VANCOUVER, Sept. 18, 2015 /CNW/ -
TSX VENTURE COMPANIES
BULLETIN TYPE: Cease Trade Order
BULLETIN DATE: September 18, 2015
TSX Venture Company
A Cease Trade Order has been issued by the Ontario Securities Commission on September 18, 2015 against the following company for failing to file the documents indicated within the required time period:
Symbol |
Tier |
Company |
Failure to File |
Period |
|
Ending |
|||||
(Y/M/D) |
|||||
BFS |
BFS Entertainment & Multimedia Limited |
audited annual financial statements |
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for the year ended |
|||||
May 2, 2015 |
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management's discussion and |
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analysis relating to the audited |
|||||
annual financial statements for the |
|||||
year ended |
May 2, 2015 |
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certification of the foregoing filings |
|||||
as required by National Instrument |
|||||
52-109 Certificate of Disclosure in |
|||||
Issuers' Annual and Interim Filings |
Upon revocation of the Cease Trade Order, the Company's shares will remain suspended until the Company meets TSX Venture Exchange requirements. Members are prohibited from trading in the securities of the companies during the period of the suspension or until further notice.
________________________________________
BULLETIN TYPE: Cease Trade Order
BULLETIN DATE: September 18, 2015
TSX Venture Company
A Cease Trade Order has been issued by the Securities Commission on September 18, 2015 against the following company for failing to file the documents indicated within the required time period:
Symbol |
Tier |
Company |
Failure to File |
Period |
Ending |
||||
(Y/M/D) |
||||
BCO |
2 |
British Control Oil Fields Ltd. |
Resignation of British Controlled |
|
Oilfields Ltd ("BCO") custodian, |
||||
Banque Pictet & Cie SA ("Pictet"), |
||||
and portfolio manager, Veritas |
||||
Asset Management AG |
Upon revocation of the Cease Trade Order, the Company's shares will remain suspended until the Company meets TSX Venture Exchange requirements. Members are prohibited from trading in the securities of the companies during the period of the suspension or until further notice.
________________________________________
CHINA KELI ELECTRIC COMPANY LTD. ("ZKL")
BULLETIN TYPE: Reinstated for Trading
BULLETIN DATE: September 18, 2015
TSX Venture Tier 2 Company
Further to the TSX Venture Exchange Bulletin dated September 8, 2014, the Exchange has been advised that the Cease Trade Order issued by the British Columbia Securities Commission dated September 8, 2014 has been revoked.
Effective at the opening, Monday, September 21, 2015 trading will be reinstated in the securities of the Company.
_______________________________________
COMPASS GOLD CORPORATION ("CVB.H")
BULLETIN TYPE: Consolidation, No Symbol Change
BULLETIN DATE: September 18, 2015
NEX Company
Pursuant to a resolution passed by shareholders on May 29, 2015, the Company has consolidated its capital on a (40) forty old for (1) one new basis. The name of the Company has not been changed.
Effective at the opening on Monday, September 21, 2015, the common shares of Compass Gold Corporation will commence trading on TSX Venture Exchange on a consolidated basis. The Company is classified as a ''Precious and Base Metals Exploration" company.
Post - Consolidation |
||
Capitalization: |
Unlimited |
shares with no par value of which |
3,805,077 |
shares are issued and outstanding |
|
Escrow |
Nil |
shares |
Transfer Agent: |
Computershare Trust Company of Canada |
|
Trading Symbol: |
CVB.H (UNCHANGED) |
|
CUSIP Number: |
20451T306 (new) |
________________________________________
ECUADOR GOLD AND COPPER CORP. ("EGX")
BULLETIN TYPE: Shares for Debt
BULLETIN DATE: September 18, 2015
TSX Venture Tier 2 Company
TSX Venture Exchange has accepted for filing the Company's proposal to issue 4,748,912 shares to settle outstanding debt for $427,403.
Number of Creditors: |
10 Creditors |
||||
Insider / Pro Group Participation: |
|||||
Insider=Y / |
Amount |
Deemed Price |
|||
Creditor |
Progroup=P |
Owing |
per Share |
# of Shares |
|
Avonlea Ventures Inc. |
|||||
(Glenn Laing) |
Y |
$12,500 |
$0.09 |
138,888 |
The Company shall issue a news release when the shares are issued and the debt extinguished.
________________________________________
EUROTIN INC. ("TIN")
BULLETIN TYPE: Shares for Debt
BULLETIN DATE: September 18, 2015
TSX Venture Tier 2 Company
TSX Venture Exchange has accepted for filing the Company's proposal to issue 799,987 common shares to settle outstanding debt for $55,999.13.
Number of Creditors: |
1 Creditor |
For further information, please refer to the Company's news release dated September 18, 2015.
________________________________________
GREATBANKS RESOURCES LTD. ("GTB")
BULLETIN TYPE: Private Placement-Non-Brokered
BULLETIN DATE: September 18, 2015
TSX Venture Tier 2 Company
TSX Venture Exchange has accepted for filing documentation with respect to a Non-Brokered Private Placement announced June 30, 2015:
Number of Shares: |
6,866,200 shares |
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Purchase Price: |
$0.05 per share |
||
Warrants: |
6,866,200 share purchase warrants to purchase 6,866,200 shares |
||
Warrant Exercise Price: |
$0.08 for a three year period |
||
Number of Placees: |
11 Placees |
||
Insider / Pro Group Participation: |
|||
Insider=Y / |
|||
Name |
ProGroup=P |
# of Shares |
|
Jeffrey Stevens |
Y |
1,040,000 |
|
Ronnie D. Doman |
Y |
1,040,000 |
|
Westridge Management |
Y |
1,250,000 |
|
International Limited |
|||
(Andrew Male) |
|||
Douglas Hurst |
Y |
200,000 |
|
Finder's Fee: |
An aggregate of $800 in cash and 16,000 finders' warrants payable to Canaccord Genuity Corp. Each finder's warrant entitles the holder to acquire one common share at $0.05 for a one year period. |
Note that in certain circumstances the Exchange may later extend the expiry date of the warrants, if they are less than the maximum permitted term.
For further details, please refer to the Company's news release dated July 14, 2015.
________________________________________
GREAT QUEST FERTILIZER LTD. ("GQ")
BULLETIN TYPE: Private Placement-Non-Brokered
BULLETIN DATE: September 18, 2015
TSX Venture Tier 2 Company
TSX Venture Exchange has accepted for filing documentation with respect to a Non-Brokered Private Placement announced September 08, 2015:
Number of Shares: |
682,000 shares |
|||
Purchase Price: |
$0.30 per share |
|||
Warrants: |
682,000 share purchase warrants to purchase 682,000 shares |
|||
Warrant Initial Exercise Price: |
$0.50 |
|||
Warrant Term to Expiry: |
Other |
|||
Number of Placees: |
3 Placees |
|||
Insider / Pro Group Participation: |
||||
Insider=Y / |
# of Shares |
|||
Name |
Pro-Group=P |
35,000 |
||
Aggregate Pro-Group Involvement |
[ 1 Placee] |
P |
The Company issued a news release on September 17, 2015 confirming closing of the private placement. Note that in certain circumstances the Exchange may later extend the expiry date of the warrants, if they are less than the maximum permitted term.
The above information is a summary only. Neither TMX Group Limited nor any of its affiliated companies guarantee the accuracy or completeness of the information contained in this document. Readers should consult the issuer's continuous disclosure record for complete details of the transaction.
________________________________________
HUDSON RESOURCES INC. ("HUD")
BULLETIN TYPE: Private Placement-Non-Brokered
BULLETIN DATE: September 18, 2015
TSX Venture Tier 2 Company
TSX Venture Exchange has accepted for filing documentation with respect to the second and final tranche of a Non-Brokered Private Placement announced August 7, 2015:
Number of Shares: |
754,600 shares |
Purchase Price: |
$0.50 per share |
Warrants: |
377,300 share purchase warrants to purchase 377,300 shares |
Warrant Exercise Price: |
$0.75 for a three year period |
Number of Placees: |
11 Placees |
Finder's Fee: |
$18,138 payable to Industrial Alliance Securities |
The Company issued a news release on September 17, 2015 confirming closing of the private placement. Note that in certain circumstances the Exchange may later extend the expiry date of the warrants, if they are less than the maximum permitted term.
________________________________________
INVICTUS FINANCIAL INC. ("IVF.H")
BULLETIN TYPE: Resume Trading
BULLETIN DATE: September 18, 2015
NEX Company
Further to the Exchange bulletin dated September 14, 2015 and the Company's press release dated September 16, 2015, effective at the open on Monday, September 21, 2015 the shares of the Company will resume trading the Company having met Exchange Requirements.
________________________________________
LED MEDICAL DIAGNOSTICS INC. ("LMD")
BULLETIN TYPE: Resume Trading
BULLETIN DATE: September 17, 2015
TSX Venture Tier 2 Company
Effective at 12:15 p.m., PST, September 17, 2015, shares of the Company resumed trading, an announcement having been made.
________________________________________
REX MINERALS INC. ("REX")
BULLETIN TYPE: Private Placement-Non-Brokered
BULLETIN DATE: September 18, 2015
TSX Venture Tier 2 Company
TSX Venture Exchange has accepted for filing documentation with respect to a Non-Brokered Private Placement:
Number of Shares: |
1,400,000 shares |
Purchase Price: |
$0.25 per share |
Number of Placees: |
1 Placee |
________________________________________
PACIFIC BOOKER MINERALS INC. ("BKM")
BULLETIN TYPE: Private Placement-Non-Brokered
BULLETIN DATE: September 18, 2015
TSX Venture Tier 2 Company
TSX Venture Exchange has accepted for filing documentation with respect to a Non-Brokered Private Placement announced July 24, 2015:
Number of Shares: |
277,800 shares |
Purchase Price: |
$2.00 per share |
Warrants: |
138,900 share purchase warrants to purchase 138,900 shares |
Warrant Initial Exercise Price: |
$2.50 |
Warrant Term to Expiry: |
2 Years |
Number of Placees: |
17 Placees |
Note that in certain circumstances the Exchange may later extend the expiry date of the warrants, if they are less than the maximum permitted term.
The above information is a summary only. Neither TMX Group Limited nor any of its affiliated companies guarantee the accuracy or completeness of the information contained in this document. Readers should consult the issuer's continuous disclosure record for complete details of the transaction.
________________________________________
PARK LAWN CORPORATION ("PLC")
BULLETIN TYPE: Declaration of Dividend
BULLETIN DATE: September 17, 2015
TSX Venture Tier 1 Company
The Issuer has declared the following dividend:
Dividend per Common Share: |
$0.038 |
Payable Date: |
October 15, 2015 |
Record Date: |
September 30, 2015 |
Ex-dividend Date: |
September 28, 2015 |
________________________________________
SAGE GOLD INC. ("SGX")
BULLETIN TYPE: Shares for Debt
BULLETIN DATE: September 18, 2015
TSX Venture Tier 2 Company
TSX Venture Exchange has accepted for filing the Company's proposal to issue 3,393,260 common shares to settle outstanding debt for $169,663.
Number of Creditors: |
17 Creditors |
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Insider / Pro Group Participation: |
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Insider=Y / |
Amount |
Deemed Price |
|||
Creditor |
Progroup=P |
Owing |
per Share |
# of Shares |
|
P.J Mars Investments Ltd. |
Y |
$5,000 |
$0.05 |
100,000 |
|
C.N. Lees Investments Ltd. |
Y |
$10,000 |
$0.05 |
200,000 |
|
Peter Freeman |
Y |
$5,000 |
$0.05 |
100,000 |
|
William Love |
Y |
$2,500 |
$0.05 |
50,000 |
|
Gary Robertson |
Y |
$5,000 |
$0.05 |
100,000 |
For further details, please refer the to Company's news release dated September 18, 2015.
________________________________________
TSX Venture Exchange|
SMARTCOOL SYSTEMS INC. ("SSC")
BULLETIN TYPE: Private Placement-Non-Brokered, Amendment
BULLETIN DATE: September 18, 2015
TSX Venture Tier 2 Company
Further to the bulletins dated March 2, 2010, March 24, 2010, May 21, 2010 and June 28, 2013, TSX Venture Exchange has accepted amendments to a Non-Brokered Private Placement of debentures:
Non-Convertible Debentures: |
$247,282 |
Maturity date: |
March 31, 2016 |
Redemption: |
50% of principal due on September 30, 2015 |
Warrants: |
247,282 warrants, each exercisable for one share at a price of $0.06 per share until March 31, 2016. |
Interest rate: |
12% per annum payable monthly on the outstanding principal only |
Number of Debentureholders: |
13 debentureholders |
______________________________________
STARLIGHT U.S. MULTI-FAMILY CORE FUND ("UMF.A") ("UMF.U")
BULLETIN TYPE: Notice of Distribution
BULLETIN DATE: September 17, 2015
TSX Venture Tier 1 Company
The Issuer has declared the following distributions:
Distribution per ClA: |
CDN$0.05833 |
Distribution per ClU: |
US$0.05833 |
Payable Date: |
October 15, 2015 |
Record Date: |
September 30, 2015 |
Ex-distribution Date: |
September 28, 2015 |
________________________________________
STARLIGHT U.S. MULTI-FAMILY (NO. 2) CORE FUND ("SUD.A")("SUD.U")
BULLETIN TYPE: Notice of Distribution
BULLETIN DATE: September 17, 2015
TSX Venture Tier 1 Company
The Issuer has declared the following distributions:
Distribution per ClA: |
CDN$0.05833 |
Distribution per ClU: |
US$0.05833 |
Payable Date: |
October 15, 2015 |
Record Date: |
September 30, 2015 |
Ex-distribution Date: |
September 28, 2015 |
________________________________________
TIMBERLINE RESOURCES CORPORATION ("TBR")
BULLETIN TYPE: Private Placement-Non-Brokered
BULLETIN DATE: September 18, 2015
TSX Venture Tier 2 Company
TSX Venture Exchange has accepted for filing documentation with respect to a Non-Brokered Private Placement announced September 15, 2015:
Number of Shares: |
1,331,861 shares |
Purchase Price: |
$0.49 per share |
Number of Placees: |
1 Placee |
Pursuant to Corporate Finance Policy 4.1, Section 1.11(d), the Company must issue a news release announcing the closing of the private placement and setting out the expiry dates of the hold period(s). The Company must also issue a news release if the private placement does not close promptly.
________________________________________
TRANSEASTERN POWER TRUST ("TEP.UN")
BULLETIN TYPE: Shares for Debt
BULLETIN DATE: September 18, 2015
TSX Venture Tier 2 Company
TSX Venture Exchange has accepted for filing the Company's proposal to issue 75,000 trust units to settle outstanding debt for $75,000.
Number of Creditors: |
3 Creditors |
|||
Insider / Pro Group Participation: |
||||
Insider=Y / |
Amount |
Deemed Price |
# of Units |
|
Creditor |
Progroup=P |
Owing |
per Unit |
|
John Huxley |
Y |
$30,000 |
$1.00 |
30,000 |
Joel Strickland |
Y |
$25,000 |
$1.00 |
25,000 |
For further details, please refer to the Company's news release August 31, 2015.
________________________________________
BULLETIN TYPE: Sustaining Fees – Delist,Correction
BULLETIN DATE: September 18, 2015
TSX Venture Tier 2 Companies
Effective at the close of business Monday, September 21, 2015, and in accordance with Exchange Policy 2.9, the following companies' securities will be delisted from TSX Venture Exchange, for failure to pay their Annual Sustaining Fees.
TYPE DE BULLETIN: Droit de maintien de l'inscription – radiation de la cote
DATE DE BULLETIN: le 18 Septembre 2015
Société du groupe 2 de TSX Croissance
En vigueur à la fermeture des affaires le lundi, 21 Septembre, 2015, les titres des sociétés suivantes seront radiés de la cote de Bourse de croissance TSX, en vertu de la Politique 2.9, en raison du défaut de payer leurs droits annuels de maintien de l'inscription.
Symbol/Symbole |
Company Name/ Nom de la Société |
RED |
Redwater Energy Corp. |
PLL |
Palladon Ventures Ltd. |
LQD (LQD.WT) |
Liquid Nutrition Group Inc. |
CYG |
Cygam Energy Inc. |
________________________________________
SOURCE TSX Venture Exchange
Market Information Services at 1-888-873-8392, or email: [email protected]
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