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  1. Canada Cooperatives Regulations - SOR/99-256 (SCHEDULE 5)
    Canada Cooperatives Regulations

    [...]

    Take-over Bids

    Column 1 Column 2
    Item Jurisdiction Legislation
    1 Ontario

    the definition take-over bid in subsection 89(1) of the Securities Act, R.S.O. 1990, c. S.5, as amended from time to time

    2 Quebec

    the definition take-over bid in section 110 of the Securities Act, R.S.Q., c. V-1.1, as amended from time to time

    3 Nova Scotia

    the definition take-over bid in paragraph 95(c) of the Securities Act, R.S.N.S. 1989, c. 418, as amended from time to time

    3.1 New Brunswick

    the definition take-over bid in section 106 of the Securities Act, S.N.B. 2004, c. S-5.5, as amended from time to time

    4 Manitoba

    the definition take-over bid in section 80 of The Securities Act, C.C.S.M. c. S50, as amended from time to time

    5 British Columbia

    the definition take-over bid in subsection 92(1) of the Securities Act, R.S.B.C. 1996, c. 418, as amended from time to time

    6 Saskatchewan

    the definition take-over bid in paragraph 98(c) of The Securities Act, 1988, S.S. 1988-89, c. S-42.2, as amended from time to time

    7 Alberta

    the definition take-over bid in paragraph 158(c) of the Securities Act, R.S.A. 2000, c. S-4, as amended from time to time

    8 Newfoundland and Labrador

    the definition take-over bid in paragraph 90(c) of the Securities Act, R.S.N.L. 1990, c. S-13, as amended from time to time

    9 Yukon

    the definition take-over bid in section 196 of the Business Corporations Act, R.S.Y. 2002, c. 20, as amended from time to time

    10 Northwest Territories

    the definition take-over bid in section 196 of the Business Corporations Act, S.N.W.T. 1996, c. 19, as amended from time to time

    11 Nunavut

    the definition take-over bid in section 196 of the Business Corporations Act (Nunavut) S.N.W.T. 1996, c. 19, as amended from time to time

    [...]


  2. Canada Cooperatives Regulations - SOR/99-256 (SCHEDULE 5)
    Canada Cooperatives Regulations

    [...]

    Take-over Bids

    Column 1 Column 2
    Item Jurisdiction Legislation
    1 Ontario

    the definition take-over bid in subsection 89(1) of the Securities Act, R.S.O. 1990, c. S.5, as amended from time to time

    2 Quebec

    the definition take-over bid in section 110 of the Securities Act, CQRL c. V-1.1, as amended from time to time

    3 Nova Scotia

    the definition take-over bid in paragraph 95(c) of the Securities Act, R.S.N.S. 1989, c. 418, as amended from time to time

    3.1 New Brunswick

    the definition take-over bid in section 106 of the Securities Act, S.N.B. 2004, c. S-5.5, as amended from time to time

    4 Manitoba

    the definition take-over bid in section 80 of The Securities Act, C.C.S.M. c. S50, as amended from time to time

    5 British Columbia

    the definition take-over bid in subsection 92(1) of the Securities Act, R.S.B.C. 1996, c. 418, as amended from time to time

    6 Saskatchewan

    the definition take-over bid in paragraph 98(c) of The Securities Act, 1988, S.S. 1988-89, c. S-42.2, as amended from time to time

    7 Alberta

    the definition take-over bid in paragraph 158(c) of the Securities Act, R.S.A. 2000, c. S-4, as amended from time to time

    8 Newfoundland and Labrador

    the definition take-over bid in paragraph 90(c) of the Securities Act, R.S.N.L. 1990, c. S-13, as amended from time to time

    9 Yukon

    the definition take-over bid in section 196 of the Business Corporations Act, R.S.Y. 2002, c. 20, as amended from time to time

    10 Northwest Territories

    the definition take-over bid in section 196 of the Business Corporations Act, S.N.W.T. 1996, c. 19, as amended from time to time

    11 Nunavut

    the definition take-over bid in section 196 of the Business Corporations Act (Nunavut) S.N.W.T. 1996, c. 19, as amended from time to time

    [...]


  3. Canada Cooperatives Regulations - SOR/99-256 (SCHEDULE 4)
    Canada Cooperatives Regulations

    [...]

    Reporting Issuer

    Column 1 Column 2
    Item Jurisdiction Legislation
    1 Ontario

    the definition reporting issuer in subsection 1(1) of the Securities Act, R.S.O. 1990, c. S.5, as amended from time to time

    2 Quebec

    the definition reporting issuer in sections 5 and 68 of the Securities Act, CQLR, c. V-1.1, as amended from time to time

    3 Nova Scotia

    the definition reporting issuer in paragraph 2(1)(ao) of the Securities Act, R.S.N.S. 1989, c. 418, as amended from time to time

    3.1 New Brunswick

    the definition reporting issuer in subsection 1(1) of the Securities Act, S.N.B. 2004, c. S-5.5, as amended from time to time

    4 Manitoba

    the definition reporting issuer in subsection 1(1) of The Securities Act, C.C.S.M. c. S50, as amended from time to time

    5 British Columbia

    the definition reporting issuer in subsection 1(1) of the Securities Act, R.S.B.C. 1996, c. 418, as amended from time to time

    5.1 Prince Edward Island

    the definition reporting issuer in paragraph 1(1)(zz) of the Securities Act, R.S.P.E.I. 1988, c. S-3.1, as amended from time to time

    6 Saskatchewan

    the definition reporting issuer in paragraph 2(1)(qq) of The Securities Act, 1988, S.S. 1988-89, c. S-42.2, as amended from time to time

    7 Alberta

    the definition reporting issuer in paragraph 1(ccc) of the Securities Act, R.S.A. 2000, c. S-4, as amended from time to time

    8 Newfoundland and Labrador

    the definition reporting issuer in paragraph 2(1)(oo) of the Securities Act, R.S.N.L. 1990, c. S-13, as amended from time to time

    9 Yukon

    the definition reporting issuer in subsection 1(1) of the Securities Act, SY 2007, c. 16, as amended from time to time

    10 Northwest Territories

    the definition reporting issuer in subsection 1(1) of the Securities Act, S.N.W.T. 2008, c. 10, as amended from time to time

    11 Nunavut

    the definition reporting issuer in subsection 1(1) of the Securities Act, S.Nu. 2008, c. 12, as amended from time to time

    [...]


  4. Canada Cooperatives Regulations - SOR/99-256 (Section 46)
    Canada Cooperatives Regulations
    •  (1) For the purpose of subsection 131(1) of the Act, before a constrained share cooperative concludes that investment shares of the cooperative are owned contrary to a constraint referred to in paragraph (c) of the definition constraint in section 39 or the directors of the cooperative determine that investment shares of the cooperative may be owned contrary to the constraint, the cooperative shall send by registered mail a written notice in accordance with subsection (5) to the person shown in the securities register of the cooperative as the holder of the investment shares.

    • [...]

    • (3) For the purpose of subsection 131(1) of the Act, if a constrained share cooperative has sent a notice referred to in subsection (1) to a person shown in the securities register of the cooperative as the holder of investment shares, the cooperative shall, not less than 90 days but not more than 150 days after sending the notice, send to the person by registered mail a further written notice in accordance with subsection (6) respecting the investment shares that the cooperative intends to sell if

      [...]

    • [...]

    • (5) The notice referred to in subsection (1) shall contain

      • (a) the name and address of the holder of the investment shares as shown in the securities register of the cooperative;

      • [...]

      • (i) a statement indicating that the investment shares may only be sold on an exchange on which investment shares of the cooperative are listed and posted for trading or, if investment shares of the cooperative are not listed and posted for trading on an exchange, in such a way as to obtain the best sale price available in the circumstances at the time of sale;

      • [...]

      • (k) a statement indicating that, immediately on the sale of the investment shares under subsection 131(1) of the Act, the cooperative will

        • [...]

        • (ii) send a notice of the sale to the person shown in the securities register of the cooperative as the holder of the shares at the time of sale.

    • (6) The notice referred to in subsection (3) shall contain

      • (a) the name and address of the holder of the investment shares as shown in the securities register of the cooperative;

      • [...]

      • (d) a statement indicating that the cooperative has concluded that the investment shares are owned, or that the directors of the cooperative have determined that the investment shares may be owned, contrary to a constraint referred to in paragraph (c) of the definition constraint in section 39 and indicating the reason for the conclusion or determination, as the case may be;

      • [...]

      • (f) a statement indicating that if, before the sale, the cooperative changes its conclusion that the investment shares are owned, or the directors of the cooperative change their determination that the investment shares may be owned, contrary to a constraint referred to in paragraph (c) of the definition constraint in section 39 or there is a change in the reason for the conclusion or determination, the cooperative will send a notice in accordance with subsection 47(1) to the person shown in the securities register of the cooperative as the holder of the investment shares;

      • (g) a statement advising that, unless the person shown in the securities register of the cooperative as the holder of the investment shares receives a notice referred to in paragraph (f), that person and all other interested persons should not assume

        [...]

    • (7) The notice referred to in subsection (1) shall be accompanied by a request for information as to whether or not the investment shares are owned contrary to a constraint referred to in paragraph (c) of the definition constraint in section 39.

    [...]


  5. Canada Cooperatives Regulations - SOR/99-256 (SCHEDULE 4)
    Canada Cooperatives Regulations

    [...]

    Reporting Issuer

    Column 1 Column 2
    Item Jurisdiction Legislation
    1 Ontario

    the definition reporting issuer in subsection 1(1) of the Securities Act, R.S.O. 1990, c. S.5, as amended from time to time

    2 Quebec

    the definition reporting issuer in sections 5 and 68 of the Securities Act, R.S.Q., c. V-1.1, as amended from time to time

    3 Nova Scotia

    the definition reporting issuer in paragraph 2(1)(ao) of the Securities Act, R.S.N.S. 1989, c. 418, as amended from time to time

    3.1 New Brunswick

    the definition reporting issuer in subsection 1(1) of the Securities Act, S.N.B. 2004, c. S-5.5, as amended from time to time

    4 Manitoba

    the definition reporting issuer in subsection 1(1) of The Securities Act, C.C.S.M. c. S50, as amended from time to time

    5 British Columbia

    the definition reporting issuer in subsection 1(1) of the Securities Act, R.S.B.C. 1996, c. 418, as amended from time to time

    6 Saskatchewan

    the definition reporting issuer in paragraph 2(1)(qq) of The Securities Act, 1988, S.S. 1988-89, c. S-42.2, as amended from time to time

    7 Alberta

    the definition reporting issuer in paragraph 1(ccc) of the Securities Act, R.S.A. 2000, c. S-4, as amended from time to time

    8 Newfoundland and Labrador

    the definition reporting issuer in paragraph 2(1)(oo) of the Securities Act, R.S.N.L. 1990, c. S-13, as amended from time to time

    [...]



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