Form 45-106F6 British Columbia Report of Exempt Distribution



Similar documents
Form F6 British Columbia Report of Exempt Distribution

New Canadian reporting requirements for Canadian private placement sales

National Instrument Insider Reporting Requirements and Exemptions

SCHEDULE A ACCREDITED INVESTOR STATUS CERTIFICATE

FORM 9. NOTICE OF PROPOSED ISSUANCE OF LISTED SECURITIES (or securities convertible or exchangeable into listed securities 1 )

NATIONAL INSTRUMENT RIGHTS OFFERINGS TABLE OF CONTENTS PART 1 DEFINITIONS, INTERPRETATION AND APPLICATION

NATIONAL INSTRUMENT REGISTRATION REQUIREMENTS AND EXEMPTIONS. Table of Contents

Chapter 5. Rules and Policies

National Instrument The Early Warning System and Related Take-Over Bid and Insider Reporting Issues. Table of Contents

Supplement to the OSC Bulletin

FORM 9. NOTICE OF PROPOSED ISSUANCE OF LISTED SECURITIES (or securities convertible or exchangeable into listed securities 1 )

Mutual Fund Dealers Association of Canada. Proposed Amendments to MFDA Rule 5.3 (Client Reporting) and MFDARule 2.8 (Client Communications)

The text boxes in this document are for explanatory purposes only and are not part of the Instrument or the Companion Policy.

How To Get A Tax Break On Pet Valu Canada

THE OFFERING MEMORANDUM UNDER ONTARIO SECURITIES LAW By: Daniel A. Coderre Soloway Wright LLP

The shaded text boxes in this document are for explanatory purposes only and are not part of National Instrument

MUTUAL FUND DEALERS ASSOCIATION OF CANADA PROPOSED AMENDMENTS TO MFDA RULE (SEGREGATION OF CLIENT PROPERTY CASH)

Discipline Notice GLOBAL SECURITIES CORPORATION. December 3, 2007 DN Suggested Routing Trading Legal and Compliance

FORM 9. NOTICE OF PROPOSED ISSUANCE OF LISTED SECURITIES (or securities convertible or exchangeable into listed securities 1 )

Search - 1 Result Financing

RE: Client Relationship Model Proposed Rules

Modernization of Investment Funds Final Amendments of Phase 2

A Basic Overview of Securities Regulation in British Columbia

MULTILATERAL INSTRUMENT PROFICIENCY REQUIREMENTS FOR REGISTRANTS HOLDING THEMSELVES OUT AS PROVIDING FINANCIAL PLANNING AND SIMILAR ADVICE

FORM 9. NOTICE OF PROPOSED ISSUANCE OF LISTED SECURITIES (or securities convertible or exchangeable into listed securities 1 )

Applicable Legislative Provisions Securities Act, R.S.N.S. 1989, c. 418, as amended, sections 31, 58 and 79. IN THE MATTER OF

QUARTERLY AND YEAR END REPORT BC FORM F (previously Form 61)

June 18, Dear Sirs/Mesdames:

CLIENT RELATIONSHIP DISCLOSURE STATEMENT

DOCUMENT CHECKLIST FUNDSERV BROKERS (INDIVIDUAL)

In the Matter of the Securities Legislation of British Columbia and Ontario (the Jurisdictions) and

Equity-Based Compensation for Canadian Employees

Filing Guide Toronto Stock Exchange, Q3 2010

FORM 7 MONTHLY PROGRESS REPORT. Name of Listed Issuer: Aydon Income Properties Inc. (the Issuer ).

HSBC Mutual Funds. Simplified Prospectus June 8, 2015

IN THE MATTER OF A DISCIPLINARY HEARING PURSUANT TO SECTIONS 20 AND 24 OF BY-LAW NO. 1 OF THE MUTUAL FUND DEALERS ASSOCIATION OF CANADA

HSBC Mutual Funds. Simplified Prospectus June 15, 2016

REGISTRATION FORM - DEALER FIRMS

Opening Your Retail Account

NATIONAL INSTRUMENT INVESTMENT FUND CONTINUOUS DISCLOSURE

National Policy Statement 29 Mutual Funds Investing in Mortgages SECTION III INVESTMENT POLICY SECTION IV DISCLOSURE

Proposed Remedies for Ontario CDNXCompliant updvals

SUMMARY OF KEY CAPITAL RAISING PROSPECTUS EXEMPTIONS IN ONTARIO

Exempt Market Dealers 101

POLICY 1.1 INTERPRETATION

PROVINCIAL/TERRITORIAL COUNCIL Of MINISTERS OF SECURITIES REGULATION (Council) ANNUAL PROGRESS REPORT January 2013 to December 2013

POLICY 5.1 LOANS, LOAN BONUSES, FINDER S FEES AND COMMISSIONS

Form 4 Start-up Crowdfunding Funding Portal Individual Information Form

Sprott Flow-Through Limited Partnerships. Sprott Tax-Assisted Investments

Notices / News Releases

FORM 7 MONTHLY PROGRESS REPORT

Investments at a glance

UNITED STATES SECURITIES AND EXCHANGE COMMISSION Washington, D.C FORM S-11

AND IN THE MATTER OF THE MUTUAL RELIANCE REVIEW SYSTEM FOR EXEMPTIVE RELIEF APPLICATIONS AND IN THE MATTER OF TD ASSET MANAGEMENT INC.

Form F3A. Personal Information Form and Authorization of Indirect Collection, Use and Disclosure of Personal Information

Canadian Securities Regulatory Requirements applicable to NonResident Broker-Dealers, Advisers. and Investment Fund Managers

CANADIAN SECURITIES ADMINISTRATORS STAFF NOTICE QUESTIONS ON INSIDER REPORTING

QUESTERRE ENERGY CORPORATION (the Corporation ) INSIDER TRADING AND REPORTING POLICY

INVESTORS RIGHTS. a Schedule III bank, meaning an authorized foreign bank named in Schedule III of the Bank Act (Canada);

Citation: Fidelity Investments Canada Limited and Pyramis Global Advisors, LLC, 2007 ABASC 76 Date:

GOING PUBLIC IN CANADA

FORM 9 NOTICE OF PROPOSED ISSUANCE OF LISTED SECURITIES

FOR IMMEDIATE RELEASE MAY 5, 2016 ARTIS RELEASES FIRST QUARTER RESULTS: FFO PAYOUT RATIO IMPROVES TO 71.1%

Comments on Proposed National Instrument General Prospectus Requirements.

AMENDMENT TO NATIONAL INSTRUMENT MUTUAL FUNDS. (1) National Instrument Mutual Funds is amended by this Instrument.

Corporate Finance and Mergers &

Gift Card Review. Public Consultation Paper & Survey

SUBSCRIPTION AGREEMENT (for use by registered dealers)

January Bonds. An introduction to bond basics

CROWDFUNDING 101 BY BRIAN KOSCAK

Gaming Policy and Enforcement Branch

HSBC Mutual Funds Annual Information Form

Annual Information Form dated May 12, 2016

Canadian Securities Regulatory Requirements applicable to Non- Resident Broker-Dealers, Advisers and Investment Fund Managers

RULE 1 INTERPRETATION AND EFFECT

Form F1 Calculation of Excess Working Capital. Firm Name. Capital Calculation (as at with comparative figures as at )

Sample Investment Management Agreement

Guideline 6A: Record Keeping and Client Identification for Life Insurance Companies, Brokers and Agents

TABLE OF CONTENTS PART 1 DEFINITIONS AND INTERPRETATION. 1.1 Definitions. 1.2 Interpretation PART 2 ELECTRONIC FILING REQUIREMENTS

Aston Hill Mutual Funds

Form F1 GREEN ARROW RESOURCES INC.

Headnote. Applicable Ontario Statutory Provisions. Securities Act, R.S.O. 1990, c.s.5, as am. s. 83.

4.0 Health Expenditure in the Provinces and Territories

SIMPLIFIED PROSPECTUS NOVEMBER 12, 2015

For plan years ending. September 30, Reports. Section. Instructions. within six OSFI 60

FORM 7 MONTHLY PROGRESS REPORT

Form F1 Calculation of Excess Working Capital. Firm Name. Capital Calculation (as at with comparative figures as at ) period

New Opportunities for Crowdfunding in Manitoba

Inca One Gold Corp. Insider Trading Policy

ScotiaFunds. Simplified Prospectus November 12, 2014

Please find following our comments on the above noted proposed amendments.

The Pinnacle Funds. Simplified Prospectus. December 11, 2009 Class A and Class F units and Class I units where noted. Money Market Fund.

Mining Initial Public Offering Guide. TSX s Global Leadership in Mining. Your lawyer. Your law firm. Your business advisor.

AND IN THE MATTER OF THE MUTUAL RELIANCE REVIEW SYSTEM FOR EXEMPTIVE RELIEF APPLICATIONS AND IN THE MATTER OF SNC-LAVALIN GROUP INC.

INSIDER TRADING POLICY SUPERIOR PLUS CORP.

arranges a mortgage in which another person is to be the lender; arranges the sale of a mortgage lender s interest in a mortgage to a new lender; or

Investment Account Application

2008 BCSECCOM 143. Applicable British Columbia Provisions National Instrument Mutual Fund Sales Practices, s. 5.4(1), 9.1

Careers in Sustainability. Current Job Trends and Future Growth

UNITED STATES SECURITIES AND EXCHANGE COMMISSION Washington, D.C FORM N-8B-4 REGISTRATION STATEMENT OF FACE-AMOUNT CERTIFICATE COMPANIES

Transcription:

Form 45-106F6 British Columbia Report of Exempt Distribution This is the form required under section 6.1 of National Instrument 45-106 for a report of exempt in British Columbia. Issuer/underwriter information Item 1: Issuer/underwriter name and contact information A. State the following: the full name of the issuer of the security distributed. Include the former name of the issuer if its name has changed since this report was last filed; the issuer s website address; and the address, telephone number and email address of the issuer s head office. Hudson Total Mandate Portfolio Fund MNP Tower, 3100 1021 West Hastings Street Vancouver, BC V6E 0C3 B. If an underwriter is completing this report, state the following: the full name of the underwriter; the underwriter s website address; and the address, telephone number and email address of the underwriter s head office. N/A Item 2: Reporting issuer status A. State whether the issuer is or is not a reporting issuer and, if reporting, each of the jurisdictions in which it is reporting. Not a reporting issuer B. If the issuer is an investment fund managed by an investment fund manager registered in a jurisdiction of Canada, name the investment fund manager and state the jurisdiction(s) where it is registered. Willoughby Asset Management Inc. British Columbia, Alberta, Saskatchewan, Manitoba, Ontario

Item 3: Issuer s industry Indicate the industry of the issuer by checking the appropriate box below. Bio-tech Mining Financial Services exploration/development investment companies and funds production mortgage investment companies securitized products issuers Forestry Hi-tech Industrial Oil and gas Real estate Utilities Other (describe) Item 4: Insiders and promoters of non-reporting issuers If the issuer is an investment fund managed by an investment fund manager registered in a jurisdiction of Canada, do not complete this table. If the issuer is not a reporting issuer in any jurisdiction of Canada, complete the following table by providing information about each insider and promoter of the issuer. If the insider or promoter is not an individual, complete the table for directors and officers of the insider or promoter. Full name, municipality and country of principal residence Information about insiders and promoters All positions held (e.g., director, officer, promoter and/or holder of more than 10% of voting securities) Number and type of securities of the issuer beneficially owned or, directly or indirectly controlled, on the date, including any securities purchased under the Total price paid for all securities beneficially owned or, directly or indirectly controlled, on the date, including any securities purchased under the Details of Item 5: Distribution date State the date. If this report is being filed for securities distributed on more than one date, state all dates. 2016/06/03

Item 6: Number and type of securities For each security distributed: describe the type of security; state the total number of securities distributed. If the security is convertible or exchangeable, describe the type of underlying security, the terms of exercise or conversion and any expiry date; and if the issuer is an investment fund managed by an investment fund manager registered in a jurisdiction of Canada, state the exemption(s) relied on. If more than one exemption is relied on, state the amount raised using each exemption. Mutual Fund Trust Units Class F 30,627.82 units Section 2.9 of NI 45-106 Item 7: Geographical information about purchasers Complete the following table for each Canadian and foreign jurisdiction where purchasers of the securities reside. Do not include in this table information about securities issued as payment of commissions or finder s fees disclosed under item 9 of this report. The information provided in this table must reconcile with the information provided in item 8 and Schedules I and II. Each Canadian and foreign jurisdiction where purchasers reside Number of purchasers Price per security 1 Total dollar value raised from purchasers in the jurisdiction British Columbia (Class F) 4 $ 10.0301 $ 307,200.00 Total number of Purchasers 4 Total dollar value of in all jurisdictions $ 307,200.00 Note 1: If securities are issued at different prices, list the highest and lowest price for which the securities were sold. Item 8: Information about purchasers Instructions A. If the issuer is an investment fund managed by an investment fund manager registered in a jurisdiction of Canada, do not complete this table.

B. Information about the purchasers of securities under the is required to be disclosed in different tables in this report. Complete the following table for each purchaser that is not an individual, and the tables in Schedules I and II of this report for each purchaser who is an individual. Do not include in the tables information about securities issued as payment of commissions or finder s fees disclosed under item 9 of this report. C. An issuer or underwriter completing this table in connection with a using the exemption in subparagraph 6.1(1)(j) [TSX Venture Exchange offering] of National Instrument 45-106 Prospectus Exemptions may choose to replace the information in the first column with the total number of purchasers, whether individuals or not, by jurisdiction. If the issuer or underwriter chooses to do so, then the issuer or underwriter is not required to complete the second column or the tables in Schedules I and II. Full name and address of purchaser and name and telephone number of a contact person Information about non-individual purchasers Indicate if the purchaser is an insider (I) of the issuer or a registrant (R) Number and type of securities purchased Total purchase price Exemption relied on Date of (yyyy-mm-dd) Commissions and finder s fees Item 9: Commissions and finder s fees Instructions A. Complete the following table by providing information for each person who has received or will receive compensation in connection with the (s). Compensation includes commissions, discounts or other fees or payments of a similar nature. Do not include information about payments for services incidental to the, such as clerical, printing, legal or accounting services. B. If the securities being issued as compensation are or include convertible securities, such as warrants or options, add a footnote describing the terms of the convertible securities, including the term and exercise price. Do not include the exercise price of any convertible security in the total dollar value of the compensation unless the securities have been converted.

Full name and address of the person being compensated Indicate if the person being compensated is an insider (I) of the issuer or a registrant (R) Cash Compensation paid or to be paid (cash and/or securities) Number and type of securities issued Securities Price per security Exemption relied on and date of (yyyy-mm-dd) Total dollar value of compensation

Certificate On behalf of the [issuer/underwriter], I certify that the statements made in this report are true. Date: June 10, 2016 Hudson Total Mandate Portfolio Fund Name of [issuer/underwriter] (please print) Maryann Delfin, Compliance Officer Print name, title and telephone number of person signing Maryann Delfin Signature Instruction The person certifying this report must complete the information in the square brackets by deleting the inapplicable word. For electronic filings, substitute a typewritten signature for a manual signature. Item 10: Contact information State the name, title and telephone number of the person who may be contacted with respect to any questions regarding the contents of this report, if different than the person signing the certificate. IT IS AN OFFENCE TO MAKE A MISREPRESENTATION IN THIS REPORT. Notice - Collection and use of personal information The British Columbia Securities Commission collects and uses the personal information required to be included in this report for the administration and enforcement of the Securities Act. If you have any questions about the collection and use of this information, contact the British Columbia Securities Commission at the following address: British Columbia Securities Commission P.O. Box 10142, Pacific Centre 701 West Georgia Street Vancouver, British Columbia V7Y 1L2 Telephone: (604) 899-6500 Toll free across Canada: 1-800-373-6393 Facsimile: (604) 899-6581