ALBERTA ASSOCIATION-JACK & SHEILA KIRLEY FUND Alberta Society
Incorporated 1997 JAN 16. New Name: CORPUS CANADA - JACK AND SHEILA KIRLEY
FOUNDATION Effective Date: 2000 OCT 03. No: 507224343.

D.J.'S WORKROOM LTD. Named Alberta Corporation Incorporated 1998 DEC 04.
New Name: PARK IRON WORKS LTD. Effective Date: 2000 OCT 11. No: 208097899.

D.J.R. CAT SERVICES LTD. Named Alberta Corporation Incorporated 1997 FEB
11. New Name: BANJO OILFIELD SERVICES LTD. Effective Date: 2000 OCT 11. No:
207269622.

DAVID HIGGINS HOLDINGS LTD. Named Alberta Corporation Incorporated 1985 MAY
07. New Name: PATHWAY CONNECTIVITY INC. Effective Date: 2000 OCT 06. No:
203298005.

DON VANDER VELDE & SONS TRUCKING LTD. Named Alberta Corporation
Incorporated 1980 JUN 12. New Name: VANDER VELDE & SONS LTD. Effective
Date: 2000 OCT 08. No: 202446613.

DOUBLE L DRILLING LTD. Named Alberta Corporation Incorporated 1978 APR 19.
New Name: OSTAFICHUK FARMS LTD. Effective Date: 2000 OCT 04. No: 201171394.

DR. JOHANNE GASTONGUAY PROFESSIONAL CORPORATION Medical Professional
Corporation Incorporated 2000 FEB 01. New Name: JOHANNE GASTONGUAY
PROFESSIONAL CORPORATION Effective Date: 2000 OCT 03. No: 208646414.

DRIVERS DISCOUNT AUTO PARTS LTD. Numbered Alberta Corporation Incorporated
1998 DEC 03. New Name: 809621 ALBERTA INC. Effective Date: 2000 OCT 14. No:
208096214.

DRIVERS MOOSE JAW INC. Numbered Alberta Corporation Incorporated 1999 DEC
02. New Name: 856471 ALBERTA INC. Effective Date: 2000 OCT 14. No:
208564716.

DYNATECH SYSTEMS INC. Named Alberta Corporation Incorporated 1996 SEP 06.
New Name: DYNATECH ACTION INC. Effective Date: 2000 OCT 10. No: 207088600.

E-COMMXCO INC. Numbered Alberta Corporation Incorporated 2000 OCT 05. New
Name: 900361 ALBERTA LTD. Effective Date: 2000 OCT 06. No: 209003615.

ENCORE ADULT COMMUNITIES INC. Named Alberta Corporation Incorporated 2000
JUL 04. New Name: ENCORE COMMUNITIES INC. Effective Date: 2000 OCT 02. No:
208876318.

EYE-LEVEL ADVERTISING INC. Named Alberta Corporation Incorporated 1995 DEC
05. New Name: EYE-LEVEL CONSULTING INC. Effective Date: 2000 OCT 11. No:
206770869.

FABER GEOSCIENCE INC. Named Alberta Corporation Incorporated 1991 SEP 10.
New Name: BIG PICTURE GEOSCIENCE INC. Effective Date: 2000 OCT 13. No:
205046568.

FIFTH AVENUE CABS INC. Numbered Alberta Corporation Incorporated 1996 FEB
26. New Name: 685549 ALBERTA INC. Effective Date: 2000 OCT 02. No:
206855496.

FIRE VALLEY FILMS INTERNATIONAL LTD. Named Alberta Corporation Incorporated
2000 JUL 31. New Name: RAVENHURST INTERNATIONAL FILMS LTD. Effective Date:
2000 OCT 12. No: 208911222.

FORT OPTICAL LTD. Other Prov/Territory Corps Registered 1992 JAN 15. New
Name: IRIS THE VISUAL GROUP WESTERN CANADA INC. Effective Date: 2000 OCT
11. No: 215158809.

FRENTZ & MOULUN HOLDINGS LTD. Named Alberta Corporation Incorporated 1997
APR 09. New Name: GRANDE CACHE HOME FURNITURE LTD. Effective Date: 2000 OCT
10. No: 207346321.

FRONT-LINE COMPUTER CONSULTING LTD. Named Alberta Corporation Incorporated
1998 NOV 10. New Name: SNOWY INVESTMENTS LTD. Effective Date: 2000 OCT 03.
No: 208068114.


GALLERIA RESOURCES INC. Named Alberta Corporation Incorporated 1993 JUL 30.
New Name: GALLERIA OPPORTUNITIES INC. Effective Date: 2000 OCT 02. No:
205751613.

GLOCO LIFESTYLES INC. Named Alberta Corporation Incorporated 1995 APR 03.
New Name: BIZWHIZ INC Effective Date: 2000 OCT 13. No: 206492845.

GRASSLAND PURE BEEF INC. Named Alberta Corporation Incorporated 1995 DEC
11. New Name: TAMING HOPE PRODUCTIONS INC. Effective Date: 2000 OCT 05. No:
206777443.

HIGHMART CONSTRUCTION LTD. Named Alberta Corporation Incorporated 2000 SEP
26. New Name: HIGHMARK CONSTRUCTION LTD. Effective Date: 2000 OCT 04. No:
208988030.

HINTON MOBILE HOME SALES CORP. Named Alberta Corporation Incorporated 1992
DEC 29. New Name: HOSPITALITY REALTY CORP. Effective Date: 2000 OCT 11. No:
205503956.

HOYLE TWINES LTD. Named Alberta Corporation Continued In 1996 JUL 18. New
Name: WINDROW BALING PRODUCTS INC. Effective Date: 2000 OCT 02. No:
207034810.

INTECH MECHANICAL LTD. Named Alberta Corporation Incorporated 1999 AUG 25.
New Name: INTECH HOLDINGS LTD. Effective Date: 2000 OCT 02. No: 208434944.

INTERRA INDUSTRIAL PRODUCTS LTD. Named Alberta Corporation Incorporated
1993 AUG 31. New Name: INTERRA ENVIRONMENTAL INC. Effective Date: 2000 OCT
03. No: 205784523.

INVESTORS MORTGAGE CORPORATION I LTD. Named Alberta Corporation
Incorporated 1996 APR 24. New Name: ACCESS MORTGAGE CORPORATION LIMITED
Effective Date: 2000 OCT 11. No: 206927329.

IVORY VENTURES CORPORATION Named Alberta Corporation Incorporated 1992 NOV
26. New Name: URBAN VIEW PROJECTS INC. Effective Date: 2000 OCT 03. No:
205476971.

J & S BARTON ENTERPRISES LTD. Numbered Alberta Corporation Incorporated
1996 MAY 30. New Name: 698101 ALBERTA LTD. Effective Date: 2000 OCT 03. No:
206981011.

JAWS TECHNOLOGIES INC. Named Alberta Corporation Amalgamated 2000 JUL 01.
New Name: JAWZ CANADA INC. Effective Date: 2000 OCT 03. No: 208872440.

JOHN R. HIGGIN PROFESSIONAL CORPORATION Numbered Alberta Corporation
Incorporated 1978 MAR 22. New Name: 115856 ALBERTA LTD. Effective Date:
2000 OCT 11. No: 201158565.

JUICE FARE INCORPORATED Named Alberta Corporation Incorporated 2000 SEP 26.
New Name: JUICE FARE CORP. Effective Date: 2000 OCT 03. No: 208985366.

KANTER-MCMULLEN DESIGN GROUP INC. Named Alberta Corporation Incorporated
1999 NOV 10. New Name: MEXICAN-TRAVELERS INC. Effective Date: 2000 OCT 06.
No: 208535260.

KARA INDUSTRIES LTD. Named Alberta Corporation Incorporated 1999 FEB 10.
New Name: KREM INDUSTRIES LTD. Effective Date: 2000 OCT 05. No: 208182410.

KEYSPAN ENERGY CANADA LTD. Named Alberta Corporation Incorporated 1996 MAY
29. New Name: TNG LIQUIDS LTD. Effective Date: 2000 OCT 11. No: 206976912.

KREM INDUSTRIES LTD. Named Alberta Corporation Incorporated 1999 FEB 10.
New Name: KREM INVESTMENTS LTD. Effective Date: 2000 OCT 10. No: 208182410.

LAASHA ATLEY REALTY LTD. Named Alberta Corporation Incorporated 1995 OCT
17. New Name: BUSINESS LOANS CONSULTING LTD. Effective Date: 2000 OCT 02.
No: 206716904.

LAND OF THE MIGHTY PEACE TOURIST ASSOCIATION Alberta Society Incorporated
1967 APR 25. New Name: THE MIGHTY PEACE TOURIST ASSOCIATION Effective Date:
2000 OCT 02. No: 500050257.

LANDBY WAHL DEVELOPMENTS LTD. Numbered Alberta Corporation Incorporated
1981 MAY 19. New Name: 269846 ALBERTA LTD. Effective Date: 2000 OCT 05. No:
202698460.

LDS SOCIAL SERVICES OF CANADA Federal Corporation Registered 1988 NOV 14.
New Name: LDS FAMILY SERVICES OF CANADA Effective Date: 2000 OCT 11. No:
533929832.

LEDCOR CONSTRUCTION LTD. Named Alberta Corporation Incorporated 1998 NOV
05. New Name: LEDCOR CONSTRUCTION LIMITED Effective Date: 2000 OCT 03. No:
208063610.

LINEAR INDUSTRIES LTD. Named Alberta Corporation Incorporated 1979 DEC 20.
New Name: STAR INDUSTRIAL FLOORS INC. Effective Date: 2000 OCT 12. No:
202026266.

LIONS GATE TRAILER RENTALS (ON) LTD. Federal Corporation Registered 1989
MAR 21. New Name: LIONS GATE TRAILERS LTD. Effective Date: 2000 OCT 06. No:
213997190.

LOCK SURGEON INC. Named Alberta Corporation Incorporated 1993 JAN 07. New
Name: A AB. LOCK SURGEON LTD. Effective Date: 2000 OCT 12. No: 205510738.

MAYHILL DAIRY LTD. Named Alberta Corporation Incorporated 1991 JUL 24. New
Name: HILL & DALE RANCH LTD. Effective Date: 2000 OCT 13. No: 205008873.

MCCORMICK AND HARRIS PROFESSIONAL CORPORATION Certified General Accounting
Professional Corporation Incorporated 1988 SEP 30. New Name: KAREN
MCCORMICK PROFESSIONAL CORPORATION Effective Date: 2000 OCT 04. No:
203909627.


MOHAWK CANADA LIMITED Federal Corporation Amalgamated 1999 MAR 01. New
Name: HUSKY OIL LTD. Effective Date: 2000 OCT 05. No: 218204949.

MONOPROS LIMITED Other Prov/Territory Corps Registered 1988 OCT 04. New
Name: DE BEERS CANADA EXPLORATION INC. Effective Date: 2000 OCT 10. No:
213911639.

MOUNTAINAIRE HOMES 2000 INC. Named Alberta Corporation Incorporated 2000
JUL 05. New Name: MOUNTAINAIR HOMES 2000 INC. Effective Date: 2000 OCT 10.
No: 208874982.

MYRNA PARK REALTY INC. Named Alberta Corporation Incorporated 1986 MAR 14.
New Name: MAX-U.COM INC. Effective Date: 2000 OCT 03. No: 203443478.

NEON BUILDERS LTD. Numbered Alberta Corporation Incorporated 1986 JUN 12.
New Name: 349847 ALBERTA LTD. Effective Date: 2000 OCT 04. No: 203498472.

NEW D-SIGN MANUFACTURING INC. Named Alberta Corporation Incorporated 1996
FEB 14. New Name: NEW D-SIGN PIPELINE PLOWING INC. Effective Date: 2000 OCT
12. No: 206840050.

NORTHSIDE COMMUNITY ASSOCIATION OF RED DEER Alberta Society Incorporated
1976 OCT 22. New Name: RIVERSIDE MEADOWS COMMUNITY ASSOCIATION Effective
Date: 2000 OCT 02. No: 500096433.

PAGNOTTA CONSTRUCTION MANAGEMENT INC. Named Alberta Corporation
Incorporated 1995 MAR 08. New Name: 2000 CONSTRUCTION MANAGEMENT INC.
Effective Date: 2000 OCT 13. No: 206458234.

PILATUS DAIRY LTD. Named Alberta Corporation Incorporated 1985 MAR 11. New
Name: PILATUS FARMS LTD. Effective Date: 2000 OCT 12. No: 203266176.

PRAIRIE SUN GRAINS LTD. Numbered Alberta Corporation Incorporated 1990 DEC
21. New Name: 478136 ALBERTA LTD. Effective Date: 2000 OCT 08. No:
204781363.

PRESAKARCHUK HOLDINGS LTD. Named Alberta Corporation Incorporated 1990 APR
19. New Name: SUMMIT MEDICAL INC. Effective Date: 2000 OCT 06. No:
204203228.

PRICED LESS INC. Named Alberta Corporation Incorporated 1999 MAR 12. New
Name: DRM SOLUTIONS INC. Effective Date: 2000 OCT 02. No: 208222000.

PRISM GLASS & PAINT LTD Named Alberta Corporation Incorporated 1972 FEB 21.
New Name: CAN AXIS HOLDINGS INC. Effective Date: 2000 OCT 11. No:
200612430.

PRO-ACTION TYPING DESIGNS INC Named Alberta Corporation Incorporated 2000
OCT 03. New Name: PRO-ACTION PIPING DESIGNS INC Effective Date: 2000 OCT
05. No: 208999433.

R & M TURNER LTD. Named Alberta Corporation Incorporated 1998 JUL 20. New
Name: R. TURNER HAULING INC. Effective Date: 2000 OCT 13. No: 207933995.

R.K.C. INVESTMENTS INC. Named Alberta Corporation Incorporated 1994 MAR 15.
New Name: RKC ALBERTA INC. Effective Date: 2000 OCT 13. No: 206034142.

RAVEN-E INC. Named Alberta Corporation Incorporated 2000 AUG 16. New Name:
COMMUNITY EMPLOYMENT SERVICES INC. Effective Date: 2000 OCT 12. No:
208931121.

REFRESHMENTS CENTRES INC. Named Alberta Corporation Incorporated 2000 OCT
02. New Name: REFRESHMENT CENTRES INC. Effective Date: 2000 OCT 03. No:
208996579.

RENAISSANCE CORPORATE INTERIORS INC. Named Alberta Corporation Amalgamated
1998 MAR 24. New Name: RENAISSANCE CONSTRUCTION MANAGEMENT LTD. Effective
Date: 2000 OCT 12. No: 207731829.

RESOURCEFUL FUTURE RESIDENTIAL SUPPORT LTD. Non-Profit Private Company
Incorporated 1992 JAN 15. New Name: RESOURCEFUL FUTURES COMMUNITY SUPPORT
LTD. Effective Date: 2000 OCT 10. No: 515172732.

RIGHT MANAGEMENT & CONSULTING INC. Named Alberta Corporation Incorporated
2000 OCT 13. New Name: WRIGHT MANAGEMENT & CONSULTING INC. Effective Date:
2000 OCT 13. No: 209012996.

ROBERTSON FITNESS CONSULTING LTD. Named Alberta Corporation Incorporated
1997 JUN 13. New Name: MULTISPORT MASSAGE LTD. Effective Date: 2000 OCT 11.
No: 207426388.

ROCA HOLDINGS LTD. Named Alberta Corporation Incorporated 1999 OCT 08. New
Name: HART VALLEY HOLDINGS LTD Effective Date: 2000 OCT 12. No: 208492751.

ROCKY MOUNTAIN HIGH CORPORATION Numbered Alberta Corporation Incorporated
1998 MAY 21. New Name: 785908 ALBERTA LTD. Effective Date: 2000 OCT 04. No:
207859083.

ROYAL CUE BILLIARDS & LOUNGE LTD. Named Alberta Corporation Incorporated
2000 JUL 04. New Name: AVERAGE JOE'S SPORTS BAR LTD. Effective Date: 2000
OCT 02. No: 208876110.

RULLO INC. Named Alberta Corporation Incorporated 1998 AUG 18. New Name:
PARAMOUNT HOMES LTD. Effective Date: 2000 OCT 10. No: 207964040.

SAVANNA RESOURCES LTD. Named Alberta Corporation Continued In 1980 FEB 25.
New Name: HANSA CORPORATION Effective Date: 2000 OCT 10. No: 202376240.

SCREEN PLAY, THE INTERACTIVE VIDEO GAMES CORP. Named Alberta Corporation
Incorporated 1998 JUN 01. New Name: SCREEN PLAY CORPORATION Effective Date:
2000 OCT 04. No: 207772476.

SCRIPTUREWARE INC Named Alberta Corporation Incorporated 1999 MAY 18. New
Name: PARIS HOLDINGS LTD. Effective Date: 2000 OCT 05. No: 208315275.

SEM WASATCH DEVELOPMENT CORPORATION LTD. Named Alberta Corporation
Incorporated 2000 MAY 09. New Name: PD WOLSEYCORP LTD. Effective Date: 2000
OCT 06. No: 208793950.

SEVEN-FOUR RANCHES LTD. Named Alberta Corporation Incorporated 1979 OCT 11.
New Name: SHAND HOLDINGS LTD. Effective Date: 2000 OCT 03. No: 202330866.

SHORTCALL.COM INC Named Alberta Corporation Incorporated 2000 MAR 17. New
Name: SHORTCALL INC. Effective Date: 2000 OCT 12. No: 208708818.

SMARTMAINT SYSTEMS INC. Named Alberta Corporation Incorporated 1990 APR 11.
New Name: STANDENS DEVELOPMENTS INC. Effective Date: 2000 OCT 02. No:
204187702.

SRC ENERGY SERVICES LTD. Named Alberta Corporation Incorporated 2000 SEP
13. New Name: RICHARDSON TRADING COMPANY LTD. Effective Date: 2000 OCT 06.
No: 208970020.

STAR INDUSTRIAL FLOORS LTD. Named Alberta Corporation Incorporated 1987 OCT
26. New Name: WAIKATO HOLDINGS LTD. Effective Date: 2000 OCT 12. No:
203740584.

STARLIGHT CAFE LTD. Numbered Alberta Corporation Incorporated 2000 MAR 03.
New Name: 868673 ALBERTA LTD. Effective Date: 2000 OCT 13. No: 208686733.

SUN SET RESORTS (EDMONTON) LTD. Named Alberta Corporation Incorporated 2000
SEP 26. New Name: SUNSET RESORTS (EDMONTON) LTD. Effective Date: 2000 OCT
06. No: 208987941.

T.T.A. RESOURCES CORPORATION Other Prov/Territory Corps Registered 1982 JUL
30. New Name: MINEFUND DEVELOPMENT CORPORATION Effective Date: 2000 OCT 11.
No: 212786073.

TECHNICAL EXPLORATION GROUP, INC. Named Alberta Corporation Incorporated
1999 OCT 22. New Name: UNITECH OIL & GAS LTD. Effective Date: 2000 OCT 05.
No: 208509372.

THERMO KING WESTERN (EDMONTON) INC. Named Alberta Corporation Incorporated
2000 SEP 29. New Name: THERMO KING WESTERN INC. Effective Date: 2000 OCT
11. No: 208989905.

THERMOSCAN INSPECTION LTD. Numbered Alberta Corporation Incorporated 1992
APR 14. New Name: 526291 ALBERTA LTD. Effective Date: 2000 OCT 11. No:
205262918.

TNC FOOD LTD. Named Alberta Corporation Incorporated 2000 SEP 05. New Name:
T & C ALBERTA LTD. Effective Date: 2000 OCT 05. No: 208956755.

TORAN POWER & EQUIPMENT INC. Named Alberta Corporation Incorporated 1977
NOV 07. New Name: TORAN INVESTMENTS LTD. Effective Date: 2000 OCT 06. No:
201099975.
TRI-CAN NEON INC. Named Alberta Corporation Incorporated 1996 MAY 09. New
Name: MOSAIC TILE CREATIONS LTD. Effective Date: 2000 OCT 06. No:
206944183.

TWO ENERGY INC. Named Alberta Corporation Incorporated 2000 SEP 06. New
Name: CEO IN TRAINING INC. Effective Date: 2000 OCT 12. No: 208955153.

ULTIMATE FITNESS INC. Numbered Alberta Corporation Incorporated 1992 AUG
27. New Name: 539689 ALBERTA LTD. Effective Date: 2000 OCT 13. No:
205396898.

UNITECH OIL & GAS LTD. Named Alberta Corporation Incorporated 1999 OCT 22.
New Name: UNITECH ENERGY CORP. Effective Date: 2000 OCT 11. No: 208509372.

URSUS EXPLORATION LTD. Named Alberta Corporation Incorporated 1997 FEB 20.
New Name: UNIVERSAL EXPORTS LTD Effective Date: 2000 OCT 13. No: 207283904.

W.R. WOOLLEY HOLDINGS LTD. Named Alberta Corporation Incorporated 1981 MAY
04. New Name: UNISAL INTERIORS LTD. Effective Date: 2000 OCT 02. No:
202497871.

WAKOTA RESOURCES INC. Named Alberta Corporation Incorporated 2000 AUG 10.
New Name: DURNESS RESOURCES INC. Effective Date: 2000 OCT 04. No:
208922088.

WILDLAND FOREST SERVICES LTD. Named Alberta Corporation Incorporated 1997
MAR 24. New Name: WILDLAND CONSULTING LTD. Effective Date: 2000 OCT 04. No:
207326695.

WINDROW BALING PRODUCTS LTD. Numbered Alberta Corporation Incorporated 1997
JUN 23. New Name: 744613 ALBERTA LTD. Effective Date: 2000 OCT 02. No:
207446139.

WOLFGANG ENTERPRISES INC. Named Alberta Corporation Incorporated 1995 SEP
22. New Name: OZZITEC INC. Effective Date: 2000 OCT 12. No: 206690638.

XYZ DIGIAL.COM INC. Named Alberta Corporation Incorporated 1989 JAN 03. New
Name: XYZ DIGITAL.COM INC. Effective Date: 2000 OCT 10. No: 203955133.

YAHSEN CANADA LTD. Named Alberta Corporation Incorporated 2000 MAR 10. New
Name: JTB CANADIAN PORK LTD. Effective Date: 2000 OCT 13. No: 208698308.

YES I.C. TECHNOLOGIES INC. Named Alberta Corporation Incorporated 1999 NOV
26. New Name: EARLYRAIN INC. Effective Date: 2000 OCT 11. No: 208551465.



     CORPORATIONS LIABLE FOR DISSOLUTION/STRIKE OFF/
     CANCELLATION OF REGISTRATION
 
(At expiration from four months from the dates shown pursuant to: Business
Corporations Act, Cemetery Companies Act, Companies Act, Societies Act,
Partnership Act)
________________________________________________________________________

2000 Oct. 02 unless otherwise indicated

"THE PERFECT BLEND" GOURMET COFFEES & TEAS LTD.
103RD STREET (EDMONTON) SPAGHETTI CORP.
106200 RESOURCES LTD.
106636 ALBERTA LTD.
1168772 ONTARIO LTD.
122620 PHOTOGRAPHS LTD.
13 HOLDINGS INC.
172746 CANADA INC.
174973 CANADA LTD.
20/20 F.R.P. CORP.
220 FM INC
227090 HOLDINGS LTD.
227588 ALBERTA LTD.
233222 ALBERTA LTD.
270731 ALBERTA LTD.
272821 ALBERTA LIMITED
272823 ALBERTA LIMITED
276052 ALBERTA LTD.
288179 ALBERTA LTD.
288878 ALBERTA LTD.
299316 ALBERTA LIMITED
299463 ALBERTA LTD.
3 - DIMENSIONAL SECURITY SERVICES INCORPORATED
302680 ALBERTA LTD.
304171 ALBERTA LTD.
304339 ALBERTA LTD.
304478 ALBERTA LTD.
304479 ALBERTA LTD.
314453 ALBERTA LTD.
317220 ALBERTA LTD.
333210 ALBERTA INC.
333570 ALBERTA LTD.
334068 ALBERTA LTD.
334518 ALBERTA LTD.
334993 ALBERTA LTD.
352440 ALBERTA LTD.
352441 ALBERTA LTD.
352875 ALBERTA LTD.
368851 ALBERTA LTD.
370917 ALBERTA LTD.
371146 ALBERTA LTD.
387654 ALBERTA LTD.
387913 ALBERTA LTD.
388100 ALBERTA LTD.
388140 ALBERTA LTD.
388209 ALBERTA LTD.
388286 ALBERTA LTD.
388295 ALBERTA LTD.
388409 ALBERTA LTD.
388428 ALBERTA LTD.
388457 ALBERTA LTD.
388520 ALBERTA LTD.
388537 ALBERTA LTD.
388631 ALBERTA LTD.
389404 ALBERTA LTD.
4 ACES WAPITI INC.
4 STAR WELDING & FABRICATION LTD.
405259 ALBERTA LTD.
406144 ALBERTA INC.
406430 ALBERTA INC.
406567 ALBERTA LTD.

2000 Oct. 02 unless otherwise indicated

406737 ALBERTA INC.
407058 ALBERTA LTD.
407254 ALBERTA LTD.
407667 ALBERTA LTD.
407671 ALBERTA LTD.
407716 ALBERTA LTD.
407737 ALBERTA INC.
418086 ALBERTA LIMITED
424956 ALBERTA LTD.
425840 ALBERTA LTD.
425902 ALBERTA LTD.
465031 ALBERTA LTD.
465240 ALBERTA LIMITED
465523 ALBERTA LIMITED
465549 ALBERTA LTD.
469463 B.C. LTD.
501660 ALBERTA LTD.
501748 ALBERTA LIMITED
502233 ALBERTA LTD.
502388 ALBERTA LTD.
502583 ALBERTA LTD.
502948 ALBERTA LTD.
502984 ALBERTA LTD.
503017 ALBERTA LTD.
503214 ALBERTA LTD.
503253 ALBERTA INC.
503323 ALBERTA LTD.
503534 ALBERTA LTD.
503986 ALBERTA LTD.
537038 ALBERTA LTD.
537377 ALBERTA LTD.
537650 ALBERTA LTD.
537688 ALBERTA LTD.
537766 ALBERTA CORPORATION
537923 ALBERTA LTD.
538009 ALBERTA LTD.
538064 ALBERTA CORP.
538235 ALBERTA LTD.
538280 ALBERTA LTD.
538347 ALBERTA LTD.
538674 ALBERTA LTD.
539688 ALBERTA LTD.
539833 ALBERTA LTD.
558681 B.C. LTD.
566544 ALBERTA LTD.
57 WOW COMMUNICATIONS INC.
575500 ALBERTA LTD.
575646 ALBERTA INC.
575759 ALBERTA LTD.
575893 ALBERTA LTD.
576010 ALBERTA LTD.
576036 ALBERTA LTD.
576371 ALBERTA LTD.
576686 ALBERTA LTD.
576734 ALBERTA LTD.
576980 ALBERTA LIMITED
577021 ALBERTA INC.
577080 ALBERTA LTD.
577124 ALBERTA LTD.
577204 ALBERTA LTD.
577245 ALBERTA LTD.

577500 ALBERTA LTD.
578099 ALBERTA LTD.
618801 ALBERTA LTD.
618802 ALBERTA LTD.
619886 ALBERTA LTD.
620013 ALBERTA LTD.
620036 ALBERTA LTD.
620041 ALBERTA LTD.
620204 ALBERTA LTD.
620226 ALBERTA LTD.
620269 ALBERTA LTD.
620684 ALBERTA LTD.
620744 ALBERTA LTD.
620848 ALBERTA LTD.
620859 ALBERTA LTD.
621438 ALBERTA LIMITED
621498 ALBERTA LTD.
621563 ALBERTA LTD.
621589 ALBERTA LTD.
621671 ALBERTA LTD.
621693 ALBERTA LTD.
621801 ALBERTA LTD.
622037 ALBERTA INC.
622501 ALBERTA LIMITED
622569 ALBERTA INC.
622754 ALBERTA LTD.
622979 ALBERTA LTD.
622982 ALBERTA LTD.
623006 ALBERTA LIMITED
623182 ALBERTA CORPORATION
623189 ALBERTA LTD.
623191 ALBERTA LTD.
623359 ALBERTA LTD.
63RD AVENUE BUILDING LIMITED
66 STREET AUTO BODY LTD.
663090 ALBERTA LTD.
663105 ALBERTA LTD.
663252 ALBERTA LTD.
663413 ALBERTA LIMITED
663426 ALBERTA LIMITED
663654 ALBERTA LTD.
663767 ALBERTA LTD.
664279 ALBERTA LTD.
664432 ALBERTA INC.
664445 ALBERTA LTD.
664639 ALBERTA CORP.
664664 ALBERTA LTD.
664693 ALBERTA INC.
664805 ALBERTA INC.
664820 ALBERTA LTD.
664822 ALBERTA INC.
664878 ALBERTA LTD.
665025 ALBERTA LTD.
665148 ALBERTA LTD.
665246 ALBERTA LTD.
665381 ALBERTA LTD
665414 ALBERTA INC.
665688 ALBERTA LTD.
665716 ALBERTA LTD.
665859 ALBERTA LTD.
666061 ALBERTA LTD.
666074 ALBERTA LTD.
666356 ALBERTA LTD.
666470 ALBERTA LTD.
666498 ALBERTA LTD.
666585 ALBERTA LTD.
666596 ALBERTA LTD.
666722 ALBERTA LTD.
68438 ALBERTA LTD.
704883 ALBERTA LIMITED
704897 ALBERTA LTD.
705227 ALBERTA LTD.
705240 ALBERTA LTD.
705410 ALBERTA LTD.
705536 ALBERTA LTD.
705550 ALBERTA LTD.
705585 ALBERTA LTD.
705741 ALBERTA LTD.
706038 ALBERTA LTD.
706042 ALBERTA LTD.
706096 ALBERTA LTD.
706131 ALBERTA LTD.
706136 ALBERTA LTD.
706144 ALBERTA LTD.
706146 ALBERTA LTD.
706175 ALBERTA LTD.
706223 ALBERTA INC.
706225 ALBERTA INC.
706247 ALBERTA CORP.
706256 ALBERTA LTD.
706259 ALBERTA LTD.
706398 ALBERTA LTD.
706614 ALBERTA LTD.
706675 ALBERTA LTD.
706687 ALBERTA INC.
706742 ALBERTA LTD.
706760 ALBERTA LTD.
706869 ALBERTA LTD.
707085 ALBERTA LTD.
707103 ALBERTA LTD.
707104 ALBERTA LTD.
707176 ALBERTA LTD.
707180 ALBERTA LTD.
707182 ALBERTA LTD.
707302 ALBERTA LTD.
707303 ALBERTA LTD.
707309 ALBERTA LTD.
707396 ALBERTA LTD.
707475 ALBERTA LTD.
707724 ALBERTA LTD.
707736 ALBERTA LTD.
707751 ALBERTA LTD.
707753 ALBERTA LTD.
707806 ALBERTA LTD.
707826 ALBERTA LTD.
707855 ALBERTA LTD.
707963 ALBERTA LTD.
748560 ALBERTA LTD.
748649 ALBERTA LTD.
748830 ALBERTA LTD.
749494 ALBERTA LTD.
749589 ALBERTA LTD.
749612 ALBERTA LTD.
749639 ALBERTA LTD.
749728 ALBERTA LTD.
749921 ALBERTA LTD.
749975 ALBERTA INC.
750063 ALBERTA LTD.
750098 ALBERTA LTD.
750102 ALBERTA LTD.
750105 ALBERTA LTD.
750109 ALBERTA LTD.
750311 ALBERTA LTD.
750338 ALBERTA LTD.
750419 ALBERTA LTD.
750447 ALBERTA LTD.
750460 ALBERTA LTD.
750495 ALBERTA LTD.
750618 ALBERTA LTD.
750625 ALBERTA LTD.
750630 ALBERTA LTD.
750763 ALBERTA LTD.
750770 ALBERTA LTD.
750868 ALBERTA LTD.
750936 ALBERTA LTD.
750949 ALBERTA LTD.
750959 ALBERTA LIMITED
751022 ALBERTA LIMITED
751024 ALBERTA LIMITED
751036 ALBERTA LTD.
751195 ALBERTA LTD.
751235 ALBERTA LTD.
751273 ALBERTA LTD.
751335 ALBERTA LTD.

751344 ALBERTA INC.
751345 ALBERTA LTD.
751368 ALBERTA LTD.
751478 ALBERTA LTD.
751484 ALBERTA LTD.
751649 ALBERTA LTD.
751656 ALBERTA LTD.
751659 ALBERTA LTD.
751662 ALBERTA LTD.
751667 ALBERTA LTD.
751731 ALBERTA LTD.
751732 ALBERTA LTD.
751899 ALBERTA LTD.
751901 ALBERTA LTD.
751902 ALBERTA LTD.
752018 ALBERTA LTD.
752020 ALBERTA LTD.
752042 ALBERTA LTD.
752099 ALBERTA LTD.
752100 ALBERTA LTD.
752119 ALBERTA LTD.
752186 ALBERTA LTD.
752233 ALBERTA LTD.
752410 ALBERTA LIMITED
752414 ALBERTA LIMITED
752444 ALBERTA LTD.
752457 ALBERTA LTD.
752565 ALBERTA INC.
752571 ALBERTA LTD.
752581 ALBERTA LTD.
752589 ALBERTA LTD.
752592 ALBERTA LTD.
752593 ALBERTA LTD.
752654 ALBERTA LTD.
752702 ALBERTA LTD.
752705 ALBERTA LTD.
752743 ALBERTA LTD.
765392 ONTARIO INC.
787913 ALBERTA LTD.
794721 ALBERTA LTD.
794768 ALBERTA INC.
794896 ALBERTA LTD.
794909 ALBERTA LTD.
794979 ALBERTA LTD.
795039 ALBERTA LTD.
795060 ALBERTA LTD.
795067 ALBERTA INC.
795086 ALBERTA LTD.
795134 ALBERTA LTD.
795261 ALBERTA INC.
795286 ALBERTA LTD.
795310 ALBERTA INC.
795337 ALBERTA LTD.
795364 ALBERTA LTD.
795401 ALBERTA LTD.
795402 ALBERTA LTD.
795410 ALBERTA LTD.
795427 ALBERTA LTD.
795435 ALBERTA LTD.
795437 ALBERTA INC.
795438 ALBERTA LTD.
795441 ALBERTA LTD.
795479 ALBERTA LTD.
795511 ALBERTA LTD.
795516 ALBERTA INC.
795522 ALBERTA INC.
795527 ALBERTA LTD.
795546 ALBERTA LTD.
795593 ALBERTA LTD.
795677 ALBERTA LTD
795746 ALBERTA INC.
795791 ALBERTA LTD.
795840 ALBERTA LTD.
795849 ALBERTA LTD
795855 ALBERTA LTD.
795864 ALBERTA LTD.
795894 ALBERTA LTD.
795909 ALBERTA LTD.
795920 ALBERTA LTD.
795927 ALBERTA LTD.
795928 ALBERTA INC.
795997 ALBERTA LTD.
796001 ALBERTA LIMITED
796012 ALBERTA LTD.
796026 ALBERTA LTD.
796036 ALBERTA LTD.
796046 ALBERTA LTD.
796098 ALBERTA LTD.
796114 ALBERTA LTD.
796160 ALBERTA LTD.
796170 ALBERTA LTD.
796174 ALBERTA LTD.
796203 ALBERTA LTD.
796262 ALBERTA LTD.
796296 ALBERTA LTD.
796297 ALBERTA LTD.
796300 ALBERTA LTD.
796305 ALBERTA LTD.
796358 ALBERTA LTD.
796378 ALBERTA LTD.
796384 ALBERTA LTD.
796414 ALBERTA LTD.
796433 ALBERTA LTD.
796456 ALBERTA LTD.
796466 ALBERTA LTD.
796505 ALBERTA LTD.
796528 ALBERTA LTD.
796530 ALBERTA INC
796532 ALBERTA LTD.
796538 ALBERTA LTD.
796550 ALBERTA LTD.
796561 ALBERTA LTD.
796569 ALBERTA LTD.
796590 ALBERTA LTD.
796605 ALBERTA LTD.
796616 ALBERTA LTD.
796617 ALBERTA LTD
796650 ALBERTA LTD.
796661 ALBERTA LTD.
796709 ALBERTA LTD.
796729 ALBERTA LTD.
796758 ALBERTA LTD.
796766 ALBERTA LTD.
796773 ALBERTA LTD.
796778 ALBERTA LTD.
796818 ALBERTA INC.
796839 ALBERTA LTD.
796886 ALBERTA LTD.
796888 ALBERTA LTD.
796889 ALBERTA INC.
796892 ALBERTA INC.
796893 ALBERTA LTD.
796928 ALBERTA LTD.
796983 ALBERTA LTD.
797057 ALBERTA LTD.
797109 ALBERTA LTD.
797168 ALBERTA LTD.
797177 ALBERTA LTD.
797228 ALBERTA LTD.
797287 ALBERTA LTD.
797290 ALBERTA LTD.
797295 ALBERTA LTD.
797298 ALBERTA LTD.
797300 ALBERTA LTD.
797305 ALBERTA LTD.
797344 ALBERTA LTD.
797367 ALBERTA LTD.
797376 ALBERTA LTD.
797409 ALBERTA LTD.
797412 ALBERTA LTD.
797413 ALBERTA LTD.
797419 ALBERTA LTD.
797474 ALBERTA LTD.
797489 ALBERTA LTD.

797614 ALBERTA LTD.
797617 ALBERTA INC.
797716 ALBERTA LTD.
797727 ALBERTA LTD.
797744 ALBERTA LTD.
797745 ALBERTA LTD.
797768 ALBERTA LTD.
797771 ALBERTA LTD.
797774 ALBERTA LTD.
797776 ALBERTA LTD.
797811 ALBERTA LTD.
797836 ALBERTA LTD.
797911 ALBERTA LTD.
797953 ALBERTA LTD.
797963 ALBERTA LTD.
798009 ALBERTA INC.
798046 ALBERTA LTD.
798085 ALBERTA LTD.
798099 ALBERTA CORPORATION
798100 ALBERTA LTD.
94062 SERVICES LTD
A & R FOODS LTD
A - ALBERTA LIMOUSINES LTD.
A K LOGGING INC.
A-ONE INVESTMENTS (1993) LTD.
A.B.C. BLIND CORPORATION  2000 OCT 11.
A.J. TECHNICAL CONSULTING LTD.
A.R.M. ENERGY INC.
AB MICROTECH GROUP INC.
ABARIS RESOURCES CORP.
ABLE FACILITIES SERVICE INC.
ABSOLUTE PRODUCTIONS INC.
ABTEL COMMUNICATIONS ALBERTA INC.
ACCENT APPLIANCE CARE LTD.
ACCENT EMBROIDERY INC.
ACCES VAN LINE INC.
ACE CLUTCH SYSTEMS INC.
ACE ROOFERS LTD.
ACES PROFESSIONAL SERVICES INC.
ACME PROTECTION SERVICE LIMITED
ACTIVE BLIND CLEANING LTD.
ADVANCED HOMES LTD.
AERIAL LAND SERVICES LTD.
AGCOM SERVICES LTD.
AGGREGATE PRODUCTS INC.
AGGREGATE SUPPLY LIMITED
AGRIMAX CANADA INC.
AIRSPAN TRAN-CEPT LTD.
AIRWAYS HOLDINGS INC.
ALBERTA ABORIGINAL ART & CRAFT SOCIETY
ALBERTA AMATEUR BASEBALL COUNCIL
ALBERTA ASSOCIATION FOR YOUNG CHILDREN
ALBERTA ATM SERVICES LIMITED
ALBERTA AUTOMOBILE THEFT INVESTIGATORS ASSOCIATION
ALBERTA EXOTIC FOODS INC.
ALBERTA INDUSTRIAL SAFETY LTD.
ALBERTA RENOVATORS LTD.
ALBERTA SAFETY CONTROL LTD.
ALBERTA SERVICE DEALERS DMA LTD.
ALBERTA TECH SERVICES LTD.
ALIGN TECHNOLOGIES INC.
ALL MAX TANK TRUCK SERVICE LTD.
ALL-ROC DRILLING INC.
ALL-WAYS EXCAVATING LTD.
ALLAN FORREST SALES (1976) LTD.
ALLIANCE TECHNICAL SALES LTD.
ALLIED COMMUNICATIONS LIMITED
ALLPRO CLEANING SERVICES (1996) LTD.
ALMARG INVESTMENTS INC.
ALMOSA DEVELOPMENTS (ALBERTA) LTD.
ALSASK PROCESSORS CO. LTD.
ALTERNATIVE NATURAL THERAPIES LTD.
ALTITUDE ADDICTIONS LTD.
AMALGAMATED DESIGN DRAFTING LTD.
AMBROSE-MARTIN CLOTHING LTD.
AMC FASHIONS FACTORY LTD.
AME CANADIAN LTD.
AMIKA TECHNICAL SERVICES LTD.
ANA CONSULTING INC.
ANDREA LOUIE FAMILY HOLDINGS LIMITED
ANDREW CAMERON HOLDINGS INC.
ANDREWS RESOURCE INVESTMENTS LTD.
ANIMAL RECOVERY CENTRE SOCIETY OF ALBERTA
ANNADALE ELECTRICAL INC.
ANTHOS CONSULTING LTD.
ANTUNES PAINTING & DECORATING LTD.
APOLLO MUFFLER CENTRES LTD
AQUILAMONT MULTIMEDIA PRODUCTION LTD.
ARI COMPUTER SYSTEMS INC.
ARLINGTON HOTEL (RED DEER) LTD
ARMADALE PUBLICATIONS INC.
AROUND THE CLOCK JEWELLERS LTD.
ART'S MUFFLER LTD.
ARTISCAPE LTD.
ARTWALK SOCIETY OF CALGARY
ARWAVES RESOURCES LTD.
ASAAJE ENTERPRISE INC.
ASCENSION BUSINESS SOLUTIONS INC.
ASHER ENGINEERING LTD.
ASIAN BEST FOODS LTD.
ASMARI CONSULTING LTD.
ASPEN PROPERTIES HOLDING LTD
ASSOCIATION OF ALBERTA SEWN PRODUCTS
ASSURE PEST CONTROL & HEALTH MANAGEMENT LTD.
ATTITUDE MARKETING SERVICES INC.
ATTRELL CONSULTING CORP.
AUNTY G ENTERPRISES INC.
AUTHORITY AUTOMOTIVE LTD.
AUTO-TREND LTD.
AUTOMATION INSTRUMENTS MANUFACTURING INC.
AVENUE CONCRETE LTD.
AVIO TRANSIT INC.
AVR MAVRIK INC.
AWARE LEARNING PRODUCTS INC.
AXCEILE CANADA LTD.
AYR HOLDINGS LTD
AZTEC INFORMATION SERVICES CORP.
B & B VARIETY (1986) LTD.
B-ETTE MANAGEMENT & CONSULTANT LTD.
B. A. THOMPSON, PROFESSIONAL CORPORATION
B. LUKEN LOGGING LTD.
B. R. W. FARMS LIMITED
B.A.R. 6 HOLDINGS INC.
B.M.B. INTERNATIONAL INC.
B.R.L. SERVICES LTD.
BADAKHSHAN CONSULTING SERVICES LTD.
BANFF CANMORE DEVELOPMENT COMPANY LTD.
BANFF COACH CROSSING CORP.
BAR NONE FARMS INC.
BAR-LIN MANAGEMENT LTD
BARE-SKIN REAL ESTATE DEVELOPMENT COMPANY LTD.
BARRHEAD CATHOLIC KINDERGARTEN SOCIETY
BARRY K LONG ENTERPRISES LTD
BARTON DESIGNS LTD.
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CARRERA PAINT & AUTO LTD.
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CASTLEHUNTER INC.
CAT HIGH DRIVE INC.
CATALYST STRATEGIC CONSULTANTS LTD.
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CKB TRUCKING INC.
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CLOSED SYSTEMS SOLIDS CONTROL LTD.
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COLA CONSULTING INCORPORATED
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COLTIN ENTERPRISES INC.
COLUMBIA ESTATES INC.
COLUMBIA MINING GROUP INC.
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CONEX RESOURCES INC.
CONFETTI CAFE & GELATERIA INC.
CONICONE RESOURCES INC.
CONOCO INTERNATIONAL, INC.  2000 OCT 05.
CONRAY BUILDERS LTD.
CONSOLIDATED CAPITAL CORP.
CONTRACT CLEANERS ASSOCIATION OF ALBERTA
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CORNHUSKER MOTOR LINES, INC.
COSTA PETROLEUM LTD.
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CYSTEC TRIN-CAN CORPORATION
D & D RENTALS (ALBERTA) INC.
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D-TECH ENGINEERING INC.
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DAHLEN TRANSPORT, INC.
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DALFAM HOLDINGS INC.
DALMAR FRAMING LTD.
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DAQUCOMP CONSULTING INC.
DARKZONE TECHNOLOGIES INC.
DATA EXPRESS INC.
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DAWSON DETAILING LTD.
DB LOGIC INC.
DCI TECHNOLOGIES INC.
DE. ANN TRANSPORT LTD.
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DONALCO INC.
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DORIC INTERNATIONAL TRADE INC.
DOUBLE A WELDING LTD.
DOUBLE E CONTRACTING LTD.
DOUBLE H ENTERPRISES LTD.
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DRYWALL SYSTEMS LTD.
DUEWEST CONSTRUCTION LTD.
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DUMONT INSPECTION & CONSULTING LTD.
DUNBAR INDUSTRIAL MAINTENANCE SERVICES LTD.
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DUNWELL DISPATCH LTD.
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DYNAQUEST INTERNET TECHNOLOGIES LTD.
DYNATECH PETROLEUM CONSULTANTS LTD.
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DYS VAC TRUCK SERVICES LTD.
E & A DYNAMIC OILFIELD SERVICES INC.
E & M MAINTENANCE LTD.
E P PETROLEUMS LTD
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E.K. MOTORS (ALBERTA) LTD.
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EASY STREET ADVENTURES INC.
ECHELON ENERGY INC.
ED'S FOOD & BEVERAGE CANADA INC.
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EDMONTON BUSINESS EQUIPMENT LTD
EDMONTON GARRISON SADDLE CLUB
EDMONTON MILLWOODS (BREAKFAST) LIONS CLUB
EDMONTON STRUCTURES (1989) INC.
EDWARD-NELSON CORPORATION
EFI FINANCIAL SERVICES INC.
EGOR CONTRACTING LTD.
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ELEVEN AND FIFTH HOLDINGS LTD.
ELING FRAME & FURNITURE LTD
ELKATRAZ INC.
ELKEN HOLDINGS LTD
ENCYCLOPAEDIA BRITANNICA PUBLICATIONS LTD.  2000 OCT 03.
ENGINEERED WEAR PRODUCTS INC.
ENGLISH & SCOTCH WOOLLEN (CALGARY) LTD.
ENIGMA INFORMATION TECHNOLOGIES INC.
ENOCH CONSTRUCTION (1991) LTD
ENTARA CONSULTING SERVICES LTD.
ENTERPRISE ASSESSMENTS INC.
ENTERPRISE REALTY & INSURANCE LTD.
ENVIROCOM LTD.
EPI ACQUISITION CORP.
EPP CONSULTING LTD.
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EUREKA PORK PRODUCTS LTD.
EURO PLUS PLUMBING & LIGHTING LTD.
EUROPA FINE FOODS LTD.
EVENTS PLUS PRODUCTIONS INC.
EVERWORTH INVESTMENT COMPANY LIMITED
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EXCEL DELIVERY SERVICES INC.
EXECUTIVE WOMEN INTERNATIONAL
EYELAB OPTICAL LTD.
EYEWIRE SERVICES, INC.
EZRA ENERGY LTD.
F.B AERIAL ALPINE ADVENTURE TOURS LTD.
F.B. ON BOARD COURIER SERVICES INC.LES SERVICES DE COURRIER A BORD F.B.
INC.
FAAMO INVESTMENTS INC.
FADLIN INVESTMENTS LTD.
FAIRLY INVESTMENT LTD.
FALCON GDP INC.
FAMOUS EVENTS LTD.
FANE MEMORIAL HALL SOCIETY
FANTASY WINE & SPIRITS LTD.
FARTECH CONSULTING LTD.
FATBOYZ INC.
FEATHER FANTASIA LTD.
FEATURE FINISHING LTD.
FEESA  AN ENVIRONMENTAL EDUCATION SOCIETY
FENCO TRANSPORTATION, INC.
FFODNEF RESEARCH INC.
FINDERS INC.
FINNEY-TAYLOR CONSULTING GROUP LTD.
FIREHAWK RESOURCES LTD.
FIRST IMPRESSIONS CRESTING (1991) INC.
FIRST NATIONS LOGISTICS LTD.
FIRST PLACE EXCAVATING, INC.
FLAWLESS INTERIORS LTD.
FLOWERS BY MERLE (1979) LTD.
FOCUS ON YOUTH FOUNDATION OF ALBERTA
FODCHUK HOLDINGS LTD.
FOLKLORE DESIGNS LTD.
FOOTHILLS CATERING INC.
FORREST HILL MARKETING INC.
FORT MCKAY WOMAN'S ASSOCIATION
FORTE FURNITURE INC.
FOURMED HOLDINGS LTD
FOX CREEK HOE SERVICE LTD.
FOX CREEK HOLDINGS LTD.
FPS SOFTWARE INC.
FRANKLIN RODEO CO. LTD.
FRESH TRACKS MAGAZINE INC.
FRIENDS OF THE WEST COUNTRY ASSOCIATION
FSI FORM & SIMULATION CORPORATION
FUNK BROS. CONTRACTING INC.
FUNTOURS LIMITED
FX MOBILE SERVICE INC.
G & M AND SONS LTD.
G. GROSS ENTERPRISES INC.
G. M. L. HOME SERVICES LTD.
G. SCHMIDTKE MECHANICAL LTD.
GAMBOL PRODUCTIONS INC.
GARISON COMMUNICATIONS LTD.
GARY L. LEE PROFESSIONAL CORPORATION
GAS CITY CONSULTING SERVICES LTD.
GASCO MANUFACTURING & MACHINING LTD.
GELMON MCNEILL INC.
GEMKO LOCK & KEY LTD.
GEMS & GOLD JEWELLERS INC.
GEN.ACC. LTD.
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GENPET LEASING LTD.
GEORGE C. TAI PROFESSIONAL CORPORATION
GEOTYME ENTERPRISES INC.
GER & EU ENTERPRISES LTD.
GHOST RIVER ENTERPRIZES INC.
GIESBRECHT OILFIELD CONTRACTING LTD.
GILTNER PONTIAC BUICK LTD
GLK RESOURCES LTD.
GLO SYSTEMS (B.C.) INC.
GLOBAL AGENCY GROUP INC.
GLOBAL SMART-CARD TECHNOLOGIES INC.
GOLDEN BEAR TRANSPORT LTD.
GOLDEN PROSPERITY INC.
GOODFELLAS ACQUISITION GROUP INC.
GORDON A. HARRIS & ASSOCIATES LTD.
GORDON BROTHERS CAPITAL CORPORATION
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GRACE CHRISTIAN CAMPUS ASSOCAITION
GRANDE PRAIRIE - GRANDE CACHE RAILWAY INC.
GRANDE PRAIRIE SKATING CLUB
GRANT INVESTMENTS INC.
GRASSL ENTERPRISES LTD.
GREAT WALL VOLLEYBALL CLUB
GREENWEST HOLDINGS INC.
GRIFFON COMMUNICATIONS LIMITED
GROUP THREE DESIGN LTD.
GROVERIDGE IMPERIAL PROPERTIES MANAGEMENT LTD.
GTC CORP.
GUTHRIE'S AND SONS' LTD.
H & E VENTURES LTD.
H.C.F. FARMS LTD.
H.O.H. SPORTS LTD.
H2O TO GO INC.
HAHN RANCH TRUCKING CO.
HALOSOFT INC
HANDAL INTERNATIONAL INC.
HARD COPY ELECTRONIC PRINT CENTER LTD.
HARDY LANDSCAPE DESIGNS LTD.
HARRIS HOISTING & SUPPLY LTD.
HARRUTH HOLDINGS LTD.
HART SEEDS INC.
HARTCO ENTERPRISES INC.  2000 OCT 04.
HARTLAND PIPELINE SERVICES LTD.
HATELEY CONSTRUCTION & SERVICES LTD.
HAWK MINERAL CONSULTING CORP.
HAWKINSON TREADING, INC.
HAZEL'S RELISH CO. LTD.
HBN HOME BASE NETWORK INC.

HEALTHY ALTERNATIVES LTD.
HELIUS ENERGY AND RESOURCES LTD.
HERB'S SMALL MOTORS LTD.
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HIGH LEVEL COMPUTER CORPORATION
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HILGER PHARMACEUTICALS LTD.
HILLABY CONSULTING CORPORATION
HILLBILLY RANCH LTD.
HILVESCO INC.
HINTON CONCRETE CUTTING LTD.
HIS ENTERPRISES LTD.
HOLIDAY HOSPITALITY FRANCHISING, INC.
HOLMES CONTRACTING & DEVELOPMENTS LTD.
HOME COMPUTER SPECIALISTS INC.
HOME-BASED LEARNING SOCIETY OF ALBERTA
HOMESCAPES ALBERTA LTD.
HONEST TO GOODNESS HEALTHY HERBS LTD.
HORIZON RESEARCH LTD.
HOSACK PLUMBING AND HEATING LTD.
HOSER HOCKEY LEAGUE INC.
HOWARD INTERPERSONAL DYNAMICS INC.
HTC ELECTRIC ALBERTA LTD.
HUGH HOLDING'S LTD.
HUMOR FOR YOUR HEALTH LTD.
HUNG WAY LTD.
HURRICANE HOLDINGS LTD
HYBURN INC.
I'M OK TOO INC.
I.C.D.I INTERNATIONAL COMPUTER DESIGN INC.
I.L.O.C. MARKETING INC.
IAI INTERNATIONAL LIMITED
IAMS CANADA COMPANY
ICC FINANCIAL CORPORATION
ICC INTERNATIONAL COMMERCIAL CENTRE CORPORATION
ICEFIELD ENERGY LTD.
IFASTGROUPE INC.
IICOR LIMITED
IMAGE PHOTOGRAPHICS INC.
IMPERIAL PALACE (1991) LTD.
INCA OIL CORPORATION
INDUSTRIES MAILHOT ALTA LTEE/MAILHOT INDUSTRIES ALTA LTD.  2000 OCT 10.
INLAND CONSTRUCTION EQUIPMENT LTD.
INNO VIN INC.
INNOVATIVE ELECTRICAL SERVICES LTD.
INNOVATIVE SIGNS & ENGRAVINGS INC.
INSTRU TECH INC.
INTEGRITY TRANSPORT LTD.
INTERACT FINANCIAL SERVICES CORP.
INTERNATIONAL HERITAGE OF CANADA, INC.
INTERNATIONAL INDUSTRIAL FIRE, SAFETY & SUPPLY LTD
INTERNATIONAL SPECIALIZED RISK MANAGEMENT (I.S.R.M.) LTD./GERANCE DE
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INUKSHUK CONSULTING GROUP INC.
INVESTACAP INC.
ISLAND PETROLEUM INC.
IT'S A DOG'S WORLD, INC.
IVIC HOLDINGS LIMITED
J & G MOBILE HOME SALES INC.
J & K DOOR AND FINISHING INC.
J L P HOLDINGS INC.
J'S VENTURES LTD.
J-COMM WIRELESS INC.
J. BROADBENT CUSTOM WOODWORK LTD.
J.A.E. FARRIER SERVICES LTD.
J.A.G. HOLDINGS LTD.
J.D. FARMS INC.
J.L. PHOTOGRAPHY LTD.
J.M. SUTCLIFFE WELDING & FABRICATING LTD.
J.R. GEORGE ENTERPRIZES LTD.
J.S.P. BUILDING SERVICES LTD.
J.V. KINDERGARTEN PARENT ASSOCIATION
J.W. ASSOCIATES INC.
JACK-O-MATIC (1998) LTD.
JACKSON ALBERTA HOLDINGS LTD.
JAGGED EDGE SPORTS INC.
JAKE'S CONTRACTING SERVICES LTD.
JANEC SERVICES LTD.
JANEX DEVELOPMENTS CORP.
JANLEY MANAGEMENT INC.
JAVA MOUNTAIN CAFE INC.
JAY CAY WELDING LTD.
JAY'S SALVAGE AND CATS LTD.
JAYDER HOLDINGS LTD.
JAYELLE'S CONVENIENCE & LIQUOR STORE LTD.
JC ENVIRONMENTAL INC.
JCJ KWALER CARE INC.
JCOR HUMAN RESOURCE SERVICES INC.
JDH HOLDINGS LTD
JEKEBAR INVESTMENTS LTD.
JELLY BEAN CONNECTIONS LTD.
JERRICO INDUSTRIES LTD.
JESS AIR DISTRIBUTORS INC.
JEST-N-TIME LTD.
JET PACIFIC INVESTMENTS LTD.
JFE COMPUTING SERVICES LTD.
JIWANI HOLDINGS LTD
JK-TECH LTD.
JOHN DMYTERKO CONSTRUCTION LTD.
JOHN W. HUTCHINSON LIMITED
JOLAN ENTERPRISES LTD.
JONES & JONES INTERNATIONAL INC.
JOON BY NICOLE DEANNE LTD.
JOSEPH TAKACS HOLDINGS LTD.
JTMM MECHANICAL SERVICES LTD.
JUBILEE SPORTS LTD.
JUNG INVESTMENTS LTD
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K & S ROADBUILDERS INC.
K.C. MARTIN PROPERTY CONSULTANTS LTD.
K.L.S. EQUIPMENT REPAIR LTD.
KA CONTRACTING LTD.
KAEBE LTD
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KAMAZ NORTH AMERICA INC.
KAN YAN TRADING CO. LTD.
KANAFIN MANAGEMENT LTD
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KANNON ENERGY 98 INC.
KASLAN DESIGN INTERNATIONAL LTD.
KBBB FINANCIAL SERVICES INC.
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KEITH P. STERLING & ASSOCIATES INC.
KELITE INTERNATIONAL INC.
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KEN MACRAE PROFESSIONAL CORPORATION
KEN'S COIN AMUSEMENTS LTD.
KENJACQ ENTERPRISES LTD.
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KEYSTONE COMMUNICATIONS INC.
KHALSA DRIVING SCHOOL LTD.
KIPMAR HOLDINGS LTD.
KITCHEN INVESTMENT GROUP, INC.
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KLIPP CONSTRUCTION LTD.
KODIAK COMMUNICATIONS LTD.
KONTAC EQUIPMENT LTD.
KOOKEN SPACE INC.
KOREAN RESTAURANT LTD.
KOYO CANADA INC.

KRAUSERT FINANCIAL INC.
KROETSCH OILFIELD MAINTENANCE INC.
KROMUR HOLDINGS LTD.
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KUIN-BAKER INDUSTRIES LTD.
KUZ ENTERPRISES LTD.
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L & W RESTAURANTS LTD.
L P RANCHES LIMITED
L.R.I. INVESTMENTS LTD.
LA TERRE'S CURIOSITY SHOP LTD.
LABELLE ENTERPRISES INC.
LACOMBE WELDING LTD.
LAKE COUNTRY DRYWALL LTD
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LANDIS MINING CORPORATION
LANDMARK BANCSHARES INC.
LANSDOWNE TECHNOLOGY MANAGEMENT GROUP INC.
LAPOCA B.V.
LAPOINTE CONSULTING LTD.
LAV-TECH SERVICES INC.
LAZARS EQUITIES LTD.
LE GOYEAU ALBERTA HOLDINGS LTD
LE-DA CAFETERIA & BILLIARDS LTD.
LEASE-LEND INTERNATIONAL LTD.
LEGACE CONTRACTING LTD.
LEGACY SAVE A LIFE PRESENTATIONS SOCIETY
LES KAPLAN SYSTEMS INC.
LETHBRIDGE TELECOM LTD.
LIBRA CONNECTION INC.
LIFE DYNAMICS LTD.
LIGHTHOUSE IMAGES LTD.
LIKE IT! IMPORTS LTD.
LIMBO LOGGING LTD.
LIMIT MANAGEMENT INC.
LINDEKUGEL FAMILY HOLDINGS LTD.
LINDSAY PROCESS PLANT INC.
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LINEAR HOLDINGS LTD.
LISA'S OILFIELD EXPRESS INC.
LITTLE DARLINGS PARENTS ASSOCIATION PLAYSCHOOL
LITTLE TEXAS SALOON INC.
LLOYDMINSTER WELLNESS FOUNDATION
LMK ENERGY INC.
LOCHEND BUS LINES LTD.
LOE BAR INCORPORATED
LORNE K. HOLDINGS LTD.
LOTT CREEK PROPERTIES INC.
LPI DEVELOPMENT CORP.
LWT SERVICES INC.
LYONS FAMILY REALTY LTD.
M. KRAFT INVESTMENTS LTD.
M.C.V. CONTRACTING INC.
M.D.O. & ASSOCIATES LTD.
M.K. FOODS LTD.
MAC & MAC PRINTING INC.
MADCO HOLDINGS LTD.
MAGIC MOMENTS VENDING INC.
MAGNUM ELEVATOR COMPANY LTD.
MAHARISHI EDUCATION FOUNDATION
MAHLEY ENTERPRISES (ALBERTA) LTD.
MALCO RENOVATIONS LTD.
MALEX IMPORTS INC.
MALIBU LIMOUSINES LTD.
MANAGEMENT DEVELOPMENT SYNERGY CORPORATION
MANIFOLD HOLDINGS LTD.
MANNESMANN PIPE & STEEL CORPORATION
MARBEL PAINTING & DECORATING LTD.
MARCIAL BUILDING SUPPLIES LTD
MARGARET CHURCHER PROFESSIONAL CORPORATION
MARLENE CAMERON DESIGNS LIMITED
MARTEN'S WELDING AND MANUFACTURING LTD.
MARTINDALE TECHNICAL CONSULTANTS LTD.
MASTERCRAFT HOMES INC.
MASTERS CUSTOM FINISHING LTD.
MATERIAL WOMEN LTD.
MATRIX LANDSCAPE ARCHITECTURE LTD.
MATSCO SALES & MARKETING INC.
MAX BELL FOUNDATION
MAXIMUM ENDEAVOURS INC.
MCCOLMAN SERVICES INC.
MCCOMBIE BIT & SUPPLY LTD
MCDONALD MARKETING LTD.
MCDOWELL PROPERTY MANAGEMENT INC.
MCINNES FAMILY ENTERPRISES INC.
MEDALLION FINANCIAL SERVICES INC.
MEDINA'S PAINTING LTD.
MEGA INDUSTRIAL COATINGS INC.
MEGA POWER ALBERTA LTD.
MEIDINGER BUS LINES LTD.
MEIJNDERT CONSULTING INC.
MERCURY STEEL LIMITED
MESSAGINGDIRECT LTD.
METIS CHILD AND FAMILY SERVICES SOCIETY LAC LA BICHE BRANCH
METIS NATION OF ALBERTA ASSOCIATION LOCAL COUNCIL #168 HIGH LEVEL
METIS NATION OF ALBERTA ASSOCIATION LOCAL COUNCIL #183 EUREKA RIVER
METZNER'S MAINTENANCE & OPERATING LTD.
MFI SOFTWARE CONSULTING INC.
MICHAEL JAMES KORDYBAN PROFESSIONAL CORPORATION
MICHAEL MANN & ASSOCIATES LTD.
MICMAC HOLDINGS (1988) LTD.
MICRO ELECTRONICS INTERNATIONAL INC.
MICROLAN COMPUTER CENTRE INC.
MICRON MILLING & PACKAGING COMPANY LTD.
MID MOUNTAIN MATERIALS, INC.
MIDNIGHT HWY FILM COMPANY INC.
MILLENNIUM LANDSCAPING & SNOW REMOVAL INC.
MILLENNIUM MOMENTS ADVERTISING INC.
MILLENNIUM PRODUCTIONS INC.
MILLENNIUM SOFTWARE MEDIA INC.
MIRROR NAILS INC.
MITCHENER TRI-VAC SERVICES LTD.
MKS LEARNING CENTRE INC.
MODANA INCORPORATED
MOEPECO DIRECT MAILING SERVICE INC.
MOIR CONSTRUCTION LTD
MOM'S AND MUNCHKIN'S PLAYGROUND CLUB
MONTANA SLATE CORP.
MORAVIEW HOLSTEINS LTD.
MOTOR TRANSPORT CONSULTANTS INC.
MOUNT ROYAL VILLAGE LTD.
MOUNTAIN GAS PROCESSING LTD.
MOUNTAIN PARK CONTRACTING INC.
MOUNTAIN QUEST ADVENTURE COMPANY LTD.
MOUNTAIN VIEW ENTERPRISES INCORPORATED
MUDWORKS CONTRACTING LTD.
MULTIMEDIA SOLUTIONS, INC.
MUSIC HUT INC.
MUSTANG SALOON BAR & GRILL LTD.
MY WING PUBLISHING AND DESIGN LTD.
MYRTLE CREEK INC.
N. GORNALL & ASSOCIATES LTD.
NASTY BOYS LTD.

NEEYANAN DEVELOPMENT CORPORATION
NEIGHBORHOOD DAYCARE LTD.
NEW BLUE RIBBON RESOURCES LTD.
NEW DIMENSIONS UNDERWRITERS LTD.
NEW RESORT IDEAS INC.
NEW WORLD TECHNOLOGIES INC.
NEW-TECH GARMENTS (N.A.) LTD.
NGL FINANCIAL LTD.
NICHOLS HELI VISION INC.
NICKEL SALES & SERVICE LTD.
NOATAK HOLDINGS LTD.
NOCO TRANSPORT LTD.
NOLANDA ENTERPRISES LTD.
NORCO PRODUCTS LTD.
NORM JONES REALTY LTD
NORNET BROADCASTING LTD.
NORSK FINANCIAL MANAGEMENT LTD.
NORTH COLUMBIA DEVELOPMENTS INC.
NORTH KAKWA EXTERIORS LTD.
NORTH WEST STEEPLE JACK SERVICES LTD.
NORTHERN MERCHANDISING  MEDIA COMMUNICATIONS INC.
NORTHMIN DEVELOPMENT LIMITED
NORTHSIDE MINERALS INTERNATIONAL INC.
NORTHWOODS MANOR DEVELOPMENTS LTD.
NORWEST CAPITAL CORPORATION
NOSSOB HOLDINGS LTD.
NOVA VILLAGE EQUITIES LTD.
NOVARE DATA SYSTEMS INC.
NOVATEL WIRELESS TECHNOLOGIES LTD.
NOVEL STUD CUTTERS LTD.
NSIGNIA SYSTEMS AND SERVICES INC.
O'NEILL SALES LIMITED
O.L.M.P. KINDERGARTEN CLUB
OAK PRIDE WOODWORK INC.
OAKVIEW BUILDERS LTD.
OAKWOOD ROOFING AND SHEET METAL CO. LTD.
OASIS TRUCK WORKS LTD.
ODD SPOT COFFEE SHOP INC.
ODIN'S IRIS VISUAL REALITIES INC.
ODYSSEY OUTERWEAR LIMITED
OFF-THE-CUFF DISTRIBUTION LTD.
OGLE OIL INC.  2000 OCT 03.
OHMAN ENVIRONMENTAL LTD.
OKOTOKS DEVELOPMENT PROPERTIES LTD.
OLDS WESTERN FRAME & AUTO BODY LTD.
ON-LINE SUPPORT LTD.
ON-SITE BIOCHROMATOGRAPHY INC.
ONE SMART COOKIE INC.
ONION LAKE JUNIOR B HOCKEY CLUB INC.
OPTIMUM BUSINESS PROCESS SOLUTIONS INC.
ORIENTAL PACIFIC FOODS INC.
ORLENE PAINTING SERVICES LTD.
ORNA CONSULTING LTD.
ORTHODOX SYSTEMS INC.
OSZUST MAIL ORDER LTD.
OUT ON A LIMB TREE SERVICES LTD.
P & C TRENCHING LTD.
P G R INVESTMENTS LTD.
P-U SERVICES LTD.
P. & E. PROJECTS CO. LTD.
P.A. EQUITIES INC.
P.A. INDUSTRIES INC.
P.F.C. AVIATION LTD.
P.H.M. PROPERTY MANAGEMENT LTD.
PACIFIC PLACE RESTAURANT LTD.
PAFCO UNDERWRITING MANAGERS INC./GESTION D'ASSURANCE PAFCO INC.  2000 OCT
03.
PAFOLI S AND S INVESTMENTS LTD.
PAGE TOOL & MFG. LTD.
PAKISTAN FOREIGN EXCHANGE LTD.
PANALTA PROPERTIES LTD
PANCONTINENTAL EQUITY CORPORATION
PANJ DARYA INTERNATIONAL MEDIA INC.
PAPER CAT DEVELOPMENT LTD.
PAPINEAU ENTERPRISES LTD.
PARADISE CITY INC.
PARAMETRIC TECHNOLOGY (CANADA) LTD./PARAMETRIC TECHNOLOGIE (CANADA) LTEE
PARAMOUNT EMERGENCY PLANNERS INC.
PARENT TRAINING ASSOCIATION OF CALGARY
PARKFIELD HOLDINGS LTD.
PARKLAND MOVING & STORAGE LTD.
PASO WOODCRAFT LTD
PATERSON AND WOOLF CORPORATION
PATHMARK SECURITIES LTD
PATINA PARK DEVELOPMENT LTD.
PAYBACK HOLDINGS LTD.
PC GLOBAL TELECOM (CO.) INC.
PEACE COUNTRY HEALTH & NATURAL LIFE STYLES LTD.
PEL PINNACLE ENTERPRISES LTD.
PENN SQUARE DEVELOPMENTS LTD.
PENTOS INTERNATIONAL INC.
PEPPERCORN PRIME RIB HOUSE INC.
PERFORMANCE PATHWAYS INC.
PERRET WELDING LTD.
PET PLANET LTD.
PETRO GENERATION TECHNOLOGIES LTD.
PETRO-CHEMICAL INSULLATION, INC.
PETRO-TECH FLUID SYSTEMS LTD.
PETROSTYLE SERVICES LTD.
PF MANAGEMENT LTD.
PFC SOCCER INC.
PHARMACY-ALTERNATIVES CORPORATION
PHAT CONSTRUCTION LTD
PHILLIP'S UPHOLSTERY LTD.
PHOENIX PARK ENTERPRISES LTD.
PHOENIX TAEKWON-DO CLUB-SHERWOOD PARK
PHULSON Y.J. INC.
PI-JA RESOURCES INC.
PIGEON LAKE SPORTS AND AUTO LTD.
PINE RIDGE OILFIELD SERVICES LTD.
PITA BAKERY LTD.
PITA PROFESSOR INC.
PLAF HOLDINGS LTD.
PLAINS-PACIFIC ENERGY, INC.
PLANVEST FINANCIAL SERVICES INC.  2000 OCT 11.
PLASCO MANUFACTURING LTD.
PODCO HOLDINGS LTD.
PODOJIL BUILDERS OF CANADA, INC.
POINT TO POINT TRUCKING LTD.
POINTS WEST CONTRACTING LTD.
POL-HOME CONSTRUCTION LTD.
POLAR INSPECTION CORPORATION
POLYGAIN HOLDINGS LTD.
POLYMER RECLAIM CANADA INC.
POPLAR POINT HOLDINGS LTD.
POST-SECONDARY EDUCATION PRIVATE SCHOOLING INC.
PPR PROMOTIONS INC.
PRAIRIE CREEK ANGLER'S ASSOCIATION
PRAYERS INTERNATIONAL SOCIETY
PRIDDIS CAPITAL LTD.
PRIME TIME CLOTHING INC.
PRITCHETT PUBLICATIONS LTD.
PRO-FORCE ELECTRICAL & CONTROLS LTD.
PRO-TECH CONSULTING LTD.
PROCRAFT COLLISION (1988) LTD.
PROGRESSIVE SUFFERANCE WAREHOUSE SERVICES LTD.
PSI PARAFFIN SOLUTIONS INC.
PURUS CORPORATION
PWC MANAGEMENT (1993) LTD.
Q2 PRODUCTIONS LIMITED
QLET/QUIK LINK-E-COMMERCE TRANS-MANAGEMENT INC.
QUALITY PAINTING SERVICES LIMITED

QUESNELL MANAGEMENT ('79) LTD.
QUICKPRO DATA PROCESSING LTD.
QUIKSTEP LADDER INC.
R & E EQUITIES LTD.
R B GROUP INC.
R K L LIMITED
R R ENTERPRISES LTD.
R. HOTTE ENTERPRISES LTD.
R. KILCUP HOLDINGS LTD.
R.B.I. HOLDINGS LTD.
R.I.P.C., INC.
R.J.M. TRUCKING INC.
R.T.K. INVESTMENTS INC.
R.W.R. DODD ENTERPRISES INC.
RADIAN INTERNATIONAL CANADA INC.
RAELOCK VENTURES LTD.
RAINBOW JANITORIAL SERVICE (CAMROSE) LTD.
RAMOEN MANAGEMENT LTD.
RANGELAND RESOURCES LTD.
RANJAN HOLDINGS LTD
RAPID TRADING LTD.
RAVEN ENTERTAINMENT GROUP INC.
RBK MILLWORK (NORTH) INC.
RBS INVESTMENTS LTD.
RCOR CAPITAL INC.
RDB CONSULTING LTD.
REACH OUT PRINTING LTD.
REALTY VISION INC.
RECON INC.
RECTOR WELLHEAD EQUIPMENT COMPANY LTD.
RECYC-HAUL WASTE MANAGEMENT INC.
REDMAN FINANCIAL INC.
REGAL HOMES INTERNATIONAL LTD.
REIGNING CATS LTD.
REN-ALTA CONSTRUCTION LTD.
RENAISSANCE RAILS LTD.
RESPIRATORY REHABILITATION SUPPORT SOCIETY OF ALBERTA
RETA J. GREEN CONSULTING INC.
RGMILL ENTERPRISES LTD.
RICHDALE REAL ESTATE LTD
RIGGER RON'S SERVICES LTD.
RIHY VENTURES LTD.
RIO-ELMWOOD HOCKEY SOCIETY
RIT RESOURCES LTD.
RIVENDELL MANAGEMENT GROUP LTD.
RMD MANAGEMENT CONSULTING LTD.
ROCKETFIELD AEROSPACE INC.
ROCKY MOUNTAIN BURGER BARON LTD.
ROGER A ROY LOGGING LTD.
ROJAYNE ENTERPRISES INC.
ROLAND RITTER PROJECTS INC.
ROMAC CONSULTING SERVICES INC.
RON LOCK CONTRACTING LTD.
ROSE & BRON HOLDINGS LTD.
ROSE CAFE & BAR LTD.
ROSEDALE PLACE INVESTMENTS INC.
ROXBORO CAPITAL CORP.
ROY-CAN LTD.
ROYAL INDIAN CATERING CO LTD.
ROYAL YORK RETIREMENT FUND LTD.
ROYALITY SQUARE INC.
RUCALLEN FAST SERVICE INC.
RUDIGER OUTDOOR NATURE SOCIETY
RUFUS ENTERPRISE & REPAIRS LIMITED
RUNDLE RIDERS MOTORCYCLE CLUB
RUSHLY CORP.
RY-ANNE HOLDINGS LTD.
RYMAR ENTERPRISES LTD.
S & D TECH. SIGNAGE & DISPLAY TECHNOLOGY INC.
S O P CABLE SERVICES LTD.
S S & B HOLDINGS LTD.
S. GRANT ENTERPRISES INC.
S. TRIPLE C TRUCKING & HOLDINGS LTD.
S.J. WILLIAMS & ASSOCIATES REALTY LTD.
SAFETRAX FREIGHT SYSTEMS INC.
SAILOR'S MEAT & DELI LTD.
SAITOH CANADA (ALBERTA) LTD.
SALEH FOODS LTD.
SAMWADE HOLDINGS LTD
SANSOM & ASSOCIATES LTD.
SATHER REAL ESTATE PRO BROKERS LTD.
SATHER REAL ESTATE PROFESSIONALS INC.
SCANDIPHARM, INC.
SCHEIDEMAN ENTERPRISES LTD.
SCHNAITER CORPORATION
SCHROEDER CONSULTING SERVICES LTD.
SCHULTZ CEPHALOMETRIC LABORATORIES CORPORATION
SCIA HOLDINGS LTD.
SCOT-ERIN MILLWORK LTD.
SCOTIAN RESOURCES INC.
SCRAPBOOKS & HOBBIES WHOLESALE LTD.
SCREAMIN' TURTLE-MOUNTAIN CYCLE CLUB
SCRIBBLER'S INK COMMUNICATIONS (ALBERTA) INCORPORATED
SCT SUPPORT SERVICES LIMITED
SEA THRUSH INC.
SEASON TO SEASON INC.
SEASON'S DESIGN INC.
SECRETS BAR & GRILL LTD.
SEDERS ELECTRIC INC.
SEKANI MOUNTAIN TOURS LTD.
SERAFINI FINANCIAL SERVICES INC.
SERENITY HOLDINGS INC.
SERV AERO LTD
SEVEN SEAS INVESTMENTS LTD.
SHARON INC.
SHAWN-TAY MANAGEMENT CONSULTANTS LTD.
SHIPLEY RANCHES LTD
SHORSAN TRUCKING LTD.
SHORT IRON LTD.
SHOSHONA MEDIA LTD.
SIBLEY & ASSOCIATES INC.
SICH COMMUNITY CENTRE
SIGNAL POINT INVESTMENTS CORP.
SILVER LION ENTERPRISES INC.
SILVER PINES CONSTRUCTION LTD.
SILVER SPRINGS MANAGEMENT LTD.
SIMDAR INC.
SIMON CAM ENTERPRISES INC.
SIMPLY TOYS CORP
SIMPSON & LEA HIDES LTD
SKM CONTRACTORS INC.
SLICK CAT INC.
SLICK'S CORRAL CLEANING LTD.
SMS INCORPORATED
SNF ENTERPRISES LTD.
SOCIETY FOR ADVANCING EDUCATIONAL RESEARCH
SOD BUSTERS INC.
SOLAR 90 LTD.
SOMERSET OIL & GAS POOL LTD.
SOMETHING DIFFERENT OAK AND ART ALBERTA LTD.
SOUND PERSPECTIVE INC.
SOUTHERN CONCRETE INDUSTRIES LTD
SOUTHERN HOTSHOT SERVICE LTD.
SOUTHWOOD AUTOMOTIVE CONSULTANTS INC.
SPALDING DEVELOPMENTS LTD.
SPARKINVEST HOLDINGS LTD.
SPARROW CONSULTING SERVICES LTD.
SPIFFY JANITORIAL SERVICES INC.
SPITZEE HOUSE TENANT ASSOCIATION
SPORT EXCEL PUBLISHING INC.
SPRINGFALL NH3 DELIVERY & APPLICATOR SERVICE LTD
SPRUCE SEED & GARDEN CENTER LTD.
SS CONSTRUCTION INC.

ST. ALBERT ENTERTAINMENT GUIDE INC.
ST. ALBERT LOANS & EXCHANGE LTD.
ST. PAUL SALES & SERVICE (NORTHERN) LTD.
STAGS WATER HAULIN & RENTALS INC.
STALCON CONSULTING & MANAGEMENT LTD.
STAR PLUMBING LTD
STARWALK INC.
STAUFFER CREEK RESOURCES LTD.
STERLINGROCK ASSOCIATES INC.
STEWART MUNCASTER ENTERPRISES LTD.
STEWART/WALKER PLASTICS LTD.
STILBORN TRANSPORT LTD.
STINGERS WOMEN'S RUGBY FOOTBALL CLUB
STONE ENTERPRISES LTD.
STONEY CHILD AND FAMILY SERVICES
STRATEGIC NAVIGATOR GROUP INC.
STREAMLINE STEAMING LTD.
STROUD RESOURCES LTD.
STUDIO A/D, INC.
SUMMIT CAPITAL CORP.
SUNDANCE SKI SHOP LTD.
SUNNYSLOPE COMMUNITY ASSOCIATION
SUNSHINE COMMERCE LTD.
SUNSHINE SOLARIUMS INC.
SURE GRAPHICS LIMITED
SWAGAR ENTERPRISES LTD.
SWEDISH REPAIRS LTD.
SWEETHEARTS CHILDREN'S WEAR LTD.
SYLARD ENTERPRISES LTD.
SYNCAR PROJECTS INC.
SYNERGY MUSIC PRODUCTIONS LTD.
T J CRESTING (1991) INC.
T-KAY OILFIELD SERVICE LTD.
T.  HOULE HOLDINGS LTD.
T. J. MCCARTY HOLDINGS INC.
T. J. MCCOOL CATERING INC.
T. LEACH CONSTRUCTION LTD.
T. PHELAN MECHANICAL INC.
T. W. YEH PROFESSIONAL CORPORATION
T.B.W. TRANSPORT INC.
T.E.A.M. CONSULTING ASSOCIATES LTD.
T.H.W. ENTERPRISES LTD.
T.J. ANNE CONTRACTING LTD.
T.K. WOODWORKING LTD.
T.Q.R. TOLI'S QUALITY REPAIRING LTD.
TANKSAFE INC.
TAOMEGA CORPORATION
TARGET GENERAL CONTRACTING LTD.
TARIFF GROUP INC.
TAWATINAW COMMUNITY FUTURES DEVELOPMENT CORPORATION
TDI HOLDINGS INC.
TEAL CONSTRUCTION SERVICES LTD.
TECHWEST INC.
TEDLIN HOLDINGS LTD.
TEGHTMEYER CONSULTING INC.
TELELOTTO LTD.
TELEMARK ENT. LTD.
TEMPEL CONSULTING SERVICES INC
TEN BEARS DEVELOPMENT INTERNATIONAL LTD
TEQUILA SUNSET LTD.
TER-CON WELDING LTD.
TERIPA INC.
TERRA LIFE (TLC) COMMUNITIES ASSOCIATION
TGGI-GARRISON GROUP INC.
THE ACADEMIC EDGE LTD.
THE ALBERTA AYRSHIRE BREEDERS' CLUB
THE ALBERTA TREE HOUND ASSOCIATION
THE ANIMAL HOUSE INC.
THE AUTOMATION CENTER INC.
THE BANANA BOAT INC.
THE BBTEC CORPORATION
THE BIRD'S NEST LTD.
THE BOTTOM LINE INC.
THE CALGARY ALLIED ARTS FOUNDATION
THE CALGARY BUSINESS DIRECTORY LTD.
THE CALGARY MILLWRIGHTS BUILDING SOCIETY
THE CANADIAN NEUROLOGICAL SOCIETY
THE EDMONTON PERIODONTAL CONTINUING EDUCATION SOCIETY
THE EDMONTON RUGBY UNION REFEREES SOCIETY
THE EMERSON ACADEMY OF LEARNING
THE FITNESS NETWORK INC.
THE MULSANNE MOTORCAR COMPANY LTD.
THE NORTHWEST ALBERTA MULTI-SPORT DEVELOPMENT CENTRE
THE OAK TREE LTD.
THE ORCA GROUP LTD.
THE RUBBER COATING COMPANY, INC.
THE RYLOR GROUP INC.
THE TEQUILA KID & CO. ENTERTAINMENT SERVICES LTD.
THE WICKED WEDGE PIZZA CO. LTD.
THE WIRELESS CONNECTION CORPORATION
THEMED ATTRACTION DESIGN ASSOCIATION OF ALBERTA
THERMO BUILDING SYSTEMS LIMITED
THREE RING CIRCUS ARCADES LTD.
TIFFANY MANAGEMENT LTD.
TIM HORTON CHILDREN'S FOUNDATION, INC.
TIMBER WOLF ENTERPRISES INC.
TIMOTHY BUELL AND ASSOCIATES INC.
TIPASKAN SERVICE LTD.
TNJ FLUSH BY SERVICES LTD.
TNT PIPELINE SERVICES INC.
TODD UNIFORM, INC.
TOFIELD AUTO BODY (1987) LTD.
TOLHURST & BEATON SERVICES CORPORATION
TOPDOGS INC.
TOS INSURANCE SERVICES LTD.
TOTAL DATA MANAGEMENT INC
TOTAL SYSTEM SOLUTIONS LTD.
TOTEM DELIVERY SERVICES LIMITED
TOW CONTRACTING INC.
TOWN & PRAIRIE PROPERTY MANAGEMENT & SUPPLY COMPANY INC.
TRADITIONAL MARTIAL ARTS ACADEMY CORPORATION
TRAILERMASTER INC.
TRAN QUAN IMPERIAL INVESTMENT CORP.
TRANSCRIBERS SOCIETY
TRANSITIONS ALBERTA INC.
TRAVISS INTERNATIONAL HOLDINGS LTD.
TREBOR ENTERPRISES LTD.
TRENHOLM GM&P HOLDING CORPORATION
TRI TOWN EMERGENCY FOOD BANK SOCIETY
TRIAD ENGINEERS LIMITED
TRIMARK GRAPHICS INC.
TRIPLE 7 TRUCKING INC.
TRIPLE EEE PLUMBING & HEATING INC.
TRISUMMIT CORPORATION
TROUT LAKE DEVELOPMENTS LTD.
TRUCKS IN MOTION LTD.
TRUONG TECHNICAL SERVICES INC.
TUFFY'S TRANSPORT LTD.
TVB DESIGN & DRAFTING LTD.
TWIN BUTTE RANCH AND LAND DEVELOPMENT CORPORATION LTD
TWISTER WELDING & FABRICATING LTD.
TWO MILE CORNER FARMERS MARKET SOCIETY
TYLEN MANAGEMENT CONSULTANTS LTD.
TYMEY INC.
U & K AUTO SERVICES LTD.
UK-RAN ENERGY CORPORATION
ULTIMATE INVESTMENTS INC.
UNIGLOBE BOW VALLEY TRAVEL LTD.
UNITED INTERNATIONAL TRADERS CORP.

UNITED SUCCESS INTERNATIONAL (CANADA) LIMITED
UNITY MASSAGE THERAPY INC.
UNIVERSAL FABRIC STRUCTURES, INC.
UNIVERSAL NETWORK, INC.
UNLIMITED AUTOMOTIVE SERVICES INC.
USED CARS CANADA LTD.
V. BARRY NESBITT HOLDINGS LTD.
VALHALLA HOLDINGS INC.
VALIANT PLACE INC.
VALIANT RESOURCES LTD.
VALUE CREATION INC.
VANDALE OIL INC.
VANTAGE HOLDINGS CORP.
VEGREVILLE NE ALBERTA WINTER GAMES 1998 ASSOCIATION
VEND-A-WAY ENTERPRISES INC.
VENTURE SEISMIC LTD.
VERMILION RODEO ASSOCIATION
VERSA-TILE INTERIORS OF ALBERTA LTD.
VERTICAL CAPITAL CORP.
VICEROY HOMES LIMITED
VICOR OILFIELD SERVICES LTD.
VICTOR CHIMIENTI, INC.
VICTORY OUTFITTING LTD.
VIDEOTRON COMMUNICATIONS (1998) LTD.
VILLAGE (RED DEER) SHOPPING CENTRE INC.
VINYL SURGEON INC.
VIPER COATINGS INC.
VIRTUAL GRAPHICS INC.
VISION INCORPORATED
VISION SYSTEMS INC.
VITADENT DENTAL TECHNOLOGIES INC.
W. CREBO INVESTMENTS LTD.
W. DOUGLAS ARMSTRONG PROFESSIONAL CORPORATION
W. H. BALL MANAGEMENT GROUP INC.
W. W. LAWRENCE WELLSITE & DEVELOPMENTS LTD.
W.E. CLARK CONSULTING LTD.
W.P. CONSULTANTS LTD.
WAI'S AQUARIUM LTD.
WAINWRIGHT GOLF AND COUNTRY CLUB
WAKEFIELD INVESTMENTS INC.
WALCOT INVESTMENTS LTD.
WALKER ENTERTAINMENT INC.
WATER VALLEY ENTERPRISES INC.
WATERCRAFT OFFSHORE CANADA LTD.
WEBSMITH HOLDINGS LTD.
WEND NORTHERN ALBERTA ADVERTISING FUND INC.
WEST-VEN INVESTMENTS LTD.
WESTERN CANADIAN WHEAT GROWERS ASSOCIATION
WESTERN MESSENGER & EXPRESS LTD.
WESTERN PSYCHOLOGICAL CONSULTANTS LTD.
WESTERN TRANSPORTATION SYSTEMS LTD.
WESTVIEW EQUIPMENT & TOOLS INC.
WHIRLWIND DISTRIBUTORS LTD.
WHISKEY JACK CONSULTING LTD.
WHITE ELEPHANT INC.
WHITE RAVEN INVESTMENT TRUSTS LTD.
WHITE RIVER PETROLEUM LTD.
WHITE SPOT JANITORIAL SERVICES LTD.
WHOLESALE APPLIANCE PARTS LTD.
WILDER EXPLORATIONS LTD
WILLIAMSON & ASSOCIATES INC.
WILLOW LOGGING LTD.
WILLOWRIDGE SERVICES LTD
WILPAT TRANSPORT LTD.
WINDSOR ENERGY CORPORATION
WITH AN ACCENT FINE CARPENTRY INC.
WM. COLES HOLDINGS LTD.
WOLF LEG INC.
WOLFF, ELGERT, BUDNITSKY, DAVIES & NICHOLS PROFESSIONAL CORPORATION
WORDSWORTH OIL INC.
WORLDWIDE HOLDINGS INC.
WRIGHT ON CUE LTD.
WWEB INFORMATION SERVICES INC.
XTENDA-BRELLA INC.
XTREME VENTURES LTD.
YAHOO CONSULTING LTD.
YAKUBA & CO. LTD.
YCC HOLDINGS INC.
YEARWOOD ENTERPRISES LTD.
YIT TAN INTERNATIONAL INC.
YORCANA HOLDINGS (1998) LIMITED
ZAYDER INTERNET GROUP INC.
ZESHAN HOLDINGS LTD.
ZINDLER AND ASSOCIATES LTD.
ZOLIE'S DEVELOPMENTS LTD.

________________________________________________________________________

     CORPORATIONS DISSOLVED/STRUCK OFF/REGISTRATION CANCELLED
 
(On the dates shown pursuant to: Business Corporations Act, Cemetery
Companies Act, Co-operative Associations Act, Credit Union Act, Loan and
Trust Corporations Act, Religious Societies' Land Act, Rural Utilities Act,
Societies Act, Partnership Act)
________________________________________________________________________

2000 Oct. 02 unless otherwise indicated

217217 HOLDINGS LTD.
257817 ALBERTA LTD.
261229 ALBERTA LTD.
269433 ALBERTA LTD.

2000 Oct. 02 unless otherwise indicated

269776 ALBERTA LTD.
269895 ALBERTA LTD.
281357 ALBERTA LTD.
286961 ALBERTA LTD.
295703 ALBERTA LTD.
298213 ALBERTA LTD.
300041 ALBERTA LTD.
300250 ALBERTA LTD.

3024381 NOVA SCOTIA COMPANY
3024382 NOVA SCOTIA COMPANY
3024926 NOVA SCOTIA COMPANY
303113 ALBERTA LTD.
3229157 MANITOBA LTD.
328373 ALBERTA LTD.
329298 ALBERTA LTD.
329316 ALBERTA LTD.
33RD & MAIN FOODS INC.
345734 ALBERTA LTD.
346255 ALBERTA LTD.
346334 ALBERTA LTD.
346443 ALBERTA LTD.
346459 ALBERTA LTD.
346606 ALBERTA LTD.
346922 ALBERTA LTD.
347321 ALBERTA LTD.
347492 ALBERTA LTD.
364125 ALBERTA LTD.
364209 ALBERTA LTD.
379261 ALBERTA LTD.  2000 OCT 13.
382147 ALBERTA LTD.
382247 ALBERTA LTD.
382557 ALBERTA LTD.
382763 ALBERTA LTD.
382941 ALBERTA LTD.
383316 ALBERTA LTD.
387679 ALBERTA LTD.  2000 OCT 11.
400423 ALBERTA LTD.
400439 ALBERTA LTD.
400568 ALBERTA LTD.
400624 ALBERTA LTD.
400901 ALBERTA LTD.
401008 ALBERTA LTD.
401011 ALBERTA LTD.
401229 ALBERTA LTD.
401416 ALBERTA LTD.
401485 ALBERTA LTD.
401575 ALBERTA LTD.
401741 ALBERTA LTD.
401762 ALBERTA LTD.
407990 ALBERTA LTD.  2000 OCT 05.
418157 ALBERTA LTD.
419546 ALBERTA LTD.
419852 ALBERTA LTD.
419931 ALBERTA LTD.
419949 ALBERTA LTD.
420086 ALBERTA LTD.
420352 ALBERTA LTD.
420665 ALBERTA LTD.
420705 ALBERTA LTD.
420712 ALBERTA LTD.
420842 ALBERTA LTD.
420919 ALBERTA LTD.
487711 ALBERTA LTD.
487836 ALBERTA LTD.
488801 ALBERTA LTD.
489312 ALBERTA LTD.
490568 ALBERTA LTD.
490705 ALBERTA LIMITED
490862 ALBERTA LTD.
491346 ALBERTA LTD.
491589 ALBERTA LTD.
491957 ALBERTA LTD.
492169 ALBERTA LTD.
492467 ALBERTA LTD.
5+ CATTLE CORP.
509010 ALBERTA LTD.  2000 OCT 10.
525176 ALBERTA LTD.
525441 ALBERTA LTD.
526266 ALBERTA LTD.
526458 ALBERTA LTD.
527522 ALBERTA LTD.
539357 B.C. LTD.
561449 ALBERTA LTD.
561517 ALBERTA LTD.
562070 ALBERTA LTD.
562280 ALBERTA LTD.
562804 ALBERTA LTD.
563142 ALBERTA INC.
563554 ALBERTA LTD.
563629 ALBERTA LTD.
563888 ALBERTA LTD.
564555 ALBERTA LTD.
564558 ALBERTA LTD.
564656 ALBERTA LTD.
573314 ALBERTA LTD.
596237 SASKATCHEWAN LTD.
605685 SASKATCHEWAN LTD.
606384 ALBERTA LTD.
606816 ALBERTA LTD.
606939 ALBERTA LTD.
607295 ALBERTA LTD.
607420 ALBERTA LTD.
607440 ALBERTA INC.
607570 ALBERTA LTD.
607617 ALBERTA LTD.
608417 ALBERTA LTD.
608508 ALBERTA LTD.
608651 ALBERTA LTD.
608653 ALBERTA INC.
608703 ALBERTA LTD.
608954 ALBERTA LTD.
612272 ALBERTA LTD.  2000 OCT 13.
616503 SASKATCHEWAN LTD.
621668 SASKATCHEWAN LTD.
624999 ONTARIO INC.
649475 ALBERTA LTD.
649672 ALBERTA LTD.
649674 ALBERTA LTD.
649881 ALBERTA LTD.
650002 ALBERTA LTD.
650212 ALBERTA LTD.
650457 ALBERTA LTD.
650630 ALBERTA LTD.
650631 ALBERTA INC.
650791 ALBERTA LTD.
650792 ALBERTA LTD.
650906 ALBERTA LTD.
650924 ALBERTA LIMITED
651604 ALBERTA LTD.
652330 ALBERTA LTD.
652388 ALBERTA LTD.
652419 ALBERTA LTD.
652441 ALBERTA LTD.
652463 ALBERTA LTD.
652707 ALBERTA LTD.
652734 ALBERTA LTD.
652752 ALBERTA LTD.
652761 ALBERTA LTD.
690087 ALBERTA LTD.
690092 ALBERTA INC.
690118 ALBERTA LIMITED
690147 ALBERTA INC.
690150 ALBERTA INC.
690303 ALBERTA INC.
690308 ALBERTA INC.
690331 ALBERTA LTD.
690376 ALBERTA LTD.
690386 ALBERTA LTD.
690499 ALBERTA LTD.
690603 ALBERTA LTD.
690624 ALBERTA LTD.
690678 ALBERTA LTD.
690699 ALBERTA LTD.
690894 ALBERTA LTD.
690899 ALBERTA LTD.
690900 ALBERTA LTD.
690949 ALBERTA LTD.
690966 ALBERTA LTD.
691069 ALBERTA LTD.
691254 ALBERTA LTD.
691416 ALBERTA LTD.
691455 ALBERTA LIMITED

691613 ALBERTA LTD.
691673 ALBERTA LTD.
691774 ALBERTA LTD.
692084 ALBERTA LTD.
692115 ALBERTA LTD.
692123 ALBERTA LTD.
692175 ALBERTA LTD.
692179 ALBERTA LTD.
692426 ALBERTA LTD.
692435 ALBERTA LTD.
692469 ALBERTA LTD.
692614 ALBERTA LTD.
692694 ALBERTA LTD.
692708 ALBERTA LTD.
692762 ALBERTA LTD.
692771 ALBERTA LTD.
692947 ALBERTA LTD.
692954 ALBERTA LTD.
692959 ALBERTA LTD.
693030 ALBERTA LTD.
693032 ALBERTA LTD.
693038 ALBERTA LTD.
693134 ALBERTA LTD.
693164 ALBERTA LTD.
715934 ALBERTA LTD.  2000 OCT 06.
733179 ALBERTA LTD.
733553 ALBERTA LTD.
733598 ALBERTA LTD.
733617 ALBERTA LTD.
733627 ALBERTA LTD.
733722 ALBERTA LIMITED
733729 ALBERTA LIMITED
733774 ALBERTA LTD.
733814 ALBERTA LTD.
733950 ALBERTA LTD.
734151 ALBERTA LTD.
734201 ALBERTA LTD.
734286 ALBERTA LTD.
734331 ALBERTA LTD.
734532 ALBERTA LTD.
734630 ALBERTA LTD.
734700 ALBERTA LTD.
734867 ALBERTA LTD.
734938 ALBERTA INC.
735003 ALBERTA INC.
735236 ALBERTA LTD.
735242 ALBERTA LTD.
735247 ALBERTA LTD.
735254 ALBERTA LTD.
735328 ALBERTA LTD.
735342 ALBERTA LTD.
735427 ALBERTA LTD.
735461 ALBERTA LTD.
735470 ALBERTA INC.
735534 ALBERTA LTD.
735665 ALBERTA LTD.
735672 ALBERTA LTD.
735764 ALBERTA LIMITED
735847 ALBERTA LTD.
735994 ALBERTA INC.
736003 ALBERTA LTD.
736037 ALBERTA LTD.
736047 ALBERTA LTD.
736129 ALBERTA LTD.
736158 ALBERTA LTD.
736285 ALBERTA LTD.
736309 ALBERTA LTD.
736384 ALBERTA LTD.
736457 ALBERTA INC.  2000 OCT 05.
736490 ALBERTA LTD.
736627 ALBERTA LTD.
736675 ALBERTA LTD.
736713 ALBERTA LIMITED
737009 ALBERTA LTD.
737345 ALBERTA LTD.
737852 ALBERTA LTD.
748445 ALBERTA INC.  2000 OCT 06.
766710 ALBERTA LTD.
773539 ALBERTA LTD.  2000 OCT 06.
779095 ALBERTA LTD.
779525 ALBERTA LTD.
779545 ALBERTA LTD.
779555 ALBERTA LTD.
779562 ALBERTA LTD.
779606 ALBERTA LTD.
779636 ALBERTA LTD.
779638 ALBERTA LTD.
779682 ALBERTA LTD.
779692 ALBERTA LTD.
779751 ALBERTA INC.
779833 ALBERTA LTD.
779835 ALBERTA LTD.
779866 ALBERTA INC.
779914 ALBERTA LTD.
779918 ALBERTA LTD.
779935 ALBERTA LTD.
779967 ALBERTA LTD.
779971 ALBERTA LTD.
779974 ALBERTA LTD.
780078 ALBERTA LTD.
780112 ALBERTA LTD.
780136 ALBERTA LTD.
780141 ALBERTA LTD.
780174 ALBERTA  LTD.
780176 ALBERTA LTD.
780186 ALBERTA LTD.
780245 ALBERTA LTD.
780311 ALBERTA LTD.
780347 ALBERTA LTD.
780365 ALBERTA INC.
780410 ALBERTA LTD.
780431 ALBERTA LTD.
780450 ALBERTA LTD.
780456 ALBERTA LTD.
780469 ALBERTA LTD.
780473 ALBERTA INC.
780475 ALBERTA INC.
780484 ALBERTA LTD.
780510 ALBERTA LTD.
780565 ALBERTA LTD.
780566 ALBERTA LTD.
780585 ALBERTA LTD.
780654 ALBERTA LTD.
780668 ALBERTA LTD.
780687 ALBERTA LTD.
780715 ALBERTA LTD.
780722 ALBERTA LTD.
780746 ALBERTA LTD.
780747 ALBERTA LTD.
780762 ALBERTA LTD.
780779 ALBERTA LTD.
780781 ALBERTA LTD.
780782 ALBERTA INC.
780785 ALBERTA INC.
780788 ALBERTA INC.
780790 ALBERTA INC.
780800 ALBERTA LTD.
780820 ALBERTA LTD.
780867 ALBERTA LTD.
780909 ALBERTA LTD.
780929 ALBERTA LTD.
781115 ALBERTA LTD.
781146 ALBERTA LTD.
781152 ALBERTA LTD.
781167 ALBERTA LTD.
781186 ALBERTA LTD.
781253 ALBERTA LTD.
781292 ALBERTA LTD.
781361 ALBERTA LTD.
781417 ALBERTA LTD.
781463 ALBERTA LTD.
781658 ALBERTA LTD.
781747 ALBERTA LTD.
781751 ALBERTA LTD.

781765 ALBERTA LTD.
781791 ALBERTA INC.
781801 ALBERTA LTD.
781889 ALBERTA LTD.
781901 ALBERTA LTD.
781978 ALBERTA LTD.
782020 ALBERTA LTD.
782061 ALBERTA LTD.
782090 ALBERTA LTD.
782096 ALBERTA LTD.
782118 ALBERTA LTD
782120 ALBERTA LTD.
782148 ALBERTA LTD.
782150 ALBERTA LTD.
782194 ALBERTA LTD.
782260 ALBERTA LTD.
782286 ALBERTA LTD.
782297 ALBERTA LTD.
782302 ALBERTA LTD.
782303 ALBERTA LTD.
782306 ALBERTA LTD
782316 ALBERTA LTD.
782324 ALBERTA LTD.
782364 ALBERTA LTD.
782407 ALBERTA LTD.
782415 ALBERTA INC.
782430 ALBERTA LTD.
782442 ALBERTA LTD.
782455 ALBERTA LTD.
782508 ALBERTA LTD.
782515 ALBERTA LTD.
782529 ALBERTA LTD.
782539 ALBERTA LTD.
782540 ALBERTA LTD.
782573 ALBERTA LTD.
782612 ALBERTA INC.
782626 ALBERTA LIMITED
782634 ALBERTA LTD.
782679 ALBERTA LTD.
782693 ALBERTA LTD.
782767 ALBERTA LTD.
782832 ALBERTA LTD.
782843 ALBERTA LTD.
782876 ALBERTA LTD.
782890 ALBERTA LTD.
782928 ALBERTA LTD.
782935 ALBERTA LTD.
782956 ALBERTA LTD.
782968 ALBERTA LTD.
782973 ALBERTA LTD.
782993 ALBERTA LTD.
783056 ALBERTA LTD.
783075 ALBERTA LTD.
783147 ALBERTA LTD.
783193 ALBERTA LTD.
783198 ALBERTA LTD.
783204 ALBERTA LTD.
783212 ALBERTA LTD.
783221 ALBERTA INC.
783282 ALBERTA LTD.
783333 ALBERTA LTD.
783400 ALBERTA LTD.
850448 ALBERTA LTD.  2000 OCT 03.
86107 CANADA LTD.
864713 ALBERTA LTD.  2000 OCT 11.
873808 ALBERTA LTD.  2000 OCT 01.
893919 ALBERTA LTD.  2000 OCT 05.
A & B MIDWEST CONSTRUCTION LTD.
A B GILL TRUCKING LIMITED
A CENTRE FOR WOMEN, A WELLNESS ASSOCIATION; INFORMATION, EDUCATION AND
REFERRAL
A CREVOLIN HOLDINGS LTD.
A NEW CREATION LANDSCAPES LTD.
A WORKING DESIGN INC
A. C. BORDER AND COMPANY LTD.
A.B.C. CAB LTD.
A.M. STUCCO CORPORATION
A.M.K. HOLDINGS LTD.
A.V. PROJECTS (ALBERTA) INC.
A2C CONSULTING SERVICES LTD.
ABCO INVESTMENTS LTD.
ACCENT HARDWOOD FLOORING LTD.
ACCU-RAM SERVICES INCORPORATED
ACE-HIGH CRANE SERVICES LTD.
ACTORS' GUILD OF EDMONTON
ADDISON ON BAY LTD.
ADVANCED AUTOMATION LTD.
ADVANCED LIGHTING TECHNOLOGIES, CANADA INC.
ADVANCED OXIDATION SYSTEMS INC.
AFTERMATH COMPUTERS LTD.
AIM ARENA ICE MANAGEMENT INC.
AIR TRANSAT A. T. INC.
AIR-CARE SOLUTIONS INC.
AIRDRIE CADETS PARENTS ASSOCIATION
AIRPORT DIRECT LTD.
AJAX DEVELOPMENT CORP.
AKLEY DESIGN LTD.
AL GRANT PHOTOGRAPHY LTD
AL'S COLLISION AND FRAME LTD.
ALBANY MANUFACTURING CORPORATION
ALBERTA  GENERAL CONTRACTING CORP.
ALBERTA ASSOCIATION OF MOBILE ENTERTAINERS
ALBERTA CHITO KAI ASSOCIATION
ALBERTA HOME IMPROVEMENTS LTD.
ALBERTA LIQUOR SALES LTD.
ALBERTA PROP ENTERPRISES CO. LTD
ALBERTA STORAGE EQUIPMENT LTD.
ALBERTA VOCATIONAL COLLEGE-CALGARY FACULTY ASSOCIATION
ALBERTEX INVESTMENTS INC.
ALCO TRUCKING LTD.
ALEX IVAK PROJECT INC.
ALFRANK INVESTMENTS LTD.
ALGO HOLDINGS LTD.
ALL 4 ONE FURNITURE INC.
ALL DESIGN CONCRETE & LANDSCAPING LTD.
ALL TASK SERVICES LTD.
ALLEN DOUGLAS RANCH, LTD.
ALLIED TAXI DRIVERS ASSOCIATION IN CALGARY
ALLWORKS ENTERPRISES LTD
ALTEK MECHANICAL LTD.
AMERICAN AGRI-TECHNOLOGY CORP.
AMOEBA ENERGY INC.
ANCHOR ELECTRIC INC.
ANGEL EXPRESS LTD.
ANITA INVESTMENTS LTD.
ANNE DEAN PLANNING & DESIGN INC.
ANTON'S GREETINGS LTD.
ANVIL GEOMATICS CORPORATION
AQUATRAVEL LTD.
ARCAM INVESTMENTS INC.
ARCTIC CANADA TRADING CO. LTD.
ARIEL LIGHT, SIGN, & TREE SERVICES LTD.
ARNOLD & SON TRENCHING CO. LTD.
ASCENSION ENTERPRISES LTD.
ASD HOLDINGS LTD.
ASPEN ELECTRONICS LTD.  2000 OCT 12.
ASPEN GROVE RESOURCES INC.
ASSOCIATED MUDJACKING SERVICES INC.
ASSOCIATION FOR LATIN AMERICAN UNITY OF EDMONTON (A.L.A.U.)
AUER CONSULTING CORP.
AULAKH TRUCKING LTD.  2000 OCT 12.
AUTO TIME INC.
AVATRISS CONSULTING INC.
AXELS DRYWALLING INC.
AXENT LEASING CORP.
AXIL HOLDINGS LTD.
B & B POPCORN COMPANY LTD.

B & C CONSTRUCTION (LETHBRIDGE) LTD
B & C SEISMIC SERVICES LTD.
B-SAFE CONTRACTING LTD.
B-WIN CONTRACTING LTD.
B. & A. BUILDING SUPPLIES LTD.
B.P. 97 STREET CLASSICS SLOWPITCH CLUB
BAGEL BEAR INC.
BAGEL MASTER INC.
BAGEL STREET CAFE (ALBERTA) LTD.
BAHRS' OILFIELD SERVICES LTD.
BARCLAYS HOLDINGS LTD
BARLOW TRAVEL SERVICES LTD.
BARRHEAD ADULT DAY PROGRAM SOCIETY
BASE LINE ADVENTUROUS LTD.
BASNETT BROTHERS DEVELOPMENT LTD.
BD RANCH LTD.
BEACON HILL SERVICE (2000) LTD.
BEAR CLAW OIL TOOLS LIMITED
BEAR SITE DISPOSALS LTD.
BEAVERHILL GAS CO-OP LTD  2000 OCT 05.
BEDRY MANAGEMENT LTD.
BEJON SERVICES LTD.
BELLE VILLE FONCIER LTD.
BELLIS SECURITIES (BVI) LTD.
BENNETT MOTOR EXPRESS, INC.
BERT HANSON INVESTMENTS 1998 LTD.
BERT WOLL FABRICS & SUPPLIES LTD.
BEST FRIENDS SCHUTZHUND CLUB OF EDMONTON
BEZCO HOLDINGS LTD.
BHULLAR'S CONSTRUCTION LIMITED
BIG 5 GUTTER SYSTEMS LTD.
BIG BOY TRUCKING, INC.
BIG SKY CONCRETE FINISHING LTD.
BINH ENTERPRISES LTD.
BLACK CHERRY AUTOBODY LTD.
BLANES MANAGEMENT LIMITED
BLIND IMPRESSIONS LTD.
BLUE TECHNOLOGY INC.
BMC CONSULTANTS INC.
BOHDAN CHMELNITSKY CULTURAL SOCIETY
BONA PITA LTD.
BONIFACIO ENTERPRISES LTD.
BOSSIO PLUMBING LTD.
BOURBON STREET LIQUOR STORE LTD.
BOVAR SOCIAL CLUB
BRACKEN CONSULTING SERVICES INC.
BRAZEAU SNOWMOBILE CLUB
BREAKEVEN SOFTWARE INC.
BRENNAN HOLDINGS INC.
BRENTWOOD HEALTH FOODS INC.
BRIGHT HORIZONS INC.
BROMLEY-MARR ENGINEERING TECHNOLOGY LTD.
BT ALEX. BROWN CANADA INCORPORATED
BUCHANAN SECURITY CONSULTANTS LTD.
BUER TRADING & CONSULTING LTD.
BUG EXPRESS LTD.  2000 OCT 06.
BUGSY ENTERPRISES LTD.
BULLDOG GRAD CLASS SOCIETY
C & J AGRI SERVICES LTD.
C & W PAINTING & DECORATING LTD.
C.D.C. HOTSHOT INC.
C.I. CONTRACTING LTD.
CACHET COMMUNICATIONS INC.
CADILAC CONSTRUCTION INC.
CALGARY CHILDREN'S SUPPORT SOCIETY
CALGARY MUNICIPAL RAILWAY & BUS MUSEUM SOCIETY
CALGARY SEARCH AND RESCUE ASSOCIATION
CALTO INDUSTRIES INC.
CAN AM MANUFACTURING LIMITED
CANADA FIRST TRADE CENTRES INC.
CANADA SKI SERVICE INC.
CANADA WEST RUG CAMP INC.
CANADA'S AMERICA'S CUP CHALLENGE INC.
CANADIAN BOILER INDUSTRIES LTD.
CANADIAN CHIROPRACTICE MANAGEMENT LTD.
CANADIAN CORROSION TECHNOLOGIES INC.
CANADIAN INDUSTRIAL RECYCLING & ENVIRONMENTAL SERVICES INC.
CANADIAN LEASE INSURANCE SERVICES, LTD.
CANADIAN NIAGARA POWER COMPANY, LIMITED
CANADIAN PACIFIC HARDWOODS INC.
CANADIAN SOCIETY OF CLINICAL NEUROPHYSIOLOGISTS
CANADIAN WORK/FAMILY DIRECTIONS CO.
CANADIANA TRADING CORPORATION
CANAGER INTERNATIONAL LTD.
CANDENA CLAY PRODUCTS INC.
CANPET ENERGY GROUP INC.
CANWOOD ENGINEERING & CONSTRUCTION LIMITED
CANYON WELDING LTD.
CAP CONTRACTING LTD
CARDAL CONTROLS CANADA LTD.
CARL WHITE CONSULTING LTD.
CARLYLE COMPANY EDMONTON LTD.
CARRINGTON & LIBERTY JOINT VENTURE LTD.
CASA INTERNATIONAL MARKETING INC.
CASA NORTE IMPORTS LTD.
CASH BOX LTD.
CASTLE AUTOMOTIVE TECHNOLOGY LTD.  2000 OCT 13.
CAVALIER/EPC CANADA, INC.
CAVU AIR LTD.
CDR WELDING & FABRICATING LTD.
CEDAR BAKERY LTD.
CEE-JAY SERVICES INC.
CENTRACARE HEALTH SERVICES LTD. SERVICES DE SANTE CENTRACARE LTEE
CENTRAL HOTSHOT SERVICES INC.
CENTRAL HYDRAULIC MANUFACTURING CO. LTD.
CENTURION FIREARM ASSOCIATION
CERAMICS BY PAM LTD.
CHADWICK CONSTRUCTION LTD.
CHALLENGER CONSTRUCTION GROUP LTD.
CHANNEL SYSTEMS LTD.
CHARLES WEYMER'S WELDING LTD.
CHILD PROOF ENVIRONMENTS INC.
CHILDREN'S CANCER INSTITUTE INTERNATIONAL SOCIETY
CHIRON INC.
CHRISTO RESOURCES LTD
CIRE CONSULTING INC.
CITY WHOLESALE (1996) LTD.
CJA TREES INC.
CLARESHOLM ROPING CLUB
CLASSIC SUNROOM AND PRODUCTS INC.
CLEAR FOCUS VIDEO COMMUNICATIONS INC.
CLIFF WILLIS TRUCKING LTD.
COLUMBIA SALVAGE LTD.
COMMGENERAL SYSTEMS LTD.
COMMONWEALTH CONSTRUCTION COMPANY (1985) LIMITED
COMMUNICATING POWER INC.
COMMUNILOGIC INC.
COMPANY 'B' INCORPORATED
COMPLETE CONTRACTING LTD.
COMPLETE SECURITY MANAGEMENT LTD.  2000 OCT 11.
CONCEPT MARKETING INTERNATIONAL INCORPORATED
CONCRETE MAINTENANCE CANADA INC.
CONNECTIONS CANADA INC.
CONSTRUCTION SUPERVISOR SERVICES INC
CORBITT BROKERAGE LTD.
CORDE CONSTRUCTION LTD.

CORNERSTONE CONTRACTING CO. LTD.
CORONITA INDUSTRIES LTD
CORPORATE REALTY SERVICES CANADA INC.
COUTT'S RIVER OUTFITTERS LTD.
CREATIVE INK DESIGN CORP.
CREEL RESOURCES LTD.
CRESKIM INC.
CRITICAL DATA INC.
CROCUS RIDGE ESTATES HOMEOWNERS ASSOCIATION
CTG ENGINEERING LTD.
CULINARY EDUCATIONAL SERVICES LTD.
CULSHAW & ASSOCIATES INC.
CUSTOM CARE MANAGEMENT INC.
CUSTOM RECOVERY INC.
CUTOFFS HAIRSTYLING INC.
CYBER CONNECTIONS LTD.
CYCLONE PROPANE 85 LTD.
CYNOSURE SURVEYS LTD.
CYPRUS SUPERMARKET INC.
D & E STEWART LTD.
D. MACKIE WELDING LTD.
D. MACNAUGHTON & ASSOCIATES LTD.
D.N.G. CAPITAL (ALBERTA) LTD.
DA MICHELANGELO RESTAURANT LTD.
DAINA A. BRUNERS & ASSOCIATES CONSULTING LTD.
DALLAS RAE (CANADA) LTD.
DANG - ME ENTERPRISES LTD.
DANLIN ENVIRONMENTAL CONSULTANTS INC.
DANPAU INDUSTRIES LTD.
DARNESS VENTURES INC.
DARTH VADER'S WELDING LTD.
DAVE KUSLER BUSES LTD
DAVE'S N.D.T. SERVICE INC.
DAVIES VEGETATION MANAGEMENT LTD.
DAVLO DEVELOPMENTS INC.
DELACIA DEVELOPMENTS LTD.
DENE HEALING SOCIETY
DEREK SIMPSON OILFIELD SERVICES LTD.
DESALTA CARPENTRY LTD.
DESIGN 7, INC.
DEVANTE HEALTH AND FITNESS LTD.
DEWAYNE C. SCOTT ENTERPRISES INC.
DEWDEC ENTERPRISES LTD.
DEWEY'S MILLWRIGHT & WELDING SERVICES LTD.
DEXTER INVESTMENTS INC.
DIAMOND STILTS LTD.
DIGITAL AUDIO TECHNOLOGIES INC.
DISCOVERY CAFE RESTAURANTS LTD.
DONALD ANHORN BULK SALES LTD.
DONNELLY HEATING INC.
DORITH INVESTMENTS LTD
DOUBLE M IMPORT/EXPORT CORPORATION
DOUKO INDUSTRIES LTD.
DRAKE MASON GOLF LTD.
DRAYTON VALVE & FITTING INC.
DREAM TEAM TRADING CO. LTD.
DREAMS AND SCHEMES LTD.
DRINKS "R" US INC.
DRUMHELLER DISTRIBUTORS (1978) LTD.
DRYWALL SOLUTIONS LTD.
DUBLANKO CONSTRUCTION LTD.
DUCK-LORN EXCAVATING LTD.
DUFF SOUND EQUIPMENTS LTD.
DURCOL MANAGEMENT LIMITED
DURMAC RESCUE GEAR INC.
DYNAMIC ESSENTIALS OF CANADA INC.
DYNAMIC SOFTWARE DESIGN INC.
EAGLEHEAD CONSULTING LTD.
EASTMAN OILFIELD CONTRACTING LTD.  2000 OCT 11.
EASTRACK HOLDINGS LTD.
EASY LUBE CANADA INC.
ECHO INDUSTRIAL CONTROL LTD.
ECO FRESH LTD.
EDMONTON ON-LINE INC.
EDMONTON SQUASH PLAYERS ASSOCIATION
EDMONTON SUPPORT AND ADVOCACY ASSOCIATION FOR ABUSED WOMEN
EDSON WELDING CO LTD
EDUCATIONAL GAINS INC.
EDUCENTRES CORPORATE DAYCARES LTD.
ELECTRA MANAGEMENT INC.
ELECTRICAL CONNECTIONS LTD.
ELITE PLUMBING AND HEATING LTD.
ELLEN'S FASHIONS INC.
ELLIOTT ELECTRIC LTD.
ELS STAFFING SOLUTIONS INC.
EMPLOYNET INC.
ENARRO DESIGN GROUP INC.
ENGLANDER HOME INTERIORS INC.
ENTERPRISE 26 LTD.
ENVIRO SIGNS LTD.
ENVIRO VAC 2000 LTD.
EQUILIBRIUM INTERNATIONAL EDUCATION INSTITUTE
EQUIPCO CANADA LTD.
ESPRESSO GOLD IMPORTS INC.
ETCHMASTER IDENTIFICATION INC.
EUROCANADA FOODS IMPORT INC.
EUROPEAN HOCKEY IMPORTS LTD.
EVENT MEDICAL SERVICES INC.
EXCEL EXPRESS INC.
EXECUTIVE CHEFWEAR CORP.
EXECUTIVE REAL ESTATE NORTH INC.
EXPERT DRYWALL LTD.
EXPLORATION SOFTWARE CORP.
F.B. NICHOLSON & ASSOCIATES LTD.
FABERGE DENTAL ART STUDIO LTD.
FAIRBANKS CONSULTING, MECHANICAL AND TECHNICAL SERVICES LTD.
FALSTRO OIL & GAS CONSULTANTS LTD
FAMILYCARE INC.
FARWEST BUS LINES LTD.
FATIMA INVESTMENTS LTD
FEDERATED COLLECTION AGENCY LTD.  2000 OCT 12.
FEDERATED FINANCIAL SERVICES INC.  2000 OCT 12.
FEDERATION & DEFORD EXCAVATING LTD.
FINESSE EXPLORATION INC.  2000 OCT 01.
FIRST CLASS MALE LTD.
FIRST CLASS RENOVATIONS & ROOFING LTD.
FIRST ENERGY LTD.
FIRST GENERATION HOLDINGS LTD.
FITNESS EXPOSURE LTD.
FITNESS FRONTIERS INC.
FIVE STAR MEAT & DELI LTD.
FLAT BLACK TRUCKING INC.
FOCUS INVESTMENTS LTD.
FOREST LAWN DENTURE CLINIC LTD.
FORT MCKAY EDUCATION SOCIETY
FORT MCKAY GENERAL STORES LTD.
FORT SASKATCHEWAN PET CENTRE LTD.
FOUR HORSEMEN HOLDINGS LTD.
FOURTH GENERATION MUSIC PRODUCTIONS LTD.
FPC ENERGY INC.
FRAGILE HANDLE WITH CARE MOVING SYSTEMS LTD.
FRANK BLANCHER DRYWALL LTD.
FREEDOM AUTO SALES LTD.
FRENCH CONNECTION DRYWALL LTD.
FRIENDMAKER INC.
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FULL CONTACT BEVERAGES INCORPORATED
FUNK-TIONAL SERVICES LTD.

FURMANITE CANADA LTD
FUTURE GENERATIONS CORP.
G & L COLLECTION AGENCIES LTD.
G. BIRCH CONSULTING LTD.
G. BROWNING GRADER SERVICE LTD.
G.A. KRAMER & ASSOCIATES LTD.  2000 OCT 12.
G.A.R. ENTERPRISES LTD.
G.L. PHILPOTT INSTRUMENTATION INC.
G.T. HENDERSON ENGINEERING INC.
GAETZ CROSSING LTD.
GAREN DEVELOPMENTS INC.
GARNETT STORES LTD.
GARY E. KYLE FINANCIAL SERVICES INC.
GEKITA CONSTRUCTION LTD.
GENEVIEVE FINANCIAL INC.
GENNARO WINES INC.
GLACIER PARK RANCH LTD.
GLOBAL AUTO SPEEDOMETER INC.  2000 OCT 10.
GLOBAL MEDICAL RESEARCH CORP.
GLR PROJECT MANAGEMENT INC.
GOACHER OILFIELD CONSULTING (1998) LTD.
GOLD PAGES INC.
GOODBRAND CONSULTING LTD.
GOODBRAND FARMS LTD.
GOODWILL TRUCKING CO. LTD.
GOURMET TREATS LTD.
GPS MARINE INC.
GREAT NORTHERN MUSHROOM CORPORATION
GREAT PLAINS RESOURCES INC.
GREAT SCOTT COMMUNICATIONS INC.
GREAT WEST INDUSTRIES (1978) LTD.  2000 OCT 13.
GREEN GRADUATE LANDSCAPING INC.
GREY GHOST BENDING INC.
GREY WOLF VENTURES LTD.
GRIZZLY PIPE & SUPPLY LTD.
GRIZZLY TRUCK CORP.
GROUNDSTAR RESOURCES LIMITED
GST INVESTMENTS LTD.
GULF CANADA HURGHADA LIMITED  2000 OCT 06.
GULF INTERNATIONAL INC.
GULFSTREAM FINANCIAL CORP.
GULL RESOURCES INC.
GUS BENDORITIS & ASSOCIATES LTD.
GUY F. ATKINSON HOLDINGS LTD.
GYPSUM FLOORS (SOUTHERN) INC.
H YAM INSURANCE LTD
H.P. OSTRICH'S & HOLDINGS LTD.
H.S. LUI CONSULTING INC.
HARMONY TOOLS INC.
HAROLD I. SENGER P. ENG. INC.
HASHAM ENTERPRISES INC.
HAWKEN PETROLEUM CONSULTANTS LTD.
HEALTH TECHNOLOGIES INCORPORATED
HERE . NOW . ENJOY . LTD.
HERITAGE BAGEL LTD.
HERLE BROS. TRUCKING LTD.
HEWITT-FISHER SALES SCHOOL LTD.
HIGH REPUTATION DESIGN & RENOVATION LTD.
HIGH SPEED HOLDINGS LTD.
HIGHLANDS NOT SO YOUNG SOCIETY
HIRED HAND PRODUCTIONS INC.
HOGARTH TRANSPORT LTD.
HOLIDAY INDUSTRIES (1987) LIMITED
HOMEMEDIC LTD.
HORSECREEK FREIGHT CARRIERS LTD.
HULLAND TRUCK SERVICE LIMITED
HYPERION ENGINEERING CONSULTANTS SERVICES LTD.
HYPLEX INTERNATIONAL INC.
IC PLATINUM LOGISTICS LTD.
ICI IMAGE CREATION INC.
IDEC RESOURCES LTD.
IKUTA & NGO HOLDINGS LTD.
IMAGE ASSOCIATES MEDIA CONSULTANTS LTD
IMAGE PLUS LASER EYE CENTRE INC.
IMBERY SIDING LTD.
IN THE WORKS SOCIETY OF ALBERTA
INET PROJECTS INC.
INFRARED OEM CANADA LTD.
INLAND HOLDINGS (WESTERN) LTD.
INSTANT VISION, INC.
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INTERNET JUNCTION INC.
INTERTEC SYSTEMS ANALYSTS LTD.
INTRINSIC SYSTEMS INC.
ISFELD ENTERPRISES INC.
ISLAND WINES INC.
IVERSON HEATING LTD
IWA INJURED WORKERS' ADVOCATES INC.
IX CAPITAL INC.
J L V INDUSTRIES LTD.
J M R DEVELOPMENTS LTD
J-MAK ASSOCIATES LIMITED
J.C. HAGAN REAL ESTATE LTD.
J.C.J.L. RENOVATIONS AND ROOFING LTD.
J.M. KADERLE BUSINESS SERVICES LTD.
J.R. HUGHES AGENCIES INCORPORATED
J.S.J./BAY CONTRACTORS LTD.
JACOBER HOLDINGS LTD.
JACOBS LIVESTOCK TRUCKING, INC.
JADE LAND COMPANY INC.
JAMCAN CONSULTING SERVICES LTD.  2000 OCT 11.
JAMES A. WALTON HAULING INC.
JAMES DEE SCHAFF TRUCKING LTD.
JAMES P. MARSHALL INC.
JANT HOLDINGS LTD.
JEB HOLDINGS LTD
JENLIE FOODS LTD.
JEWELS BY PARKLANE OF CANADA INC.
JHS ASSOCIATES & CONSULTING INC.
JIM & DONELL CUSTOM SPRAYING LTD.
JOBSON'S OILFIELD SERVICES LTD.
JOEL PROJECTS INC.
JOHN D. KEOHANE JR. PROFESSIONAL CORPORATION
JOJOBA PLANTATIONS INC.
JOLANTA ENTERPRISES LTD.
JOMHA CAPITAL CORPORATION
JONAH APPAREL GROUP LIMITED
JONESY'S OILFIELD CONTRACTING LTD.
JP'S EXECUTIVE SERVICES LTD.
JTT ENTERPRISES INC.
JUST WINDOWS INC.
K & C SPRINGPOSTS INC.
K & S HOLDINGS INC.
K H H INVESTMENT LTD.
K S GREWAL ENTERPRISES LTD.
K.T. SQUIRE CONSTRUCTION LTD.
KAR-SAN CONSULTANTS LTD.
KARE PAINTING LTD.
KASTLE VENTURES LTD.
KAVANAUGH CORPORATE CONSULTING INC
KCL SOLUTIONS INC.
KDM MEDICAL SERVICES INC.
KEATON WOOD VENDING INC.
KEDA.COM COMMUNICATIONS INC.
KENNETH CHOW PROFESSIONAL CORPORATION
KENT REFRIGERATION AND AIR CONDITIONING SERVICE LTD.
KGP TECHNOLOGIES LTD.
KI-TOU SAKIKAN BUSINESS DEVELOPMENT CORP.
KIM'S KLOSET INC.

KIMSON CONSULTING & SERVICES INCORPORATED
KINGSTON HOMES LTD.
KNOW IT ALL CORPORATION
KODIAK DRYWALL (ALBERTA) LTD.
KOLBL/LENZ INSTITUTE FOR ADDICTIONS RESEARCH AND RECOVERY
KOOTENAY VALLEY FINANCIAL SERVICES INC.
KRAZY PETE'S LIQUIDATORS LTD.
KRONSTEDT HOLDINGS LTD
KROS-TECH INSTRUMENTATION LTD.
KSM (RED DEER) INC.
KUERVERS TRANSPORT & HOLDINGS LTD.
KYRGHYZ IMPORT & EXPORT CO. LTD.
L & N ENTERPRISES LTD.
L-SEVEN CONSTRUCTION LTD.
L.A. LOGGING LTD.
L.B.'S PUMPJACK INSPECTION SERVICES LTD.
L.M. & M. BOYSEN CONSTRUCTION LTD.
L.M.H. HOLDINGS INC.
L.R. KOLODY CONSULTING LTD.
L.U.V.S. CONSTRUCTION LTD.
L2 BOOKKEEPING SERVICES INC.
LA BOHEME RESTAURANT AND BED AND BREAKFAST (1997) LTD.
LA MER INVESTMENTS LTD./INVESTISSEMENT LA MER LTEE.
LADY GRAND FASHIONS INC.
LAKERIT ENTERPRISES LTD.
LANALYN DRAFTING & DESIGN LTD
LANDGREBE HOLDINGS LTD
LANDS END CONSULTING LTD.
LARSON VACUUM SERVICE LTD.
LAST CHANCE TRADING COMPANY LTD.
LE PRINT EXPRESS INTERNATIONAL INC.
LECRA ASSOCIATES LTD.
LEGACY SPEAKERS BUREAU INC.
LIBORIUS GEHRKEN CANADA LTD.
LIDCO OIL FIELD SERVICES LTD.
LIONSTONE HOLDINGS INC.
LITTLE SARGE'S FINE LINE TATTOO INC.
LITTLE SHIPS INC.
LIVING SCENES PHOTOGRAPHY LTD.
LK DEVELOPMENTS LTD.
LLOYD FITZSIMONDS & ASSOCIATES INC.
LOGICAL SOLUTIONS INC.
LONESOME LAKE GRAVEL LTD.
LONGHORN SUPPLY AND MANUFACTURING CORPORATION
LONGINEX HOMES LTD.
LORNE GRAY AGENCIES LTD.
LOUIEBUILT FABRICATIONS LTD.
LOUNT CORPORATION
LOVAT LOGISTICS LTD.
LSB CONSULTING LTD.
LUMONT SERVICES LTD.
LWT DIRECTIONAL INC.
LYSEK - KIELY INDUSTRIES INC.
M. B. KOHUT CONSULTING LTD.
M.A. WILLIAMS RESOURCES LIMITED
M.D.R. SERVICES LTD.
MACDONALD REALTY LTD
MACKAY'S HEAVY EQUIPMENT SERVICES LTD.
MACMASTER ENGINEERING LTD  2000 OCT 03.
MACNEIL RECREATIONAL SALES AND SERVICE AND PARTS LTD
MADINA TRADING CORP.
MAGIC TOURS AND TRAVEL LTD.
MAGTESS INC.
MAHONEY ENTERPRISES LTD.
MAN AROUND THE HOUSE LTD.
MANCHAK FARMS LTD.
MANDZIAK INSPECTION SERVICE LIMITED
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MAR NEL'S LADIES WEAR LTD.
MARC INVESTMENTS LTD
MARCEL THE SIGN MAN LTD.
MARINE OFFICE OF AMERICA CORPORATION
MARK D. FOLEY ENTERPRISES LIMITED
MARK H. MCKENNA PROFESSIONAL CORPORATION  2000 OCT 13.
MARON HOLDINGS CORP.
MARS FIRE AND SAFETY INC.
MARTIN HILLS TANKERS LTD.
MARTIN RIDGE ESTATES LTD.
MASS DEVELOPMENTS LTD.
MATERNATIVES INC.
MATHCON LTD.
MATHER RESEARCH LTD.
MATRIX PROCESS SYSTEMS CORP.
MCCARTAN & SONS OPERATING SERVICES LTD.
MCCLENSKY PROPERTIES LTD.
MCCONNELL'S EXPRESS LTD.
MCCULLOUGH AUCTION SERVICE LTD.
MCDONALD TAXI INC.
MCHALE ENTERPRISES LTD.
MCMONY RACING LTD.
MCMURRAY OILSANDS TRAILERS INC.
MEDIA 360 INC.
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MEDICINE HAT MEN'S FASTBALL ASSOCIATION
MEGASTOCK INC.
MEI-FONG ENTERPRISES LTD.
MEPC CANADIAN PROPERTIES INC.
MERAQ CAPITAL CORPORATION
MERCHANT PRIVATE CLIENT CORP.
META CANADA HOSPITALITY INC.
METFIN (WESTERN OPPORTUNITIES) INC.
MEYN ENTERPRISES INC.
MICROS IN BUSINESS INC.
MIKE'S HAULIN LTD.
MIKON CONSULTING LTD.
MILES DISPLAY & DESIGN LTD.
MILLAR WESTERN PULP LTD.
MILLARD POWER FINANCIAL INC.
MILLENNIAL STRUCTURES INC.
MILLENNIUM CAPITAL CORPORATION
MILLENNIUM METALS CORPORATION
MILLENNIUM VIDEO PRODUCTIONS INC.  2000 OCT 12.
MIRASTAR INC.
MIROC CONSULTING INC.
MIRROR AND DISTRICT HALL SOCIETY
MLD EMOND CONSULTING LTD.
MLF SRC LTD.
MLR MANAGEMENT LTD.
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MONEDA MONEY BROKERS INC.
MOONLIGHT BILLIARDS INC.
MORLEY MINUK INSURANCE SERVICES LTD.
MORRIS EQUITIES LTD.
MOUNTAIN MAN VACATIONS LTD.
MOUNTAIN SKYLINE TRANSPORTATION & TOURS LTD.
MOZCO INC.
MP MEDIA PLUS INC.
MPC INTERNATIONAL CANADA INC.
MR SOLUTIONS INC.
MSM PETROLEUM INC.
MT EXCAVATING LTD.
MT. MARIAN ENTERPRISES, LTD.
MWH GEO-SURVEYS LTD.
MWT OIL TOOLS INC.
NATION-WIDE ABM LTD.
NAVIGUS INC.
NEAR WEST VENTURES LTD.
NEHIYOW NATIONS WOMENS ASSOCIATION OF ALTA
NEIGHBOURHOOD PLUMBER LTD.
NEIL COSTELLO WINE MERCHANT LTD.

NETPLUS COMPUTER PRODUCTS LTD.
NETWORK INTERIORS INC.
NEW WAVE SPAS LTD.
NEWOPS SERVICES LTD.
NICOLAS CANTON INC.
NORDICON ENTERPRISES INC.
NORMERICA INC.
NORTH AMERICAN LANGUAGE ACADEMY LTD.
NORTH HILL RANCH LTD
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NORTHERN ALBERTA TRANSPLANT GAMES SOCIETY
NORTHERN LITE CANOLA INC.
NORTHWEST FESTIVALS ASSOCIATION
NORTHWESTERN TIRE DISTRIBUTORS LTD.
NOVACORE CONSTRUCTION INC.
NOVATE ENTERPRISES INC.
NSI CANADIAN VENTURES, INC.
NUNIYEH CONSULTING SERVICES LTD.
NURSES PRIVATE CARE REGISTRY ASSOCIATION OF CALGARY  2000 OCT 05.
NYXZ IMPORT & EXPORT LTD.
O.A.S.I.S. LTD.
OCTAGON DEVELOPMENTS INC.  2000 OCT 11.
OH, CHOCOLATE! LTD.
OKOTOKS INSURANCE & REAL ESTATE LTD
OKOTOKS STUD & EQUESTRIAN CENTRE INC.
OMEGA GROUP INCORPORATED
OMNISPACE PRODUCTIONS INC.
ON THE LINE SPORTS LOUNGE INC.
ONE CALL MAINTENANCE LTD.
ONE STOP LIQUOR LTD.
OPUS OIL AND GAS SERVICES LTD.
ORCUS INFORMATION SYSTEMS LIMITED
ORHAN'S MICROGRAPHICS & PHOTOMAPPING INC.
ORION PHOTO-TECHNICAL SERVICE LTD.
OSEMIMOW OP-TECH SERVICES INC.
OSPREY PROJECTS (1992) LTD.
OVER THE COUNTER CORP.
P & C DESIGN INC.
P.M.E. HOLDINGS LTD.  2000 OCT 03.
PADDLE PRAIRIE RECREATION AND CULTURE SOCIETY
PAGECO INTERNATIONAL INC.
PAGET OFFICE WORKS INC.
PALMIN INC.
PAMBRIA ENTERPRISES LTD.
PANGAEA TEA COMPANY INC.
PANORAMA GLASS AND WINDOWS LTD.
PARCOM PUBLISHING INC.
PARTHENON PAINTING & DECORATING INC.
PAT'S CONTRACTING (1998) LTD
PATATIS LO-CAL SNACKS INC.
PATRICK FOLK DRYWALL LTD.
PATTILLO RANCH LIMITED
PAYER MOTOR PRODUCTS LTD.
PC PROBE COMPUTER LTD.
PDF CONSTRUCTION MANAGEMENT (ALTA.) LTD.
PDM ENTERPRISES INC.
PEARL-ANDY HOLDINGS LTD.
PECAN VACATIONS INC.
PEERLESS CARPET CORPORATION LA CORPORATION DES TAPIS PEERLESS
PERFUMES WITH A PURPOSE INC.
PERRY'S AUTOWORKS INC.
PETRO TECH OILFIELD SERVICES LIMITED  2000 OCT 11.
PETROTHERM LIMITED
PHARMACOPRO INC.
PHILIPS-GRANT MANAGEMENT & CONSULTING LTD.
PHL CONTRACTING LTD.
PHOENIX INTERNATIONAL GROUP OF COMPANIES INC.
PICTURE IT PAINTED INC.
PICTURE THIS" COMMUNICATIONS INC.
PIERREPONT EQUITIES INC.
PIPESTONE PIZZA LTD.
PLW STAR HOLDINGS LTD.
POINT OF AIM SHOOTING SOCIETY
POLARTEK INDUSTRIAL CONTROLS LTD.
POLLENSA HOMES LTD.
POLOSOFT CONSULTING LTD.
POLOWAY ELECTRIC (1994) LTD.
POOJA ENTERPRISES LTD.
POULSEN TRANSPORT LIMITED
POWER PORTABLE PRECISION INC.
PRACTICESMART INC.
PRAIRIE IMPEX INC.
PRAXIS SOCIETY (SOUTHEASTERN ALBERTA SCIENCING AND TECHING CENTER)
PRECISION ARMS & CARTRIDGE COMPANY LTD.
PRINCIPAL FABRICS LTD.
PRO ACTIVEWEAR INC.
PRO-TRAIL TRANSPORT LTD.
PROCUT CONCRETE CUTTING AND CORING INC.
PROFILE DEVELOPMENT CORPORATION
PROGRESSIVE INNOVATIONS & CONCEPTS INC.
PROLITE PLASTICS LTD.
PROMPT OIL FIELD SERVICES LTD.
PROVIDENCE FOSTER GRANDPARENT ASSOCIATION.
PROWEST LANGUAGE SCHOOL LTD.
PSMA CONSULTING INC.
PUBLIC WATCHDOG SOCIETY OF ALBERTA
PUECH ENTERPRISES LTD.
PYTHON OIL & GAS CORPORATION
Q.Q.R. MECHANICAL SERVICES LTD.
QUALITY CHECK SERVICES INC.
QUALITY MANAGEMENT INTERNATIONAL INC.
QUATTRO INVESTMENTS INC.
QUOTEK INCORPORATED
R N DALBY & ASSOCIATES LTD
R O SIMON SERVICES LTD
R. H. HILTON AND ASSOCIATES LTD.
R. HART BUILDERS INC.  2000 OCT 10.
R.I.F. BUSINESS VENTURES LTD.
R.P.R. SALES LTD.
RA INTERNATIONAL MARKETING INC.
RAINBOW ALSUHAIMI CANADA INC.
RAINBOW LAKE SCHOOL BOP ASSOCIATION
RANAHO SOFA INC.
RANCHLANDS STABLE PRODUCTS LTD.
RARE BEAR RESOURCES INC.
REAL DATA SYSTEMS INC.
REBUS BIOMEDICAL INC.
RECCO ENTERPRISES INC.
RECON VALVES INC.
RED DAWN INDIAN CULTURAL SOCIETY
RED HOT HOLDINGS LTD.
REFLECTA-SAFETY IMAGES INC.
REGAL PACIFIC MORTGAGE CORPORATION
REGGIT COMPANY INC.
REHAB FOCUS LTD.
RELM INDUSTRIES LTD.
RENAISSANCE HOTELS CANADA LIMITED
RENEGADE ENERGY CORPORATION
RENOVATION CITY P.A. CO. LTD.
RENTEK INVESTMENTS LTD.
REPEL HOME AUTOMATION SYSTEMS LTD.
RESPEN RESOURCES LTD.
RHODES ENTERPRISES INC.
RICCO THE REALTOR INC.
RIG-JACK RIG SERVICES LTD.
RIVER VALLEY HOLDINGS LTD.
RIVERSIDE REFRIGERATION LTD.
RJ CONSULTING INC.

RJW HOLDINGS INC.
ROADWISE SAFETY SOLUTIONS INC.
ROBIN HOOD ARCHERY LANES LTD.
ROCCO'S PIZZA LTD.
ROCKIN' HORSE SALOON LTD.  2000 OCT 03.
ROLLING ROCK TRUCKING & REPAIRS LTD.
RON LARSON CONSTRUCTION LTD.
ROSEWOOD FLORALS LTD.
ROSHAN CONSTRUCTION LTD.  2000 OCT 10.
ROSHMAN MOTEL CORPORATION LTD.
ROSSCO ENTERPRISES LTD.
ROYAL WEST DRUGS (SOUTHGATE) LTD.
ROYCOM REALTY (ALBERTA) LTD.
ROZAC HOLDINGS LTD.
ROZALIA HOLDINGS INC.
RP BURTON CONST. LTD.
RUBIN M. FELDMAN PROFESSIONAL CORPORATION
S & B HOLDINGS LTD
S H INVESTMENTS INC.
S J HOLDINGS LIMITED
S'NICE INTERNATIONAL INC.
S, H & K ODIAHS VENTURES CORP.
S. JONATHAN AGRA CORP.
S.S.C. RECRUITMENT ADVERTISING LTD.
SABER CONSULTANTS LIMITED
SAFE-T'S EXCAVATING LTD.  2000 OCT 03.
SAN-SU HOLDINGS LTD.
SANCA GOLD CORP.
SANFORD DEVELOPMENTS LTD.
SARAH COSMETICS INC.
SARKAL ENTERPRISES LTD.
SCAFFOLDERS WEST LTD.
SCHRETTLINGER DEVELOPMENTS LTD.
SCOHON TRUCKING LTD.
SCOTIA EXPORT FINANCE CORPORATION
SCOTT C. HENNES HOLDINGS LTD.
SECURITY ELECTRIC LTD.  2000 OCT 11.
SELECT INTERNATIONAL NANNY AGENCY (1999) LTD.
SELECT UNIVERSITY TECHNOLOGIES INC.
SELECTIVE FINANCIAL CORPORATION
SENTURY COMMUNICATION SYSTEMS INC.
SEVEN L SEVEN INVESTMENTS LTD.
SHAMESS HOLDINGS LTD.
SHANGRI LA SOCIAL CLUB SOCIETY
SHANLEE INVESTMENTS LTD.
SHAUGHNESSY ENHANCEMENT AND ECONOMIC DEVELOPMENT SOCIETY
SHILOH TIMBER COMPANY (1996) LTD.
SHIVA INDUSTRIAL PRODUCTS LTD.
SILENT PARTNERS HAIR CUTTING COMPANY INC.
SILISKY CONSTRUCTION LTD
SILVER DUST TRUCKING LTD
SIRIUS ENGINEERING LTD.
SIZZLING WOK HOLDINGS INC.
SK BUILDING MAINTENANCE LTD.
SKS SUPPLIES & SERVICES LTD.
SKYROAMERS AVIATION (1987) LTD.
SMITHCO RESOURCES INC.
SMOOTH TOUCH SANDING SYSTEMS LTD
SMOOTH WELDING LTD.
SOFT & GROOVY PRODUCTIONS INC.
SOLEIL LANDSCAPING & DESIGN LTD.
SOLEIL TANNING STUDIO INC.
SOLYOM CONSULTING INC.
SOULWORKS EDUCATION INC.
SOUTH COUNTRY IMPORTS INC.
SOUTH PACIFIC RESOURCES CORP.
SOUTH-WEST CENTRAL DISTRICT SOCCER ASSOCIATION
SOUTHWOOD AUTOMOTIVE CONSULTANTS INC.  2000 OCT 11.
SPECIALTY FLUID PRODUCTS LTD.
SPECTACULAR SIGNS (EDMONTON) INC.
SPIERS ACCOUNTING LTD.
SPINNAKER YACHTS LTD.
SPLITHOOF INC.
SPORT WEST INVESTMENTS LTD.
SPRINGBANK MINOR SOCCER ASSOCIATION
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ST. ALBERT B & B AUTO LTD.
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STIRLING POWER PLUS INC.
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STONEHAVEN GROUP INC.
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STRADLE HOLDINGS LTD.
STRATHCONA ARMORTHANE COATINGS LTD.
STRATHCONA SPRINT KAYAK AND CANOE CLUB
STRATHMORE DOWNTOWN REVITALIZATION SOCIETY
STYLE FOODS LTD.
SUN KING LTD.
SUNDRE PRESSURE AND STEAM INC.
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SUPREME LINES, INC.
SWAGAT INTERNATIONAL LTD.
SWAN HILLS SLOW-PITCH SOCIETY
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T.A.M. MANAGEMENT SYSTEMS INC.
T.D.W. MOISTURE & THERMAL PROTECTION LTD.
T.L.S. MANUFACTURING LTD.
TALC COMMUNICATIONS CORP
TANGERE RESOURCES INC.
TAO CAPITAL CORPORATION.
TARA DRILLING SYSTEMS INC.
TAURUS CLEANING SUPPLIES LTD
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TEB ENTERPRISES LTD
TED KENNEDY MUSIC RESEARCH LTD.
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TEKOA PROJECTS INC.
TELELINK COMMUNICATIONS CORPORATION
TERRAMIN RESEARCH LABORATORIES LTD.
TERRANCE "B" PRODUCTIONS INC.
THE BALZAC RATEPAYERS' ASSOCIATION
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THE HUNGRY HUNTER LTD.
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THE T EATON COMPANY CANADA LIMITED
THE TRITON GROUP INC.
THE U OF C ADMINISTRATIVE AND PROFESSIONAL STAFF ASSOCIATION
THE ULTIMATE WHITETAIL CHALLENGE INC.

THE UNIVERSITY OF CALGARY'S FACULTY OF MANAGEMENT SOCIAL EXCHANGE CLUB
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THERLA ENTERPRISES LTD
THERMOTEX CANADA CORP.
THIRD ROCK CONSULTING INC.
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THUMP'S CONTRACTING LTD.
TIE BREAKERS INC.
TIGNEY TECHNOLOGY INCORPORATED
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TIMBERLAND FOREST PRODUCTS LTD.
TIME SQUARE HOLDINGS INC.
TINKER B'S INCORPORATED
TNT HIGH PRESSURE WATERWORKS LTD.
TODD TRANSPORT, INC.
TOM CAT INC.
TOPAZ TRUCKING LTD.
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TOWER HOMES LTD.
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TRANS-CONTINENTAL DISBRIBUTORS INC.
TRANS-MUTUAL FREIGHT BROKERS LTD.
TREND EQUIPMENT & LEASING INC.
TRI-STAR ENERGY LTD.
TRI-WEST COMMUNICATIONS INC.
TRIBUILD HOLDINGS LTD.
TRICO IMPORTING & EXPORTING LTD.
TRICON ACCOUNTING SERVICES (CALGARY) LTD.
TRIPLE M MANAGEMENT INC.
TRIVEST CAPITAL CORPORATION
TROCHU FARM & RANCH EQUIPMENT LTD.
TROIKA RESOURCES LTD
TRUCK TRANSPORT CONSULTANTS INC.
TRUNKED WIRELESS TECHNOLOGIES INC.
TY-DON VENTURES INC.
TYNG KAE (CANADA) LTD.
U & F CANDERAN LOGGING LTD.
ULTRA-TECH ROOF INSPECTIONS & CONSULTING LTD.
ULTRALINE DISTRIBUTION INC.
ULTRAMAG CONTRACTING LTD.
UNITED CARDIGAN DEVELOPMENT LTD.
UPRIGHT DEVELOPMENTS INC
V & B FEEDS LIMITED
V.A. SIMONSON COMMUNICATIONS CONSULTING INC.
VALERIE A. GRAZIANO PROFESSIONAL CORPORATION.
VALHALLA WOOD PRESERVATIVES LTD.
VALIANT R.V. PARK INC.
VAN GENNE & SONS TRUCKING LTD.
VAN RIJN ELECTRIC LTD.
VAUXHALL FEEDS LTD.
VEGENATION FOODS INC.
VEILLEUX MANAGEMENT LTD.
VERMILION BUSINESS CENTRE INC.
VILLA EXTERIORS INC.
VIOLETS ARE BLUE LTD.
VISION 2100 MARKETING SOLUTIONS INC.
VISTA ENTERTAINMENT INC.
VISUAL ADVANTAGES DESKTOP STUDIO INC.
W. BOYCHUK WELDING LTD.
W.J. LEHMAN ENTERPRISES LTD.
W.K.A.B VENTURES INC.
WAGON WHEEL AGENCIES LTD
WALTER JETZ PROFESSIONAL CORPORATION
WANG'S DEVELOPMENT & CONSULTANT LTD.
WATERWORKS DISTRIBUTION LIMITED
WATKINSON, HANHART, DUDA, DORCHAK LIMITED
WEBLYNK SERVICES LTD.
WEDEWER HOLDINGS LTD.
WELFORM MANUFACTURING LTD.
WERHUN MANAGEMENT INC.
WERNER BRAUN DESIGNS LTD
WEST BAY CAPITAL CORP.
WEST EDMONTON WINDOWS INC.
WEST END MAINTENANCE INC.
WEST GROUP HAYS, COMMUNITY PASTURE
WESTERN AGRICULTURAL TRADE ASSOCAITION
WESTERN CANADA ENERGY (1996) LTD.
WESTERN HARDWOOD DISTRIBUTORS LTD.
WESTERN LINE CONTRACTORS & SALES LTD.
WESTERN RESIDENTIAL SERVICES INC.
WESTERN RIG SERVICE & SUPPLY CO. LTD.
WESTGEN POWER LTD.
WESTRIDGE AGENCIES LTD
WHELAN FINANCIAL INC.
WHITE EAGLE PAINTING & DECORATING LTD.
WHITE RADIO, LIMITED
WHITECOURT NORDIC RANGER SKI CLUB
WILD WEST FREESTYLE SKI CLUB
WILDJAM VENTURES INC.
WILDLANDS ECOLOGICAL CONSULTING LTD.
WILDLIFE OBSERVATION SERVICES INC.
WINDAGO TRUCKING LTD.
WINDFALL PLAN INC.
WINDSOR INVESTMENTS INC.
WOLFETONE GAELIC FOOTBALL & ATHLETIC ASSOCIATION
WOMEN'S ARTS INITIATIVE SOCIETY OF CALGARY
WOODLAND EQUIPMENT INC.
WORKHORSE MANAGEMENT LTD.
WYZ FINANCIAL SERVICES INC.
X CORPORATION
XCG CONSULTANTS LIMITED
YANITSKI AUTO REPAIR LTD.
YANK'S PEAK RESOURCES INC.
YEE'S FINE FOODS (1988) LTD.
YEOFORD COMMUNITY CENTRE
YEOMAN DEVELOPMENT COMPANY LIMITED
YOUNGBEAR RESOURCES LTD.
YOUTH DEVELOPMENT SOCIETY OF SLAVE LAKE
YOUTH RESOURCE NETWORK ASSOCIATION  2000 OCT 04.
YUKALTA RESOURCES INC.
Z.O.T.Z. AUCTION SERVICES LTD.
ZERO RACING DEVELOPMENT LTD.

     CORPORATIONS REVIVED/REINSTATED/RESTORED 
 
(Business Corporations Act, Cemetery Companies Act, Companies Act,
Societies Act, Co-operative Associations Act, Credit Union Act, Religious
Societies' Land Act)
________________________________________________________________________

202048 ALBERTA LTD. Numbered Alberta Corporation Incorporated 1980 JUL 23.
Struck-Off The Alberta Register 2000 JAN 05. Revived 2000 OCT 11. No:
202020483.

321848 ALBERTA LTD. Numbered Alberta Corporation Incorporated 1984 DEC 03.
Struck-Off The Alberta Register 2000 JUN 01. Revived 2000 OCT 06. No:
203218482.

322141 ALBERTA LTD. Numbered Alberta Corporation Incorporated 1985 FEB 08.
Struck-Off The Alberta Register 2000 AUG 01. Revived 2000 OCT 11. No:
203221411.

358190 ALBERTA LTD. Numbered Alberta Corporation Incorporated 1986 DEC 16.
Struck-Off The Alberta Register 1999 JUN 01. Revived 2000 OCT 06. No:
203581905.

361436 ALBERTA LTD. Numbered Alberta Corporation Incorporated 1987 JUL 27.
Struck-Off The Alberta Register 1994 JAN 01. Revived 2000 OCT 12. No:
203614367.

405733 ALBERTA LTD. Numbered Alberta Corporation Incorporated 1989 JUL 18.
Struck-Off The Alberta Register 2000 JAN 05. Revived 2000 OCT 05. No:
204057335.

410263 ALBERTA LTD. Numbered Alberta Corporation Incorporated 1989 OCT 20.
Struck-Off The Alberta Register 2000 APR 01. Revived 2000 OCT 03. No:
204102636.

478828 ALBERTA LTD. Numbered Alberta Corporation Incorporated 1991 JAN 04.
Struck-Off The Alberta Register 2000 JUL 01. Revived 2000 OCT 12. No:
204788285.

552022 ALBERTA LTD. Numbered Alberta Corporation Incorporated 1993 JAN 19.
Struck-Off The Alberta Register 2000 JUL 01. Revived 2000 OCT 12. No:
205520224.

563266 ALBERTA LIMITED Numbered Alberta Corporation Incorporated 1993 APR
16. Struck-Off The Alberta Register 1999 MAR 13. Revived 2000 OCT 03. No:
205632664.

639388 ALBERTA LTD. Numbered Alberta Corporation Incorporated 1995 JAN 18.
Struck-Off The Alberta Register 2000 JUL 01. Revived 2000 OCT 06. No:
206393886.

640639 ALBERTA INC. Numbered Alberta Corporation Incorporated 1995 JAN 25.
Struck-Off The Alberta Register 2000 JUL 01. Revived 2000 OCT 03. No:
206406399.

641229 ALBERTA LTD. Numbered Alberta Corporation Incorporated 1995 JAN 31.
Struck-Off The Alberta Register 2000 JUL 01. Revived 2000 OCT 03. No:
206412298.


643271 ALBERTA LTD. Numbered Alberta Corporation Incorporated 1995 FEB 15.
Struck-Off The Alberta Register 1997 AUG 01. Revived 2000 OCT 03. No:
206432718.

686075 ALBERTA LTD. Numbered Alberta Corporation Incorporated 1996 FEB 29.
Struck-Off The Alberta Register 2000 AUG 01. Revived 2000 OCT 02. No:
206860751.

691069 ALBERTA LTD. Numbered Alberta Corporation Incorporated 1996 APR 19.
Struck-Off The Alberta Register 2000 OCT 02. Revived 2000 OCT 11. No:
206910697.

707754 ALBERTA LTD. Numbered Alberta Corporation Incorporated 1996 AUG 28.
Struck-Off The Alberta Register 1999 FEB 01. Revived 2000 OCT 15. No:
207077546.

715284 ALBERTA LTD. Numbered Alberta Corporation Incorporated 1996 NOV 04.
Struck-Off The Alberta Register 2000 MAY 01. Revived 2000 OCT 06. No:
207152844.

728813 ALBERTA LTD. Numbered Alberta Corporation Incorporated 1997 FEB 25.
Struck-Off The Alberta Register 1999 AUG 01. Revived 2000 OCT 10. No:
207288135.

734615 ALBERTA INC. Numbered Alberta Corporation Incorporated 1997 APR 09.
Struck-Off The Alberta Register 1999 OCT 05. Revived 2000 OCT 12. No:
207346156.

738914 ALBERTA LTD. Numbered Alberta Corporation Incorporated 1997 MAY 09.
Struck-Off The Alberta Register 1999 NOV 01. Revived 2000 OCT 03. No:
207389149.

762116 ALBERTA LTD. Numbered Alberta Corporation Incorporated 1997 NOV 06.
Struck-Off The Alberta Register 2000 MAY 01. Revived 2000 OCT 04. No:
207621160.

A B GILL TRUCKING LIMITED Named Alberta Corporation Incorporated 1998 APR
21. Struck-Off The Alberta Register 2000 OCT 02. Revived 2000 OCT 12. No:
207818766.

A.G. CONSULTING LTD. Named Alberta Corporation Incorporated 1998 MAR 04.
Struck-Off The Alberta Register 2000 SEP 02. Revived 2000 OCT 04. No:
207745308.

AAA TECHNICAL BUILDERS LTD. Named Alberta Corporation Incorporated 1996 MAR
01. Struck-Off The Alberta Register 1999 SEP 02. Revived 2000 OCT 04. No:
206865594.

ALBERTA BISON ASSOCIATION Alberta Society Incorporated 1996 NOV 21.
Struck-Off The Alberta Register 2000 MAY 01. Revived 2000 SEP 26. No:
507158624.


ALBERTA ELECTRIC INC. Named Alberta Corporation Incorporated 1994 APR 12.
Struck-Off The Alberta Register 1999 OCT 05. Revived 2000 OCT 11. No:
206068918.

ATC OILFIELD SERVICES LTD. Named Alberta Corporation Incorporated 1995 JAN
19. Struck-Off The Alberta Register 2000 JUL 01. Revived 2000 OCT 11. No:
206395915.

AZZANO FARMS LTD. Named Alberta Corporation Incorporated 1985 DEC 12.
Struck-Off The Alberta Register 1997 JUN 01. Revived 2000 OCT 12. No:
203406905.

B.R. LIBIN CAPITAL CORP. Named Alberta Corporation Incorporated 1994 DEC
19. Struck-Off The Alberta Register 2000 JUN 01. Revived 2000 OCT 02. No:
206366221.

BATTLE RIVER ENVIRONMENTAL LIMITED Named Alberta Corporation Incorporated
1997 DEC 03. Struck-Off The Alberta Register 2000 JUN 01. Revived 2000 OCT
02. No: 207651670.

BERGESON LTD. Named Alberta Corporation Incorporated 1997 NOV 21.
Struck-Off The Alberta Register 2000 MAY 01. Revived 2000 OCT 13. No:
207538406.

BLINN CONSTRUCTION LTD. Named Alberta Corporation Incorporated 1979 OCT 03.
Struck-Off The Alberta Register 1998 OCT 22. Revived 2000 OCT 05. No:
202325015.

BOB MOORHOUSE INC. Named Alberta Corporation Incorporated 1998 MAR 17.
Struck-Off The Alberta Register 2000 SEP 02. Revived 2000 OCT 06. No:
207772294.

C.F.R. DISTRIBUTORS LTD. Named Alberta Corporation Incorporated 1985 FEB
13. Struck-Off The Alberta Register 1999 AUG 01. Revived 2000 OCT 10. No:
203254446.

CALMAR INDUSTRIAL SALES & RENTALS LTD. Named Alberta Corporation
Incorporated 1991 SEP 19. Struck-Off The Alberta Register 2000 MAR 01.
Revived 2000 OCT 10. No: 205052749.

CAN AM MANUFACTURING LIMITED Named Alberta Corporation Incorporated 1989
APR 03. Struck-Off The Alberta Register 2000 OCT 02. Revived 2000 OCT 15.
No: 203973029.

CARCAJOU RESOURCES CORP. Named Alberta Corporation Incorporated 1996 DEC
06. Struck-Off The Alberta Register 1999 JUN 01. Revived 2000 OCT 04. No:
207199290.

CEDAR CHEST & KITCHEN CABINET SPECIALIST LTD. Named Alberta Corporation
Incorporated 1995 JAN 12. Struck-Off The Alberta Register 1999 JUL 01.
Revived 2000 OCT 13. No: 206387524.

COASTAL OIL & GAS CORPORATION Foreign Corporation Registered 1978 MAR 31.
Struck-Off The Alberta Register 1985 APR 01. Reinstated 2000 OCT 10. No:
210148144.

CONSOLIDATED TAKO RESOURCES LTD. Other Prov/Territory Corps Registered 1994
NOV 16. Struck-Off The Alberta Register 1997 MAY 01. Reinstated 2000 OCT
11. No: 216321315.

COUGAR HOLDINGS CORP. Named Alberta Corporation Incorporated 1986 MAY 26.
Struck-Off The Alberta Register 1999 NOV 01. Revived 2000 OCT 13. No:
203489380.

CYBER CONNECTIONS LTD. Named Alberta Corporation Incorporated 1997 APR 16.
Struck-Off The Alberta Register 2000 OCT 02. Revived 2000 OCT 13. No:
207356734.

D.D.T. OILFIELD SERVICES LTD. Named Alberta Corporation Incorporated 1997
AUG 28. Struck-Off The Alberta Register 2000 FEB 01. Revived 2000 OCT 05.
No: 207527268.

E & R DISTRIBUTORS LTD. Named Alberta Corporation Incorporated 1979 NOV 27.
Struck-Off The Alberta Register 1997 MAY 01. Revived 2000 OCT 05. No:
202226775.

EL CHROMAY MANOR LTD Named Alberta Corporation Incorporated 1964 MAR 20.
Struck-Off The Alberta Register 2000 SEP 02. Revived 2000 OCT 13. No:
200358265.

FAMILYCARE INC. Named Alberta Corporation Incorporated 1979 APR 02.
Struck-Off The Alberta Register 2000 OCT 02. Revived 2000 OCT 11. No:
202160792.

G-MAN TRUCKING INC. Named Alberta Corporation Incorporated 1997 DEC 19.
Struck-Off The Alberta Register 2000 JUN 01. Revived 2000 OCT 13. No:
207681826.

G.M.D. HOLDINGS (1997) LTD. Named Alberta Corporation Incorporated 1997 AUG
21. Struck-Off The Alberta Register 2000 FEB 01. Revived 2000 OCT 11. No:
207516444.

GASPARD & SONS (ALBERTA) LIMITED Named Alberta Corporation Incorporated
1994 FEB 07. Struck-Off The Alberta Register 2000 AUG 01. Revived 2000 OCT
12. No: 205981517.

GENERAL NURSING RESOURCES INC. Named Alberta Corporation Incorporated 1997
MAR 03. Struck-Off The Alberta Register 1999 SEP 02. Revived 2000 SEP 28.
No: 207296617.

GHAZI HOLDINGS LTD. Named Alberta Corporation Incorporated 1971 JAN 13.
Struck-Off The Alberta Register 2000 JUL 01. Revived 2000 OCT 02. No:
200565570.

GRAHAM'S PANTRY BULK FOODS & DELI LTD. Named Alberta Corporation
Incorporated 1994 FEB 16. Struck-Off The Alberta Register 2000 AUG 01.
Revived 2000 OCT 03. No: 205997992.

GULFSTREAM FINANCIAL CORP. Named Alberta Corporation Incorporated 1994 APR
20. Struck-Off The Alberta Register 2000 OCT 02. Revived 2000 OCT 02. No:
206081200.

HON'S VIDEO STORE LTD. Named Alberta Corporation Incorporated 1981 JUN 23.
Struck-Off The Alberta Register 1999 MAR 13. Revived 2000 OCT 06. No:
202730511.

HUSTON CONSULTING INC. Named Alberta Corporation Incorporated 1997 JAN 17.
Struck-Off The Alberta Register 2000 JUL 01. Revived 2000 OCT 04. No:
207179029.

HUTTERIAN BRETHREN CHURCH OF WARBURG Non-Profit Private Company
Incorporated 1975 JAN 29. Struck-Off The Alberta Register 1982 NOV 01.
Revived 2000 OCT 03. No: 510779176.

INDUSTRIAL DRILLERS LTD Named Alberta Corporation Incorporated 1963 MAR 04.
Struck-Off The Alberta Register 1981 AUG 31. Restored 2000 SEP 29. No:
200331148.

INPLAY INCORPORATED Named Alberta Corporation Incorporated 1995 FEB 15.
Struck-Off The Alberta Register 2000 AUG 01. Revived 2000 OCT 10. No:
206431702.

J5 OILFIELD DRILLING CONSULTING LTD. Named Alberta Corporation Incorporated
1997 SEP 26. Struck-Off The Alberta Register 2000 MAR 01. Revived 2000 OCT
05. No: 207564980.

K AND L CONTRACTING LTD. Named Alberta Corporation Incorporated 1998 FEB
11. Struck-Off The Alberta Register 2000 AUG 01. Revived 2000 OCT 11. No:
207702754.

KEN ANDERSON AGENCY LTD. Named Alberta Corporation Incorporated 1994 DEC
06. Struck-Off The Alberta Register 2000 JUN 01. Revived 2000 OCT 06. No:
206348997.

KEYSTONE CONSULTING & ENTERPRISES LTD. Named Alberta Corporation
Incorporated 1993 OCT 14. Struck-Off The Alberta Register 2000 APR 01.
Revived 2000 OCT 06. No: 205840218.

KITTY SKIN CARE LIMITED Named Alberta Corporation Incorporated 1997 AUG 12.
Struck-Off The Alberta Register 2000 FEB 01. Revived 2000 OCT 02. No:
207506700.

M N X HOLDINGS LTD. Named Alberta Corporation Incorporated 1979 MAY 23.
Struck-Off The Alberta Register 1999 NOV 01. Revived 2000 OCT 02. No:
202189221.

MCWINN RESEARCH LTD. Named Alberta Corporation Incorporated 1983 MAR 10.
Struck-Off The Alberta Register 2000 SEP 02. Revived 2000 OCT 06. No:
202976544.

MICHAEL A. DOLYNCHUK PROFESSIONAL CORPORATION Dental Professional
Corporation Incorporated 1995 AUG 24. Struck-Off The Alberta Register 2000
FEB 01. Revived 2000 OCT 03. No: 206655698.

MIDWEST CONSTRUCTORS CORP. Federal Corporation Registered 1996 JUL 08.
Struck-Off The Alberta Register 2000 JAN 05. Reinstated 2000 OCT 06. No:
216999839.

MOUNTAIN SKYLINE TRANSPORTATION & TOURS LTD. Named Alberta Corporation
Incorporated 1993 APR 20. Struck-Off The Alberta Register 2000 OCT 02.
Revived 2000 OCT 13. No: 205635113.

MOVEMENT FOR THE ESTABLISHMENT OF REAL GENDER EQUALITY (M.E.R.G.E.)
ASSOCIATION Alberta Society Incorporated 1987 MAR 12. Struck-Off The
Alberta Register 2000 SEP 02. Revived 2000 OCT 06. No: 503628463.


MR-GO ENTERPRISES LTD. Named Alberta Corporation Incorporated 1987 NOV 26.
Struck-Off The Alberta Register 1999 FEB 01. Revived 2000 OCT 13. No:
203757059.

NORTH RIDGE SALES INC. Named Alberta Corporation Incorporated 1997 APR 21.
Struck-Off The Alberta Register 2000 OCT 02. Revived 2000 OCT 06. No:
207361049.

NORTHLAND PLUMBING AND HEATING LTD. Named Alberta Corporation Incorporated
1991 JUN 06. Struck-Off The Alberta Register 1997 DEC 01. Revived 2000 OCT
12. No: 204937346.

ORION PHOTO-TECHNICAL SERVICE LTD. Named Alberta Corporation Incorporated
1985 APR 22. Struck-Off The Alberta Register 2000 OCT 02. Revived 2000 OCT
06. No: 203289517.

PARNASSOS INTERNATIONAL TRADE INC. Named Alberta Corporation Incorporated
1992 MAR 10. Struck-Off The Alberta Register 2000 SEP 02. Revived 2000 OCT
11. No: 205219033.

R & R PROJECTS LTD. Named Alberta Corporation Incorporated 1997 DEC 19.
Struck-Off The Alberta Register 2000 JUN 01. Revived 2000 OCT 02. No:
207689399.

R R INSPECTION LTD. Named Alberta Corporation Incorporated 1997 JUN 27.
Struck-Off The Alberta Register 1999 DEC 01. Revived 2000 OCT 02. No:
207452111.

R. FITZGERALD WOODWORKING LTD. Named Alberta Corporation Incorporated 1996
OCT 07. Struck-Off The Alberta Register 1999 APR 09. Revived 2000 OCT 03.
No: 207121401.

RAINDANCE IRRIGATION LTD. Named Alberta Corporation Incorporated 1990 JAN
29. Struck-Off The Alberta Register 2000 JUL 01. Revived 2000 OCT 12. No:
204147441.

RESERVOIR DOGS LTD. Named Alberta Corporation Incorporated 1993 MAR 11.
Struck-Off The Alberta Register 2000 SEP 02. Revived 2000 OCT 12. No:
205585300.

ROD BARDENHAGEN SERVICES LTD. Named Alberta Corporation Incorporated 1995
MAR 27. Struck-Off The Alberta Register 1999 SEP 02. Revived 2000 OCT 02.
No: 206486631.

ROSS G. MITCHELL PROFESSIONAL CORPORATION Legal Professional Corporation
Incorporated 1992 JUL 06. Struck-Off The Alberta Register 2000 JAN 05.
Revived 2000 OCT 11. No: 205344849.

SAFETECH CANADA LTD. Named Alberta Corporation Incorporated 1994 JUN 24.
Struck-Off The Alberta Register 1999 DEC 01. Revived 2000 OCT 13. No:
206161903.

SCHMIDT & KRYSKA INC. Named Alberta Corporation Incorporated 1991 FEB 20.
Struck-Off The Alberta Register 2000 AUG 01. Revived 2000 OCT 12. No:
204843007.

SHACKLETON LAND AND CATTLE COMPANY LTD. Named Alberta Corporation
Incorporated 1997 MAR 06. Struck-Off The Alberta Register 2000 SEP 02.
Revived 2000 OCT 05. No: 207306853.


STITCH & STYLE SPORTS WEAR LTD. Named Alberta Corporation Incorporated 1995
NOV 27. Struck-Off The Alberta Register 1999 MAY 01. Revived 2000 OCT 04.
No: 206762114.

SUAREZ MANAGEMENT CONSULTANTS LTD. Named Alberta Corporation Incorporated
1993 JUL 27. Struck-Off The Alberta Register 1998 OCT 15. Revived 2000 OCT
13. No: 205748817.

TALON AVIATION INC. Named Alberta Corporation Incorporated 1996 MAR 22.
Struck-Off The Alberta Register 2000 SEP 02. Revived 2000 OCT 10. No:
206889495.

TEL-E CONNECT SYSTEMS LTD. Other Prov/Territory Corps Registered 1996 MAR
07. Struck-Off The Alberta Register 2000 SEP 02. Reinstated 2000 OCT 11.
No: 216872911.

THE SCENIC ROUTE INC. Named Alberta Corporation Incorporated 1997 FEB 20.
Struck-Off The Alberta Register 2000 AUG 01. Revived 2000 OCT 03. No:
207284167.

THERLA ENTERPRISES LTD Named Alberta Corporation Incorporated 1998 APR 03.
Struck-Off The Alberta Register 2000 OCT 02. Revived 2000 OCT 06. No:
207800079.

THREE HILLS MOTOR PRODUCTS LTD. Named Alberta Corporation Incorporated 1990
FEB 13. Struck-Off The Alberta Register 2000 AUG 01. Revived 2000 OCT 14.
No: 204167530.

THREE V TRUCKING LTD. Named Alberta Corporation Incorporated 1994 SEP 19.
Struck-Off The Alberta Register 1998 OCT 21. Revived 2000 OCT 04. No:
206250136.

TOTAL CORPORATE AVIATION SERVICES LTD. Federal Corporation Registered 1993
SEP 17. Struck-Off The Alberta Register 2000 MAR 01. Reinstated 2000 OCT
15. No: 215804261.

TOTAL ENTERTAINMENT NETWORK (TEN) INC. Named Alberta Corporation
Incorporated 1996 SEP 25. Struck-Off The Alberta Register 2000 MAR 01.
Revived 2000 OCT 13. No: 207106931.

TRI-MATE HOLDINGS LTD. Named Alberta Corporation Incorporated 1994 NOV 22.
Struck-Off The Alberta Register 2000 MAY 01. Revived 2000 OCT 01. No:
206322042.

UNIQUE LIGHTNING SERVICES LTD Named Alberta Corporation Incorporated 1998
FEB 20. Struck-Off The Alberta Register 2000 AUG 01. Revived 2000 OCT 03.
No: 207718289.
UPLINK CHINESE CHRISTIAN MEDIA OUTREACH Non-Profit Private Company
Incorporated 1995 AUG 14. Struck-Off The Alberta Register 1999 FEB 01.
Revived 2000 OCT 13. No: 516645710.

UPRIGHT DEVELOPMENTS INC Named Alberta Corporation Incorporated 1998 APR
24. Struck-Off The Alberta Register 2000 OCT 02. Revived 2000 OCT 02. No:
207815853.

V.H.F. CABLE SERVICES LTD. Named Alberta Corporation Incorporated 1988 AUG
23. Struck-Off The Alberta Register 1997 FEB 01. Revived 2000 OCT 11. No:
203889241.

VENTURES '92 LTD. Named Alberta Corporation Incorporated 1996 OCT 09.
Struck-Off The Alberta Register 1999 APR 09. Revived 2000 OCT 12. No:
207110305.

VIC EVANS AND SON'S CONSTRUCTION LTD. Named Alberta Corporation
Incorporated 1989 NOV 01. Struck-Off The Alberta Register 2000 MAY 01.
Revived 2000 OCT 05. No: 204109342.

VT PROCUREMENT SYSTEMS INC. Named Alberta Corporation Incorporated 1997 JUL
02. Struck-Off The Alberta Register 2000 JAN 05. Revived 2000 OCT 11. No:
207458878.

W.R. HARGRAVE CONSULTING LTD. Named Alberta Corporation Incorporated 1988
NOV 17. Struck-Off The Alberta Register 1995 MAY 01. Revived 2000 OCT 13.
No: 203925300.

W.W.B. HOLDINGS LTD. Named Alberta Corporation Incorporated 1998 FEB 24.
Struck-Off The Alberta Register 2000 AUG 01. Revived 2000 OCT 11. No:
207726704.

WEST END AUTO WRECKERS LTD. Named Alberta Corporation Incorporated 1961 MAY
24. Struck-Off The Alberta Register 1999 NOV 01. Revived 2000 OCT 04. No:
200292217.

Y. OKAMURA PROFESSIONAL CORPORATION Medical Professional Corporation
Incorporated 1977 MAR 21. Struck-Off The Alberta Register 2000 SEP 02.
Revived 2000 OCT 13. No: 201012937.

YEE'S FINE FOODS (1988) LTD. Named Alberta Corporation Incorporated 1998
APR 03. Struck-Off The Alberta Register 2000 OCT 02. Revived 2000 OCT 12.
No: 207799008.




     NOTICES OF AMALGAMATION

(Business Corporations Act, Companies Act, Co-operative Associations Act,
Credit Unions Act, Loan and Trust Corporations Act, Rural Utilities Act)
________________________________________________________________________

Notice is hereby given pursuant to the provisions of section 179 of the
Business Corporations Act that 
     495708 ALBERTA LTD.
     898041 ALBERTA LTD.
were on 2000 OCT 01 amalgamated as one corporation under the name 
     899081 ALBERTA LTD.
     No. 208990812
The registered office of the corporation shall be 
     PLAN 6630JK, SE 1/4 SECTION 29, TOWNSHIP 22, RANGE 2, W5M

Notice is hereby given pursuant to the provisions of section 179 of the
Business Corporations Act that 
     785188 ALBERTA LTD.
     899403 ALBERTA LTD.
were on 2000 OCT 01 amalgamated as one corporation under the name 
     899418 ALBERTA LTD.
     No. 208994186
The registered office of the corporation shall be 
     900, 521 - 3RD AVENUE S.W.
     CALGARY ALBERTA T2P 3T3

Notice is hereby given pursuant to the provisions of section 179 of the
Business Corporations Act that 
     370664 ALBERTA LTD.
     370661 ALBERTA LTD.
were on 2000 OCT 02 amalgamated as one corporation under the name 
     899806 ALBERTA LTD.
     No. 208998062
The registered office of the corporation shall be 
     1400, 350 - 7TH AVENUE S.W.
     CALGARY ALBERTA T2P 3N9

Notice is hereby given pursuant to the provisions of section 179 of the
Business Corporations Act that 
     744952 ALBERTA LTD.
     GATO PROPERTY MANAGEMENT LTD.
were on 2000 OCT 05 amalgamated as one corporation under the name 
     900291 ALBERTA LTD.
     No. 209002914
The registered office of the corporation shall be 
     #219, 6203 - 28 AVENUE
     EDMONTON ALBERTA T6L 6K3

Notice is hereby given pursuant to the provisions of section 179 of the
Business Corporations Act that 
     690687 ALBERTA LIMITED
     900726 ALBERTA LTD.
were on 2000 OCT 12 amalgamated as one corporation under the name 
     901275 ALBERTA LIMITED
     No. 209012756
The registered office of the corporation shall be 
     1413 - 2ND STREET S.W.
     CALGARY ALBERTA T2R 0W7


Notice is hereby given pursuant to the provisions of section 179 of the
Business Corporations Act that 
     690686 ALBERTA LIMITED
     900719 ALBERTA LTD.
were on 2000 OCT 12 amalgamated as one corporation under the name 
     901276 ALBERTA LIMITED
     No. 209012764
The registered office of the corporation shall be 
     1413 - 2ND STREET S.W.
     CALGARY ALBERTA T2R 0W7

Notice is hereby given pursuant to the provisions of section 179 of the
Business Corporations Act that 
     425725 ALBERTA LTD.
     A. P. FERENCE, PROFESSIONAL CORPORATION
were on 2000 OCT 13 amalgamated as one corporation under the name 
     A.P. FERENCE INVESTMENTS INC.
     No. 209011725
The registered office of the corporation shall be 
     2200-10123 99 ST NW
     EDMONTON ALBERTA T5J 3H1

Notice is hereby given pursuant to the provisions of section 179 of the
Business Corporations Act that 
     AGL HOMES LTD.
     RUSSO EXCAVATING LTD.
were on 2000 OCT 03 amalgamated as one corporation under the name 
     AGL HOMES LTD.
     No. 208998716
The registered office of the corporation shall be 
     850, 933 - 17TH AVENUE SW
     CALGARY ALBERTA T2T 5R6

Notice is hereby given pursuant to the provisions of section 179 of the
Business Corporations Act that 
     ALTALAND INDUSTRIES LTD
     338113 ALBERTA LTD.
were on 2000 OCT 01 amalgamated as one corporation under the name 
     ALTALAND INDUSTRIES LTD.
     No. 208984419
The registered office of the corporation shall be 
     18035-107 AVENUE
     EDMONTON ALBERTA T5S 1K3

Notice is hereby given pursuant to the provisions of section 179 of the
Business Corporations Act that 
     AMD ADVANCED MICRO DESIGN LTD.
     FRONTLINE PERSONNEL INC.
     SYSTEMS 4 U INC.
     857396 ALBERTA LTD.
were on 2000 OCT 01 amalgamated as one corporation under the name 
     AMD ADVANCED MICRO DESIGN LTD.
     No. 208993352
The registered office of the corporation shall be 
     1500, 10180 - 101 STREET
     EDMONTON ALBERTA T5J 4K1


Notice is hereby given pursuant to the provisions of section 179 of the
Business Corporations Act that 
     GLENAR CONSULTING & CONSTRUCTION
         LTD.
     CASALTA MANAGEMENT LTD.
     KONZEPTA REAL ESTATE LTD.
     BAULAND INC.
were on 2000 OCT 11 amalgamated as one corporation under the name 
     BAULAND INC.
     No. 209009828
The registered office of the corporation shall be 
     200, 622 - 5 AVENUE SW
     CALGARY ALBERTA T2P 0M6

Notice is hereby given pursuant to the provisions of section 179 of the
Business Corporations Act that 
     BICKELL FARMS LTD.
     ION TECHNOLOGIES INC.
were on 2000 OCT 01 amalgamated as one corporation under the name 
     BICKELL FARMS LTD.
     No. 208988816
The registered office of the corporation shall be 
     10022 - 102 AVENUE
     GRANDE PRAIRIE ALBERTA T8V 0Z7

Notice is hereby given pursuant to the provisions of section 179 of the
Business Corporations Act that 
     RANGER OIL LIMITED
     CANADIAN NATURAL RESOURCES LIMITED
were on 2000 OCT 01 amalgamated as one corporation under the name 
     CANADIAN NATURAL RESOURCES LIMITED
     No. 208992206
The registered office of the corporation shall be 
     #3400, 150 - 6TH AVENUE S.W.
     CALGARY ALBERTA T2P 3Y7

Notice is hereby given pursuant to the provisions of section 277 of the
Business Corporations Act that 
     DAC GROUP (HOLDINGS) LIMITED
     1313624 ONTARIO INC.
were on 2000 OCT 03 amalgamated as one corporation under the name 
     DAC GROUP (HOLDINGS) LIMITED
     No. 218989564
The registered office of the corporation shall be 
     2900, 10180-101 STREET
     EDMONTON ALBERTA  T5J 3V5

Notice is hereby given pursuant to the provisions of section 179 of the
Business Corporations Act that 
     DESLAN ENTERPRISES INC.
     DESLAN HOLDINGS LTD.
were on 2000 OCT 01 amalgamated as one corporation under the name 
     DESLAN HOLDINGS LTD.
     No. 208991489
The registered office of the corporation shall be 
     NW 22 69 17 W4

Notice is hereby given pursuant to the provisions of section 179 of the
Business Corporations Act that 
     FIRST-CALL CELLULAR INC.
     DIGITAL COMMUNICATIONS GROUP LTD.
were on 2000 OCT 01 amalgamated as one corporation under the name 
     DIGITAL COMMUNICATIONS GROUP LTD.
     No. 208995597
The registered office of the corporation shall be 
     2500, 10303 JASPER AVENUE
     EDMONTON ALBERTA T5J 3N6


Notice is hereby given pursuant to the provisions of section 27.1 of the
Societies Act that 
     FOREST INDUSTRY SUPPLIERS ASSOCIATION
         OF ALBERTA
     ALBERTA LOGGING ASSOCIATION 1988
were on 2000 OCT 01 amalgamated as one society under the name 
     FOREST INDUSTRY SUPPLIERS & LOGGING
         ASSOCIATION (FISLA)
     No. 508972171
The registered office of the society shall be 
     C/O BISHOP & MCKENZIE, 2500, 10103-104
         AVENUE
     EDMONTON ALBERTA T5J 1V3

Notice is hereby given pursuant to the provisions of section 179 of the
Business Corporations Act that 
     GUY CLARKSON HOLDINGS INC.
     ROYAL ANTLER RANCH LTD.
were on 2000 OCT 12 amalgamated as one corporation under the name 
     GUY CLARKSON HOLDINGS INC.
     No. 209011352
The registered office of the corporation shall be 
     1220, 144 - 4TH AVENUE S.W.
     CALGARY ALBERTA T2P 3N4

Notice is hereby given pursuant to the provisions of section 277 of the
Business Corporations Act that 
     MULTIMICRO INC.
     HARTCO CORPORATION
were on 2000 OCT 04 amalgamated as one corporation under the name 
     HARTCO CORPORATION
     No. 219001401
The registered office of the corporation shall be 
     2600, 10180-101 STREET
     EDMONTON ALBERTA T5J 3Y2

Notice is hereby given pursuant to the provisions of section 179 of the
Business Corporations Act that 
     HIGH ALTITUDE LAND DESIGNS INC.
     900707 ALBERTA LTD.
were on 2000 OCT 12 amalgamated as one corporation under the name 
     HIGH ALTITUDE LAND DESIGNS INC.
     No. 209012517
The registered office of the corporation shall be 
     1413 - 2ND STREET S.W.
     CALGARY ALBERTA T2R 0W7

Notice is hereby given pursuant to the provisions of section 179 of the
Business Corporations Act that 
     J.B.R. FINANCIAL SERVICES LTD.
     CAISLEY HOLDINGS LTD.
were on 2000 OCT 01 amalgamated as one corporation under the name 
     J.B.R. FINANCIAL SERVICES LTD.
     No. 208994566
The registered office of the corporation shall be 
     #600, 9835 - 101 AVENUE
     GRANDE PRAIRIE ALBERTA T8V 5V4

Notice is hereby given pursuant to the provisions of section 179 of the
Business Corporations Act that 
     PROVOST OILFIELD SERVICES LTD.
     JADE OILFIELD SERVICE LTD.
     JADE ENVIRONMENTAL SERVICES LTD.
were on 2000 OCT 01 amalgamated as one corporation under the name 
     JADE OILFIELD SERVICE LTD.
     No. 208987321
The registered office of the corporation shall be 
     103 - 2ND AVENUE WEST
     BROOKS ALBERTA T1R 1B6


Notice is hereby given pursuant to the provisions of section 179 of the
Business Corporations Act that 
     619659 ALBERTA LTD.
     KRACO ENTERPRISES INC.
were on 2000 OCT 02 amalgamated as one corporation under the name 
     KRACO ENTERPRISES INC.
     No. 208996801
The registered office of the corporation shall be 
     108, 9824 - 97 AVENUE
     GRANDE PRAIRIE ALBERTA T8V 7K2

Notice is hereby given pursuant to the provisions of section 179 of the
Business Corporations Act that 
     LORNE G. BRACKENBURY HOLDINGS LTD.
     WILDERS MOTORS INC.
were on 2000 OCT 01 amalgamated as one corporation under the name 
     LORNE G. BRACKENBURY HOLDINGS LTD.
     No. 208994384
The registered office of the corporation shall be 
     10410 - 81 AVENUE
     EDMONTON ALBERTA T6E 1X5

Notice is hereby given pursuant to the provisions of section 179 of the
Business Corporations Act that 
     MAXIM MORRISON HERSHFIELD LIMITED
     312655 ALBERTA LTD.
were on 2000 OCT 02 amalgamated as one corporation under the name 
     MAXIM MORRISON HERSHFIELD LIMITED
     No. 208974436
The registered office of the corporation shall be 
     1700, 10235 - 101 STREET
     EDMONTON ALBERTA T5J 3G1

Notice is hereby given pursuant to the provisions of section 179 of the
Business Corporations Act that 
     MIDFIELD SUPPLY LTD.
     593989 ALBERTA LTD.
     593994 ALBERTA LTD.
     593990 ALBERTA LTD.
     593988 ALBERTA LTD.
     589845 ALBERTA LTD.
     582698 ALBERTA LTD.
     593992 ALBERTA LTD.
     KIRSCHENMAN INVESTMENTS LTD.
     RITE SUPPLY LTD.
     576932 ALBERTA INC.
     405536 ALBERTA INC.
     515791 ALBERTA INC.
were on 2000 OCT 01 amalgamated as one corporation under the name 
     MIDFIELD SUPPLY LTD.
     No. 208991596
The registered office of the corporation shall be 
     B 212 - 3 AVENUE W.
     BROOKS ALBERTA T1R 1C1

Notice is hereby given pursuant to the provisions of section 277 of the
Business Corporations Act that 
     NATIONAL SILICATES LIMITED/SILICATES
         NATIONAL LIMITEE
     COMPAGNIE SILICATES
         NATIONAL/SILICATES NATIONAL
         COMPANY
were on 2000 OCT 04 amalgamated as one corporation under the name 
     NATIONAL SILICATES
         COMPANY/COMPAGNIE SILICATES
         NATIONAL
     No. 219001633
The registered office of the corporation shall be 
     1900, 333 - 7 AVE SW
     CALGARY ALBERTA T2P 2Z1

Notice is hereby given pursuant to the provisions of section 277 of the
Business Corporations Act that 
     NOR-DON COLLECTION NETWORK INC.
     3627616 CANADA INC.
     3627624 CANADA INC.
were on 2000 OCT 10 amalgamated as one corporation under the name 
     NOR-DON COLLECTION NETWORK INC.
     No. 219007788
The registered office of the corporation shall be 
     1200, 700 - 2ND STREET S.W.
     CALGARY ALBERTA T2P 4V5

Notice is hereby given pursuant to the provisions of section 179 of the
Business Corporations Act that 
     P & H PROPERTIES LTD.
     851537 ALBERTA LTD.
were on 2000 OCT 01 amalgamated as one corporation under the name 
     P & H PROPERTIES LTD.
     No. 208978908
The registered office of the corporation shall be 
     #203, 5101 48 STREET
     LLOYDMINSTER ALBERTA T9V 0H9

Notice is hereby given pursuant to the provisions of section 179 of the
Business Corporations Act that 
     PAR EXCELLENCE GOLF MANAGEMENT INC.
     900619 ALBERTA LTD.
were on 2000 OCT 12 amalgamated as one corporation under the name 
     PAR EXCELLENCE GOLF MANAGEMENT INC.
     No. 209010693
The registered office of the corporation shall be 
     1413 - 2ND STREET S.W.
     CALGARY ALBERTA T2R 0W7

Notice is hereby given pursuant to the provisions of section 179 of the
Business Corporations Act that 
     PAR EXCELLENCE GOLF MANAGEMENT INC.
     900614 ALBERTA LTD.
were on 2000 OCT 12 amalgamated as one corporation under the name 
     PAR EXCELLENCE GOLF MANAGEMENT INC.
     No. 209012798
The registered office of the corporation shall be 
     1413 - 2ND STREET S.W.
     CALGARY ALBERTA T2R 0W7

Notice is hereby given pursuant to the provisions of section 179 of the
Business Corporations Act that 
     PAUL FUNG'S INVESTMENTS LTD.
     C. PAUL FUNG PROFESSIONAL
        CORPORATION
were on 2000 OCT 01 amalgamated as one corporation under the name 
     PAUL FUNG'S INVESTMENTS LTD.
     No. 208991182
The registered office of the corporation shall be 
     12427 GRANDVIEW DRIVE
     EDMONTON ALBERTA T6H 4K3

Notice is hereby given pursuant to the provisions of section 277 of the
Business Corporations Act that 
     PLANDIRECT INSURANCE SERVICES INC.
     DESTINATION TRAVEL HEALTH PLANS INC.
were on 2000 OCT 11 amalgamated as one corporation under the name 
     PLANDIRECT INSURANCE SERVICES INC.
     No. 219008703
The registered office of the corporation shall be 
     1000, 400 - 3RD AVENUE S.W.
     CALGARY ALBERTA T2P 4H2


Notice is hereby given pursuant to the provisions of section 179 of the
Business Corporations Act that 
     POLINSKY ENTERPRISES LTD
     256515 ALBERTA LTD.
were on 2000 OCT 01 amalgamated as one corporation under the name 
     POLINSKY ENTERPRISES LTD.
     No. 208989772
The registered office of the corporation shall be 
     4713 - 50 STREET
     ST. PAUL ALBERTA T0A 3A4

Notice is hereby given pursuant to the provisions of section 277 of the
Business Corporations Act that 
     NATIONAL SILICATES
         COMPANY/COMPAGNIE SILICATES
         NATIONAL
     POTTERS INDUSTRIES (ALBERTA) COMPANY
     PQ CANADA COMPANY
were on 2000 OCT 04 amalgamated as one corporation under the name 
     PQ CANADA COMPANY
     No. 219001864
The registered office of the corporation shall be 
     1900, 333 - 7 AVE SW
     CALGARY ALBERTA T2P 2Z1

Notice is hereby given pursuant to the provisions of section 179 of the
Business Corporations Act that 
     INDEPENDENCE PRO BOXING LTD.
     296980 ALBERTA LTD.
were on 2000 OCT 01 amalgamated as one corporation under the name 
     PUGWASH HOLDINGS LTD.
     No. 208995456
The registered office of the corporation shall be 
     2500, 10155 - 102 STREET
     EDMONTON ALBERTA T5J 4G8

Notice is hereby given pursuant to the provisions of section 179 of the
Business Corporations Act that 
     RL ACQUISITION CORP.
     RAILINK LTD.
were on 2000 OCT 04 amalgamated as one corporation under the name 
     RAILINK LTD.
     No. 209000090
The registered office of the corporation shall be 
     10TH FLOOR, FIFTH AVENUE PLACE,
         425-1 STREET SW
     CALGARY ALBERTA T2P 3L8

Notice is hereby given pursuant to the provisions of section 179 of the
Business Corporations Act that 
     REAL RESOURCES INC.
     PRISM PETROLEUM INC.
were on 2000 OCT 02 amalgamated as one corporation under the name 
     REAL RESOURCES INC.
     No. 208992032
The registered office of the corporation shall be 
     3500, 855 - 2 STREET SW
     CALGARY ALBERTA T2P 4J8

Notice is hereby given pursuant to the provisions of section 179 of the
Business Corporations Act that 
     RUTLEDGE RANCHING (MONITOR) LTD.
     RUTLEDGE HOLDINGS (MONITOR) LTD.
were on 2000 OCT 01 amalgamated as one corporation under the name 
     RUTLEDGE RANCHING (MONITOR) LTD.
     No. 208992768
The registered office of the corporation shall be 
     2500, 10303 JASPER AVENUE
     EDMONTON ALBERTA T5J 3N6

Notice is hereby given pursuant to the provisions of section 179 of the
Business Corporations Act that 
     THERMO KING WESTERN LTD.
     THERMO KING WESTERN (CALGARY) LTD.
     SCALLION ENTERPRISES LTD
were on 2000 OCT 01 amalgamated as one corporation under the name 
     SCALLION ENTERPRISES LTD.
     No. 208994806
The registered office of the corporation shall be 
     2900, 10180 - 101 STREET
     EDMONTON ALBERTA T5J 3V5

Notice is hereby given pursuant to the provisions of section 179 of the
Business Corporations Act that 
     SOLEX ENERGY INC.
     SOLEX ENERGY PRODUCTION LTD.
were on 2000 OCT 01 amalgamated as one corporation under the name 
     SOLEX ENERGY INC.
     No. 208994525
The registered office of the corporation shall be 
     4500, 855 - 2ND STREET S.W.
     CALGARY ALBERTA T2P 4K7

Notice is hereby given pursuant to the provisions of section 179 of the
Business Corporations Act that 
     SOUTHWESTERN ENVIRONMENTAL CARE
         INC.
     900610 ALBERTA LTD.
were on 2000 OCT 12 amalgamated as one corporation under the name 
     SOUTHWESTERN ENVIRONMENTAL CARE
         INC.
     No. 209012301
The registered office of the corporation shall be 
     1413 - 2ND STREET S.W.
     CALGARY ALBERTA T2R 0W7

Notice is hereby given pursuant to the provisions of section 179 of the
Business Corporations Act that 
     SOUTHWESTERN ENVIRONMENTAL CARE
         INC.
     900625 ALBERTA LTD.
were on 2000 OCT 12 amalgamated as one corporation under the name 
     SOUTHWESTERN ENVIRONMENTAL CARE
         INC.
     No. 209012822
The registered office of the corporation shall be 
     1413 - 2ND STREET S.W.
     CALGARY ALBERTA T2R 0W7

Notice is hereby given pursuant to the provisions of section 179 of the
Business Corporations Act that 
     STURGEON REWIND LTD.
     847817 ALBERTA LTD.
were on 2000 OCT 01 amalgamated as one corporation under the name 
     STURGEON REWIND LTD.
     No. 208964973
The registered office of the corporation shall be 
     10509 - 100 AVENUE
     FORT SASKATCHEWAN ALBERTA T8L 1Z5

Notice is hereby given pursuant to the provisions of section 179 of the
Business Corporations Act that 
     SUPERFLY INC.
     S GROUP MANAGEMENT INC.
were on 2000 OCT 01 amalgamated as one corporation under the name 
     SUPERFLY INC.
     No. 208994020
The registered office of the corporation shall be 
     2500, 10303 JASPER AVENUE
     EDMONTON ALBERTA T5J 3N6


Notice is hereby given pursuant to the provisions of section 179 of the
Business Corporations Act that 
     TEXFLO MACHINING LTD
     TEXFLO NORTHWEST LTD.
were on 2000 OCT 01 amalgamated as one corporation under the name 
     TEXFLO MACHINING LTD.
     No. 208991828
The registered office of the corporation shall be 
     #102, 11748 KINGSWAY AVENUE
     EDMONTON ALBERTA T5G 0X5

Notice is hereby given pursuant to the provisions of section 179 of the
Business Corporations Act that 
     894630 ALBERTA LTD.
     THE WOODMAN FINANCIAL GROUP INC.
were on 2000 OCT 02 amalgamated as one corporation under the name 
     THE WOODMAN FINANCIAL GROUP INC.
     No. 208997841
The registered office of the corporation shall be 
     3500, 855 - 2 STREET SW
     CALGARY ALBERTA T2P 4J8

Notice is hereby given pursuant to the provisions of section 179 of the
Business Corporations Act that 
     TIO INVEST LTD
     898709 ALBERTA LTD.
were on 2000 OCT 01 amalgamated as one corporation under the name 
     TIO INVEST LTD.
     No. 208995522
The registered office of the corporation shall be 
     3000, 237 - 4 AVENUE S.W.
     CALGARY ALBERTA T2P 4X7

Notice is hereby given pursuant to the provisions of section 179 of the
Business Corporations Act that 
     TIVERTON PETROLEUMS LTD.
     DALTON RESOURCES LTD.
were on 2000 OCT 01 amalgamated as one corporation under the name 
     TIVERTON PETROLEUMS LTD.
     No. 208995639
The registered office of the corporation shall be 
     1200, 700 - 2ND STREET S.W.
     CALGARY ALBERTA T2P 4V5

Notice is hereby given pursuant to the provisions of section 179 of the
Business Corporations Act that 
     TRAIN FLEET SERVICES (WEST) LTD.
     THERMO MANUFACTURING LIMITED
     THERMO TRAILER SERVICE LTD
were on 2000 OCT 01 amalgamated as one corporation under the name 
     TRAIN FLEET SERVICES (WEST) LTD.
     No. 208994939
The registered office of the corporation shall be 
     6215 - 86 AVENUE SE
     CALGARY ALBERTA T2C 4L7

Notice is hereby given pursuant to the provisions of section 179 of the
Business Corporations Act that 
     TRISOL INC.
     TRYSOL LIMITED
     TRYSOL INTERNATIONAL LTD.
     TRISOL REFINING INC.
     TRYSOL CANADA LTD.
were on 2000 OCT 02 amalgamated as one corporation under the name 
     TRYSOL CANADA LTD.
     No. 208995605
The registered office of the corporation shall be 
     1600, 205 - 5TH AVENUE SW
     CALGARY ALBERTA T2P 2V7

Notice is hereby given pursuant to the provisions of section 179 of the
Business Corporations Act that 
     WEST DIRECT EXPRESS INVESTMENTS LTD.
     WEST DIRECT EXPRESS LTD.
were on 2000 OCT 01 amalgamated as one corporation under the name 
     WEST DIRECT EXPRESS LTD.
     No. 208995779
The registered office of the corporation shall be 
     2ND FLOOR, 4811 - 48 STREET
     RED DEER ALBERTA T4N 1S6

Notice is hereby given pursuant to the provisions of section 179 of the
Business Corporations Act that 
     WESTECH VAC SYSTEMS LTD.
     899551 ALBERTA LTD.
were on 2000 OCT 06 amalgamated as one corporation under the name 
     WESTECH VAC SYSTEMS LTD.
     No. 209005982
The registered office of the corporation shall be 
     #200, 80 CHIPPEWA ROAD
     SHERWOOD PARK ALBERTA T8A 4W6

Notice is hereby given pursuant to the provisions of section 179 of the
Business Corporations Act that 
     WESTERN ASSET MANAGEMENT
         CORPORATION
     WAMGREN PROPERTIES INC.
were on 2000 OCT 01 amalgamated as one corporation under the name 
     WESTERN ASSET MANAGEMENT
         CORPORATION
     No. 208993899
The registered office of the corporation shall be 
     1500, 10180 - 101 STREET
     EDMONTON ALBERTA T5J 4K1

Notice is hereby given pursuant to the provisions of section 179 of the
Business Corporations Act that 
     WESTMOUNT TRAVEL ASSOCIATES LTD.
     WESTEND TRAVEL (1989) LTD.
were on 2000 OCT 02 amalgamated as one corporation under the name 
     WESTMOUNT TRAVEL ASSOCIATES LTD.
     No. 208997460
The registered office of the corporation shall be 
     436 WANYANDI ROAD
     EDMONTON ALBERTA T5T 4M6

Notice is hereby given pursuant to the provisions of section 24 of the
Rural Utilities Act that 
     ENTWISTLE-MAGNOLIA RURAL
         ELECTRIFICATION ASSOCIATION LIMITED
     ONOWAY RURAL ELECTRIFICATION
         ASSOCIATION LIMITED
     THE DARWELL RURAL ELECTRIFICATION
         ASSOCIATION LIMITED
were on 2000 OCT 05 amalgamated as one corporation under the name 
     YELLOWHEAD RURAL ELECTRIFICATION
         ASSOCIATION LIMITED
     No. 229002555
The registered office of the corporation shall be 
     NE 27.53.6.W5


     AMENDMENTS TO SOCIETY OBJECTS

The following Societies Amended their objects effective the date indicated:
 
506082825 A NEW DAY BEGINS YOUTH MENTORSHIP SOCIETY    2000 SEP 21
507224343 CORPUS CANADA - JACK AND SHEILA KIRLEY FOUNDATION 2000 OCT
03
502955107 FILIPINO CALGARIAN SENIORS CLUB    2000 SEP 22
508913951 FRIENDS OF MANNA-RELIEF FOUNDATION 2000 OCT 13
508198785 LAKELAND INTERPRETIVE CENTER & REGIONAL LEISURE
           COMPLEX SOCIETY    2000 SEP 25
500037718 SNOW VALLEY SKI CLUB     2000 SEP 22
503018475 STROKE RECOVERY ASSOCIATION OF ALBERTA  2000 OCT 03
506838655 WINGS OF HOPE RESCUE MISSION BREAST CANCER FOUNDATION  2000 OCT
11
________________________________________________________________________

     SPECIAL NOTICES

     Amended Memorandum Of Association
 
THE REGISTRAR OF CORPORATIONS HAS FILED A CHANGE TO THE MEMORANDUM OF
ASSOCIATION OF CANADIAN NATIVE PLANT CENTRE. THE CHANGE WAS FILED ON AUG.
21, 2000.
________________________________________________________________________

     Section 248

THE REGISTRAR OF CORPORATIONS INTENDS TO CANCEL THE REGISTRATION OF FORT
IGNITION LIMITED.


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