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The Alberta Gazette
Part I
Vol. 110	Edmonton, Wednesday, January 15, 2014	No. 01
PROCLAMATION
[GREAT SEAL] 
CANADA 
PROVINCE OF ALBERTA	Donald S. Ethell, Lieutenant Governor.
ELIZABETH THE SECOND, by the Grace of God, of the United Kingdom, 
Canada, and Her Other Realms and Territories, QUEEN, Head of the 
Commonwealth, Defender of the Faith
P R O C L A M A T I O N
To all to Whom these Presents shall come
G R E E T I N G
Kim Armstrong Deputy Minister of Justice and 
Deputy Attorney General
WHEREAS section 25 of the Children First Act provides that that Act comes into 
force on Proclamation; and
WHEREAS it is expedient to proclaim sections 4, 5, 6(c) and (d), 9(24) and 12(6) 
and (9) of the Children First Act in force:
NOW KNOW YE THAT by and with the advice and consent of Our Executive 
Council of Our Province of Alberta, by virtue of the provisions of the said Act 
hereinbefore referred to and of all other power and authority whatsoever in Us vested 
in that behalf, We have ordered and declared and do hereby proclaim sections 4, 5, 
6(c) and (d), 9(24) and 12(6) and (9) of the Children First Act in force on January 1, 
2014.
IN TESTIMONY WHEREOF We have caused these Our Letters to be made Patent 
and the Great Seal of Our Province of Alberta to be hereunto affixed.
WITNESS: COLONEL (RETIRED) THE HONOURABLE DONALD S. 
ETHELL, Lieutenant Governor of Our Province of Alberta, this 18th day of 
December in the Year of Our Lord Two Thousand Thirteen and in the Sixty-second 
Year of Our Reign.
BY COMMAND	Jonathan Denis, Provincial Secretary.
PROCLAMATION
[GREAT SEAL] 
CANADA 
PROVINCE OF ALBERTA	Donald S. Ethell, Lieutenant Governor.
ELIZABETH THE SECOND, by the Grace of God, of the United Kingdom, 
Canada, and Her Other Realms and Territories, QUEEN, Head of the 
Commonwealth, Defender of the Faith
P R O C L A M A T I O N
To all to Whom these Presents shall come
G R E E T I N G
Kim Armstrong Deputy Minister of Justice and 
Deputy Attorney General
WHEREAS section 11 of the Employment Standards (Compassionate Care Leave) 
Amendment Act, 2012 provides that that Act comes into force on Proclamation; and
WHEREAS it is expedient to proclaim the Employment Standards (Compassionate 
Care Leave) Amendment Act, 2012 in force:
NOW KNOW YE THAT by and with the advice and consent of Our Executive 
Council of Our Province of Alberta, by virtue of the provisions of the said Act 
hereinbefore referred to and of all other power and authority whatsoever in Us vested 
in that behalf, We have ordered and declared and do hereby proclaim the Employment 
Standards (Compassionate Care Leave) Amendment Act, 2012 in force on February 
1, 2014.
IN TESTIMONY WHEREOF We have caused these Our Letters to be made Patent 
and the Great Seal of Our Province of Alberta to be hereunto affixed.
WITNESS: COLONEL (RETIRED) THE HONOURABLE DONALD S. 
ETHELL, Lieutenant Governor of Our Province of Alberta, this 18th day of 
December in the Year of Our Lord Two Thousand Thirteen and in the Sixty-second 
Year of Our Reign.
BY COMMAND	Jonathan Denis, Provincial Secretary.


APPOINTMENTS
Appointment of Non-Presiding Justice of the Peace
(Justice of the Peace Act)
November 29, 2013 
Bourque, Nadine of Red Deer 
Chen, Tingting of Sherwood Park 
Cook, Giselle Carol of Red Deer 
Cox, Jessica Candice Layne of Fort McMurray 
Cullum, Kimberley Lee-Ann of Red Deer 
Martin, Leslie Anne of Calgary 
Metz, Viktoriya of Edmonton
Appointment of Part-time Provincial Court Judge
(Provincial Court Act)
January 1, 2014 
Honourable Judge Allan Harold Lefever
For a term to expire on May 4, 2016
Re-appointment of Part-time Provincial Court Judge
(Provincial Court Act)
January 4, 2014 
Honourable Judge Philip John Maher
For a term to expire on January 3, 2015
January 18, 2014 
Honourable Judge Peter Paul Ayotte
For a term to expire on January 17, 2015
January 26, 2014 
Honourable Judge Stanley Gordon Peck
For a term to expire on January 25, 2015
Re-appointment of Supernumerary Provincial Court Judge
(Provincial Court Act)
February 1, 2014 
Honourable Judge Kenneth Douglas Hope
For a term to expire on January 31, 2016
GOVERNMENT NOTICES
Education
Ministerial Order No. #069/2013
(School Act)
    I, Jeff Johnson, Minister of Education, pursuant to Sections 219 and 220 of the 
School Act, make the Order in the attached Appendix, being The Sprucefield Roman 
Catholic Separate School District No. 751 Establishment Order.
Dated at Edmonton, Alberta December 5, 2013.
Jeff Johnson, Minister.
APPENDIX
The Sprucefield Roman Catholic Separate School District No. 751 
Establishment Order
1	Pursuant to Sections 219 and 220 of the School Act, The Sprucefield Roman 
Catholic Separate School District No. 751 is established.
2	The Sprucefield Roman Catholic Separate School District No. 751 shall be 
comprised of the following lands, which are included in The Sprucefield School 
District No. 2766 and which are properly assessable for separate school purposes 
under the provision of Sections 153 to 160 of the School Act:
Township 60, Range 19, West of the 4th Meridian 
Sections 4 to 9 inclusive; Sections 16 to 21 inclusive; North half and Southwest 
quarter of Section 15; West halves of Sections 10 and 22; Northwest quarter of 
Section 3.


Ministerial Order No. #070/2013
(School Act)
    I, Jeff Johnson, Minister of Education, pursuant to Section 239 of the  
School Act, make the Order in the attached Appendix, being The Lakeland Roman 
Catholic Separate School District No. 150 Boundary Adjustment Order.
Dated at Edmonton, Alberta December 5, 2013.
Jeff Johnson, Minister.
APPENDIX
The Lakeland Roman Catholic Separate School District No. 150 
Boundary Adjustment Order
1	Pursuant to Section 239 of the School Act, all of the lands are taken from the 
following school district and are added to The Lakeland Roman Catholic 
Separate School District No. 150:
The Sprucefield Roman Catholic Separate School District No. 751
2	Pursuant to Section 239 of the School Act, the following school district is 
dissolved:
The Sprucefield Roman Catholic Separate School District No. 751
3	The Lakeland Roman Catholic Separate School District No. 150 (Ward 3) shall 
be comprised of the following lands:
Township 57, Range 13, West of the 4th Meridian 
Section 16; Sections 18 to 21 inclusive; Sections 28 to 33 inclusive; Those 
portions of Sections 7 and 17 lying North of the North Saskatchewan River.
Township 57, Range 14, West of the 4th Meridian 
Sections 13 and 14; Sections 22 to 28 inclusive; Sections 31 to 36 inclusive; 
Those portions of Sections 11, 12, 15, 20, 21, 29, and 30 lying North of the 
North Saskatchewan River.
Township 57, Range 15, West of the 4th Meridian 
Section 36; Those portions of Sections 25, 33, 34, and 35 lying North of the 
North Saskatchewan River.
Township 58, Range 13, West of the 4th Meridian 
Sections 1 to 36 inclusive.
Township 58, Range 14, West of the 4th Meridian 
Sections 1 to 36 inclusive.
Township 58, Range 15, West of the 4th Meridian 
Sections 1 to 3 inclusive; Sections 9 to 16 inclusive; Sections 21 to 28 inclusive; 
Sections 32 to 36 inclusive; Those portions of Sections 4, 8, 17, 20, 29, and 31 
lying North and West of the North Saskatchewan River.
Township 58, Range 16, West of the 4th Meridian 
Sections 30 to 34 inclusive; Those portions of Sections 18, 19, 20, 21, 27, 28, 29, 
35, and 36 lying North and West of the North Saskatchewan River.  
Township 58, Range 17, West of the 4th Meridian 
Sections 8 to 10 inclusive; Sections 14 to 36 inclusive; Those portions of 
Sections 3, 4, 5, 6, 7, 11, 12, and 13 lying North of the North Saskatchewan 
River. 
Township 58, Range 18, West of the 4th Meridian 
Sections 13 to 15 inclusive; Sections 20 to 36 inclusive; Those portions of 
Sections 9, 10, 11, 12, 16, 17, and 19 lying North of the North Saskatchewan 
River.
Township 58, Range 19, West of the 4th Meridian 
Sections 35 and 36; Those portions of Sections 24, 25, 26, 30, 31, 32, 33, and 34 
lying North of the North Saskatchewan River.
Township 58, Range 20, West of the 4th Meridian 
Sections 2 to 4 inclusive; Sections 9 to 11 inclusive; Sections 14 to 16 inclusive; 
Sections 21 to 23 inclusive; Sections 26 to 29 inclusive; Sections 31 to 36 
inclusive; North halves and Southeast quarters of Sections 20 and 30; East half of 
Section 17; Northeast quarter of Section 19; Those portions of Sections 1, 12, 13, 
24, and 25 lying West of the North Saskatchewan River.
Township 58, Range 21, West of the 4th Meridian 
Section 26 to 28 inclusive; Sections 33 to 36 inclusive; North half and Southeast 
quarter of Section 32; North half of Section 25; Northeast quarters of Sections 29 
and 31.
Township 59, Range 12, West of the 4th Meridian 
Section 1; Sections 7 to 22 inclusive; Sections 27 to 34 inclusive; East half of 
Section 2; West halves of Sections 23, 26, and 35; That portion of the North half 
of Section 6 lying North of the Saddle Lake Indian Reserve.
Township 59, Range 13, West of the 4th Meridian 
Sections 1 to 36 inclusive.
Township 59, Range 14, West of the 4th Meridian 
Sections 1 to 36 inclusive.
Township 59, Range 15, West of the 4th Meridian 
Sections 1 to 36 inclusive.
Township 59, Range 16, West of the 4th Meridian 
Sections 1 to 36 inclusive.
Township 59, Range 17, West of the 4th Meridian 
Sections 1 to 36 inclusive.
Township 59, Range 18, West of the 4th Meridian 
Sections 1 to 36 inclusive. 
Township 59, Range 19, West of the 4th Meridian 
Sections 1 to 36 inclusive.
Township 59, Range 20, West of the 4th Meridian 
Sections 1 to 36 inclusive.
Township 59, Range 21, West of the 4th Meridian 
Sections 1 to 4 inclusive; Sections 9 to 16 inclusive; Sections 20 to 36 inclusive; 
East half of Section 5. 
Township 59, Range 22, West of the 4th Meridian 
East halves of Sections 24, 25, and 36.
Township 60, Range 12, West of the 4th Meridian 
Sections 3 to 10 inclusive; Sections 15 to 20 inclusive; Sections 29 to 32 
inclusive; West half of Section 2; South half of Section 21.
Township 60, Range 13, West of the 4th Meridian 
Sections 1 to 36 inclusive.
Township 60, Range 14, West of the 4th Meridian 
Sections 1 to 36 inclusive.
Township 60, Range 15, West of the 4th Meridian 
Sections 1 to 36 inclusive.
Township 60, Range 16, West of the 4th Meridian 
Sections 1 to 36 inclusive.
Township 60, Range 17, West of the 4th Meridian 
Sections 1 to 36 inclusive.
Township 60, Range 18, West of the 4th Meridian 
Sections 1 to 36 inclusive.
Township 60, Range 19, West of the 4th Meridian 
Sections 1 to 36 inclusive.
Township 60, Range 20, West of the 4th Meridian 
Sections 1 to 36 inclusive.
Township 60, Range 21, West of the 4th Meridian 
Sections 1 to 18 inclusive; Sections 22 to 27 inclusive; Sections 34 to 36 
inclusive; Southeast quarter of Section 21.
Township 60, Range 22, West of the 4th Meridian 
Sections 13 to 16 inclusive; Sections 21 to 24 inclusive; Sections 26 to 28 
inclusive; Sections 33 and 34; North halves and Southeast quarters of Sections 1 
and 12; South halves and Northwest quarters of Sections 25 and 35; East halves 
of Sections 17, 20, 29, and 32; Southwest quarter of Section 36.
Township 61, Range 12, West of the 4th Meridian 
Sections 5 and 6.
Township 61, Range 13, West of the 4th Meridian 
Sections 1 to 12 inclusive; Sections 14 to 23 inclusive; Sections 27 to 34 
inclusive; South half and Northwest quarter of Section 26; West halves of 
Sections 13 and 24; Southwest quarter of Section 35.
Township 61, Range 14, West of the 4th Meridian 
Sections 1 to 36 inclusive.
Township 61, Range 15, West of the 4th Meridian 
Sections 1 to 36 inclusive.
Township 61, Range 16, West of the 4th Meridian 
Sections 1 to 36 inclusive.
Township 61, Range 17, West of the 4th Meridian 
Sections 1 to 36 inclusive. 
Township 61, Range 18, West of the 4th Meridian 
Sections 1 to 36 inclusive.
Township 61, Range 19, West of the 4th Meridian 
Sections 1 to 36 inclusive.
Township 61, Range 20, West of the 4th Meridian 
Sections 1 to 36 inclusive. 
Township 61, Range 21, West of the 4th Meridian 
Sections 1 to 3 inclusive; Sections 10 to 16 inclusive; Sections 19 to 36 
inclusive; North halves and Southeast quarters of Sections 9 and 17; North half 
and Southwest quarter of Section 18; Northeast quarter of Section 4.
Township 61, Range 22, West of the 4th Meridian 
Section 4; Sections 8 to 11 inclusive; Sections 13 to 36 inclusive; North half and 
Southwest quarter of Section 3; East half of Section 5; Northwest quarters of 
Sections 2 and 12.
Township 62, Range 13, West of the 4th Meridian 
Sections 3 to 9 inclusive; West half and Northeast quarter of Section 10.
Township 62, Range 19, West of the 4th Meridian 
Sections 2 to 8 inclusive; Sections 17 to 19 inclusive; West halves of Sections 9 
and 16; Southwest quarter of Section 20; Southeast quarter of Section 30. 
Township 62, Range 20, West of the 4th Meridian 
Sections 1 to 18 inclusive; Sections 23 and 24; South half of Section 21; East 
half of Section 22; Southeast quarter of Section 20.
Township 62, Range 21, West of the 4th Meridian 
Sections 1 to 4 inclusive; Sections 9 to 16 inclusive; South half and Northeast 
quarter of Section 5; South half of Section 6; East halves of Sections 8 and 17.
Township 62, Range 22, West of the 4th Meridian 
Southeast quarter of Section 1.
_______________
Ministerial Order No. #071/2013
(School Act)
    I, Jeff Johnson, Minister of Education, pursuant to Section 239 of the  
School Act, make the Order in the attached Appendix, being The Smoky Lake School 
District No. 3880 (The Aspen View Public School Division No. 78) Boundary 
Adjustment Order.
Dated at Edmonton, Alberta December 5, 2013.
Jeff Johnson, Minister.
APPENDIX
The Smoky Lake School District No. 3880 
(The Aspen View Public School Division No. 78) 
Boundary Adjustment Order
1	Pursuant to Section 239 of the School Act, all of the lands are taken from the 
following school district and are added to The Smoky Lake School District  
No. 3880:
The Sprucefield School District No. 2766
2	Pursuant to Section 239 of the School Act, the following school district is 
dissolved:
The Sprucefield School District No. 2766
3	The Smoky Lake School District No. 3880 shall be comprised of the following 
lands:
Township 57, Range 13, West of the 4th Meridian 
Section 16; Sections 18 to 21 inclusive; Sections 28 to 33 inclusive; Those 
portions of Sections 7 and 17 lying North of the North Saskatchewan River.
Township 57, Range 14, West of the 4th Meridian 
Sections 13 and 14; Sections 22 to 28 inclusive; Sections 31 to 36 inclusive; 
Those portions of Sections 11 and 12 lying North of the North Saskatchewan 
River; Those portions of Sections 15, 20, 21, 29, and 30 lying North of the North 
Saskatchewan River.
Township 57, Range 15, West of the 4th Meridian 
Section 36; Those portions of Sections 25, 33, 34, and 35 lying North of the 
North Saskatchewan River.
Township 58, Range 13, West of the 4th Meridian 
Sections 1 to 36 inclusive.
Township 58, Range 14, West of the 4th Meridian 
Sections 1 to 36 inclusive.
Township 58, Range 15, West of the 4th Meridian 
Sections 1 to 3 inclusive; Sections 9 to 16 inclusive; Sections 21 to 28 inclusive; 
Sections 32 to 36 inclusive; Those portions of Sections 4, 8, 17, 20, 29 and 31 
lying North of the North Saskatchewan River.
Township 58, Range 16, West of the 4th Meridian 
Sections 30 to 34 inclusive; Those portions of Sections 18, 19, 20, 21, 27, 28, 29, 
35, and 36 lying North of the North Saskatchewan River.  
Township 58, Range 17, West of the 4th Meridian 
Sections 8 to 10 inclusive; Sections 14 to 36 inclusive; Those portions of 
Sections 3, 4, 5, 6, 7, 11, 12, and 13 lying North of the North Saskatchewan 
River. 
Township 58, Range 18, West of the 4th Meridian 
Sections 13 to 15 inclusive; Sections 20 to 36 inclusive; Those portions of 
Sections 9, 10, 11, 12, 16, 17, and 19 lying North of the North Saskatchewan 
River.
Township 58, Range 19, West of the 4th Meridian 
Sections 35 and 36; Those portions of Sections 24, 25, 26, 30, 31, 32, 33, and 34 
lying North of the North Saskatchewan River.
Township 58, Range 20, West of the 4th Meridian 
East half of Section 36.
Township 59, Range 12, West of the 4th Meridian 
Section 1; Sections 7 to 22 inclusive; Sections 27 to 34 inclusive; East half of 
Section 2; West halves of Sections 23, 26, and 35; That portion of the North half 
of Section 6 lying North of the Saddle Lake Indian Reserve.
Township 59, Range 13, West of the 4th Meridian 
Sections 1 to 36 inclusive.
Township 59, Range 14, West of the 4th Meridian 
Sections 1 to 36 inclusive.
Township 59, Range 15, West of the 4th Meridian 
Sections 1 to 36 inclusive.
Township 59, Range 16, West of the 4th Meridian 
Sections 1 to 36 inclusive.
Township 59, Range 17, West of the 4th Meridian 
Sections 1 to 36 inclusive.
Township 59, Range 18, West of the 4th Meridian 
Sections 1 to 36 inclusive.
Township 59, Range 19, West of the 4th Meridian 
Sections 1 to 36 inclusive.
Township 60, Range 12, West of the 4th Meridian 
Sections 3 to 10 inclusive; Sections 15 to 20 inclusive; Sections 29 to 32 
inclusive; West half of Section 2; South half of Section 21.
Township 60, Range 13, West of the 4th Meridian 
Sections 1 to 36 inclusive.
Township 60, Range 14, West of the 4th Meridian 
Sections 1 to 36 inclusive.
Township 60, Range 15, West of the 4th Meridian 
Sections 1 to 36 inclusive.
Township 60, Range 16, West of the 4th Meridian 
Sections 1 to 36 inclusive.
Township 60, Range 17, West of the 4th Meridian 
Sections 1 to 36 inclusive.
Township 60, Range 18, West of the 4th Meridian 
Sections 1 to 36 inclusive.
Township 60, Range 19, West of the 4th Meridian 
Sections 1 to 26 inclusive; Sections 35 and 36; East halves of Sections 27 and 34.
Township 61, Range 12, West of the 4th Meridian 
Sections 5 and 6.
Township 61, Range 13, West of the 4th Meridian 
Sections 1 to 12 inclusive; Sections 14 to 23 inclusive; Sections 27 to 34 
inclusive; South half and Northwest quarter of Section 26; West halves of 
Sections 13 and 24; Southwest quarter of Section 35.
Township 61, Range 14, West of the 4th Meridian 
Sections 1 to 36 inclusive.
Township 61, Range 15, West of the 4th Meridian 
Sections 1 to 36 inclusive.
Township 61, Range 16, West of the 4th Meridian 
Sections 1 to 36 inclusive.
Township 61, Range 17, West of the 4th Meridian 
Sections 1 to 36 inclusive.
Township 61, Range 18, West of the 4th Meridian 
Sections 1 to 17 inclusive; Sections 20 to 29 inclusive; Sections 32 to 36 
inclusive; East halves of Sections 18, 19, 30, and 31.
Township 61, Range 19, West of the 4th Meridian 
Sections 1 and 2; Sections 11 and 12; East halves of Sections 3 and 10.
Township 62, Range 13, West of the 4th Meridian 
Sections 3 to 9 inclusive; West half and Northeast quarter of Section 10.
_______________
Ministerial Order No. #072/2013
(School Act)
    I, Jeff Johnson, Minister of Education, pursuant to Sections 219 and 220 of the 
School Act, make the Order in the attached Appendix, being The Clover Mount 
Roman Catholic Separate School District No. 752 Establishment Order.
Dated at Edmonton, Alberta December 5, 2013.
Jeff Johnson, Minister.
APPENDIX
The Clover Mount Roman Catholic Separate School District No. 752 
Establishment Order
1	Pursuant to Sections 219 and 220 of the School Act, The Clover Mount Roman 
Catholic Separate School District No. 752 is established.
2	The Clover Mount Roman Catholic Separate School District No. 752 shall be 
comprised of the following lands, which are included in The Clover Mount 
School District No. 811 and which are properly assessable for separate school 
purposes under the provision of Sections 153 to 160 of the School Act:
Township 30, Range 2, West of the 5th Meridian 
Northeast quarter of Section 31; North half and Southeast quarter of Section 32; 
West half of Section 33.
Township 31, Range 2, West of the 5th Meridian 
Sections 4 and 5; Sections 7 to 10 inclusive; Sections 15 to 21 inclusive; West 
half of Section 3; North half and Southeast quarter of Section 6; South half and 
Northwest quarter of Section 22.
Township 31, Range 3, West of the 5th Meridian 
Northeast quarter of Section 12.
_______________
Ministerial Order No. #073/2013
(School Act)
    I, Jeff Johnson, Minister of Education, pursuant to Section 239 of the  
School Act, make the Order in the attached Appendix, being The Rocky Mountain 
House Roman Catholic Separate School District No. 131 (The Red Deer Catholic 
Regional Division No. 39) Boundary Adjustment Order.
Dated at Edmonton, Alberta December 5, 2013.
Jeff Johnson, Minister.
APPENDIX
The Rocky Mountain House Roman Catholic Separate School District No. 131 
(The Red Deer Catholic Regional Division No. 39) 
Boundary Adjustment Order
1	Pursuant to Section 239 of the School Act, all of the lands are taken from the 
following school district and are added to The Rocky Mountain House Roman 
Catholic Separate School District No. 131:
The Clover Mount Roman Catholic Separate School District No. 752
2	Pursuant to Section 239 of the School Act, the following school district is 
dissolved:
The Clover Mount Roman Catholic Separate School District No. 752
3	The Rocky Mountain House Roman Catholic Separate School District No. 131 
(Rocky Mountain House Ward - The Queen Elizabeth II Electoral Subdivision) 
shall be comprised of the following lands:
Township 31, Range 28, West of the 4th Meridian 
Sections 18 and 19; Sections 30 and 31; North half of Section 7.
Township 31, Range 29, West of the 4th Meridian 
Sections 13, 24, 25, and 36; Portions of Sections 14, 23, 26, and 35; North half of  
Section 12; Portions of the North half of Section 11.
Township 32, Range 28, West of the 4th Meridian 
Sections 1 to 12 inclusive; Sections 14 to 22 inclusive; Sections 26 to 34 
inclusive; South halves and Northwest quarters of Sections 23 and 35.
Township 32, Range 29, West of the 4th Meridian 
Section 1; Sections 12 and 13; Sections 24 and 25; Section 36; Portions of 
Sections 2, 11, 14, 23, 26, and 35.
Township 33, Range 27, West of the 4th Meridian 
Southwest quarter of Section 31.
Township 33, Range 28, West of the 4th Meridian 
Sections 3 to 11 inclusive; Sections 13 to 36 inclusive; North half and Southwest 
quarter of Section 2.
Township 33, Range 29, West of the 4th Meridian 
Section 1; Sections 12 and 13; Sections 24 and 25; Section 36; Portions of 
Sections 2, 11, 14, 23, 26, and 35.
Township 34, Range 26, West of the 4th Meridian 
Sections 31 to 35 inclusive; North halves of Sections 29 and 30.
Township 34, Range 27, West of the 4th Meridian 
Sections 30 and 31; Sections 34 to 36 inclusive; North halves of Sections 25, 26, 
and 27.
Township 34, Range 28, West of the 4th Meridian 
Sections 25 to 28 inclusive; Sections 31 to 36 inclusive.
Township 34, Range 29, West of the 4th Meridian 
Section 36; Portions of Sections 2, 11, 14, 23, 26, and 35; Southwest quarter of 
Section 25.
Township 35, Range 25, West of the 4th Meridian 
Sections 27 to 33 inclusive; North half of Section 34.
Township 35, Range 26, West of the 4th Meridian 
Sections 1 to 36 inclusive.
Township 35, Range 27, West of the 4th Meridian 
Sections 1 to 36 inclusive.
Township 35, Range 28, West of the 4th Meridian 
Sections 1 to 36 inclusive.
Township 36, Range 25, West of the 4th Meridian 
Sections 2 to 10 inclusive.
Township 36, Range 26, West of the 4th Meridian 
Sections 1 to 11 inclusive; Sections 17 to 19 inclusive; South halves and 
Northwest quarters of Sections 12 and 16; South halves of Sections 14 and 15; 
West half of Section 20.
Township 36, Range 27, West of the 4th Meridian 
Sections 1 to 21 inclusive; Section 24; East half of Section 23.
Township 36, Range 28, West of the 4th Meridian 
Sections 1 to 22 inclusive; Section 24; Section 28; West half of Section 27; 
Those portions of Section 29 lying South and East of the Red Deer River; Those 
portions of Section 30 lying South of the Red Deer River; Those portions of 
Section 32 lying East of the Red Deer River.
Township 30, Range 2, West of the 5th Meridian 
Northeast quarter of Section 31; North half and Southeast quarter of Section 32; 
West half of Section 33.
Township 31, Range 1, West of the 5th Meridian 
Sections 6 and 7; Sections 13 to 36 inclusive; West half and Northeast quarter of 
Section 8; East half of Section 11; North half of Section 12.
Township 31, Range 2, West of the 5th Meridian 
Sections 1, 2, 4, and 5; Sections 7 to 36 inclusive; West half of Section 3; North 
half and Southeast quarter of Section 6.
Township 31, Range 3, West of the 5th Meridian 
Section 13; Sections 15 and 16; Sections 21 to 28 inclusive; Sections 33 to 36 
inclusive; Northeast quarter of Section 12; North half and Southwest quarter of 
Section 14.
Township 32, Range 1, West of the 5th Meridian 
Sections 1 to 36 inclusive.
Township 32, Range 2, West of the 5th Meridian 
Sections 1 to 36 inclusive.
Township 32, Range 3, West of the 5th Meridian 
Sections 1 to 4 inclusive; Sections 9 to 16 inclusive; Sections 21 to 28 inclusive; 
Sections 33 to 36 inclusive.
Township 32, Range 4, West of the 5th Meridian 
Sections 15 to 22 inclusive; Sections 27 to 34 inclusive.
Township 32, Range 5, West of the 5th Meridian 
Sections 35 and 36.
Township 33, Range 1, West of the 5th Meridian 
Sections 1 to 36 inclusive.
Township 33, Range 2, West of the 5th Meridian 
Sections 1 to 36 inclusive.
Township 33, Range 3, West of the 5th Meridian 
Sections 1 to 4 inclusive; Section 7; Sections 9 to 30 inclusive; Sections 34 to 36 
inclusive; North half of Section 8; East half of Section 33.
Township 33, Range 4, West of the 5th Meridian 
Sections 1 to 16 inclusive, Section 18; Sections 22 to 24 inclusive; South half 
and Northwest quarter of Section 17; Southwest quarter of Section 19; South 
halves of Sections 25 and 26. 
Township 33, Range 5, West of the 5th Meridian 
Sections 1 and 2; Sections 12 and 13; Sections 24 and 25; Those portions of 
Sections 10, 11, 14, 23, and 26 lying East of the Red Deer River. 
Township 34, Range 1, West of the 5th Meridian 
Sections 1 to 3 inclusive; Sections 10 to 15 inclusive; Sections 22 to 27 
inclusive; Sections 31 to 36 inclusive; Northeast quarter of Section 16; South half 
of Section 21.
Township 34, Range 2, West of the 5th Meridian 
Sections 2 to 10 inclusive.
Township 34, Range 3, West of the 5th Meridian 
Sections 1 to 3 inclusive; Sections 10 to 12 inclusive; East halves of Sections 4 
and 9.
Township 35, Range 1, West of the 5th Meridian 
Sections 1 to 6 inclusive; Sections 8 to 17 inclusive; Sections 20 to 29 inclusive; 
Sections 32 to 36 inclusive.
Township 35, Range 2, West of the 5th Meridian 
Section 32; Those portions of Sections 28 and 33 lying North of the Red Deer 
River.
Township 36, Range 1, West of the 5th Meridian 
Sections 1 to 5 inclusive; Sections 7 to 24 inclusive; Sections 26 to 29 inclusive; 
Sections 32 to 35 inclusive; West half of Section 25; East half and Southwest 
quarter of Section 30; Southeast quarter of Section 31. 
Township 36, Range 2, West of the 5th Meridian 
Sections 4 and 5; Sections 8 and 9; Sections 13 to 17 inclusive; Sections 20 and 
21; South half and Northwest quarter of Section 22; South half of Section 23; 
Southeast quarters of Sections 24 and 28; Those portions of Sections 2, 3, 10, 11, 
and 12 lying North of the Red Deer River.
Township 36, Range 3, West of the 5th Meridian 
Sections 5 to 8 inclusive; Sections 17 to 20 inclusive; Sections 29 and 30.
Township 36, Range 4, West of the 5th Meridian 
Sections 1 to 3 inclusive; Sections 11 to 14 inclusive; Sections 23 to 26 
inclusive; East halves of Sections 10, 15, and 22.
_______________
Ministerial Order No. #074/2013
(School Act)
    I, Jeff Johnson, Minister of Education, pursuant to Section 239 of the  
School Act, make the Order in the attached Appendix, being The Olds School District  
No. 235 (The Chinook's Edge School Division No. 73) Boundary Adjustment Order.
Dated at Edmonton, Alberta December 5, 2013.
Jeff Johnson, Minister.
APPENDIX
The Olds School District No. 235 
(The Chinook's Edge School Division No. 73) 
Boundary Adjustment Order
1	Pursuant to Section 239 of the School Act, all of the lands are taken from the 
following school district and are added to The Olds School District  No. 235:
The Clover Mount School District No. 811
2	Pursuant to Section 239 of the School Act, the following school district is 
dissolved:
The Clover Mount School District No. 811
3	The Olds School District No. 235 shall be comprised of the following lands:
Township 31, Range 28, West of the 4th Meridian 
Sections 18 and 19; Sections 30 and 31; North half of Section 7.
Township 31, Range 29, West of the 4th Meridian 
Sections 13, 24, 25, and 36; Portions of Sections 14, 23, 26, and 35; North half of  
Section 12; Portions of the North half of Section 11.
Township 32, Range 28, West of the 4th Meridian 
Sections 1 to 12 inclusive; Sections 14 to 22 inclusive; Sections 26 to 34 
inclusive; South halves and Northwest quarters of Sections 23 and 35.
Township 32, Range 29, West of the 4th Meridian 
Section 1; Sections 12 and 13; Sections 24 and 25; Section 36; Portions of 
Sections 2, 11, 14, 23, 26, and 35.
Township 33, Range 27, West of the 4th Meridian 
Southwest quarter of Section 31.
Township 33, Range 28, West of the 4th Meridian 
Sections 3 to 11 inclusive; Sections 13 to 36 inclusive; North half and Southwest 
quarter of Section 2.
Township 33, Range 29, West of the 4th Meridian 
Section 1; Sections 12 and 13; Sections 24 and 25; Section 36; Portions of 
Sections 2, 11, 14, 23, 26, and 35.
Township 30, Range 2, West of the 5th Meridian 
Northeast quarter of Section 31; North half and Southeast quarter of Section 32; 
West half of Section 33.
Township 31, Range 1, West of the 5th Meridian 
Sections 6 and 7; Sections 13 to 36 inclusive; West half and Northeast quarter of 
Section 8; East half of Section 11; North half of Section 12.
Township 31, Range 2, West of the 5th Meridian 
Sections 1, 2, 4, and 5; Sections 7 to 36 inclusive; West half of Section 3; North 
half and Southeast quarter of Section 6.
Township 31, Range 3, West of the 5th Meridian 
Section 13; Sections 15 and 16; Sections 21 to 28 inclusive; Sections 33 to 36 
inclusive; Northeast quarter of Section 12; North half and Southwest quarter of 
Section 14.
Township 32, Range 1, West of the 5th Meridian 
Sections 1 to 36 inclusive.
Township 32, Range 2, West of the 5th Meridian 
Sections 1 to 36 inclusive.
Township 32, Range 3, West of the 5th Meridian 
Sections 1 to 4 inclusive; Sections 9 to 16 inclusive; Sections 21 to 28 inclusive; 
Sections 33 to 36 inclusive.
Township 32, Range 4, West of the 5th Meridian 
Sections 15 to 22 inclusive; Sections 27 to 34 inclusive.
Township 32, Range 5, West of the 5th Meridian 
Sections 35 and 36.
Township 33, Range 1, West of the 5th Meridian 
Sections 1 to 36 inclusive.
Township 33, Range 2, West of the 5th Meridian 
Sections 1 to 36 inclusive.
Township 33, Range 3, West of the 5th Meridian 
Sections 1 to 4 inclusive; Section 7; Sections 9 to 30 inclusive; Sections 34 to 36 
inclusive; North half of Section 8; East half of Section 33.
Township 33, Range 4, West of the 5th Meridian 
Sections 1 to 16 inclusive, Section 18; Sections 22 to 24 inclusive; South half 
and Northwest quarter of Section 17; Southwest quarter of Section 19; South 
halves of Sections 25 and 26. 
Township 33, Range 5, West of the 5th Meridian 
Sections 1 and 2; Sections 12 and 13; Sections 24 and 25; Those portions of 
Sections 10, 11, 14, 23, and 26 lying East of the Red Deer River. 
Township 34, Range 2, West of the 5th Meridian 
Sections 2 to 10 inclusive.
Township 34, Range 3, West of the 5th Meridian 
Sections 1 to 3 inclusive; Sections 10 to 12 inclusive; East halves of Sections 4 
and 9.
Energy
Production Allocation Unit Agreement
(Mines and Minerals Act)
Notice is hereby given, pursuant to section 102 of the Mines and Minerals Act, that 
the Minister of Energy on behalf of the Crown has executed counterparts of the 
agreement entitled "Production Allocation Unit Agreement - Viking-Kinsella Upper 
Mannville Agreement No. 1" and that the Unit became effective on March 1, 2010.


 


 


 


Notice is hereby given, pursuant to section 102 of the Mines and Minerals Act, that 
the Minister of Energy on behalf of the Crown has executed counterparts of the 
agreement entitled "Production Allocation Unit Agreement - Viking-Kinsella Upper 
Mannville Agreement No. 2" and that the Unit became effective on August 1, 2010.


 


 


 


Notice is hereby given, pursuant to section 102 of the Mines and Minerals Act, that 
the Minister of Energy on behalf of the Crown has executed counterparts of the 
agreement entitled "Production Allocation Unit Agreement - Viking-Kinsella Upper 
Mannville Unit Agreement No. 3" and that the Unit became effective on August 1, 
2010.


 
 


 


Environment and Sustainable Resource Development
Notice of Variation Order 19-2013
Commercial Fishing Seasons
The close times and quotas set out in Schedule 8 to the Alberta Fishery Regulations, 
1998 in respect of the waters listed in the Schedule to this Notice have been varied by 
Variation Order 19-2013 by the Director of Fisheries Management in accordance with 
section 3 of the Alberta Fishery Regulations, 1998.
Where fishing with gill nets is permitted during an open season established by the 
Order, the gill net mesh size has been specified in the Order.
Pursuant to Variation Order 19-2013 commercial fishing is permitted in accordance 
with the following schedule.
SCHEDULE 
PART 1
Item - 1 
Column 1 Waters - In respect of:  (12) Burnt Lake No. 2 (23,27-95-23-W4) 
Column 2 Gear - Gill net not less than 152 mm mesh 
Column 3 Open Time - 08:00 hours January 8, 2014 to 16:00 hours January 11, 
2014.
Column 4 Species and Quota - 1) Lake whitefish: 4,425 kg; 2) Walleye: 1 kg; 3) 
Yellow perch: 1 kg; 4) Northern pike: 500 kg; 5) Tullibee: 1 kg; 6) Lake trout: 1 kg.
Human Services
Office of the Public Trustee
Property being held by the Public Trustee for a period of Ten (10) Years 
(Public Trustee Act)
Section 11 (2)(b)
Name of Person Entitled 
to Property

Description 
 of Property 
held and its 
value or 
estimated value

Property part of 
deceased person's  
Estate or held under 
Court Order: 
Deceased's Name 
Judicial District Court 
File Number

Public Trustee 
Office 
 
Additional 
Information 

Tammy Hunka
Cash  
$1,206.03
Alice Helen Anglin 
JD of Edmonton 
ES03 131296





Rae George Strudwick
Cash  
$8,971.56
Arthur Strudwick 
JD of Lethbridge 
McLeod 
ES06 13531

Edward Krein
Cash 
$20,001.51
Albert Krein 
JD of Lethbridge 
ESOL 15480
If beneficiary is 
not located 10 
years after 
publication in 
the Alberta 
Gazette, the 
funds we hold 
will be paid 
over to the 
General 
Revenue Fund
Dimitrious Kartas
Personal injury 
award valued at 
$454.02 as of 
October 24, 
2013

Second time 
Mr. Kartas has 
gone missing.  
Funds were sent 
to Provincial 
Treasurer in 
December 
2003.

Infrastructure
Sale or Disposition of Land
(Government Organization Act)
Name of Purchaser:  Earl J. Pack and Kevin M. Pack 
Consideration:  $140,000.00 
Land Description:  Plan 0829538, Block 1, Lot 1.  Containing 7.52 Hectares (18.58 
Acres) More or Less.
Excepting thereout:

Hectares
(Acres)
More or Less
A)  Plan 1122244  Road
1.553
3.84

Excepting thereout all Mines and Minerals
Located in Saddle Hills County



International and Intergovernmental Relations
Hosting Expenses Exceeding $600.00 
For January 1, 2013 to September 30, 2013
Date: Jan 30, 2013 
Purpose: To introduce Alberta companies, and industry and regional economic 
representatives to the International Offices' managing directors and the Asia Advisory 
Council. 
Amount: $7,546.10 
Location: Calgary, Alberta
Date: Apr 10, 2013 
Purpose: Networking event with German parliament members. 
Amount: $1,194.43 
Location: Edmonton, Alberta
Date: May 14, 2013 
Purpose: Networking event for Alberta companies and Haskayne Executive MBA 
participants to discuss market access and strategies. 
Amount: $4,123.89 
Location: Tokyo, Japan
Date: May 14, 2013 
Purpose: Networking event between Foreign Affairs, Trade and Development 
Canada, Ontario Marketing Centre, Alberta companies and key contacts in the 
eHealth sector in the United Kingdom. 
Amount: $1,500.00 
Location: Dublin, Ireland
Date: May 16, 2013 
Purpose: Host workshop to provide Alberta companies with an opportunity to 
network with key contacts in the eHealth sector in the United Kingdom. 
Amount: $876.54 
Location: London, United Kingdom
Date: May 30, 2013 
Purpose: Networking with High Commissioner from India. 
Amount: $848.25 
Location: Edmonton, Alberta
Date: Jun 5, 2013 
Purpose: To discuss policies, procedures and gaining access to Chinese market with 
Chinese Medical Devices delegation. 
Amount: $2,450.00 
Location: Edmonton, Alberta


Date: Jun 6-7, 2013 
Purpose: Orientation for Alberta/Canadian companies participating in the Mexican 
Petroleum Congress. 
Amount: $5,138.54 
Location: Cancun, Quintana Roo, Mexico
Date: Jun 16-19, 2013 
Purpose: Networking event with the Governor of Wyoming and delegation from the 
Colorado business community to promote Alberta's oil sands. 
Amount: $938.00 
Location: Edmonton and Fort McMurray, Alberta
Date: Jun 26, 2013 
Purpose: Networking event for Alberta exhibitors at the Moscow Oil and Gas 
Exhibition. 
Amount: $1,000.00 
Location: Moscow, Russia
Date: Jun 28-29, 2013 
Purpose: To celebrate 50th anniversary of Canada - Korea relationship. 
Amount: $1,558.66 
Location: Seoul, Korea
Date: Jul 4, 2013 
Purpose: Stampede Investment Forum-Alberta reception. 
Amount: $9,997.85 
Location: Calgary, Alberta
Date: Jul 12, 2013 
Purpose: Networking event between Alberta Korea Office and Korea business 
partners. 
Amount: $2,376.75 
Location: Seoul, Korea
Justice and Solicitor General
Designation of Qualified Technician Appointment  
(Intox EC/IR II)
RCMP "K" Division, Traffic Services 
Akitt, Laura Michelle 
Anderson, Keith Gerald 
Caithcart, Dean Barry 
Cameron, Shawn Michael 
Coates, Sheldon David 
Fox, Jeffrey Roger 
Fragomeni, Shiloh Rhea Lynn 
Gagne, Charles Joseph 
Gaultois, Timothy Glenn 
Goulet, Tyler Mark Edward 
Gulash, Clint Vincent 
Hardy, David Gordon 
Hrynyk, Christopher Scott 
Jewkes, Jason Patrick 
Numan, Michael Stanley 
Pike, John Richard 
Plamondon, Jimmy Joseph Pierre 
Rotheisler, Michael John 
St. John, Adam James 
Vickers, Terrence William 
Waites, Jeffery Scott 
Zanidean, Christopher Wilaid
(Date of Designation December 16, 2013)
_______________
RCMP, Traffic Services 
Hallett, Matthew Steven
(Date of Designation December 18, 2013)
Safety Codes Council
Agency Accreditation
Pursuant to Section 30 of the Safety Codes Act it is hereby ordered that
Gunn Consultants Inc, Accreditation No. A000872, Order No. 2906
Having satisfied the terms and conditions of the Safety Codes Council is authorized to 
provide services under the Safety Codes Act including applicable Alberta 
amendments and regulations for Elevators.
Accredited Date: December 10, 2013	Issued Date: December 10, 2013.
Municipal Accreditation
(Safety Codes Act)
Pursuant to Section 26 of the Safety Codes Act it is hereby ordered that
City of Airdrie, Accreditation No. M000133, Order No. 0546
Due to a change in scope and having satisfied the terms and conditions of the Safety 
Codes Council is authorized to provide services under the Safety Codes Act including 
applicable Alberta amendments and regulations within the Municipality's boundaries 
for the discipline of Fire
Consisting of all parts of the Alberta Fire Code including investigations.  Excluding 
Part 4 requirements for Tank storage of flammable and combustible liquids.
Accredited Date: December 19, 1995	Issued Date: December 30, 2013.
Municipal Accreditation - Cancellation
(Safety Codes Act)
Pursuant to section 26 of the Alberta Safety Codes Act it is hereby ordered that
County of Warner No 5., Accreditation No M000400, Order No. 2276
Due to the voluntary withdrawal from accreditation, is to cease administration under 
the Safety Codes Act within its jurisdiction for Fire
Consisting of all parts of the Alberta Fire Code including investigations, including 
applicable Alberta amendments and regulations.  Excluding Part 4 requirements for 
tank storage for flammable & combustible liquids.
Date: October 21, 2013.
_______________
Pursuant to section 26 of the Alberta Safety Codes Act it is hereby ordered that
Town of Raymond, Accreditation No M000403, Order No. 2279
Due to the voluntary withdrawal from accreditation, is to cease administration under 
the Safety Codes Act within its jurisdiction for Fire
Consisting of all parts of the Alberta Fire Code including investigations, including 
applicable Alberta amendments and regulations.  Excluding Part 4 requirements for 
tank storage for flammable & combustible liquids.
Date: October 21, 2013.
Alberta Securities Commission
Erratum
Amendments to National Instrument 31-103 Registration Requirements, Exemptions 
and Ongoing Registrant Obligations in Part 1 of the July 15, 2013 edition of the 
Alberta Gazette and which came into force on July 15, 2013 contained errors.  It 
should have appeared as follows:
AMENDMENTS TO NATIONAL INSTRUMENT 31-103  
REGISTRATION REQUIREMENTS, EXEMPTIONS AND ONGOING 
REGISTRANT OBLIGATIONS
(Securities Act)
Made as a rule by the Alberta Securities Commission on March 13, 2013 pursuant to 
sections 223 and 224 of the Securities Act.
AMENDMENTS TO 
NATIONAL INSTRUMENT 31-103 REGISTRATION REQUIREMENTS, 
EXEMPTIONS AND ONGOING REGISTRANT OBLIGATIONS
1.	National Instrument 31-103 Registration Requirements, Exemptions and 
Ongoing Registrant Obligations is amended by this Instrument.
2.	Section 1.1 is amended by 
(a)	adding the following definitions:
"operating charge" means any amount charged to a client by a registered 
firm in respect of the operation, transfer or termination of an account of 
the client and includes any federal, provincial or territorial sales taxes 
paid on that amount;
"transaction charge" means any amount charged to a client by a 
registered firm in respect of a purchase or sale of a security and includes 
any federal, provincial or territorial sales taxes paid on that amount;, 
(b)	adding the following definition:
"trailing commission" means any payment related to a client's 
ownership of a security that is part of a continuing series of payments to 
a registered firm or registered individual by any party;,
(c)	adding the following definitions:
"book cost" means the total amount paid to purchase a security, 
including any transaction charges related to the purchase, adjusted for 
reinvested distributions, returns of capital and corporate reorganizations; 
"original cost" means the total amount paid to purchase a security, 
including any transaction charges related to the purchase;, and
(d)	adding the following definition:
"total percentage return" means the cumulative realized and unrealized 
capital gains and losses of an investment, plus income from the 
investment, over a specified period of time, expressed as a percentage;.
3.	The title of Division 1 of Part 14 is replaced with "Investment Fund 
Managers".
4.	Section 14.1 is amended by
(a)	replacing its title with "Application of this Part to Investment Fund 
Managers",
(b)	replacing "sections" after "Other than" with "section",
(c)	deleting "[holding client assets in trust]" after "14.6",
(d)	adding "subsection" before "14.12(5)",
(e)	deleting "[content and delivery of trade confirmation]" after 
"14.12(5)", 
(f)	replacing "14.14 [account statements]" with "section 14.14",
(g)	replacing "section 14.14" with "section 14.15", and 
(h)	adding "section 14.1.1," before "section 14.6".
5.	Division 1 of Part 14 is amended by adding the following section:
14.1.1	Duty to Provide Information
An investment fund manager of an investment fund must, within a reasonable 
period of time, provide a registered dealer or registered adviser who has a 
client that owns securities of the investment fund with the information 
concerning deferred sales charges and any other charges deducted from the net 
asset value of securities, and the information concerning trailing commissions 
paid to the dealer or adviser, that is required by the dealer or adviser in order to 
comply with paragraphs 14.12(1)(c) and 14.17(1)(h)..
6.	Subsection 14.2(2) is amended
(a)	by replacing "The information" with "Without limiting subsection (1), 
the information",
(b)	by deleting the words "required to be",
(c)	by adding "that" before the word "subsection",
(d)	by replacing "(1) includes all of" with "must include",
(e)	in paragraph (b) by replacing "discussion that identifies" with "general 
description of", replacing "or" with "and", and by replacing "a client" 
with "the client",
(f)	in paragraph (c) by adding "general" before "description", 
(g)	by replacing paragraph (f) with the following:
(f)	disclosure of the operating charges the client might be required to 
pay related to the account;,
(h)	by replacing paragraph (g) with the following:
(g)	a general description of the types of transaction charges the client 
might be required to pay;,
(i)	in paragraph (h) by adding "general" before "description", by 
replacing "the compensation" with "any compensation", and by adding 
"by any other party" before "in relation to",
(j)	in paragraph (j) by adding "[dispute resolution service]" after "13.16" 
and replacing "registered firm's expense" with "firm's expense", and
(k)	by adding the following paragraphs:
(m)	a general explanation of how investment performance 
benchmarks might be used to assess the performance of a client's 
investments and any options for benchmark information that 
might be made available to clients by the registered firm;
(n)	if the registered firm is a scholarship plan dealer, an explanation 
of any terms of the scholarship plan offered to the client by the 
scholarship plan dealer that, if not met by the client or the client's 
designated beneficiary under the plan, might cause the client or 
the designated beneficiary to suffer a loss of contributions, 
earnings or government contributions in the plan..
7.	Subsection 14.2(3) is amended by
(a)	deleting the words "to a client" after "must deliver", and
(b)	replacing "subsection (1)" with "subsection (1), if applicable, and 
subsection (2) to the client in writing, except that the information in 
paragraph (2)(b) may be provided orally or in writing,".
8.	Subsection 14.2(4) is amended
(a)	by replacing "to" after "significant change to" with "in respect of",
(b)	by replacing "subsection" with "subsections", 
(c)	by adding " or (2)" after "(1)",
(d)	by adding ":" after "next", and
(e)	in paragraph 14.2(4)(a) by replacing "," with ";".
9.	Subsection 14.2(5) is repealed.
10.	Section 14.2 is amended by adding the following subsection: 
(5.1)	A registered firm must not impose any new operating charge in respect of 
an account of a client, or increase the amount of any operating charge in 
respect of an account of a client, unless written notice of the new or increased 
operating charge is provided to the client at least 60 days before the date on 
which the imposition or increase becomes effective..
11.	Subsection 14.2(6) is replaced with:
(6)	This section does not apply to a registered firm in respect of a permitted 
client that is not an individual..
12.	Section 14.2 is amended by adding the following subsections: 
(7)	Except for subsections (5.1), (6) and (8), this section does not apply to a 
registered dealer in respect of a client for whom the dealer purchases or 
sells securities only as directed by a registered adviser acting for the 
client.
(8)	A registered dealer referred to in subsection (7) must deliver the 
information required under paragraphs (2)(a) and (e) to (j) to the client 
in writing, and the information in paragraph (2)(b) orally or in writing, 
before the dealer first purchases or sells a security for the client..
13.	Division 2 of Part 14 is amended by adding the following section:
14.2.1	Pre-trade Disclosure of Charges
(1)	Before a registered firm accepts an instruction from a client to purchase 
or sell a security in an account other than a managed account, the firm 
must disclose to the client
(a)	the charges the client will be required to pay in respect of the 
purchase or sale, or a reasonable estimate if the actual amount of 
the charges is not known to the firm at the time of disclosure, 
(b)	in the case of a purchase to which deferred charges apply, that the 
client might be required to pay a deferred sales charge on the 
subsequent sale of the security and the fee schedule that will 
apply, and
(c)	whether the firm will receive trailing commissions in respect of 
the security. 
(2)	This section does not apply to a registered firm in respect of a permitted 
client that is not an individual.
(3)	This section does not apply to a dealer in respect of a client for whom 
the dealer purchases or sells securities only as directed by a registered 
adviser acting for the client..
14.	The title of Division 5 of Part 14 is replaced with "Reporting to Clients".
15.	Part 14 is amended by adding the following section after the title of Division 
5:
14.11.1	Determining Market Value
(1)	For the purposes of this Division, the market value of a security
(a)	that is issued by an investment fund which is not listed on an 
exchange must be determined by reference to the net asset value 
provided by the investment fund manager of the fund on the 
relevant date;
(b)	in any other case, is the amount that the registered firm 
reasonably believes to be the market value of the security
(i)	after referring to a price quotation on a marketplace, if one 
is published for the security, using the last bid price in the 
case of a long security and the last ask price in the case of a 
short security, as shown on a consolidated pricing list or 
exchange quotation sheet as of the close of business on the 
relevant date or last trading day before the relevant date, 
and after making any adjustments considered by the 
registered firm to be necessary to accurately reflect the 
market value; 
(ii)	if no reliable price for the security is quoted on a 
marketplace, after referring to a published market report or 
inter-dealer quotation sheet, on the relevant date or last 
trading day before the relevant date, and after making any 
adjustments considered by the registered firm to be 
necessary to accurately reflect the market value; 
(iii)	if the market value for the security cannot be reasonably 
determined in accordance with subparagraphs (i) or (ii), 
after applying the policy of the registered firm for 
determining market value, which must include procedures 
to assess the reliability of valuation inputs and assumptions 
and provide for 
(A)	the use of inputs that are observable, and
(B)	the use of unobservable inputs and assumptions, if 
observable inputs are not reasonably available.
(2)	If a registered firm determines the market value of a security in 
accordance with subparagraph (1)(b)(iii), when it refers to the value in a 
statement under sections 14.14 [account statement], 14.14.1 [additional 
statement], 14.14.2 [position cost information], 14.15 [security holder 
statements] or 14.16 [scholarship plan dealer statements], the registered 
firm must include the following notification or a notification that is 
substantially similar:
"There is no active market for this security so we have estimated its 
value."
(3)	If a registered firm reasonably believes that it cannot determine the 
market value of a security in accordance with subsection (1), the market 
value of the security must be reported in a statement delivered under 
sections 14.14 [account statement], 14.14.1 [additional statement], 
14.14.2 [position cost information], 14.15 [security holder statements] or 
14.16 [scholarship plan dealer statements] as not determinable, and the 
market value of the security must be excluded from the calculations in 
paragraphs 14.14(5)(b), 14.14.1(2)(b) and 14.14.2(5)(a)..
16.	Subsection 14.11.1(3) is amended by adding "and in an investment 
performance report delivered under section 14.18 [investment performance 
report]" before "as not determinable" and adding "and subsection 14.19(1) 
[content of investment performance report]" after "14.14.2(5)(a)".
17.	Subsection 14.12(1) is amended
(a)	by adding the following after paragraph (b):
(b.1)	in the case of a purchase of a debt security, the security's annual 
yield;,
(b)	by replacing paragraph (c) with:
(c)	the amount of each transaction charge, deferred sales charge or 
other charge in respect of the transaction, and the total amount of 
all charges in respect of the transaction;,
(c)	by adding the following paragraph after paragraph (c):
(c.1)	in the case of a purchase or sale of a debt security, either of the 
following:
(i)	the total amount of any mark-up or mark-down, 
commission or other service charges the registered dealer 
applied to the transaction;
(ii)	the total amount of any commission charged to the client 
by the registered dealer and, if the dealer applied a mark-up 
or mark-down or any service charge other than a 
commission, the following notification or a notification that 
is substantially similar:
"Dealer firm remuneration has been added to the price of 
this security (in the case of a purchase) or deducted from 
the price of this security (in the case of a sale). This amount 
was in addition to any commission this trade confirmation 
shows was charged to you.";,
(d)	in paragraph (f) by adding "involved" before "in the transaction", and
(e)	in paragraph (h) by replacing "security of" with "security issued by" 
wherever it occurs and by replacing "registrant" with "registered 
dealer" wherever it occurs.
18.	Section 14.14 is amended
(a)	in subsection (2) by replacing "at" with "after",
(b)	in subsection (3) by replacing "Except if the client has otherwise 
directed, a" with "A" and adding ", except that if the client has 
requested receiving statements on a monthly basis, the adviser must 
deliver a statement to the client every month" after "at least once every 
3 months",
(c)	in paragraph (4)(b) by replacing "the type of" with "whether the" and 
adding "was a purchase, sale or transfer" after "transaction",
(d)	in paragraph 4(e) by adding "if the transaction was a purchase or sale" 
after "security", and
(e)	in paragraph 4(f) by adding "if it was a purchase or sale" after 
"transaction".
19.	Section 14.14 is amended
(a)	in subsection (1) by replacing "deliver a statement to a client at least 
once every 3 months" with "deliver to a client a statement that includes 
the information referred to in subsections (4) and (5)
(a)	at least once every 3 months, or
(b)	if the client has requested receiving statements on a monthly 
basis, for each one-month period",
(b)	in subsection (2) by deleting "Despite subsection (1)," before "a 
registered dealer" and replacing "deliver a statement to a client after the 
end of a month if any of the following apply:
(a)	the client has requested receiving statements on a monthly basis;
(b)	during the month, a transaction was effected in the account other 
than a transaction made under an automatic withdrawal plan or an 
automatic payment plan, including a dividend reinvestment plan",
with "deliver to a client a statement that includes the information 
referred to in subsections (4) and (5) after the end of any month in which 
a transaction was effected in securities held by the dealer in the account, 
other than a transaction made under an automatic withdrawal plan or an 
automatic payment plan, including a dividend reinvestment plan",
(c)	in subsection (2.1) by replacing "Subsection (2) does" with "Paragraph 
1(b) and subsection (2) do" and replacing "section 7.1(2)(b)" with 
"paragraph 7.1(2)(b) [dealer categories]",
(d)	in subsection (3) by replacing "deliver a statement to a client" with 
"deliver to a client a statement that includes the information referred to 
in subsections (4) and (5)" and replacing "every month" with "for each 
one-month period",
(e)	by repealing subsection (3.1),
(f)	in subsection (4) by replacing "A statement delivered under subsection 
(1), (2), (3), or (3.1) must include all of the following information for 
each transaction made for the client or security holder during the period 
covered by the statement" with "If a registered dealer or registered 
adviser made a transaction for a client during the period covered by a 
statement delivered under subsections (1), (2) or (3), the statement must 
include the following",
(g)	in subsection (5) by replacing "A statement delivered under subsection 
(1), (2), (3), or (3.1) must include all of the following information about 
the client's or security holder's account as at the end of the period for 
which the statement is made" with "If a registered dealer or registered 
adviser holds securities owned by a client in an account of the client, a 
statement delivered under subsections (1), (2) or (3) must indicate that 
the securities are held for the client by the registered firm and must 
include the following information about the account determined as at the 
end of the period for which the statement is made", in paragraph (b) by 
adding "and, if applicable, the notification in subsection 14.11.1(2) 
[determining market value]" and adding the following paragraphs after 
paragraph (e):
(f)	whether the account is covered under an investor protection fund 
approved or recognized by the securities regulatory authority and, 
if it is, the name of the fund;
(g)	which securities in the account might be subject to a deferred 
sales charge if they are sold.,
(h)	by repealing subsection (6),
(i)	by adding the following subsection:
(7)	For the purposes of this section, a security is considered to be held 
by a registered firm for a client if 
(a)	the firm is the registered owner of the security as nominee 
on behalf of the client, or
(b)	the firm has physical possession of a certificate evidencing 
ownership of the security..
20.	Division 5 of Part 14 is amended by adding the following sections:
14.14.1	Additional Statements 
(1)	A registered dealer or registered adviser must deliver a statement that 
includes the information referred to in subsection (2) to a client if any of 
the following apply in respect of a security owned by the client that is 
held or controlled by a party other than the dealer or adviser: 
(a)	the dealer or adviser has trading authority over the security or the  
account of the client in which the security is held or was 
transacted;
(b)	the dealer or adviser receives continuing payments related to the 
client's ownership of the security from the issuer of the security, 
the investment fund manager of the issuer or any other party;
(c)	the security is issued by a scholarship plan, a mutual fund or an 
investment fund that is a labour-sponsored investment fund 
corporation, or labour-sponsored venture capital corporation, 
under legislation of a jurisdiction of Canada and the dealer or 
adviser is the dealer or adviser of record for the client on the 
records of the issuer of the security or the records of the issuer's 
investment fund manager. 
(2)	A statement delivered under subsection (1) must include the following in 
respect of the securities or the account referred to in subsection (1), 
determined as at the end of the period for which the statement is made:
(a)	the name and quantity of each security;
(b)	the market value of each security and, if applicable, the 
notification in subsection 14.11.1(2) [determining market value];
(c)	the total market value of each security position;
(d)	any cash balance in the account;
(e)	the total market value of all of the cash and securities;
(f)	the name of the party that holds or controls each security and a 
description of the way it is held; 
(g)	whether the securities are covered under an investor protection 
fund approved or recognized by the securities regulatory authority 
and, if they are, the name of the fund;
(h)	which of the securities might be subject to a deferred sales charge 
if they are sold.
(3)	If subsection (1) applies to a registered dealer or a registered adviser, the 
dealer or adviser must deliver a statement that includes the information 
in subsection (2) to a client at least once every 3 months, except that if a 
client has requested receiving statements on a monthly basis, the adviser 
must deliver a statement to the client every month. 
(4)	If subsection (1) applies to a registered dealer or a registered adviser that 
is also required to deliver a statement to a client under subsection 
14.14(1) or (3), a statement delivered under subsection (1) must be 
delivered to the client in one of the following ways:
(a)	combined with a statement delivered to the client under 
subsection 14.14(1) or (3) for the period ending on the same date;
(b)	as a separate document accompanying a statement delivered to the 
client under subsection 14.14(1) or (3) for the period ending on 
the same date;
(c)	as a separate document delivered within 10 days after the 
statement delivered to the client under subsection 14.14(1) or (3) 
for the period ending on the same date.
(5)	For the purposes of this section, a security is considered to be held for a 
client by a party other than the registered firm if any of the following 
apply: 
(a)	the other party is the registered owner of the security as nominee 
on behalf of the client;
(b)	ownership of the security is recorded on the books of its issuer in 
the client's name;
(c)	the other party has physical possession of a certificate evidencing 
ownership of the security;
(d)	the client has physical possession of a certificate evidencing 
ownership of the security.
(6)	This section does not apply to a registered firm in respect of a permitted 
client that is not an individual.
14.14.2	Position Cost Information
(1)	If a registered dealer or registered adviser is required to deliver a 
statement to a client that includes information required under subsection 
14.14(5) [account statements] or 14.14.1(2) [additional statements], the 
dealer or adviser must deliver the information referred to in subsection 
(2) to a client at least once every 3 months.
(2)	The information delivered under subsection (1) must disclose the 
following:
(a)	for each security position in the statement opened on or after July 
15, 2015, 
(i)	the cost of the position, determined as at the end of the 
period for which the information under subsection 14.14(5) 
or 14.14.1(2) is provided, presented on an average cost per 
unit or share basis or on an aggregate basis, or 
(ii)	if the security position was transferred from another 
registered firm, the information referred to in subparagraph 
(i) or the market value of the security position as at the date 
of the position's transfer if it is also disclosed to the client 
in the statement that it is the market value as of the transfer 
date, not the cost of the security position, that is being 
disclosed; 
(b)	for each security position in the statement opened before July 15, 
2015,  
(i)	the cost of the position, determined as at the end of the 
period for which the information under subsection 14.14(5) 
or 14.14.1(2) is provided, presented on an average cost per 
unit or share basis or on an aggregate basis, or 
(ii)	the market value of the security position as at July 15, 2015 
or an earlier date, if the same date and value are used for all 
clients of the firm holding that security and it is also 
disclosed to the client in the statement that it is the market 
value as of that date, not the cost of the security position, 
that is being disclosed;
(c)	the total cost of all of the security positions in the statement, 
determined in accordance with paragraphs (a) and (b); 
(d)	for each security position for which the registered firm reasonably 
believes it cannot determine the cost in accordance with 
paragraphs (a) and (b), disclosure of that fact in the statement.
(3)	The cost of security positions required to be disclosed under subsection 
(2) must be either the book cost or the original cost and must be 
accompanied by the definition of "book cost" in section 1.1 or the 
definition of "original cost" in section 1.1, as applicable.
(4)	The information delivered under subsection (1) must be delivered to the 
client in one of the following ways:
(a)	combined with a statement delivered to the client that includes 
information required under subsection 14.14(5) or 14.14.1(2) for 
the period ending on the same date;
(b)	in a separate document accompanying a statement delivered to the 
client that includes information required under subsection 
14.14(5) or 14.14.1(2) for the period ending on the same date;
(c)	in a separate document delivered within 10 days after a statement 
delivered to the client that includes information required under 
subsection 14.14(5) or 14.14.1(2) for the period ending on the 
same date.
(5)	If the information under subsection (1) is delivered to the client in a 
separate document in accordance with paragraph 4(c), the separate 
document must also include the following:
(a)	the market value of each security in the statement and, if 
applicable, the notification in subsection 14.11.1(2) [determining 
market value];
(b)	the total market value of each security position in the statement;
(c)	the total market value of all cash and securities in the statement.
(6)	This section does not apply to a registered firm in respect of a permitted 
client that is not an individual.
14.15	Security Holder Statements
If there is no dealer or adviser of record for a security holder on the records of a 
registered investment fund manager, the investment fund manager must deliver 
to the security holder at least once every 12 months a statement that includes 
the following:
(a)	the information required under subsection 14.14(4) [account 
statements] for each transaction that the registered investment 
fund manager made for the security holder during the period;
(b)	the information required under subsection 14.14.1(2) [additional 
statements] for the securities of the security holder that are on the 
records of the registered investment fund manager;
(c)	the information required under section 14.14.2 [position cost 
information].
14.16	Scholarship Plan Dealer Statements
Sections 14.14 [account statements], 14.14.1 [additional statements] and 
14.14.2 [position cost information] do not apply to a scholarship plan dealer if 
both of the following apply:
(a)	the scholarship plan dealer is not registered in another dealer or 
adviser category;
(b)	the scholarship plan dealer delivers to a client a statement at least 
once every 12 months that provides the information required 
under subsections 14.14(4) and 14.14.1(2)..
21.	Division 5 of Part 14 is amended by adding the following sections:
14.17	Report on Charges and Other Compensation 
(1)	For each 12-month period, a registered firm must deliver a report on 
charges and other compensation containing the following information to 
a client, except that the first report delivered after a client has opened an 
account may cover a period of less than 12 months: 
(a)	the registered firm's current operating charges which might be 
applicable to the client's account; 
(b)	the total amount of each type of operating charge related to the 
account paid by the client during the period covered by the report, 
and the aggregate amount of those charges; 
(c)	the total amount of each type of transaction charge related to the 
purchase or sale of securities paid by the client during the period 
covered by the report, and the aggregate amount of those charges; 
(d)	the total amount of the operating charges reported under 
paragraph (b) and the transaction charges reported under 
paragraph (c); 
(e)	if the registered firm purchased or sold debt securities for the 
client during the period covered by the report, either of the 
following:
(i)	the total amount of any mark-ups, mark-downs, 
commissions or other service charges the firm applied on 
the purchases or sales of debt securities;
(ii)	the total amount of any commissions charged to the client 
by the firm on the purchases or sales of debt securities and, 
if the firm applied mark-ups, mark-downs or any service 
charges other than commissions on the purchases or sales 
of debt securities, the following notification or a 
notification that is substantially similar:
"For debt securities purchased or sold for you during the 
period covered by this report, dealer firm remuneration 
was added to the price you paid (in the case of a purchase) 
or deducted from the price you received (in the case of a 
sale). This amount was in addition to any commissions you 
were charged.";
(f)	if the registered firm is a scholarship plan dealer, the unpaid 
amount of any enrolment fee or other charge that is payable by 
the client;
(g)	the total amount of each type of payment other than a trailing 
commission that is made to the registered firm or any of its 
registered individuals by a securities issuer or another registrant in 
relation to registerable services to the client during the period 
covered by the report, accompanied by an explanation of each 
type of payment; 
(h)	if the registered firm received trailing commissions related to 
securities owned by the client during the period covered by the 
report, the following notification or a notification that is 
substantially similar to the following: 
"We received $[amount] in trailing commissions in respect of 
securities you owned during the 12-month period covered by this 
report.
Investment funds pay investment fund managers a fee for 
managing their funds. The managers pay us ongoing trailing 
commissions for the service and advice we provide you. The 
amount of the trailing commissions depends on the sales charge 
option you chose when you purchased the fund. You are not 
directly charged the trailing commission or the management fee. 
But, these fees affect you because they reduce the amount of the 
fund's return to you. Information about management fees and 
other charges to your investment funds is included in the 
prospectus or fund facts document for each fund."
(2)	For the purposes of this section, the information in respect of securities 
of a client required to be reported under subsection 14.14(5) [account 
statements] must be delivered in a separate report on charges and other 
compensation for each account of the client.
(3)	For the purposes of this section, the information in respect of securities 
of a client required to be reported under subsection 14.14.1(1) 
[additional statements] must be delivered in a report on charges and 
other compensation for the account of the client through which they 
were transacted.
(4)	Subsections (2) and (3) do not apply if the registered firm provides a 
report on charges and other compensation that consolidates into a single 
report the required information for more than one of a client's accounts 
and any information in respect of the securities of the client required to 
be reported under subsection 14.14(5) or 14.14.1(1) and if the following 
apply:
(a)	the client has consented in writing to the form of disclosure 
referred to in this subsection;
(b)	the consolidated report specifies the accounts and securities with 
respect to which information is required to be reported under 
subsection 14.14.1(1) [additional statements].
(5)	This section does not apply to a registrant in respect of a permitted client 
that is not an individual.
14.18	Investment Performance Report
(1)	A registered firm must deliver an investment performance report to a 
client every 12 months, except that the first report delivered after a 
registered firm first makes a trade for a client may be sent within 24 
months after the trade.
(2)	For the purposes of this section, the information in respect of securities 
of a client required to be reported under subsection 14.14(5) [account 
statements] must be delivered in a separate report for each account of the 
client.
(3)	For the purposes of this section, the information in respect of securities 
of a client required to be reported under subsection 14.14.1(1) 
[additional statements] must be delivered in the report for each account 
of the client through which the securities were transacted.
(4)	Subsections (2) and (3) do not apply if the registered firm provides a 
report that consolidates into a single report the required information for 
more than one of a client's accounts and any information in respect of 
securities of the client required to be reported under subsections 14.14(5) 
or 14.14.1(1) and if the following apply:
(a)	the client has consented in writing to the form of disclosure 
referred to in this subsection;
(b)	the consolidated report specifies the accounts and securities with 
respect to which information is required to be reported under 
subsection 14.14.1(1) [additional statements].
(5)	This section does not apply to
(a)	an account that has existed for less than a 12-month period;
(b)	a registered dealer in respect of an account in which the dealer 
executes trades only as directed by a registered adviser acting for 
the client; and
(c)	a registered firm in respect of a permitted client that is not an 
individual. 
(6)	If a registered firm reasonably believes there are no securities of a client 
with respect to which information is required to be reported under 
subsection 14.14(5) [account statements] or subsection 14.14.1(1) 
[additional statements] and for which a market value can be determined, 
the firm is not required to deliver a report to the client for the period.
14.19	Content of Investment Performance Report
(1)	An investment performance report required to be delivered under section 
14.18 by a registered firm must include all of the following in respect of 
the securities referenced in a statement in respect of which subsections 
14.14(1), (2) or (3) [account statements] or 14.14.1(1) [additional 
statements] apply:
(a)	the market value of all cash and securities in the client's account 
as at the beginning of the 12-month period covered by the 
investment performance report;
(b)	the market value of all cash and securities in the account as at the 
end of the 12-month period covered by the investment 
performance report; 
(c)	the market value of all deposits and transfers of cash and 
securities into the account, and the market value of all 
withdrawals and transfers of cash and securities out of the 
account, in the 12-month period covered by the investment 
performance report;
(d)	subject to paragraph (e), the market value of all deposits and 
transfers of cash and securities into the account, and the market 
value of all withdrawals and transfers of cash and securities out of 
the account, since account opening;
(e)	if the account was opened before July 15, 2015 and the registered 
firm reasonably believes market values are not available for all 
deposits, withdrawals and transfers since the account was opened, 
the following:
(i)	the market value of all cash and securities in the client's 
account as at July 15, 2015;
(ii)	the market value of all deposits and transfers of cash and 
securities into the account, and the market value of all 
withdrawals and transfers of cash and securities out of the 
account, since July 15, 2015;
(f)	the annual change in the market value of the account for the 12-
month period covered by the investment performance report, 
determined using the following formula
A - B - C + D
where
A =	the market value of all cash and securities in the account 
as at the end of the 12-month period covered by the investment 
performance report,
B =	the market value of all cash and securities in the account 
at the beginning of that 12-month period,
C =	the market value of all deposits and transfers of cash and 
securities into the account in that 12-month period, and 
D = 	the market value of all withdrawals and transfers of cash 
and securities out of the account in that 12-month period;
(g)	subject to paragraph (h), the cumulative change in the market 
value of the account since account opening determined using the 
following formula 
A - E + F
where
A =	the market value of all cash and securities in the account 
as at the end of the 12-month period covered by the investment 
performance report,
E =	the market value of all deposits and transfers of cash and 
securities into the account since account opening, and
F =	the market value of all withdrawals and transfers of cash 
and securities out of the account since account opening;
(h)	if the registered firm reasonably believes the market value of all 
deposits and transfers of cash and securities into the account since 
account opening or the market value of all withdrawals and 
transfers of cash and securities out of the account since account 
opening required in paragraph (g) is not available to the registered 
firm, the cumulative change in the market value of the account 
determined using the following formula
A - G - H + I
where
A =	the market value of all cash and securities in the account 
as at the end of the 12-month period covered by the investment 
performance report,
G =	the market value of all cash and securities in the account 
as at July 15, 2015,
H =	the market value of all deposits and transfers of cash and 
securities into the account since July 15, 2015, and
I =	the market value of all withdrawals and transfers of cash 
and securities out of the account since July 15, 2015;
(i)	the amount of the annualized total percentage return for the 
client's account calculated net of charges, using a money-
weighted rate of return calculation method generally accepted in 
the securities industry; 
(j)	the definition of "total percentage return" in section 1.1 and a 
notification indicating the following:
(i)	that the total percentage return in the investment 
performance report was calculated net of charges;
(ii)	the calculation method used;
(iii)	a general explanation in plain language of what the 
calculation method takes into account.
(2)	The information delivered for the purposes of paragraph (1)(i) must be 
provided for each of the following periods: 
(a)	the 12-month period covered by the investment performance 
report;
(b)	the 3-year period preceding the end of the 12-month period 
covered by the report;
(c)	the 5-year period preceding the end of the 12-month period 
covered by the report; 
(d)	the 10-year period preceding the end of the 12-month period 
covered by the report; 
(e)	the period since the account was opened if the account has been 
open for more than one year before the date of the report or, if the 
account was opened before July 15, 2015 and the registered firm 
reasonably believes the annualized total percentage return for the 
period before July 15, 2015 is not available, the period since July 
15, 2015.
(3)	Despite subsection (2), if any portion of a period referred to in 
paragraphs (2)(b), (c) or (d) was before July 15, 2015, the registered firm 
is not required to report the annualized total percentage return for that 
period.
(4)	Despite subsection (1), the information a scholarship plan dealer is 
required to deliver under section 14.18 [investment performance report] 
in respect of each scholarship plan in which a client has invested through 
the scholarship plan dealer is the following:
(a)	the total amount that the client has invested in the plan as at the 
date of the investment performance report;
(b)	the total amount that would be returned to the client if, as at the 
date of the investment performance report, the client ceased to 
make prescribed payments into the plan;
(c)	a reasonable projection of future payments that the plan might pay 
to the client's designated beneficiary under the plan, or the client, 
upon the maturity of the client's investment in the plan;
(d)	a summary of any terms of the plan that, if not met by the client 
or the client's designated beneficiary under the plan, might cause 
the client or the designated beneficiary to suffer a loss of 
contributions, earnings or government contributions in the plan. 
(5)	The information delivered under section 14.18 [investment performance 
report] must be presented using text, tables and charts, and must be 
accompanied by notes in the investment performance report explaining
(a)	the content of the report and how a client can use the information 
to assess the performance of the client's investments; and  
(b)	the changing value of the client's investments as reflected in the 
information in the report.
(6)	If a registered firm delivers information required under this section in a 
report to a client for a period of less than one year, the firm must not 
calculate the disclosed information on an annualized basis.
(7)	If the registered firm reasonably believes the market value cannot be 
determined for a security position, the market value must be assigned a 
value of zero in the calculation of the information delivered under 
subsection 14.18(1) and the fact that its market value could not be 
determined must be disclosed to the client. 
14.20	Delivery of Report on Charges and Other Compensation and 
Investment Performance Report
(1)	A report under section 14.17 [report on charges and other 
compensation] and a report under section 14.18 [investment performance 
report] must include information for the same 12-month period and the 
reports must be delivered together in one of the following ways:
(a)	combined with a statement delivered to the client that includes 
information required under subsection 14.14(1), (2) or (3) 
[account statements], subsection 14.14.1(2) [additional 
statements] or section 14.16 [scholarship plan dealer statements];
(b)	accompanying a statement delivered to the client that includes 
information required under subsection 14.14(1), (2) or (3) 
[account statements], subsection 14.14.1(2) [additional 
statements] or section 14.16 [scholarship plan dealer statements];
(c)	within 10 days after a statement delivered to the client that 
includes information required under subsection 14.14(1),(2) or (3) 
[account statements], subsection 14.14.1(2) [additional 
statements] or section 14.16 [scholarship plan dealer statements].
(2)	Subsection (1) does not apply in respect of the first report under section 
14.17 [report on charges and other compensation] and the first report 
under section 14.18 [investment performance report] for a client..
Coming into force
22.	(1)	Subject to subsection (2), this Instrument comes into force on July 15, 
2013.
(2)	The provisions of this Instrument listed in column 1 of the following 
table come into force on the date set out in column 2 of the table:

Column 1
Provisions of this Instrument
Column 2
Date
2(b), 6(k), 13, 17(a), 17(c)
July 15, 2014
2(c), 4(g), 15, 19, 20
July 15, 2015
2(d), 4(h), 5, 16, 17(b), 21
July 15, 2016

Alberta Securities Commission
AMENDMENTS TO NATIONAL INSTRUMENT 13-101  
SYSTEM FOR ELECTRONIC DOCUMENT ANALYSIS AND RETRIEVAL 
(SEDAR)
(Securities Act)
Made as a rule by the Alberta Securities Commission on September 11, 2013 pursuant 
to sections 223 and 224 of the Securities Act.
AMENDMENTS TO NATIONAL INSTRUMENT 13-101 
SYSTEM FOR ELECTRONIC DOCUMENT ANALYSIS AND RETRIEVAL 
(SEDAR)
1.	National Instrument 13-101 System for Electronic Document Analysis and 
Retrieval (SEDAR) is amended by this Instrument.
2.	Section 1.1 is amended by, in the definition of "SEDAR filing service 
contractor", replacing "CDS INC." with "the Alberta Securities Commission".
3.	This Instrument comes into force on January 13, 2014.
Alberta Securities Commission
AMENDMENTS TO NATIONAL INSTRUMENT 31-102  
NATIONAL REGISTRATION DATABASE
(Securities Act)
Made as a rule by the Alberta Securities Commission on September 11, 2013 pursuant 
to sections 223 and 224 of the Securities Act.
AMENDMENTS TO NATIONAL INSTRUMENT 31-102 
NATIONAL REGISTRATION DATABASE
1.	National Instrument 31-102 National Registration Database is amended by 
this Instrument.
2.	Section 1.1 is amended by, in the definition of "NRD administrator", 
replacing "CDS INC." with "the Alberta Securities Commission".
3.	Paragraph 4.5(e) is amended by replacing "pays the following fees by 
submitting a cheque, payable to CDS INC. in Canadian funds, to the firm's 
principal regulator within 14 days of the date the payment is due" with "pays 
the following fees within 14 days of the date the payment is due by submitting 
a cheque, payable to the Ontario Securities Commission in Canadian currency, 
to CSA Service Desk, Attn: NRD Administrator, 12 Millennium Blvd, Suite 
210, Moncton, NB E1C 0M3".
4.	This Instrument comes into force on January 13, 2014.


Alberta Securities Commission
AMENDMENTS TO NATIONAL INSTRUMENT 55-102 
SYSTEM FOR ELECTRONIC DISCLOSURE BY INSIDERS (SEDI)
(Securities Act)
Made as a rule by the Alberta Securities Commission on September 11, 2013 pursuant 
to sections 223 and 224 of the Securities Act.
AMENDMENTS TO NATIONAL INSTRUMENT 55-102 
SYSTEM FOR ELECTRONIC DISCLOSURE BY INSIDERS (SEDI)
1.	National Instrument 55-102 System for Electronic Disclosure by Insiders 
(SEDI) is amended by this Instrument.
2.	Section 1.1 is amended by, in the definition of "SEDI operator", replacing 
"CDS INC." with "the Alberta Securities Commission".
3.	Form 55-102F5 - SEDI User Registration Form is amended by
(a) replacing the section titled "Delivery of Signed Copy to SEDI Operator" 
with the following:
Delivery of Signed Copy to SEDI Operator
Before you may make a valid SEDI filing, you must deliver a manually signed 
paper copy of the completed user registration form to the SEDI operator for 
verification purposes. To satisfy this requirement, you may print a copy of the 
online user registration form once you have certified and submitted it. You 
must deliver a manually signed and dated copy of the completed user 
registration form via prepaid mail, personal delivery or facsimile to the SEDI 
operator at the following address or fax number, as applicable:
CSA Service Desk 
Attn: SEDI Operator 
12 Millennium Blvd, Suite 210 
Moncton, NB E1C 0M3
or at such other address(es) or fax number(s) as may be provided on the SEDI 
web site (www.sedi.ca).
(b) replacing the section titled "Questions" with the following:
Questions
Questions may be directed to the CSA Service Desk at 1-800-219-5381 or such 
other number as may be provided on the SEDI web site. 
(c) in the section titled "Notice - Collection and Use of Personal 
Information",
(i) replacing "CDS INC. (the SEDI operator) is retained by CDS INC." 
with "the SEDI operator is retained by the SEDI operator"; and
(ii) replacing "the CDS SEDI Administrator" with "the SEDI operator";
(d) replacing the first paragraph in the section titled "SEDI User 
Registration Form" with the following:
Note: Before an individual registering as a SEDI user may make a valid SEDI 
filing, the registering individual must deliver a manually signed paper copy of 
the completed user registration form to the SEDI operator for verification 
purposes. The registering individual may print a copy of the online version 
using the "Print" function provided for this purpose in SEDI. The signed paper 
copy must be delivered by prepaid mail, personal delivery or facsimile to: 
CSA Service Desk 
Attn: SEDI Operator 
12 Millennium Blvd, Suite 210 
Moncton, NB E1C 0M3
(e) replacing, in the section titled " SEDI User Registration Form", the 
portion titled "Section 3 - Certification of SEDI User" with the following:
Section 3 Certification of SEDI User
I certify that the foregoing information is true in all material respects. I agree to 
update the information submitted on this form in SEDI as soon as practicable 
following any material change in the information. I agree that an executed copy 
of Form 55-102F5, if delivered to the SEDI operator by facsimile, shall have 
the same effect as an originally executed copy delivered to the SEDI operator. 
4.	This Instrument comes into force on January 13, 2014.
ADVERTISEMENTS
Church of Jesus Christ of Latter-day Saints in Canada
Notice is hereby given pursuant to Section 2 of the Church of Jesus Christ of Latter-
day Saints in Canada Act, which received Royal Assent on May 27, 2013, that a Trust 
established in Alberta on January 2, 1968 under the name "The Church of Jesus Christ 
of Latter-day Saints in Canada", was incorporated as a corporation on January 1, 2014 
under the name "The Church of Jesus Christ of Latter-day Saints in Canada", and was  
amalgamated with The President and High Council of the Alberta Stake of Zion, a 
corporation incorporated under An Ordinance to Incorporate the President and High 
Council of the Alberta Stake of Zion, Ordinances of the North-West Territories 1897, 
No. 43, as amended, and The President and High Council of the Taylor Stake of Zion, 
a corporation incorporated under the Taylor Stake of Zion Act, S.A. 1951, c. 112.
Dated at Calgary, Alberta, January 1, 2014.
The Church of Jesus Christ of Latter-day Saints in Canada
Notice of Certificate of Intent to Dissolve
(Business Corporations Act)
Notice is hereby given that a Certificate of Intent to Dissolve was issued to PGNX 
Capital Corp. on December 19, 2013.
Dated at Winnipeg, Manitoba on December 19, 2013.
Martin Weinberg, President and a Director 
PGNX Capital Corp.
Public Sale of Land
(Municipal Government Act)
City of Leduc
Notice is hereby given that, under the provisions of the Municipal Government Act, 
the City of Leduc will offer for sale, by public auction, in the Lede Room B, #1 
Alexandra Park, Leduc, Alberta, on Tuesday, February 25, 2014, at 10:00 a.m., the 
following lands:
Lot
Block
Plan
12
2
0420499
42
1
0525365
9
4
0625290

64
0822822
Each parcel will be offered for sale subject to a reserve bid and to the reservations and 
conditions contained in the existing Certificate of Title.
The City of Leduc may, after the public auction, become the owner of any parcel of 
land not sold at the public auction.
Terms:  Cash, bank draft, or certified cheque made payable to City of Leduc on the 
date of the public auction.
Redemption may be affected by payment of all arrears of taxes and costs at any time 
prior to the sale.
The lands are being offered for sale on an "as is, where is" basis and the City of 
Leduc makes no representation and gives no warranty whatsoever as to the adequacy 
of services, soil conditions, land use districting, building and development conditions, 
absence or presence of environmental contamination, vacant possession, or the 
developability of the lands for any intended use by the successful bidder.  No bid will 
be accepted where the bidder attempts to attach conditions to the sale of any parcel or 
land.  No terms and conditions will be considered other than those specified by the 
City of Leduc.  The successful bidder shall be required to execute a Sale Agreement 
in a form and substance acceptable to the City of Leduc.  No further information is 
available at the auction regarding the lands to be sold.
Dated at City of Leduc, Alberta, December 24, 2013.
Irene Sasyniuk, Director Finance.
______________
Summer Village of Sunrise Beach
Notice is hereby given that under the provisions of the Municipal Government Act, 
the Summer Village of Sunrise Beach will offer for sale, by public auction, at the 
Sunrise Beach Administration Office located at 1208A Hwy 642, on Friday, February 
28, 2014, at 10:00 a.m., the following lands:
Lot
Block
Plan
Roll #
Title #
4
2
4652TR
4204
072 396 166
These parcels will be offered for sale subject to a reserve bid, and to the reservations 
and conditions contained in the existing certificate of title.
Terms: Cash, Certified Cheque, Bank Draft. 10% non-refundable deposit at the day of 
the sale and balance due within 14 days of the Public Auction.
The Summer Village of Sunrise Beach may, after the public auction, become the 
owner of any parcel of land that is not sold at the public auction.
Redemption may be effected by payment of all arrears of taxes and costs at any time 
prior to the sale.
Dated at Sunrise Beach, Alberta, December 19, 2013.
Wendy Wildman, C.A.O.






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