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Alberta Regulation 216/2007
Marketing of Agricultural Products Act
ALBERTA SUGAR BEET GROWERS AUTHORIZATION 
AMENDMENT REGULATION
Filed: November 16, 2007
For information only:   Made by the Alberta Agricultural Products Marketing Council 
on October 25, 2007 pursuant to sections 26 and 27 of the Marketing of Agricultural 
Products Act and approved by the Minister of Agriculture and Food on November 6, 
2007.
1   The Alberta Sugar Beet Growers Authorization 
Regulation (AR 286/97) is amended by this Regulation.

2   Section 6 is amended by striking out "November 30, 2007" 
and substituting "November 30, 2008".


--------------------------------
Alberta Regulation 217/2007
Marketing of Agricultural Products Act
ALBERTA SUGAR BEET GROWERS NEGOTIATION, MEDIATION AND 
ARBITRATION AMENDMENT REGULATION
Filed: November 16, 2007
For information only:   Made by the Alberta Agricultural Products Marketing Council 
on October 25, 2007 pursuant to section 33 of the Marketing of Agricultural Products 
Act and approved by the Minister of Agriculture and Food on November 5, 2007.
1   The Alberta Sugar Beet Growers Negotiation, Mediation 
and Arbitration Regulation (AR 285/97) is amended by this 
Regulation.

2   Section 39 is amended by striking out "November 30, 2007" 
and substituting "November 30, 2008".



Alberta Regulation 218/2007
Marketing of Agricultural Products Act
SUGAR BEET PRODUCTION AND MARKETING 
AMENDMENT REGULATION
Filed: November 16, 2007
For information only:   Made by the Alberta Sugar Beet Growers on November 2, 
2007 pursuant to sections 26 and 27 of the Marketing of Agricultural Products Act 
and approved by the Alberta Agricultural Products Marketing Council on November 
6, 2007.
1   The Sugar Beet Production and Marketing Regulation 
(AR 287/97) is amended by this Regulation.

2   Section 51 is amended by striking out "November 30, 2007" 
and substituting "November 30, 2008".


--------------------------------
Alberta Regulation 219/2007
Wildlife Act
WILDLIFE (SPECIES LISTING, 2007) AMENDMENT REGULATION
Filed: November 20, 2007
For information only:   Made by the Minister of Sustainable Resource Development 
(M.O. 44/07) on November 14, 2007 pursuant to section 103(1) of the Wildlife Act. 
1   The Wildlife Regulation (AR 143/97) is amended by this 
Regulation.

2   Part 3 of Schedule 6 is amended by striking out "(None 
prescribed so far)" and substituting the following:
Sub-Part 1 
Endangered Plants

Cryptantha minima
(Tiny Cryptanthe)1
Tradescantia occidentalis
(Western Spiderwort)1
Tripterocalyx micranthus
(Small-flowered Sand Verbena)2
Yucca glauca
(Soapweed) (Yucca)1
1  These organisms are further categorized as "endangered" by the 
Department.
2  These organisms are further categorized as "threatened" 
 by the Department.
Sub-Part 2 
Endangered Algae

(None prescribed so far)
Sub-Part 3 
Endangered Fungi

(None prescribed so far)

3   Schedule 6 is amended
	(a)	by relocating footnotes 1, 2 and 3 occurring after 
Sub-Part 2 of Part 1 to the end of the Schedule 
without any alteration except adding "Footnotes to the 
Schedule" before footnote 1;
	(b)	in Part 4 by striking out "(None prescribed so far)" and 
substituting the following:

Acipenser fulvescens
(Lake Sturgeon)3
Coregonus zenithicus
(Shortjaw Cisco)3
Cottus bairdi
(St. Mary Sculpin)3
Hybognathus argyritis
(Western Silvery Minnow)3
Noturus flavus
(Stonecat) 3


--------------------------------
Alberta Regulation 220/2007
Land Agents Licensing Act
LAND AGENTS LICENSING AMENDMENT REGULATION
Filed: November 21, 2007
For information only:   Made by the Lieutenant Governor in Council (O.C. 510/2007) 
on November 21, 2007 pursuant to section 25 of the Land Agents Licensing Act. 
1   The Land Agents Licensing Regulation (AR 227/2001) is 
amended by this Regulation.

2   Section 1 is amended by repealing clauses (d) and (e) 
and substituting the following:
	(d)	"interim land agent licence" means an interim land agent 
licence issued under section 4;
	(e)	"performance evaluation" means a performance evaluation in 
the form in Schedule 1.1;
	(f)	"permanent land agent licence" means a permanent land 
agent licence issued under section 5;
	(g)	"trainee" means a person who holds an interim land agent 
licence and is being trained by a trainer to become a 
permanent land agent;
	(h)	"trainer" means a corporation or an individual that provides 
training for a trainee to become a permanent land agent;
	(i)	"training agreement" means land agent training agreement 
described in section 3.1.

3   The following is added after section 3:
Training agreement
3.1(1)  A land agent training agreement is a contract between a 
trainee and a trainer
	(a)	that includes
	(i)	an undertaking by the trainer to ensure that the 
trainee will work under the supervision of 
permanent land agent licensees who have been 
actively involved in land agent work during the 3 
years immediately preceding the date of the 
trainee's interim land agent licence application,
	(ii)	an undertaking that the trainee will carry out the 
number of negotiations required by the Registrar, 
and
	(iii)	an undertaking by the trainer to complete and file 
with the Registrar a performance evaluation that 
will be based, in part, on comments from the 
permanent land agent licensees who will supervise 
the trainee,
	(b)	that is signed by the trainee and the trainer or the 
trainer's authorized representative, and
	(c)	that expires on the expiry date of the trainee's interim 
land agent licence.
(2)  A training agreement
	(a)	may be renewed on the renewal of the trainee's interim 
land agent licence, and
	(b)	may be terminated by the trainee or the trainer by 
giving, to the other party, a written notice that sets out 
the termination date and the reasons for termination and 
within 7 days of giving that notice by giving the 
Registrar a copy of the notice.
(3)  If a training agreement is terminated under subsection (2)(b), 
the Registrar may, in accordance with section 7 of the Act, suspend 
the trainee's interim land agent licence until the trainee files, with 
the Registrar, a copy of a new training agreement.

4   Section 4 is amended
	(a)	in subsection (1) by repealing clauses (b) and (c) 
and substituting the following:
	(b)	subject to subsection (1.1), satisfactorily completed at 
least 2 years of post-secondary education that, in the 
Registrar's opinion, is relevant to the activities of a land 
agent,
	(c)	satisfactorily completed the interim land agent licence 
examination set by the Registrar, and
	(d)	entered into and filed with the Registrar a training 
agreement.
	(b)	by adding the following after subsection (1):
(1.1)  The Registrar may waive the 2 years of post-secondary 
education described in subsection (1)(b) if the applicant 
satisfies the Registrar that the applicant has the equivalent 
competence and is suitable to be trained as a land agent.
(1.2)  The Registrar may impose conditions on a waiver 
granted under subsection (1.1).
	(c)	in subsection (4) by striking out "form established by 
the Registrar under section 5(1)(c)" and substituting "in 
Schedule 1.1".

5   Section 5 is amended
	(a)	by repealing subsection (1) and substituting the 
following:
Permanent land agent licences
5(1)  The Registrar may issue a permanent land agent licence 
to an individual who holds or has held an interim land agent 
licence if that individual
	(a)	has worked as a land agent for a period of at least 
12 consecutive months, without the interim land 
agent licence being suspended, under the 
supervision of one or more of the permanent land 
agent licensees who meet the qualifications set out 
in section 3.1(1)(a)(i),
	(b)	has successfully completed a land agent education 
program acceptable to the Registrar,
	(c)	has satisfactorily completed the permanent land 
agent licence examination set by the Registrar, and
	(d)	has carried out the number of negotiations required 
under section 3.1(1)(a)(ii) in a manner that is 
satisfactory to the Registrar,
and if the trainer of the individual has completed and filed 
with the Registrar a performance evaluation that meets the 
requirements of section 3.1(1)(a)(iii).
	(b)	in subsection (3) by striking out "may" and 
substituting "may, subject to subsection (3.1),";
	(c)	by adding the following after subsection (3):
(3.1)  The qualifications for the renewal of a permanent land 
agent licence are that the applicant has spent at least 14 hours 
in one or both of the following activities in the previous 2 
years:
	(a)	attending courses, seminars or conferences satisfactory 
to the Registrar;
	(b)	serving on a committee or board, satisfactory to the 
Registrar, that carries out activities relevant to land 
agent work.
(3.2)  An applicant for a renewal of a permanent land agent 
licence must complete and submit to the Registrar the 
permanent land agent licence renewal qualification form set 
out in Schedule 1.2 and provide any additional information 
requested by the Registrar.
	(d)	in subsection (5)
	(i)	by striking out "subsection (6)" and substituting 
"compliance with subsections (3.1), (3.2) and (6)";
	(ii)	by striking out "expires or expired before the 
commencement of this subsection," and substituting 
"expires,";
	(e)	by repealing subsection (6) and substituting the 
following:
(6)  If an application for a new permanent land agent licence is 
made more than 12 months after the previous permanent land 
agent licence expired, the applicant must, before a new 
permanent land agent licence is issued,
	(a)	satisfactorily complete a permanent land agent licence 
examination set by the Registrar, and
	(b)	if the application is made more than 36 months after the 
previous permanent land agent licence expired, fulfill 
any additional qualifications as set by the Registrar.
	(f)	by adding the following after subsection (6):
(7)  A land agent who obtains a permanent land agent licence 
must keep, for at least 5 years, records evidencing that the land 
agent has met the eligibility requirements
	(a)	for that licence, and
	(b)	for any renewal of that licence.

6   Section 7 is amended by renumbering it as section 7(1) 
and by adding the following after subsection (1):
(2)  A land agent must offer to explain to the owner or the owner's 
agent the proposed terms of the agreement referred to in subsection 
(1).

7   Section 10 is repealed and the following is substituted:
Standards of conduct of land agents
10   When negotiating for or acquiring an interest in land, land 
agents must conduct themselves in a professional and ethical 
manner, and in accordance with any standards of conduct 
established by the Registrar.

8   The following is added after section 10:
Transitional
10.1(1)  In this section,
	(a)	"amended Regulation" means the Land Agents 
Licensing Regulation (AR 227/2001) as amended on 
November 30, 2007 by the Land Agents Licensing 
Amendment Regulation;
	(b)	"previous Regulation" means the Land Agents 
Licensing Regulation (AR 227/2001) as it read 
immediately before it was amended on November 30, 
2007 by the Land Agents Licensing Amendment 
Regulation.
(2)  Section 4(1)(b) of the amended Regulation does not apply to 
an individual who holds an interim land agent licence on 
November 30, 2007 who
	(a)	fails to renew the licence before it expires, but
	(b)	applies for a new interim land agent licence within 30 
days after the existing licence expires.
(3)  Section 5(1) of the previous Regulation, instead of section 5(1) 
of the amended Regulation, applies to an individual who holds an 
interim land agent licence on November 30 2007.
(4)  Section 5(3.1) and (3.2) of the amended Regulation do not 
apply to an individual who holds a permanent land agent licence 
on November 30, 2007 until after the licence is first renewed after 
November 30, 2007.

9   Section 12 is amended by striking out "November 30, 2007" 
and substituting "November 30, 2012".

10   The following is added after Schedule 1:
Schedule 1.1 
(section 3.1) 
 
Performance Evaluation
1         (trainer)      certifies that under the Training Agreement 
dated  (dd/mm/yyy)  
(1)  (interim land agent)    , holding Interim Land Agent Licence 
Number ________, has completed the following requirements set 
by the Registrar of Land Agents:
?  Successfully passed the Distance Learning Course based 
on the Reference Manual for Alberta Land Agents. 
?  Conducted   (number)   of the minimum 10 required 
negotiations for interests in land in Alberta that were observed 
by one or more of the permanent land agents named in this 
evaluation.
                                 
Legal 
Description 
(as shown on 
title)
Type of 
Negotiation 
 e.g. Easement, 
Surface Lease, 
etc.
Date of 
Agreement 
(yyyy/mm/dd)
Name of 
Person(s) 
Negotiated 
With
Telephone 
Numbers
                                 1





                                 2





                                 3





                                 4





                                 5





                                 6





                                 7





                                 8





                                 9





                                 10






?  Conducted   (number)   of the minimum 15 required 
negotiations for interests in land in Alberta that were reviewed 
by one or more of the permanent land agents named in this 
evaluation.

Legal 
Description 
(as shown on 
title)
Type of 
Negotiation 
 e.g. Easement, 
Surface Lease, 
etc.
Date of 
Agreement 
(yyyy/mm/dd)
Name of 
Person(s) 
Negotiated 
With
Telephone 
Numbers
1





2





3





4





5





6





7





8





9





10





11





12





13





14





15





(2)  The following permanent land agents supervised       (interim 
land agent)    :
	(a)	    (name)                             (licence number)    	
	(b)	    (name)                             (licence number)    	
	(c)	    (name)                            (licence number)    	
	(d)	    (name)                             (licence number)    	 
(3)  The permanent land agents named in subsection (2) held a 
valid permanent land agent licence and were actively involved in 
land agent work for at least 3 years immediately preceding the 
date of    (interim land agent)  's interim land agent licence 
application.
(4)  The following comments on  (interim land agent)  's 
performance were reviewed and agreed to by the permanent land 
agents named in subsection (2):
	(a)	describe the articling land agent's performance in such 
matters as attention to detail in negotiations and 
documentation, congeniality with land owners, 
adherence to time limits and standards of conduct 
prescribed in the Regulation, skill development in 
relation to the employer's expectations and general 
integrity in performance of land agent work 
	
	(b)	identify any areas for recommended improvement or 
change and additional training: 
	
	(c)	describe what you have done to encourage development 
in those areas described in clause (b) 
	
2     (trainer)    recommends that the Registrar of Land Agents
?  Accept 
?  Not Accept (give reasons): 
	
  (interim land agent)  's application for a permanent land agent 
licence under the Land Agents Licensing Regulation (Alberta).
    (signature of trainer or trainer's authorized representative)     
                   (date)                  
Schedule 1.2 
(section 5(3.2)) 
 
Permanent Land Agent Licence  
Renewal Qualification Form
I   (first name)        (middle name)     (last name)  , holding 
Permanent Land Agent licence number _________, certify that 
since the issuance of or the last renewal of my Permanent Land 
Agent licence I spent   (number of hours)  as outlined in the 
following categories below:
A.  Courses, Seminars and Conferences Relevant to Land Agent 
Work

Name of Course or Seminar
Dates Attended
Number of Hours









B.  Committee or Board Membership Relevant to Land Agent Work

Name of Committee or 
Board
Position
Dates 
(from - to)
Number of 
Hours












                    (signature)                       	       (date)       
Note:  Before a Permanent Land Agent Licence is renewed, the 
licensee must have spent at least 14 hours in one or both of the 
categories above.

11   This Regulation comes into force on November 30, 
2007.


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Alberta Regulation 221/2007
Public Sector Pension Plans Act
PUBLIC SECTOR PENSION PLANS (LEGISLATIVE PROVISIONS AND 
PLANS PORTABILITY ARRANGEMENTS, 2007) 
AMENDMENT REGULATION
Filed: November 21, 2007
For information only:   Made by the Lieutenant Governor in Council (O.C. 524/2007) 
on November 21, 2007 pursuant to Schedules 1, 2 and 5, sections 4 and 12 of the  
Public Sector Pension Plans Act.
Part 1 
Public Sector Pension Plans 
(Legislative Provisions) Regulation
1   The Public Sector Pension Plans (Legislative Provisions) 
Regulation (AR 365/93) is amended by this Part.

2   Section 10 is repealed.
3   Section 16.15 is amended
	(a)	by repealing subsection (1) and substituting the 
following:
Portability arrangements between LAPP, PSPP, 
MEPP and Teachers' Plans
16.15(1)  Pursuant to applicable provisions of sections 12(g.1) 
of Schedules 1 and 2 and section 12(1)(g.1) of Schedule 5 to 
the Act and subject to subsection (1.1), the Minister may 
establish a portability arrangement between any 2 of the Local 
Authorities Pension Plan, the Public Service Pension Plan, the 
Management Employees Pension Plan and both (but not 
separately) the Teachers' Pension Plan and the Private School 
Teachers' Pension Plan for the purpose of enabling the transfer 
of pension entitlements with respect to an eligible participant or 
former participant.
(1.1)  A portability arrangement under subsection (1) is to be 
made
	(a)	as it affects the Teachers' Pension Plan and the Private 
School Teachers' Pension Plan (together) and another 
pension plan referred to in subsection (1), by an 
agreement between the Teachers' Pension Plans Board 
of Trustees and the Minister under this section and 
sections 58 of Schedules 1 and 2 to the Teachers' and 
Private School Teachers' Pension Plans (AR 203/95), 
and
	(b)	if the Teachers' Pension Plan and the Private School 
Teachers' Pension Plan are not involved, by order of the 
Minister after consulting with the pension boards for the 
plans involved.
	(b)	in subsection (2) by striking out "(1)" and 
substituting "(1.1)(b)".
Part 2 
Local Authorities Pension Plan
4   The Local Authorities Pension Plan (AR 366/93) is 
amended by this Part.

5   Section 2(1) is amended
	(a)	by repealing clause (i);
	(b)	in clause (j) by striking out ", but including any such 
value to be determined on a transfer under a new reciprocal 
agreement";
	(c)	in clause (l) by adding "or (e)" after "20(1.1)(d)";
	(d)	in clause (z) by adding "the repealed" after "specified 
in";
	(e)	in clause (aa) by striking out "is" and substituting 
"was";
	(f)	in clause (hh)
	(i)	by striking out "into under" and substituting "into 
before the commencement of the Public Sector Pension 
Plans (Legislative Provisions and Plans Portability 
Arrangements, 2007) Amendment Regulation under the 
repealed";
	(ii)	by adding "the repealed" after "an order under";
	(g)	by adding the following after clause (nn):
	(nn.1)	"special portability arrangement" means an agreement 
under section 85.1(1) or 98.1(1), or both;

6   Section 10(i)(B) is amended by striking out "immediately 
before the commencement of this clause" and substituting "the end 
of 1999".

7   Section 11.1(3) is amended by striking out "reciprocal 
agreement" and substituting "special portability arrangement or a 
portability arrangement established under section 16.15 of the 
Regulations".

8   Section 17(1) is amended by striking out ", 15 or 16" and 
substituting "or 15".

9   Section 20(1.1) is amended by repealing clause (e) and 
substituting the following:
	(e)	a period that was or is to be taken into account as pensionable 
service under this Plan under
	(i)	a portability arrangement established under section 
16.15 of the Regulations, or
	(ii)	a special portability arrangement.

10   Section 23(1) is amended by striking out ", except in the 
case of a payment into the Plan under a reciprocal agreement,".

11   Section 29 is amended
	(a)	in subsection (1)
	(i)	in clause (a)
	(A)	in subclause (iv) by striking out "that is" 
and substituting "or a special portability 
arrangement that was or is";
	(B)	by repealing subclause (v) and 
substituting the following:
	(v)	any part of a sum paid into the Plan from 
another pension plan under a portability 
arrangement established under section 16.15 
of the Regulations that is recognized by the 
Minister as employee contributions,
	(ii)	in clause (b)(i)(C) by striking out "and performed 
with a party to a reciprocal agreement" and 
substituting "or a special portability arrangement and 
performed with a party to a reciprocal agreement or a 
special portability arrangement, as the case may be";
	(b)	in subsection (4)(b) by adding "or a special portability 
arrangement" after "agreement";
	(c)	in subsection (8)
	(i)	by striking out "the Public Service Pension Plan" 
and substituting "another pension plan";
	(ii)	by striking out "Part 2" and substituting "a 
portability arrangement established under section 
16.15";
	(iii)	by striking out "that Part" and substituting "that 
section".
12   Section 33(1)(c) is amended by striking out "new 
reciprocal agreement" and substituting "special portability 
arrangement".

13   Section 34.1 is amended
	(a)	in subsection (2) by striking out "84(2)(a) or 97(2)(a)" 
and substituting "85.1(3)(a)(ii) or 98.1(2)(a)";
	(b)	in subsection (3) by striking out "reciprocal agreement" 
and substituting "special portability arrangement or a 
portability arrangement established under section 16.15 of 
the Regulations".

14   Section 67(1) is amended by striking out "the other party 
to a reciprocal agreement" and substituting "another party to a 
special portability arrangement".

15   Section 68 is amended by striking out "an old reciprocal 
agreement" and substituting "a reciprocal agreement, a special 
portability arrangement or a portability arrangement established under 
section 16.15 of the Regulations".

16   Section 69 is amended
	(a)	in clause (c)
	(i)	by striking out "reciprocal agreement" and 
substituting "special portability arrangement";
	(ii)	by striking out "84(2)(a)" and substituting 
"85.1(3)(a)";
	(b)	in clause (c.1) by striking out "the Public Service 
Pension Plan" and substituting "another pension plan".

17   Section 70(1) is amended
	(a)	in clause (c)
	(i)	by striking out "reciprocal agreement" and 
substituting "special portability arrangement";
	(ii)	by striking out "84(2)(a)" and substituting 
"85.1(3)(a)";
	(b)	in clause (d) by striking out "the Public Service Pension 
Plan" and substituting "another pension plan".

18   Section 71 is amended
	(a)	by striking out "reciprocal agreement that" and 
substituting "special portability arrangement that";
	(b)	by striking out "reciprocal agreement under section 
84(2)(a)" and substituting "special portability 
arrangement under section 85.1(3)(a)(ii)".

19   Section 72 is amended
	(a)	in clause (c)
	(i)	by striking out "reciprocal agreement" and 
substituting "special portability arrangement";
	(ii)	by striking out "97(2)(a)" and substituting 
"98.1(2)(a)";
	(b)	in clause (c.1) by striking out "the Public Service 
Pension Plan" and substituting "another pension plan".

20   Section 73(1) is amended
	(a)	in clause (c)
	(i)	by striking out "reciprocal agreement" and 
substituting "special portability arrangement";
	(ii)	by striking out "97(2)(a)" and substituting 
"98.1(2)(a)";
	(b)	in clause (d) by striking out "the Public Service Pension 
Plan" and substituting "another pension plan".

21   Section 74 is amended
	(a)	by striking out "84(2)(a)" and substituting 
"85.1(3)(a)(ii)";
	(b)	by striking out "97(2)(a)" and substituting 
"98.1(2)(a)(ii)".

22   Section 84 is repealed.

23   The following is added before section 86:
Saving of reciprocal agreements involving SFPP
84.1(1)  Notwithstanding the repeal of section 84 by the Public 
Sector Pension Plans (Legislative Provisions and Plans Portability 
Arrangements, 2007) Amendment Regulation, reciprocal 
agreements entered into under that repealed section between the 
Plan and the Special Forces Pension Plan remain in force without 
any further amendment.
(2)  Reciprocal agreements referred to in subsection (1) are to be 
administered and construed in accordance with the Public Sector 
Pension Plan legislation, principal and subordinate, that existed 
immediately before the repeal of section 84.
Special portability arrangements
85.1(1)  The Minister may enter into agreements with the 
administrators of any registered pension plan sponsored or partially 
sponsored by the Government of Canada, the government of any 
other province or territory in Canada or any local authority within 
any province or territory of Canada establishing arrangements for 
the purposes of enabling the transfer of pension entitlements 
between the Plan and those pension plans.
(2)  Before establishing a special portability arrangement, the 
Minister must receive a written assurance from the Board that, 
based on the advice of the Plan's actuary, implementation of that 
arrangement is not expected to have a material adverse financial 
effect on the Plan.
(3)  A special portability arrangement must provide
	(a)	for pension entitlements under the Plan, based on all 
pensionable service, whether accumulated before or 
after the end of 1991, to be transferred from the Plan in 
an amount that does not exceed the greater of
	(i)	the actuarial present value of the pension 
entitlements calculated as if the person were, at the 
time the application for transfer is received by the 
Minister, entitled to a pension with respect to that 
pensionable service, and
	(ii)	the sum of the commuted value and, if applicable, 
employee contribution excess at termination,
	(b)	for service that is eligible to be recognized as 
pensionable service as a result of a transfer to be so 
recognized only on payment into the Plan of the 
actuarial present value of the pension entitlements that 
would be created in the Plan as a result of the transfer, 
and
	(c)	for money that is locked in under the transferring plan 
to continue to be locked in under the transferee plan 
even if it would not be locked in under the transferee 
plan but for this requirement,
and may provide any further terms and conditions considered 
appropriate.
(4)  The actuarial present values referred to in subsection (3)(a)(i) 
are to be calculated so as to include future salary and cost-of-living 
increase projections.
(5)  Section 1(2) of the Act Schedule does not apply to the 
definition of "reciprocal agreement" with respect to the 
interpretation of provisions of these plan rules relating to special 
portability arrangements that were made by the Public Sector 
Pension Plans (Legislative Provisions and Plans Portability 
Arrangements, 2007) Amendment Regulation.

24   Section 97 is repealed.

25   The following is added after section 97:
Saving of reciprocal agreements involving SFPP
97.1   Section 84.1 applies with references to section 84 being 
treated as references to section 97.

26   The following is added before section 99:
Special portability arrangements
98.1(1)  Section 85.1(1) and (2) apply.
(2)  A special portability arrangement must provide
	(a)	for pension entitlements under the Plan, based on all 
pensionable service, whether accumulated before or 
after the end of 1991, to be transferred from the Plan in 
an amount that does not exceed the greater of
	(i)	the actuarial present value of the pension 
entitlements calculated as if the person were, at the 
time the application for transfer is received by the 
Minister, entitled to a pension with respect to that 
pensionable service, and
	(ii)	the sum of the commuted value and, if applicable, 
employee contribution excess at termination,
			and
	(b)	for the matters provided for in section 85.1(3)(b) and 
(c),
and may provide any further terms and conditions considered 
appropriate.
(3)  Section 85.1(4) and (5) apply, with the reference in the former 
to section 85.1(3)(a)(i) being treated as referring to subsection 
(2)(a)(i).

27   Sections 114, 115, 117 and 117.1(7) are repealed.

28   The following is added before Schedule 1:
Saving of reciprocal agreements for notice purposes
119(1)  Notwithstanding the repeal of sections 84 and 97 by the 
Public Sector Pension Plans (Legislative Provisions and Plans 
Portability Arrangements, 2007) Amendment Regulation but 
subject to sections 84.1 and 97.1, a reciprocal agreement falling 
within those sections remains in force for the purpose of enabling 
the giving of notice of termination of the agreement to other parties 
to the agreement and, subject to this section, until the effective date 
of that termination.
(2)  Where a reciprocal agreement is terminated under subsection 
(1),
	(a)	a person who immediately before the termination of the 
agreement was participating in the Plan and had 
previously made arrangements for periodic instalment 
payments with respect to prior service that had not yet 
been completed is to continue to make payments under 
those arrangements under the same terms and 
conditions, including the rate of interest, until payment 
is made in full,
	(b)	the employer is liable to continue to make those 
contributions, if any, with interest at the rate formerly 
payable, in respect of that service, that the employer 
would have been liable to make had the agreement not 
been terminated, and
	(c)	service for which such payments had been made is to be 
credited as pensionable service.

29   Part 2 of Schedule 2 is amended by striking out "the 
commencement of section 11(h)" and substituting "January 1, 
1994".

30   The word "commencement" is struck out wherever it 
occurs in the following provisions and is substituted by the 
phrase "January 1, 1994":
section 10(a)(i), (b)(i), (c) and (h); 
section 11(f); 
section 26(1); 
section 79(1)(a); 
section 91(1) and (2); 
section 105(1) and (2).
Part 3 
Management Employees Pension Plan
31   The Management Employees Pension Plan (AR 367/93) 
is amended by this Part.

32   Section 2(1) is amended
	(a)	by repealing clause (i);
	(b)	in clause (j) by striking out ", but including any such 
value to be determined on a transfer under a new reciprocal 
agreement";
	(c)	in clause (l) by adding "or (e)" after "20(1.1)(d)";
	(d)	in clause (z) by adding "the repealed" after "specified 
in";
	(e)	in clause (aa) by striking out "is" and substituting 
"was";
	(f)	in clause (hh)
	(i)	by striking out "into under" and substituting "into 
before the commencement of the Public Sector Pension 
Plans (Legislative Provisions and Plans Portability 
Arrangements, 2007) Amendment Regulation under the 
repealed";
	(ii)	by adding "the repealed" after "an order under";
	(g)	by adding the following after clause (nn):
	(nn.1)	"special portability arrangement" means an agreement 
under section 85.1(1) or 98.1(1), or both;

33   Section 20(1.1) is amended by adding the following 
after clause (d):
	(e)	a period that is to be taken into account as pensionable 
service under this Plan under
	(i)	a portability arrangement established under section 
16.15 of the Regulations, or
	(ii)	a special portability arrangement.

34   Section 23(1) is amended by striking out ", except in the 
case of a payment into the Plan under a reciprocal agreement,".

35   Section 29 is amended
	(a)	in subsection (1)
	(i)	in clause (a)
	(A)	in subclause (iv) by striking out "that is" 
and substituting "or a special portability 
arrangement that was or is";
	(B)	by striking out "and" at the end of 
subclause (iii), adding "and" at the end of 
subclause (iv) and adding the following 
after subclause (iv):
	(v)	any part of a sum paid into the Plan from 
another pension plan under a portability 
arrangement established under section 16.15 
of the Regulations that is recognized by the 
Minister as employee contributions,
	(ii)	in clause (b)(i)(C) by striking out "and performed 
with a party to a reciprocal agreement" and 
substituting "or a special portability arrangement and 
performed with a party to a reciprocal agreement or a 
special portability arrangement, as the case may be";
	(b)	in subsection (4)(b) by adding "or a special portability 
arrangement" after "agreement".

36   Section 33(1)(c) is amended by striking out "new 
reciprocal agreement" and substituting "special portability 
arrangement".

37   Section 34.1 is amended
	(a)	in subsection (2) by striking out "84(2)(a)(i) or 
97(2)(a)" and substituting "85.1(3)(a)(ii) or 98.1(2)(a)";
	(b)	in subsection (3) by striking out "reciprocal agreement" 
and substituting "special portability arrangement or a 
portability arrangement established under section 16.15 of 
the Regulations".

38   Section 67(1) is amended by striking out "the other party 
to a reciprocal agreement" and substituting "another party to a 
special portability arrangement".

39   Section 68 is amended by striking out "an old reciprocal 
agreement" and substituting "a reciprocal agreement, a special 
portability arrangement or a portability arrangement established under 
section 16.15 of the Regulations".

40   Section 69(c) is amended
	(a)	by striking out "reciprocal agreement" and substituting 
"special portability arrangement";
	(b)	by striking out "84(2)(a)" and substituting 
"85.1(3)(a)".

41   Section 71 is amended
	(a)	by striking out "reciprocal agreement that" and 
substituting "special portability arrangement that";
	(b)	by striking out "reciprocal agreement under section 
84(2)(a)" and substituting "special portability 
arrangement under section 85.1(3)(a)(ii)".

42   Sections 72(c) and 73(c) are amended
	(a)	by striking out "reciprocal agreement" and substituting 
"special portability arrangement";
	(b)	by striking out "97(2)(a)" and substituting 
"98.1(2)(a)".

43  Section 74 is amended
	(a)	by striking out "84(2)(a)" and substituting 
"85.1(3)(a)(ii)";
	(b)	by striking out "97(2)(a)" and substituting 
"98.1(2)(a)(ii)".

44   Section 84 is repealed.

45   Section 85 is amended by striking out "reciprocal 
agreement" and substituting "special portability arrangement or a 
portability arrangement established under section 16.15 of the 
Regulations".

46   The following is added after section 85:
Special portability arrangements
85.1(1)  The Minister may enter into agreements with the 
administrators of any registered pension plan sponsored or partially 
sponsored by the Government of Canada, the government of any 
other province or territory in Canada or any local authority within 
any province or territory of Canada establishing arrangements for 
the purposes of enabling the transfer of pension entitlements 
between the Plan and those pension plans.
(2)  Before establishing a special portability arrangement, the 
Minister must receive a written assurance from the Board that, 
based on the advice of the Plan's actuary, implementation of that 
arrangement is not expected to have a material adverse financial 
effect on the Plan.
(3)  A special portability arrangement must provide
	(a)	for pension entitlements under the Plan, based on all 
pensionable service, whether accumulated before or 
after the end of 1991, to be transferred from the Plan in 
an amount that does not exceed the greater of
	(i)	the actuarial present value of the pension 
entitlements calculated as if the person were, at the 
time the application for transfer is received by the 
Minister, entitled to a pension with respect to that 
pensionable service, and
	(ii)	the sum of the commuted value and, if applicable, 
employee contribution excess at termination,
	(b)	for service that is eligible to be recognized as 
pensionable service as a result of a transfer to be so 
recognized only on payment into the Plan of the 
actuarial present value of the pension entitlements that 
would be created in the Plan as a result of the transfer, 
and
	(c)	for money that is locked in under the transferring plan 
to continue to be locked in under the transferee plan 
even if it would not be locked in under the transferee 
plan but for this requirement,
and may provide any further terms and conditions considered 
appropriate.
(4)  The actuarial present values referred to in subsection (3)(a)(i) 
are to be calculated so as to include future salary and cost-of-living 
increase projections.
(5)  Section 1(2) of the Act Schedule does not apply to the 
definition of "reciprocal agreement" with respect to the 
interpretation of provisions of these plan rules relating to special 
portability arrangements that were made by the Public Sector 
Pension Plans (Legislative Provisions and Plans Portability 
Arrangements, 2007) Amendment Regulation.

47   Section 97 is repealed.

48   The following is added after section 98:
Special portability arrangements
98.1(1)  Section 85.1(1) and (2) apply.
(2)  A special portability arrangement must provide
	(a)	for pension entitlements under the Plan, based on all 
pensionable service, whether accumulated before or 
after the end of 1991, to be transferred from the Plan in 
an amount that does not exceed the greater of
	(i)	the actuarial present value of the pension 
entitlements calculated as if the person were, at the 
time the application for transfer is received by the 
Minister, entitled to a pension with respect to that 
pensionable service, and
	(ii)	the sum of the commuted value and, if applicable, 
employee contribution excess at termination,
			and
	(b)	for the matters provided for in section 85.1(3)(b) and 
(c),
and may provide any further terms and conditions considered 
appropriate.
(3)  Section 85.1(4) and (5) apply, with the reference in the former 
to section 85.1(3)(a)(i) being treated as referring to subsection 
(2)(a)(i).

49   Sections 114, 115 and 117 are repealed.

50   The following is added before Schedule 1:
Saving of reciprocal agreements for notice purposes
119(1)  Notwithstanding the repeal of sections 84 and 97 by the 
Public Sector Pension Plans (Legislative Provisions and Plans 
Portability Arrangements, 2007) Amendment Regulation, a 
reciprocal agreement falling within those sections remains in force 
for the purpose of enabling the giving of notice of termination of 
the agreement to other parties to the agreement and, subject to this 
section, until the effective date of that termination.
(2)  Where a reciprocal agreement is terminated under subsection 
(1),
	(a)	a person who immediately before the termination of the 
agreement was participating in the Plan and had 
previously made arrangements for periodic instalment 
payments with respect to prior service that had not yet 
been completed is to continue to make payments under 
those arrangements under the same terms and 
conditions, including the rate of interest, until payment 
is made in full,
	(b)	the employer is liable to continue to make those 
contributions, if any, with interest at the rate formerly 
payable, in respect of that service, that the employer 
would have been liable to make had the agreement not 
been terminated, and
	(c)	service for which such payments had been made is to be 
credited as pensionable service.

51   The word "commencement" is struck out wherever it 
occurs in the following provisions and is substituted by the 
phrase "January 1, 1994":
section 2(1)(h.1)(ii)(C); 
section 10(h); 
section 26(1); 
section 79(1)(a); 
section 91(1) and (2); 
section 105(1) and (2).
Part 4 
Public Service Pension Plan
52   The Public Service Pension Plan (AR 368/93) is 
amended by this Part.

53   Section 2(1) is amended
	(a)	by repealing clause (i);
	(b)	in clause (j) by striking out ", but including any such 
value to be determined on a transfer under a new reciprocal 
agreement";
	(c)	in clause (l) by adding "or (e)" after "20(1.1)(d)";
	(d)	in clause (z) by adding "the repealed" after "specified 
in";
	(e)	in clause (aa) by striking out "is" and substituting 
"was";
	(f)	in clause (hh)
	(i)	by striking out "into under" and substituting "into 
before the commencement of the Public Sector Pension 
Plans (Legislative Provisions and Plans Portability 
Arrangements, 2007) Amendment Regulation under the 
repealed";
	(ii)	by adding "the repealed" after "an order under";
	(g)	by adding the following after clause (nn):
	(nn.1)	"special portability arrangement" means an agreement 
under section 85.1(1) or 98.1(1), or both;

54   Section 20(1.1) is amended by repealing clause (e) and 
substituting the following:
	(e)	a period that was or is to be taken into account as pensionable 
service under this Plan under
	(i)	a portability arrangement established under section 
16.15 of the Regulations, or
	(ii)	a special portability arrangement.

55   Section 23(1) is amended by striking out ", except in the 
case of a payment into the Plan under a reciprocal agreement,".

56   Section 29 is amended
	(a)	in subsection (1)
	(i)	in clause (a)
	(A)	in subclause (iv) by striking out "that is" 
and substituting "or a special portability 
arrangement that was or is";
	(B)	by repealing subclause (v) and 
substituting the following:
	(v)	any part of a sum paid into the Plan from 
another pension plan under a portability 
arrangement established under section 16.15 
of the Regulations that is recognized by the 
Minister as employee contributions,
	(ii)	in clause (b)(i)(C) by striking out "and performed 
with a party to a reciprocal agreement" and 
substituting "or a special portability arrangement and 
performed with a party to a reciprocal agreement or a 
special portability arrangement, as the case may be";
	(b)	in subsection (4)(b) by adding "or a special portability 
arrangement" after "agreement";
	(c)	in subsection (8)
	(i)	by striking out "the Local Authorities Pension Plan" 
and substituting "another pension plan";
	(ii)	by striking out "Part 2" and substituting "a 
portability arrangement established under section 
16.15";
	(iii)	by striking out "that Part" and substituting "that 
section".

57   Section 32.1(2)(a) is amended by striking out "the 
commencement of this section" and substituting "February 22, 
2006".

58   Section 33(1)(c) is amended by striking out "new 
reciprocal agreement" and substituting "special portability 
arrangement".

59   Section 34.1 is amended
	(a)	in subsection (2) by striking out "84(2)(a) or 97(2)(a)" 
and substituting "85.1(3)(a)(ii) or 98.1(2)(a)";
	(b)	in subsection (3) by striking out "reciprocal agreement" 
and substituting "special portability arrangement or a 
portability arrangement established under section 16.15 of 
the Regulations".

60   Section 67(1) is amended by striking out "the other party 
to a reciprocal agreement" and substituting "another party to a 
special portability arrangement".

61   Section 68 is amended by striking out "an old reciprocal 
agreement" and substituting "a reciprocal agreement, a special 
portability arrangement or a portability arrangement established under 
section 16.15 of the Regulations".

62   Section 69 is amended
	(a)	in clause (c)
	(i)	by striking out "reciprocal agreement" and 
substituting "special portability arrangement";
	(ii)	by striking out "84(2)(a)" and substituting 
"85.1(3)(a)";
	(b)	in clause (c.1) by striking out "the Local Authorities 
Pension Plan" and substituting "another pension plan".

63   Section 70(1) is amended
	(a)	in clause (c)
	(i)	by striking out "reciprocal agreement" and 
substituting "special portability arrangement";
	(ii)	by striking out "84(2)(a)" and substituting 
"85.1(3)(a)";
	(b)	in clause (d) by striking out "the Local Authorities 
Pension Plan" and substituting "another pension plan".

64   Section 71 is amended
	(a)	by striking out "reciprocal agreement that" and 
substituting "special portability arrangement that";
	(b)	by striking out "reciprocal agreement under section 
84(2)(a)" and substituting "special portability 
arrangement under section 85.1(3)(a)(ii)".

65   Section 72 is amended
	(a)	in clause (c)
	(i)	by striking out "reciprocal agreement" and 
substituting "special portability arrangement";
	(ii)	by striking out "97(2)(a)" and substituting 
"98.1(2)(a)";
	(b)	in clause (c.1) by striking out "the Local Authorities 
Pension Plan" and substituting "another pension plan".

66   Section 73(1) is amended
	(a)	in clause (c)
	(i)	by striking out "reciprocal agreement" and 
substituting "special portability arrangement";
	(ii)	by striking out "97(2)(a)" and substituting 
"98.1(2)(a)";
	(b)	in clause (d) by striking out "the Local Authorities 
Pension Plan" and substituting "another pension plan".

67   Section 74 is amended
	(a)	by striking out "84(2)(a)" and substituting 
"85.1(3)(a)(ii)";
	(b)	by striking out "97(2)(a)" and substituting 
"98.1(2)(a)(ii)".

68   Section 84 is repealed.

69   Section 85 is amended by striking out "reciprocal 
agreement" and substituting "special portability arrangement or a 
portability arrangement established under section 16.15 of the 
Regulations".

70   The following is added after section 85:
Special portability arrangements
85.1(1)  The Minister may enter into agreements with the 
administrators of any registered pension plan sponsored or partially 
sponsored by the Government of Canada, the government of any 
other province or territory in Canada or any local authority within 
any province or territory of Canada establishing arrangements for 
the purposes of enabling the transfer of pension entitlements 
between the Plan and those pension plans.
(2)  Before establishing a special portability arrangement, the 
Minister must receive a written assurance from the Board that, 
based on the advice of the Plan's actuary, implementation of that 
arrangement is not expected to have a material adverse financial 
effect on the Plan.
(3)  A special portability arrangement must provide
	(a)	for pension entitlements under the Plan, based on all 
pensionable service, whether accumulated before or 
after the end of 1991, to be transferred from the Plan in 
an amount that does not exceed the greater of
	(i)	the actuarial present value of the pension 
entitlements calculated as if the person were, at the 
time the application for transfer is received by the 
Minister, entitled to a pension with respect to that 
pensionable service, and
	(ii)	the sum of the commuted value and, if applicable, 
employee contribution excess at termination,
	(b)	for service that is eligible to be recognized as 
pensionable service as a result of a transfer to be so 
recognized only on payment into the Plan of the 
actuarial present value of the pension entitlements that 
would be created in the Plan as a result of the transfer, 
and
	(c)	for money that is locked in under the transferring plan 
to continue to be locked in under the transferee plan 
even if it would not be locked in under the transferee 
plan but for this requirement,
and may provide any further terms and conditions considered 
appropriate.
(4)  The actuarial present values referred to in subsection (3)(a)(i) 
are to be calculated so as to include future salary and cost-of-living 
increase projections.
(5)  Section 1(2) of the Act Schedule does not apply to the 
definition of "reciprocal agreement" with respect to the 
interpretation of provisions of these plan rules relating to special 
portability arrangements that were made by the Public Sector 
Pension Plans (Legislative Provisions and Plans Portability 
Arrangements, 2007) Amendment Regulation.

71   Section 97 is repealed.

72   The following is added after section 98:
Special portability arrangements
98.1(1)  Section 85.1(1) and (2) apply.
(2)  A special portability arrangement must provide
	(a)	for pension entitlements under the Plan, based on all 
pensionable service, whether accumulated before or 
after the end of 1991, to be transferred from the Plan in 
an amount that does not exceed the greater of
	(i)	the actuarial present value of the pension 
entitlements calculated as if the person were, at the 
time the application for transfer is received by the 
Minister, entitled to a pension with respect to that 
pensionable service, and
	(ii)	the sum of the commuted value and, if applicable, 
employee contribution excess at termination,
			and
	(b)	for the matters provided for in section 85.1(3)(b) and 
(c),
and may provide any further terms and conditions considered 
appropriate.
(3)  Section 85.1(4) and (5) apply, with the reference in the former 
to section 85.1(3)(a)(i) being treated as referring to subsection 
(2)(a)(i).

73   Sections 114, 115 and 117 are repealed.

74   The following is added before Schedule 1:
Saving of reciprocal agreements for notice purposes
119(1)  Notwithstanding the repeal of sections 84 and 97 by the 
Public Sector Pension Plans (Legislative Provisions and Plans 
Portability Arrangements, 2007) Amendment Regulation, a 
reciprocal agreement falling within those sections remains in force 
for the purpose of enabling the giving of notice of termination of 
the agreement to other parties to the agreement and, subject to this 
section, until the effective date of that termination.
(2)  Where a reciprocal agreement is terminated under subsection 
(1),
	(a)	a person who immediately before the termination of the 
agreement was participating in the Plan and had 
previously made arrangements for periodic instalment 
payments with respect to prior service that had not yet 
been completed is to continue to make payments under 
those arrangements under the same terms and 
conditions, including the rate of interest, until payment 
is made in full,
	(b)	the employer is liable to continue to make those 
contributions, if any, with interest at the rate formerly 
payable, in respect of that service, that the employer 
would have been liable to make had the agreement not 
been terminated, and
	(c)	service for which such payments had been made is to be 
credited as pensionable service.

75   Part 2 of Schedule 2 is amended by striking out "10(C)" 
and substituting "10(c)".

76   The word "commencement" is struck out wherever it 
occurs in the following provisions and is substituted by the 
phrase "January 1, 1994":
section 2(1)(h.1)(ii)(C); 
section 10(h); 
section 11(f); 
section 26(1); 
section 79(1)(a); 
section 91(1) and (2); 
section 105(1) and (2).


--------------------------------
Alberta Regulation 222/2007
Public Sector Pension Plans Act
PUBLIC SECTOR PENSION PLANS (LEGISLATIVE PROVISIONS) 
(MARRIAGE BREAKDOWN, 2007) AMENDMENT REGULATION
Filed: November 21, 2007
For information only:   Made by the Lieutenant Governor in Council (O.C. 525/2007) 
on November 21, 2007 pursuant to Schedules 1, 2, 4, 5 and 6, section 12 of the Public 
Sector Pension Plans Act. 
1   The Public Sector Pension Plans (Legislative Provisions) 
Regulation (AR 365/93) is amended by this Regulation.

2   Section 13(3) is amended by striking out "2007" and 
substituting "2009".


--------------------------------
Alberta Regulation 223/2007
Marketing of Agricultural Products Act
ALBERTA MILK PLAN MINIMUM PRICE FOR 
SUB-CLASS 1A MILK ORDER
Filed: November 23, 2007
For information only:   Made by the Alberta Energy and Utilities Board on November 
23, 2007 pursuant to section 5(4) of the Alberta Milk Plan Regulation (AR 150/2002).
Minimum price for sub-class 1a milk
1   The minimum price for sub-class 1a milk to be paid by processors 
for a hectolitre of sub-class 1a milk is $79.89.
Repeal
2   The Alberta Milk Plan Minimum Price for Sub-class 1a Milk Order 
(AR 211/2007) is repealed.
Coming into force
3   This Order comes into force on December 15, 2007.


--------------------------------
Alberta Regulation 224/2007
Employment Pension Plans Act
EMPLOYMENT PENSION PLANS (LETTERS OF CREDIT, ETC.) 
AMENDMENT REGULATION
Filed: November 28, 2007
For information only:   Made by the Lieutenant Governor in Council (O.C. 539/2007) 
on November 28, 2007 pursuant to section 87 of the Employment Pension Plans Act. 
1   The Employment Pension Plans Regulation (AR 35/2000) 
is amended by this Regulation.

2   Section 2(1) is amended
	(a)	by adding the following after clause (a.5):
	(a.55)	"conforming letter of credit" means a letter of credit
	(i)	in respect of which all the requirements of section 
48.1(2) are met, and
	(ii)	which, and the issuing of which, with reference to 
the circumstances set out in section 48.1, meets all 
the requirements of the tax Act;
	(b)	by adding the following before clause (i):
	(h.1)	"letter of credit" means a letter of credit that is in 
accordance with the rules of International Standby 
Practices ISP98 (Publication No. 590) of the 
International Chamber of Commerce and, where 
applicable, includes any renewal, amendment or 
confirmation of such a letter of credit or the documents 
evidencing such a renewal, amendment or confirmation;

3   Section 2(2)(b) is amended by striking out "and" at the 
end of subclause (i), adding a comma at the end of 
subclause (ii)(B), adding "and" on the line following 
subclause (ii) and adding the following at the end:
	(iii)	money committed under a conforming letter of credit.

4   The following is added after section 2(2):
(2.1)  References in this Regulation to the issuing of a letter of 
credit are to be taken to mean,
	(a)	where the letter of credit is or was renewed (whether 
with or without an increase or decrease in the amount 
covered), to the renewal or the latest renewal of it or to 
the letter of credit as renewed, and
	(b)	where the letter of credit is or was confirmed, to the 
confirmation or the latest confirmation of it or to the 
letter of credit as confirmed,
as the case may be, and, for the avoidance of any doubt, to include 
the replacement of an existing letter of credit.
(2.2)  References in this Regulation to confirmation, in the context 
of a letter of credit, mean the assumption, whether by force of law 
or of contract, by a Canadian banking subsidiary of a foreign bank 
of liability for any payments under the letter of credit for which 
that foreign parent bank is liable but does not pay.

5   Section 4(a) is amended by adding ", (2), (3.2) and (3.3)" 
after "50(1)".

6   Section 16(1)(e) is amended by adding "and" at the end of 
subclause (i), striking out ", and" at the end of subclause (ii) 
and repealing subclause (iii).

7   Section 40 is amended by adding the following after 
subsection (6):
(6.1)  Notwithstanding subsection (6), a LIF may be established for a 
non-member-pension partner who has not yet attained the age of 50 
years, and the RRIF has full effect as a LIF, where
	(a)	the member-pension partner owner dies, or
	(b)	a matrimonial property order or agreement provides for the 
splitting of money held in a LIF whose owner is the 
member-pension partner.
(6.2)  Where a LIF is established under subsection (6.1), then, until 
the non-member-pension partner attains the age of 50 years, the 
maximum amount that may be withdrawn from that LIF in any year 
is the minimum amount that must be withdrawn from it under the tax 
Act in that year.

8   Section 43(9) is amended by striking out "section 39(5.1), 
40(4)(b)," and substituting "sections 39(5.1), 40(4)(b) and".

9   Section 46.1 is amended
	(a)	in subsection (1)(b)(ii) by striking out "(19)" and 
substituting "(18)";
	(b)	in subsection (18)(c) by adding a comma after 
"membership".
10   Section 48 is amended
	(a)	in subsection (1) by striking out "applies" and 
substituting "and section 48.1 apply";
	(b)	in subsection (2) by adding "and, to the extent if any 
applicable, section 48.1" after "with, this section";
	(c)	in subsection (3) by striking out "section" and 
substituting "sections 48.1 and".

11   The following is added after section 48:
Use of letters of credit for meeting solvency deficiencies
48.1(1)  In this section,
	(a)	"acceptable rating" means a current rating, given by a 
credit rating agency to a bank, which rating is at least 
equal to at least one of the following ratings, namely, 
	(i)	A, from Dominion Bond Rating Service Limited,
	(ii)	A, from Fitch Ratings,
	(iii)	A2, from Moody's Investors Service, and
	(iv)	A, from Standard & Poor's Ratings Services;
	(b)	"bank" means
	(i)	a bank that, by virtue of section 14 or 14.1 of the 
Bank Act (Canada), is or is to be set out in 
Schedule I, II or III to that Act, or
	(ii)	Alberta Treasury Branches;
	(c)	"credit rating agency" means an agency referred to in 
any of clause (a)(i) to (iv) or any other similar agency 
approved by the Superintendent for the purposes of this 
section;
	(d)	"expiry" means the time when a letter of credit expires;
	(e)	"holder" means the fund holder to whose benefit the 
letter of credit in question is made out pursuant to 
subsection (3)(c), or that fund holder's successor;
	(f)	"issuer" means a bank that has an acceptable rating and 
is a member of the Canadian Payments Association;
	(g)	"obligated issuer" means an issuer that is contractually 
liable for payment under a conforming letter of credit if 
money is drawn down under the letter of credit;
	(h)	"solvency deficiency payments" means the special 
payments under section 48(3)(c);
	(i)	"termination report" means the report under section 
76(3) of the Act.
(2)  An employer, other than a participating employer under a 
specified multi-employer plan, may, instead of making some or 
all of the required solvency deficiency payments, use or continue 
to use a letter of credit to secure those solvency deficiency 
payments for a particular year if and only if the letter of credit 
and the bank obligated under the letter of credit satisfy the 
requirements of this section.
(3)  A letter of credit may not be used for the purposes of section 
48 or this section, and therefore lacks the potential to qualify as a 
conforming letter of credit, unless the letter of credit (including 
one as renewed)
	(a)	is an irrevocable and unconditional standby letter of 
credit,
	(b)	was issued by a bank that was an issuer,
	(c)	is made out to the benefit of a fund holder in trust for 
the depositing of it, and of any money paid under it, into 
the pension fund,
	(d)	specifies the time from when it becomes effective and, 
subject to subsection (5), its expiry time,
	(e)	makes the issuer that issued it contractually liable, if 
money is drawn down under it, for paying out money 
under its terms,
	(f)	is issued in Canadian currency, and
	(g)	provides that
	(i)	on the drawdown of money under it, the obligated 
issuer will, forthwith after the drawdown demand, 
pay to the holder the amount, not exceeding its 
face amount, that is demanded under the 
drawdown, without further inquiry,
	(ii)	the insolvency or bankruptcy of the employer is to 
have no effect on the rights or the obligations of 
the obligated issuer or the holder under it,
	(iii)	immediately following each expiry time, it will, in 
accordance with subsequent provisions of this 
section, be renewed, replaced or allowed to expire 
without renewal or replacement,
	(iv)	the obligated issuer must, if applicable, give the 
minimum 90 days' notices required by subsection 
(9), and
	(v)	it may not be
	(A)	assigned except by the issuer to another 
issuer, or
	(B)	amended except
	(I)	on a renewal to increase or, in 
accordance with subsection (7), to 
decrease the amount covered by it,
	(II)	where a successor issuer has taken over 
the rights and obligations under it from a 
predecessor issuer, to change the name 
of that predecessor to that of that 
successor, or
	(III)	following an assignment, to reflect the 
change in issuer, if considered 
advisable.
(4)  To avail itself of subsection (2), when a letter of credit 
intended as a conforming letter of credit is to be initially issued, 
an employer must, at least 90 days before the day when the next 
in the series of solvency deficiency payments following its issue 
date falls due, forward the original or a photocopy of the 
executed letter of credit for the Superintendent's review and 
approval.
(5)  The expiry time of a conforming letter of credit must be not 
later than one year from the time it takes effect following its 
issue.
(6)  At least 90 days before an existing conforming letter of 
credit is due to expire, an employer must make known to the 
holder and the Superintendent whether, at expiry, the letter of 
credit is to be
	(a)	renewed, by giving them notice of that fact and of the 
amount for which is to be renewed,
	(b)	replaced, by forwarding the original or a photocopy of 
the replacing executed letter of credit for the 
Superintendent's review and approval and notifying the 
holder of that transmission, or
	(c)	allowed to expire without renewal or replacement on 
account of its no longer being needed, by giving them 
notice of that fact,
and, so far as applicable, by following the respective process set 
out in subsection (7) or (8), as the case may be.
(7)  Subject to subsection (15)(b), if the amount for which a 
conforming letter of credit is to be renewed or replaced will be 
less than the amount covered by the letter of credit to be renewed 
or replaced, the employer must
	(a)	provide to the Superintendent, along with the document 
sent to the Superintendent under subsection (6)(a) or 
(b), a current actuarial valuation report showing that 
after the reduction the funding requirements of section 
48 and this section will continue to be met,
	(b)	remit to the holder, along with the notice sent to the 
holder under subsection (6)(a) or (b), a portion of the 
amount covered by the letter of credit to be renewed or 
replaced and at the same time notify the Superintendent 
of that remittance with the amount, or
	(c)	implement a combination of clauses (a) and (b),
in which case the amount of the renewing or replacing letter of 
credit may be reduced to the extent indicated in that actuarial 
valuation report, by the amount of the remittance under clause 
(b) or by the combination of both, as the case may be.
(8)  If a conforming letter of credit is to be allowed to expire 
without being renewed or replaced, the employer must, at least 
90 days before its expiry, provide to the Superintendent, along 
with the notice to the Superintendent referred to in subsection 
(6)(c), a current actuarial valuation report showing that after 
expiry the funding requirements of section 48 will continue to be 
met.
(9)  If the obligated issuer decides that it is not going to renew 
the conforming letter of credit, it shall notify the employer, the 
holder and the Superintendent of that fact at least 90 days before 
its expiry.
(10)  The Superintendent shall, within 30 days after receiving a 
letter of credit or copy forwarded under subsection (4) or (6)(b) 
that receives approval, return it to the employer along with an 
acknowledgement that the letter of credit conforms.
(11)  The employer must forward the approved original 
conforming letter of credit to the holder, along with a copy of the 
Superintendent's acknowledgement of conformity,
	(a)	if the letter of credit is being initially issued, on or 
before the day when the first in the series of solvency 
deficiency payments to which the letter of credit relates 
following its issue date falls due, or
	(b)	if the letter of credit is replacing another, at least 15 
days before expiry.
(12)  If the expiring conforming letter of credit is to be renewed, 
the employer must forward to the holder and to the 
Superintendent a copy of the document renewing it at least 15 
days before expiry.
(13)  Notwithstanding anything in this section, if the bank 
obligated under a conforming letter of credit ceases to be an 
issuer, the letter of credit may continue to be used for all the 
purposes of this section as a conforming letter of credit, and that 
bank is deemed to remain an obligated issuer, until its expiry, but 
it may not be renewed.
(14)  If, 14 days before expiry, the holder has not received notice 
that the pension plan is or is about to be wholly terminated and 
still has not received all the documents that the employer was 
required by subsection (6) and, so far as applicable, subsection 
(7) or (8), to send to the holder, the holder shall on the next 
business day draw down the full amount of the letter of credit.
(15)  If the pension plan is or is about to be wholly terminated, 
the employer must
	(a)	maintain the letter of credit in force, and
	(b)	if necessary, renew or replace it without any decrease in 
the amount covered, and thereafter maintain it,
until the Superintendent has approved the termination report and 
the employer has received permission to cancel under subsection 
(16)(a) or made the remittance under subsection (17) or 
drawdown has been effectuated under subsection (17).
(16)  At the time of notifying the employer that the termination 
report is approved, the Superintendent shall also notify the 
employer, with a copy to the holder, that based on that report
	(a)	the plan is fully solvent and the letter of credit may be 
cancelled, or
	(b)	there is still a solvency deficiency,
and, if clause (b) applies, state the amount of the solvency 
deficiency that must be remitted to the holder.
(17)  If applicable, the employer must, within 14 days after the 
date of the Superintendent's notice to the employer of the 
solvency deficiency under subsection (16), ensure that the holder 
has received the amount so notified and the holder, if the 
remittance is not so received, shall, on the next business day after 
that 14-day period ends, draw down the lesser of the full amount 
of the letter of credit and the amount specified in that notice.
(18)  A drawdown under a conforming letter of credit is to be 
made by the holder in writing or in such other form as the letter 
of credit allows.
(19)  Nothing in this section is to be taken to reduce any 
employer's liabilities under section 73 of the Act or the rules 
prescribed in relation to that section.
(20)  Where the employer is a participating employer under a 
multi-unit plan, that employer, instead of providing the 
documentation required by this section to the holder, must 
provide it to the administrator, who shall then forthwith forward 
it to the holder.
(21)  If the obligated issuer
	(a)	is about to assign the conforming letter of credit to 
another issuer, as allowed by subsection (3)(g)(v)(A), or
	(b)	is a predecessor issuer whose rights and obligations 
under the conforming letter of credit are about to be 
taken over by a successor issuer,
both issuers shall give notice of the proposed transaction to the 
Superintendent and to the holder.
(22)  Subject to subsection (18), a notification that is to be given 
to or by the Superintendent or any other person under this 
section, and any approval that is to be given by the 
Superintendent, must be given in writing.
(23)  The employer must either
	(a)	make interest payments related to the solvency 
deficiency payments secured by the conforming letter of 
credit monthly within 30 days after the end of the month 
to which the interest payments relate at the interest rate 
used to establish each solvency deficiency, or
	(b)	include in the letter of credit the interest payments 
referred to in clause (a) for the period covered by the 
letter of credit.
(24)  The employer must pay any fees related to the 
establishment and maintenance of the conforming letter of credit 
separately, and those fees may not be included in the letter of 
credit or charged as a cost to the pension plan.
(25)  When a person becomes entitled to receive a benefit 
payment, other than an ongoing pension payment, from the 
pension plan and while some or all of the solvency deficiency 
payments remain covered by a conforming letter of credit, the 
employer must
	(a)	make one lump sum payment to the plan in an amount 
that is equal to any transfer deficiency that exists and to 
the extent that it relates to the person, before making the 
payment to or on behalf of the person, or
	(b)	include a payment in the same amount in the next 
remittance of contributions.
(26)  A conforming letter of credit is not an asset of the plan for 
the purposes of determining its solvency ratio or the going 
concern assets.

12   Section 49 is amended by adding the following after 
subsection (5):
(6)  For the purposes of this section and section 50 of the Act, the 
issue of a conforming letter of credit meets the requirement for the 
remitting of such amount of contributions as is covered by the letter 
of credit.

13   Section 55(1) is amended by adding ", 48.1" after "48".

14   Section 60.1 is amended by striking out "are" and 
substituting "is".

15   Section 63 is amended
	(a)	in subsection (1) by adding "and, if applicable, section 
48.1" after "48";
	(b)	in subsection (2)(b) by adding "and, if applicable, 
section 48.1" before "of this".

16   Section 67.1(a) is amended by striking out "46.1(18)" 
and substituting "46.1(17)".

17   Section 73.1 is amended by striking out "require" and 
substituting "required".

18   Paragraph 19(2) of Form 1 of Schedule 1 is amended by 
striking out "original" wherever it occurs and substituting 
"deceased".

19   The phrase "paragraph (1)(1)(n)" found in the asterisked 
paragraph immediately before Part 1, Form 2 of Schedule 1 
is struck out and substituted by the phrase "paragraph 
1(1)(n)".

20   The bracketed reference immediately below the 
heading "Form 4" in Schedule 1 is amended by adding 
"section" after "Act and".



Alberta Regulation 225/2007
Alberta Investment Management Corporation Act
ALBERTA INVESTMENT MANAGEMENT CORPORATION REGULATION
Filed: November 28, 2007
For information only:   Made by the Lieutenant Governor in Council (O.C. 541/2007) 
on November 28, 2007 pursuant to section 20 of the Alberta Investment Management 
Corporation Act. 


Table of Contents
	1	Definitions
	2	Term of appointment
	3	Ceasing to hold office
	4	Eligibility
	5	Qualifications
	6	Nominating committee
	7	Indemnities
	8	Borrowing
	9	Investing
	10	Reserve fund
	11	Coming into force
Definitions
1   In this Regulation,
	(a)	"chair" means the chair of the board;
	(b)	"senior publicly traded issuer" means a publicly traded issuer 
that has or had a market capitalization of at least 
$75 000 000.
Term of appointment
2(1)  The term of office of a director must not exceed 3 years, but no 
director shall serve for more than 3 terms or 9 years, whichever occurs 
first.
(2)  Notwithstanding subsection (1), a director continues to hold office 
after that director's term of office has expired until
	(a)	the director is reappointed,
	(b)	a successor is appointed, or
	(c)	a period of 6 months has elapsed,
whichever occurs first.
(3)  In determining the term of an appointment, the Lieutenant 
Governor in Council shall have regard to the desirability of having no 
more than 1/3 of the appointments expire in any one year.
(4)  In making an appointment, the Lieutenant Governor in Council 
shall have regard to the desirability of having a board that is comprised 
of individuals who, in the aggregate, have the full range of skills, 
knowledge and experience necessary to be able to effectively lead the 
Corporation in achieving its objects.
(5)  Subsection (3) applies to appointments made on or after January 1, 
2011.
Ceasing to hold office 
3(1)  A director ceases to hold office when
	(a)	the director resigns,
	(b)	the director becomes ineligible under section 4(2), or
	(c)	the director's appointment expires or is terminated by the 
Lieutenant Governor in Council.
(2)  A resignation of a director becomes effective when received by the 
chair, in writing, or at the time specified in the resignation, whichever 
is later.
(3)  The chair shall send a copy of the director's resignation to the 
Minister forthwith.
Eligibility
4(1)  The following individuals are not eligible to become a director:
	(a)	an individual who is less than 18 years of age; 
	(b)	an individual who 
	(i)	is a dependent adult as defined in the Dependent Adults 
Act or is the subject of a certificate of incapacity under 
that Act,
	(ii)	is a formal patient as defined in the Mental Health Act, 
or
	(iii)	has been found to be a person of unsound mind by a 
court elsewhere than in Alberta;
	(c)	an individual who has the status of bankrupt in Canada or 
equivalent status in any other jurisdiction;
	(d)	an individual who
	(i)	within the immediately preceding 5 years, has been 
convicted of an indictable offence or of an offence of a 
similar nature in another jurisdiction, or
	(ii)	has been convicted of an offence under the Bank Act 
(Canada) or the Loan and Trust Corporations Act, the 
Credit Union Act, the Insurance Act or the Securities 
Act, or an equivalent law of another jurisdiction;
	(e)	an individual, other than the Deputy Minister of the Minister, 
who is an employee of, or who is an employee of an agent of, 
the Crown;
	(f)	an individual who is a Member of the Legislative Assembly 
of Alberta.
(2)  A director is disqualified if the person
	(a)	was ineligible to become a director under subsection (1),
	(b)	becomes an individual referred to in subsection (1)(b), (c), 
(e) or (f), or
	(c)	is convicted of an offence referred to in subsection (1)(d).
(3)  An act of the board or a committee of the board is valid 
notwithstanding that a director may have been ineligible or disqualified 
under this section.
Qualifications
5   Individuals appointed to the board must have proven and 
demonstrable experience and expertise in investment management, 
finance, accounting or law or experience as an executive or a director 
in a senior publicly traded issuer.
Nominating committee
6(1)  The Minister shall establish a nominating committee to advise 
the Minister regarding the appointment of any individual to the board.
(2)  The nominating committee must be comprised of at least 3 
individuals, each of whom must have proven and demonstrable 
experience and expertise in investment management, finance, 
accounting or law or experience as an executive or a director in a 
senior publicly traded issuer.
(3)  The chair is, if the office is not vacant, a member of the 
nominating committee.
(4)  The nominating committee shall provide the Minister with a short 
list of qualified candidates comprised of at least double the number of 
positions to be filled, excluding any positions to be filled by 
reappointment.
(5)  In determining the short list referred to in subsection (4), the 
nominating committee must take into account section 2(4).
(6)  The Minister shall recommend to the Lieutenant Governor in 
Council only candidates for appointment to the board who have been 
provided by the nominating committee.
(7)  This section does not apply with respect to the reappointment of a 
director.
(8)  This section applies in respect of persons to be appointed to the 
board after January 1, 2008.
Indemnities
7(1)  The Corporation may indemnify a person under section 12(1) of 
the Act if authorized by a resolution of the board.
(2)  The Corporation must purchase and maintain appropriate liability 
insurance, as is commercially reasonable, to indemnify the Corporation 
against the costs, charges and expenses in respect of which 
indemnification under section 12(1) of the Act may be required.
(3)  The indemnity
	(a)	must be in writing and provide that it applies only to the 
extent that the person is not otherwise indemnified, and
	(b)	may contain such additional terms and conditions required by 
the Corporation or the Minister.
(4)  The Corporation may, under section 12(2) of the Act, provide 
indemnities in writing of the type that the Crown may provide under 
section 71(1)(a), (b) or (d) of the Financial Administration Act.
Borrowing
8   If authorized by a resolution of the board, the Corporation may, 
under section 18 of the Act, borrow money from the Crown or from a 
bank, credit union or treasury branch that is required for the 
Corporation's operating, capital or other purposes authorized by the 
Minister.
Investing
9   The Corporation may invest its funds only as a participant under 
section 40 of the Financial Administration Act.
Reserve fund
10   The Corporation may, if authorized by a resolution of the board, 
establish and maintain a reserve fund for the purpose of
	(a)	managing money not immediately required for the 
Corporation's operating, capital or other authorized purposes, 
or
	(b)	repaying any money borrowed under section 8.
Coming into force
11   This Regulation comes into force on January 1, 2008.


--------------------------------
Alberta Regulation 226/2007
Government Organization Act
CALGARY RESTRICTED DEVELOPMENT AREA 
AMENDMENT REGULATION
Filed: November 28, 2007
For information only:   Made by the Lieutenant Governor in Council (O.C. 546/2007) 
on November 28, 2007 pursuant to Schedule 5, section 4 of the Government 
Organization Act. 
1   The Calgary Restricted Development Area Regulations 
(AR 212/76) are amended by this Regulation.

2   Schedule A, describing land located in Township 22, 
Range 29, West of the Fourth Meridian, is amended, with 
respect to Sections 25, 26, 35 and 36, by striking out "Area 
'A' on Plan 0710614" and substituting "Area 'A' on Plan 0710614; 
all that portion of Area 'A' on Plan 0212503 not included on Plan 
0710614".



Alberta Regulation 227/2007
Government Organization Act
EDMONTON RESTRICTED DEVELOPMENT AREA  
AMENDMENT REGULATION
Filed: November 28, 2007
For information only:   Made by the Lieutenant Governor in Council (O.C. 547/2007) 
on November 28, 2007 pursuant to Schedule 5, section 4 of the Government 
Organization Act. 


1   The Edmonton Restricted Development Area 
Regulations (AR 287/74) are amended by this Regulation.

2   Item 5 of the Schedule, describing land located in 
Township 53, Range 23, West of the Fourth Meridian, is 
amended by striking out
SECTIONS 16	Plans 892 0981, 022 3214 and Areas A and
& 17:	B of Plan 022 4646 showing survey for descriptive 
purposes of a right-of-way for a 
Transportation/Utility Corridor; EXCEPTING 
THEREOUT Area C of Plan 022 4646.
and substituting
SECTIONS 16	Plans 892 0981, 022 3214 and Areas A and
& 17:	B of Plan 022 4646 showing survey for descriptive 
purposes of a right-of-way for a 
Transportation/Utility Corridor; All that area east of 
Plan 892 0981, north of Plan 2743 H.W. and south of 
Plan 022 3214 within the northwest quarter of 
section 16; EXCEPTING THEREOUT Area C of 
Plan 022 4646.

3   Item 6 of the Schedule, describing land located in 
Township 52, Range 25, West of the Fourth Meridian, is 
amended by striking out
SECTION 30:	Lot 2, Block 60, Plan 062 0745.
and substituting
SECTION 30:	Lot 2, Block 60, Plan 062 0745; All that area of Plan 
882 2479 within the southeast quarter of section 30; 
All that area of the original government road 
allowance (199 Street) lying between Plan 882 2479 
and Plan 062 0745.
4   Item 9 of the Schedule, describing land located in 
Township 51, Range 24, West of the Fourth Meridian, is 
amended by striking out
SECTIONS 29	Plan 882 2409 showing survey for descriptive 
& 30:	purposes of a right-of-way for a 
Transportation/Utility Corridor; All that area within 
LSDs 14, 15 and 16 of section 29; All that area north 
of Plan 882 2409, including Blocks A and B of Plan 
5306 K.S.; Area C of Plan 022 0252; EXCEPTING 
THEREOUT Plans 4637 E.O., 1136 H.W., 
932 1472, 942 1206, Areas B, D and E on Plan 
942 3984, Plan 002 4386; Areas A and B of Plan 
022 0252; Plan 022 6042; Plan 992 2396; All that 
portion of Road Plan 2312 E.T. lying north and 
northeast of Plan 992 2396.
and substituting
SECTIONS 29	Plan 882 2409 showing survey for descriptive 
& 30:	purposes of a right-of-way for a 
Transportation/Utility Corridor; All that area within 
LSDs 14, 15 and 16 of section 29; All that area north 
of Plan 882 2409, including Blocks A and B of Plan 
5306 K.S.; Area C of Plan 022 0252; All that area 
within the original government road allowance (111 
Street) lying south of Plan 882 2409 and north of the 
projection easterly of the north limit of MacEwan 
Road as shown on Plan 022 6042; EXCEPTING 
THEREOUT Plans 4637 E.O., 1136 H.W., 
932 1472, 942 1206, Areas B, D and E on Plan 
942 3984, Plan 002 4386; Areas A and B of Plan 
022 0252; Plan 022 6042; Plan 992 2396; All that 
portion of Road Plan 2312 E.T. lying north and 
northeast of Plan 992 2396.

5   Item 10 of the Schedule, describing land located in 
Township 51, Range 25, West of the Fourth Meridian, is 
amended by striking out
SECTIONS	Plan 882 2894 showing survey for descriptive
25 & 26:	purposes of a right-of-way for a 
Transportation/Utility Corridor; All that area of 
Block 3 of Plan 822 0275 northwest of Plan 
882 2894 within the northeast quarter of section 25; 
Plans 052 5764 and 052 5117; EXCEPTING 
THEREOUT Plans 942 1206, 002 0909 and 
022 6075.
and substituting
SECTIONS	Plan 882 2894 showing survey for descriptive
25 & 26:	purposes of a right-of-way for a 
Transportation/Utility Corridor; All that area of 
Block 3 of Plan 822 0275 northwest of Plan 
882 2894 within the northeast quarter of section 25; 
Plans 052 5764 and 052 5117; EXCEPTING 
THEREOUT Plans 942 1206, 002 0909, 022 6075, 
072 1202 and 072 2548.


--------------------------------
Alberta Regulation 228/2007
Financial Administration Act
FUNDS AND AGENCIES EXEMPTION AMENDMENT REGULATION 
Filed: November 28, 2007
For information only:   Made by the Lieutenant Governor in Council (O.C. 548/2007) 
on November 28, 2007 pursuant to section 2 of the Financial Administration Act. 
1   The Funds and Agencies Exemption Regulation 
(AR 128/2002) is amended in Schedule B by adding "Alberta 
Investment Management Corporation" after "Agriculture Financial 
Services Corporation".


--------------------------------
Alberta Regulation 229/2007
Personal Property Security Act
PERSONAL PROPERTY SECURITY AMENDMENT REGULATION
Filed: November 28, 2007
For information only:   Made by the Lieutenant Governor in Council (O.C. 549/2007) 
on November 28, 2007 pursuant to section 73 of the Personal Property Security Act. 
1   The Personal Property Security Regulation (AR 95/2001) 
is amended by this Regulation.

2   Section 4 is repealed.

3   Section 9 is amended
	(a)	in subsection (1)
	(i)	by striking out "signed" and substituting 
"approved";
	(ii)	in clause (a) by striking out "sign" and 
substituting "act";
	(b)	by repealing subsection (2) and substituting the 
following:
(2)  The transmitting party may register a financing statement 
or financing change statement without requiring proof that the 
person approving it had the authority to do so.
	(c)	by repealing subsection (3).

4   Sections 10 and 11 are repealed.

5   Section 12 is repealed and the following is substituted:
Manner of completing forms
12   The information required or permitted by this Regulation to be 
set out on a prescribed form submitted for registration in the 
Registry must not contain any punctuation marks or symbols other 
than those set out in Schedule 1.

6   Sections 13 and 14 are repealed.

7   Section 17(4) is repealed.

8   Section 18 is repealed and the following is substituted:
Re-registration after lapse or discharge
18(1)  A secured party may re-register a security interest pursuant 
to section 35(7) of the Act by registering a financing statement.
(2)  Where a financing statement is to be registered under 
subsection (1), the secured party must, in the area for "Particulars", 
select the heading "Additional Information" and specify
	(a)	that the registration is a re-registration pursuant to 
section 35(7) of the Act, and
	(b)	the registration number of the registration that lapsed or 
was discharged.
9   Section 19 is amended by repealing clauses (a) and (b) 
and substituting the following:
	(a)	an individual, or
	(b)	an artificial body.

10   Section 23 is repealed.

11   Section 24 is amended 
	(a)	in subsection (1) by adding "Additions and Changes -" 
before "Court Order, Other Changes and Additional 
Information";
	(b)	subsection (2) is repealed and the following is 
substituted:
(2)  A secured party referred to in subsection (1) must, in the area 
for "Particulars", select the heading "Additional Information" 
and specify
	(a)	"Further information relating to name or address:",
	(b)	the name of the party for whom the name or address 
information is incomplete, as that name appears on the 
financing statement or financing change statement,
	(c)	whether the party referred to in clause (b) is a debtor or 
a secured party,
	(d)	whether the incomplete information relates to name or 
to address, and
	(e)	the name or address information required.

12   Section 35(1) is amended by repealing clause (d) and 
substituting the following:
	(d)	the appropriate category of collateral as set out in Schedule 3.

13   Section 38 is repealed.

14   Section 39 is repealed and the following is substituted:
Court orders, etc.
39   Where a financing statement is submitted in respect of a court 
order or receiver's report that is an initial registration, the secured 
party must, in the area for "Particulars", select the heading "Court 
Order" and specify
	(a)	the Court,
	(b)	the date and court file number of the order,
	(c)	the judicial district out of which it was issued, and
	(d)	its effect.

15   Section 43(b) is repealed and the following is 
substituted:
	(b)	in the area for "Particulars", select the heading "Court Order" 
and specify
	(i)	the Court,
	(ii)	the date and court file number of the court order,
	(iii)	the judicial district out of which the court order is 
issued, and
	(iv)	the effect of that court order.

16   Section 44 is repealed and the following is substituted:
Subordinations
44   Where a financing statement or financing change statement is 
submitted in respect of a subordination, the secured party must, in 
the area for "Particulars", select the heading "Other Changes" and 
set out
	(a)	the registration number of the registration to which the 
security interest is being subordinated, or where the 
security interest is being subordinated to an interest not 
registered in the Registry, a description of the interest, 
and
	(b)	a description of the collateral to which the subordination 
applies, if the subordination applies to only part of the 
collateral.

17   Section 47(d) is repealed and the following is 
substituted:
	(d)	in the area for "Particulars", select the heading "Other 
Changes" and set out the extent of the interest for the 
collateral being transferred and the names of the transferor 
and transferee.

18   Sections 48 and 49 are repealed and the following is 
substituted:
Trust indentures
48   Where a financing change statement is submitted to disclose 
that a consolidated registration relates to or no longer relates to a 
security interest arising under a trust indenture, the secured party 
must, in the area for "Particulars",
	(a)	select the heading "Other Changes", and
	(b)	state that the consolidated registration relates to or that 
the consolidated registration no longer relates to a 
security interest arising under the trust indenture.

19   Section 52 is repealed and the following is substituted:
Seizure of security interest
52   For the purpose of registering a notice of seizure of a security 
interest pursuant to section 51 of the Civil Enforcement Act, the 
secured party must complete a financing change statement and, in 
the area for "Particulars", select the heading "Other Changes" and 
specify
	(a)	that seizure of a specified security interest has been 
made,
	(b)	the name of the enforcement debtor, and
	(c)	the name of the enforcement creditor.

20   Section 54(1) is amended by striking out "and may sign 
the financing statement or financing change statement as the secured 
party".

21   Section 55(1) is amended by adding "or other methods 
approved by the Registrar" after "ordinary mail".
22   Sections 57, 59 and 62 are repealed.

23   Section 70 is amended by striking out "June 30, 2008" 
and substituting "November 30, 2012".

24   Schedule 1 is repealed and the following is substituted:
Schedule 1
Character
Comment
Used in 
Name 
Fields*
Used in 
Paragraph 
Fields**
Used in 
Other 
Fields***
a-z, A-Z
Letters of the 
Alphabet of the 
English 
Language
Yes
Yes
Yes
0-9
Arabic 
Numerals
Yes
Yes
Yes

Blanks
Yes
Yes
Yes
!
Exclamation 
Mark
Yes
No
No
"
Double Quote
Yes
Yes
Yes
#
Pound Sign
Yes
Yes
Yes
$
Dollar Sign
Yes
Yes
Yes
%
Percent
Yes
Yes
Yes
&
Ampersand
Yes
Yes
Yes
'
Apostrophe
Yes
Yes
Yes
(
Left Round 
Parenthesis
Yes
Yes
Yes
)
Right Round 
Parenthesis
Yes
Yes
Yes
*
Asterisk
Yes
Yes
Yes
+
Plus
Yes
Yes
Yes
,
Comma
Yes
Yes
Yes
.
Period
Yes
Yes
Yes
-
Hyphen
Yes
Yes
Yes
/
Slash
Yes
Yes
Yes
:
Colon
Yes
Yes
Yes
;
Semicolon
Yes
Yes
Yes
>
Greater Than
Yes
No
No
<
Less Than
Yes
No
No
=
Equal
Yes
No
No
[
Left Square 
Parenthesis
Yes
No
No
]
Right Square 
Parenthesis
Yes
No
No
?
Subset
No
No
No
^
Caret
No
Yes
Yes
?
Question Mark
Yes
Yes
Yes
@
At Sign
Yes
Yes
Yes
lf
Line Feed
No
Yes
No
cr
Carriage Return
No
Yes
No
*	Name Fields include Last Name, First Name, Middle Name, 
Business Name (Legal and Operating).
**	Paragraph Fields include General Collateral Description, 
Particular Description and Product Distribution Message.
***	Other Fields include entry fields than are not numeric, are not 
Name Fields and are not Paragraph Fields.

25   Schedule 2 is repealed.

26   Schedule 3 is repealed and the following is substituted:
Schedule 3 
 
Categories of Collateral
Aircraft - Canada (Applies to aircrafts registered in Canada); 
Aircraft - Foreign (Applies to aircraft not registered in Canada); 
Boats; 
Farm Vehicles (Applies only to registrations under the Garage 
   Keepers' Lien Act); 
Manufactured Homes (Applies only to registrations of 
   Designated Manufactured Homes under Part 10, Division 8.1 
   of the Municipal Government Act); 
Mobile Homes; 
Motor Vehicles; 
Outboard Motors (Applies to outboard motors for Boats); 
Trailers.

27   Schedule 4 is repealed.

28   Schedule 5 is repealed.

29   Section 27 comes into force on the coming into force of 
the Personal Property Registry Accreditation and Document 
Handling Regulation.



Alberta Regulation 230/2007
Personal Property Security Act
PERSONAL PROPERTY SECURITY FORMS AMENDMENT REGULATION
Filed: November 28, 2007
For information only:   Made by the Lieutenant Governor in Council (O.C. 550/2007) 
on November 28, 2007 pursuant to section 73 of the Personal Property Security Act. 
1   The Personal Property Security Forms Regulation 
(AR 231/2002) is amended by this Regulation.



2(1)  The Schedule is amended by this section.
(2)  Form 1 is repealed and the following is substituted:
Form 1
	PPSA Security Agreement,
	Sale of Goods Act s.26(2)
	or Factors Act s.9(2)
 	Financing Statement
Type of Registration (Select one only)
SA
?   PPSA Security Agreement
1.  What is the term of 
Registration?
?    	(1-25 years) or 
?    Infinity
2.  Does it cover Trust 
Indenture?
    	 Yes	     No
SG
?   Sale of Goods 
Act s.26(2) or 
Factors Act s.9(2)
1.  What is the term 
of Registration?
?     (1-25 years) or 
?    Infinity
Debtor One
Select one      ?  Business                 ?  Individual
Birthdate
(if known)
(Business Name or Last Name)    (First Name)    (Middle Name)             (dd/mm/yy)
(Street Address)                    (City)     (Province)                                   (Postal Code)
Debtor Two
Select one       ?  Business                 ?  Individual
Birthdate
(if known)
(Business Name or Last Name)    (First Name)    (Middle Name)             (dd/mm/yy)
(Street Address)                    (City)     (Province)                                    (Postal Code)
Secured Party
Select one        ?  Business               ?  Individual
(Secured
Party Code)         (Business Name or Last Name)     (First Name)     (Middle Name)
(Street Address)                      (City)             (Province)                         (Postal Code)
Collateral - Serial Number Goods 
(If PPSA, applicable only to consumer goods or equipment)
1  (Serial Number)          (YYYY)          (Make and Model)        (Category)
2  (Serial Number)          (YYYY)          (Make and Model)        (Category)
General Collateral
1  	
2  	
(Your Reference No.)
                                             (Name of Person Authorized       (Phone          (Call Box
(Authorized Signature)  to Complete this form (PRINT))   No.)                     No.)
(3)  The following Forms are added after Form 1:
Form 1.1
	Writ of Seizure and Sale
	(Federal Writ)
	Civil Enforcement Act
 	Financing Statement
  (Court Location)                                 (Writ File Number)	
This Writ authorizes enforcement proceedings in accordance with the Civil 
Enforcement Act.  The particulars of the Writ are as follows:
Debtor
Select one    ?  Business    ?  Individual               (Occupation)	
 (Business Name or Last Name)  (First Name)                                    (Middle Name)	 
 Gender  ?  M     ?  F                     (birthdate if known (dd/mm/yy))  	
(Street Address)                      (City)             (Province)                         (Postal Code)
Creditor/Agent
Select one        ?  Business                ?  Individual
Personal Property Registry
    (P.P.R.) Party Code                   (Name in Full)                                         
(Street Address)                      (City)             (Province)                         (Postal Code)
(Telephone Number)    (Fax Number)   (Call Box Number)     (Reference Number)   
?  Additional Debtors and Creditors and/or other information listed on 
attached addendum.
?  If claiming priority based on an Attachment Order, indicate previous 
P.P.R. Registration Number. 	
Date of Judgment (or date Judgment effective, if different) 
   (day)    day of    (month)   ,    (year)   .
Original Judgment	$               
Post Judgment Interest	$               
Costs	$               
Current Amount Owing $               
To Register Against Serial # Goods at Personal Property 
Registry, Complete the Following:
Serial No. (Only applicable
to serial no. goods,
e.g. motor vehicles)            (YYYY)        Make and Model            Category 
	 
	
	(Name of Person Authorized     
(Authorized Signature)                             to Complete this form (PRINT))
Form 1.2
	Writ of Seizure and Sale
	(Federal Writ)
	Civil Enforcement Act
 	Financing Statement
	Addendum
Debtor
Select one     ?  Business       ?  Individual	      (Occupation)          
Birthdate
(if known)
(Business Name or Last Name)    (First Name)    (Middle Name)             (dd/mm/yy)
(Street Address)                    (City)     (Province)                                   (Postal Code)
    (Debtor's Block Number (if adding alias))   
Debtor
Select one     ?  Business       ?  Individual	      (Occupation)          
Birthdate
(if known)
(Business Name or Last Name)    (First Name)    (Middle Name)             (dd/mm/yy)
(Street Address)                    (City)     (Province)                                   (Postal Code)
    (Debtor's Block Number (if adding alias))   
Collateral - Serial Number Goods
Serial No.               (YYYY)                 Make and Model                Category 
	 
	
Additional Information
	 
	
Form 1.3
 	Receiver's Report,
	Orders or Charges
	Financing Statement
Type of Registration (Select one only)
?  Receiver's Report
?  Court Order - Court Location     (Court File Number)     (Date Order Granted)  
?  Matrimonial Property Order 
?  Statutory Charge - Amount                                      
?  Crown Charge 
?  Land Charge
Debtor
Select one         ?  Business                  ?  Individual
If Court Order, indicate 
Occupation                                                                 Gender  ?  M    ?  F
Birthdate
(if known)
(Business Name or Last Name)    (First Name)    (Middle Name)             (dd/mm/yy)
(Street Address)                    (City)     (Province)                                    (Postal Code)
Secured Party
Select one         ?  Business                ?  Individual
(Secured
Party Code)         (Business Name or Last Name)     (First Name)     (Middle Name)
(Street Address)                      (City)             (Province)                         (Postal Code)
Solicitor/Agent   (If Court Order or Receiver's Report)
Personal Property Registry
    (P.P.R.) Party Code                   (Name in Full)                                         
(Street Address)                      (City)             (Province)                         (Postal Code)
(Telephone Number)    (Fax Number)   (Call Box Number)     (Reference Number)   
Collateral - Serial Number Goods
Serial No.               (YYYY)                 Make and Model                Category 
	 
	
General Collateral  
(If Court Order, Matrimonial Property Order, Statutory Charge or Crown Charge)
	 
	
(Your Reference No.)
                                             (Name of Person Authorized       (Phone          (Call Box
(Authorized Signature)  to Complete this form (PRINT))   No.)                     No.)
(4)   Forms 2, 5, 6, 7, 11, 12 and 13 are repealed and the 
following are substituted:
Form 2
 	Debtor/Secured Party or
	Solicitor/Agent Additions
Debtor
Select one         ?  Business                  ?  Individual
If Court Order, indicate 
Occupation                                                                 Gender  ?  M    ?  F
Birthdate
(if known)
(Business Name or Last Name)    (First Name)    (Middle Name)             (dd/mm/yy)
(Street Address)                    (City)     (Province)                                   (Postal Code)
Debtor
Select one         ?  Business                  ?  Individual
If Court Order, indicate 
Occupation                                                                 Gender  ?  M    ?  F
Birthdate
(if known)
(Business Name or Last Name)    (First Name)    (Middle Name)             (dd/mm/yy)
(Street Address)                    (City)     (Province)                                    (Postal Code)
Debtor
Select one         ?  Business                  ?  Individual
If Court Order, indicate 
Occupation                                                                 Gender  ?  M    ?  F
Birthdate
(if known)
(Business Name or Last Name)    (First Name)    (Middle Name)             (dd/mm/yy)
(Street Address)                    (City)     (Province)                                    (Postal Code)
Secured Party
Select one         ?  Business                ?  Individual
(Secured
Party Code)         (Business Name or Last Name)     (First Name)     (Middle Name)
(Street Address)                      (City)             (Province)                         (Postal Code)
Secured Party
Select one        ?  Business                ?  Individual
(Secured
Party Code)         (Business Name or Last Name)     (First Name)     (Middle Name)
(Street Address)                      (City)             (Province)                         (Postal Code)
Solicitor/Agent   (If Court Order or Receiver's Report)
Personal Property Registry
    (P.P.R.) Party Code                   (Name in Full)                                         
(Street Address)                      (City)             (Province)                         (Postal Code)
(Telephone Number)    (Fax Number)   (Call Box Number)     (Reference Number)   
Form 5
 	Additions and Deletions -
	Court Order, Other Changes
	and Additional Information
Deletions 
Select type of particulars:
	?  	Court Order
		  Particulars:
	?  	Other Changes
		  Particulars:
	?  	Additional Information
		  Particulars:

Block Number / Description 
	 
	
Additions 
Select type of particulars:
	?  	Court Order
		  Particulars:
	?  	Other Changes
		  Particulars:
	?  	Additional Information
		  Particulars:

Block Number / Description 
	 
	
Form 6
 	Financing Change Statement
Identification of Registration or Amendments
 (Latest Registration No.)
Current Debtor
(Business Name or Last Name)     (First Name)	(Middle Name)
Current Secured Party
(Business Name or Last Name)     (First Name)	(Middle Name)
Place an (X) in the appropriate space
?       Renewal - 	For PPSA, Sale of Goods Act and Factors 
	Act, please give the following: 
	       (1-25 years), or 
	       Infinity
?      Change -	Deletions/Additions
?      Total Discharge -	permanently remove ALL record of 
		registration(s)
Deletions
Debtor
(Block No.)  (Business Name or Last Name) (First Name)  (Middle Name)
Secured Party
(Block No.)  (Business Name or Last Name) (First Name)  (Middle Name)
Collateral - Serial Number Goods
(Block No.)      (Serial No.)      (YYYY)      (Make and Model)   (Category)
NOTE:	To DELETE other collateral, complete and attach:
	Form 8 - Collateral Deletions
Additions
Debtor
Select one         ?  Business                 ?  Individual
If Court Order, indicate 
Occupation                                                                 Gender  ?  M    ?  F
Birthdate
(if known)
(Business Name or Last Name)    (First Name)    (Middle Name)             (dd/mm/yy)
(Street Address)                    (City)     (Province)                                   (Postal Code)
Secured Party
Select one         ?  Business                ?  Individual
(Secured
Party Code)         (Business Name or Last Name)     (First Name)     (Middle Name)
(Street Address)                      (City)             (Province)                         (Postal Code)
Collateral - Serial Number Goods 
(If PPSA, applicable only to consumer goods or equipment)
(Serial Number)          (YYYY)          (Make and Model)        (Category)
NOTE:	To ADD other collateral, complete and attach:
	Form 3 - Serial Number Goods Additions, and/or
	Form 4 - General Collateral Additions
(Your Reference No.)
                                             (Name of Person Authorized       (Phone          (Call Box
(Authorized Signature)  to Complete this form (PRINT))   No.)                     No.)
Form 7
 	Debtor/Secured Party or
	Solicitor/Agent Deletions
Debtor
Select one         ?  Business                  ?  Individual
If Court Order, indicate 
Occupation                                                                 Gender  ?  M    ?  F
Birthdate
(if known)
(Business Name or Last Name)    (First Name)    (Middle Name)             (dd/mm/yy)
(Street Address)                    (City)     (Province)                                   (Postal Code)
Debtor
Select one         ?  Business                  ?  Individual
If Court Order, indicate 
Occupation                                                                 Gender  ?  M    ?  F
Birthdate
(if known)
(Business Name or Last Name)    (First Name)    (Middle Name)             (dd/mm/yy)
(Street Address)                    (City)     (Province)                                    (Postal Code)
Debtor
Select one         ?  Business                  ?  Individual
If Court Order, indicate 
Occupation                                                                 Gender  ?  M    ?  F
Birthdate
(if known)
(Business Name or Last Name)    (First Name)    (Middle Name)             (dd/mm/yy)
(Street Address)                    (City)     (Province)                                    (Postal Code)
Secured Party
Select one         ?  Business                ?  Individual
(Secured
Party Code)         (Business Name or Last Name)     (First Name)     (Middle Name)
(Street Address)                      (City)             (Province)                         (Postal Code)
Secured Party
Select one        ?  Business                ?  Individual
(Secured
Party Code)         (Business Name or Last Name)     (First Name)     (Middle Name)
(Street Address)                      (City)             (Province)                         (Postal Code)
Solicitor/Agent   (If Court Order or Receiver's Report)
Personal Property Registry
    (P.P.R.) Party Code                   (Name in Full)                                         
(Street Address)                      (City)             (Province)                         (Postal Code)
(Telephone Number)    (Fax Number)   (Call Box Number)     (Reference Number)   
Form 11
 	Global Financing
	Change Statement
Current Secured Party/Solicitor/Agent/Civil Enforcement  
Agent Information
(Current  
Secured
Party Code)         (Business Name or Last Name)     (First Name)     (Middle Name)
(Street Address)                      (City)             (Province)                         (Postal Code)
Distribution Method ?  Mail  ?  Print  ?  Call Box  ?  Fax  ?  E-mail
         (Call Box Number)             (Fax Number)             (E-mail Address)	
Complete Either A or B Below:
A.	Change of Name or Address for:
Select one  ?  Current Secured Party  
                  ?  Current Solicitor/Agent 
                  ?  Current Civil Enforcement Agent
New Name or Address
Select one         ?  Business                 ?  Individual
(New Business Name or Last Name)               (First Name)               (Middle Name)
(New Street Address)                  (City)                  (Province)               (Postal Code)
B.	Change of Party Code for:
Select one  ?  Secured Party 
                  ?  Solicitor/Agent 
                  ?  Civil Enforcement Agent
New Party Code
Select one        ?  Business                 ?  Individual
(New Business Name or Last Name)               (First Name)               (Middle Name)
(New Street Address)                  (City)                  (Province)               (Postal Code)
Transmitting Party
Select one        ?  Business                ?  Individual
(Secured
Party Code)         (Business Name or Last Name)     (First Name)     (Middle Name)
(Street Address)                      (City)             (Province)                         (Postal Code)
(Your Reference No.)
                                             (Name of Person Authorized       (Phone          (Call Box
(Authorized Signature)  to Complete this form (PRINT))   No.)                     No.)
Form 12
 	Search Request for
	Expired/Discharged
	Registration Number(s)
Person Requesting Search
(Secured
Party Code)         (Business Name or Last Name)     (First Name)     (Middle Name)
(Street Address)                      (City)             (Province)                         (Postal Code)
Payment Type ?  Cash            ?  Cheque          ?  Account
Distribution Method ?  Mail  ?  Print  ?  Call Box  ?  Fax  ?  E-mail
         (Call Box Number)             (Fax Number)             (E-mail Address)	
Registration Number(s)
				
				
				
(Your Reference No.)
                                             (Name of Person Authorized       (Phone          (Call Box
(Authorized Signature)  to Complete this form (PRINT))   No.)                     No.)
Form 13
 	Search Request for Debtor
	Name(s), Serial Number(s)
	and/or Registration Number(s)
Person Requesting Search
(Secured
Party Code)
(if applicable)      (Business Name or Last Name)     (First Name)     (Middle Name)
(Street Address)               (City)                      (Province)	(Postal Code)
Payment Type ?  Cash            ?  Cheque          ?  Account
Distribution Method ?  Mail  ?  Print  ?  Call Box  ?  Fax  ?  E-mail
         (Call Box Number)             (Fax Number)             (E-mail Address)	
Debtor Name(s) Search
Select one         ?  Business                ?  Individual
	Birthdate
	(if known)
1   (Business Name or Last Name)    (First Name)    (Middle Name)	(dd/mm/yy)
Select one         ?  Business               ?  Individual
	Birthdate
	(if known)
2   (Business Name or Last Name)    (First Name)    (Middle Name)	(dd/mm/yy)
Serial Number(s) Search
1   (Serial Number)	(YYYY)	(Make and Model)    (Category)
2   (Serial Number)	(YYYY)	(Make and Model)    (Category)
Registration Number(s) Search
1  	
2  	
(Your Reference No.)
                                             (Name of Person Authorized       (Phone          (Call Box
(Authorized Signature)  to Complete this form (PRINT))   No.)                     No.)
(5)  Forms 3, 4, 8 to 10 and 14 to 28 are amended in the 
heading below "ALBERTA" by striking out "SERVICE 
ALBERTA Personal Property Registry".
(6)  Forms 21 to 27 are amended by striking out "Sex" 
wherever it occurs and substituting "Gender".


--------------------------------
Alberta Regulation 231/2007
Motor Vehicle Accident Claims Act
MOTOR VEHICLE ACCIDENT CLAIMS AMENDMENT REGULATION
Filed: November 28, 2007
For information only:   Made by the Lieutenant Governor in Council (O.C. 551/2007) 
on November 28, 2007 pursuant to section 25 of the Motor Vehicle Accident Claims 
Act. 
1   The Motor Vehicle Accident Claims Regulation 
(AR 189/98) is amended by this Regulation.

2   Section 5 is amended by repealing subsection (4) and 
substituting the following:
(4)  The Administrator may authorize payment from the Fund, for 
services performed in connection with proceedings under the Act 
subsequent to obtaining judgment, of costs not exceeding
	(a)	the actual disbursements, and
	(b)	the following costs:
	(i)	costs under Schedule C to the Alberta Rules of Court 
(AR 390/68) where the application or action was 
commenced in the Court of Queen's Bench;
	(ii)	costs under the Provincial Court Fees and Costs 
Regulation (AR 18/91) where the application or action 
was commenced in the Provincial Court.

3   Section 9 is amended by striking out "2007" and 
substituting "2012".

4   The Schedule is amended in section 3 by striking out 
"payable to a barrister and solicitor who completes" and 
substituting "for completing".


--------------------------------
Alberta Regulation 232/2007
Municipal Government Act
AQUATERA UTILITIES INC. REGULATION
Filed: November 28, 2007
For information only:   Made by the Lieutenant Governor in Council (O.C. 530/2007) 
on November 28, 2007 pursuant to section 603 of the Municipal Government Act. 
Table of Contents
	1	Definitions
	2	Application of Act
	3	Exemption from Public Utilities Board Act
	4	Dispute resolution
	5	Provision of extra-provincial services
	6	Expiry
Definitions
1   In this Regulation,
	(a)	"Act" means the Municipal Government Act;
	(b)		"public utility" means a system or works used to provide the 
following for public consumption, benefit, convenience or 
use:
	(i)	water or steam;
	(ii)	sewage disposal;
	(iii)	electric power;
	(iv)	heat;
	(v)	solid waste management.
Application of Act
2(1)  Subject to subsection (2), sections 43 to 47 of the Act apply in 
respect of a utility service provided by Aquatera Utilities Inc.
(2)  Section 45(3)(b) of the Act does not apply in respect of a public 
utility owned or operated by Aquatera Utilities Inc.
Exemption from Public Utilities Board Act
3   Part 2 of the Public Utilities Board Act does not apply in respect of 
a public utility that
	(a)	is owned or operated by Aquatera Utilities Inc., and
	(b)	provides a utility service within the boundaries of a 
municipality that is a shareholder of Aquatera Utilities Inc.
Dispute resolution
4   If there is a dispute between a regional services commission and 
Aquatera Utilities Inc. with respect to
	(a)	rates, tolls or charges for a service that is a public utility,
	(b)	compensation for the acquisition by the commission of 
facilities used to provide a service that is a public utility, or
	(c)	the commission's use of any road, square, bridge, subway or 
watercourse to provide a service that is a public utility,
any party involved in the dispute may submit it to the Public Utilities 
Board, and the Public Utilities Board may issue an order on any terms 
and conditions that the Public Utilities Board considers appropriate.
Provision of extra-provincial services
5   Aquatera Utilities Inc. shall not provide any utility services outside 
of Alberta without the prior written approval of the Minister.
Expiry
6   This Regulation is made under section 603(1) of the Act and is 
subject to repeal under section 603(2) of the Act.

THE ALBERTA GAZETTE, PART II, MONTH DAY, 2006


AR 	
- 786 -
THE ALBERTA GAZETTE, PART II, DECEMBER 15, 2007

- 712 -
THE ALBERTA GAZETTE, PART II, DECEMBER 15, 2007

THE ALBERTA GAZETTE, PART II, DECEMBER 15, 2007


AR 219/2007	WILDLIFE
THE ALBERTA GAZETTE, PART II, DECEMBER 15, 2007


AR 220/2007	LAND AGENTS LICENSING
THE ALBERTA GAZETTE, PART II, DECEMBER 15, 2007


AR 221/2007	PUBLIC SECTOR PENSION PLANS
THE ALBERTA GAZETTE, PART II, DECEMBER 15, 2007


AR 222/2007	PUBLIC SECTOR PENSION PLANS
THE ALBERTA GAZETTE, PART II, DECEMBER 15, 2007


AR 224/2007	EMPLOYMENT PENSION PLANS
THE ALBERTA GAZETTE, PART II, DECEMBER 15, 2007

THE ALBERTA GAZETTE, PART II, DECEMBER 15, 2007


AR 225/2007	ALBERTA INVESTMENT MANAGEMENT CORPORATION
THE ALBERTA GAZETTE, PART II, DECEMBER 15, 2007

THE ALBERTA GAZETTE, PART II, DECEMBER 15, 2007


AR 227/2007	GOVERNMENT ORGANIZATION
THE ALBERTA GAZETTE, PART II, DECEMBER 15, 2007


AR 229/2007	PERSONAL PROPERTY SECURITY
THE ALBERTA GAZETTE, PART II, DECEMBER 15, 2007


AR 230/2007	PERSONAL PROPERTY SECURITY
THE ALBERTA GAZETTE, PART II, DECEMBER 15, 2007


AR 231/2007	MOTOR VEHICLE ACCIDENT CLAIMS
THE ALBERTA GAZETTE, PART II, DECEMBER 15, 2007


AR 232/2007	MUNICIPAL GOVERNMENT