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Implementing NI 52-107 [Rule 52-801]
Implementing NI 55-104 Insider Reporting Requirements and Exemptions [Rule 55-801]
CSA Notice
Insider Reporting Guidelines for Certain Derivatives Transactions (Equity Monetization) (Revised)[CSA Notice 55-312]
Insider Reporting Requirements and Exemptions [Rule 55-104]
Issuers Quoted in the U.S. Over-The-Counter Markets [Rule 51-105]
CSA Notice
Issuers Using Mass Advertising [CSA Notice 51-336]
Issuers with U.S. Marijuana-Related Activities [CSA Notice 51-352]
CSA Notice
Issuers with U.S. Marijuana-Related Activities [CSA Notice 51-352]
CSA Notice
Issuers with U.S. Marijuana-Related Activities [CSA Notice 51-352 (Revised)]
CSA Notice
Issues relating to changeover to International Financial Reporting Standards [CSA Notice 52-324]
CSA Notice
Meeting Vote Reconciliation Protocols [CSA Notice 54-305]
Rule
MI 52-109 - Unofficial Consolidation of MI 52-109 as of Oct. 25, 2005
Rule
MRRS - Acceptance as a "Professional Organization" under NI 51-101 of professional boards for engineers in the states of California, Louisiana, Oklahoma, Colorado and Texas
Rule
NI 51-101 - Consolidated Version as of December 31, 2010
Rule
NI 51-101 - Professional Organizations, updated October 4, 2004
Rule
NI 51-102 Consolidated as of June 12, 2018
Rule
NI 51-102 Consolidated as of June 30, 2015
Rule
NI 51-102 Consolidated as of Sept. 30, 2014
Rule
NI 51-102 - Consolidated Version as of March 17, 2008
Rule
NI 51-102 Consolidated Version as of May 31, 2013

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  • Failure to file annual financial statements.
  • Failure to file interim financial statements.
  • Failure to file an annual or interim management’s discussion and analysis (MD&A) or an annual or interim management report of fund performance (MRFP).
  • Failure to file an Annual Information Form (AIF).
  • Failure to file a certification of annual or interim filings required by Multilateral Instrument 52-109 Certification of Disclosure in Issuers’ Annual and Interim Filings (MI 52-109).
  • Failure to file required proxy materials or a required information circular.
  • Failure to file an issuer profile supplement on the System for Electronic Disclosure by Insiders (SEDI).
  • Failure to file a material change report.
  • Failure to provide a written update after filing a confidential report of a material change.
  • Failure to file a business acquisition report.
  • Failure to file annual oil and gas disclosure prescribed by National Instrument 51-101 Standards of Disclosure of Oil and Gas Activities (NI 51-101) or technical reports for a mineral project required under NI 43-101 Standards of Disclosure for Mineral Projects (NI 43-101).
  • Failure to file a mandatory news release.
  • Failure to file corporate governance disclosure as required by national Instrument 58-101 Disclosure of Corporate Governance Practices (NI 58-101).
  • Failure to file audit committee disclosure as required by Multilateral Instrument 52-110 Audit Committees (MI 52-110) or BC Instrument 52-509 Audit Committees.
  • Failure to include disclosure in an issuer’s MD&A relating to disclosure controls and procedures and their direct effectiveness that is referred to in a certificate filed under MI 52-109.
  • Financial statements of the reporting issuer, or the auditors’ report accompanying the financial statements, do not comply with the requirements of NI 51-102 Continuous Disclosure Obligations (NI 51-102), National Instrument 81-106 Investment Fund Continuous Disclosure (NI 81-106) or National Instrument 52-107 Acceptable Accounting Principles, Auditing Standards and Reporting Currency (NI 52-107).
  • The reporting issuer has acknowledged that its financial statements, or the auditors’ report accompanying the financial statements, may no longer be relied upon.
  • The reporting issuer’s AIF, MD&A, MRFP, information circular, or business acquisition reports do not contain information for each of the content items required by NI 51-102 or NI 81-106.
  • The reporting issuer’s technical disclosure or other reports do not comply with the disclosure requirements of NI 43-101 or 51-101.
  • Failure to pay a fee required by the Act or the regulations.
  • Failure to comply with any other requirement related to continuous disclosure.