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… connexes de la Loi.) 3 Congé de maladie Un employé a droit à un jour de congé de maladie pour chaque mois de … servir de motif de licenciement si l’employé en question a droit à des congés de maladie. (Se reporter au paragraphe … décès d’un membre de la famille de l’employé, ce dernier a droit à un congé de deuil non payé d’au plus une semaine, …
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… d’assurer une gestion spéciale de Ch’ihilii Chìk. Ce plan a été approuvé par le gouvernement des Gwitchin Vuntut et le …
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… Management Branch accepts applications to buy, lease and use public land. Administers Yukon government’s non-titled … territories, off shore land, and Indian reserves). One of a series of info sheets published by the Department of … www.gov.yk.ca Toll free: 1-800-661-0408 + extension (last 4 digits of desired number) ENERGY, MINES AND RESOURCES …
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… Find information about fentanyl in Yukon: how to talk to kids; how to spot an overdose; where to get a naloxone kit, and more. …
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… 9.1 Definitions - In this Part, “ATM prospectus” means (a) a base shelf prospectus for an at-the-market distribution, (b) a shelf prospectus supplement to a base shelf prospectus …
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… The securities regulatory authorities are of the view that a base shelf prospectus that is intended to qualify an at- … certain factors that are considered during the review of a base shelf prospectus, such as the sufficiency of proceeds, an issuer’s business or a recent reverse take-over of former shell companies. In …
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… amended by this Instrument. 2. Section 1.1 is amended by a. replacing “National Instrument 81-102” with “that … of “financial year”: “fund facts document” means a completed Form 81-101F3 Contents of Fund Facts Document;; … the following: 2.1 Filing of Disclosure Documents – (1) A mutual fund (a) that files a preliminary prospectus must …
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… by this Instrument. 2. Subsection 4.1(1) is amended (a) by adding the following after subparagraph (a)(vi): (vii) Marketing Materials – a copy of any template version of the marketing materials …
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… amended by this Instrument. 2. Section 1.1 is amended by (a) after the definition of “permitted supranational agency”, … issuer” with the following: ““successor issuer” means (a) except for an issuer which, in the case where the restructuring transaction involved a divestiture of a portion of a reporting issuer’s business, …
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… following definitions: “statutory right of action” means, (a) in Alberta, paragraph 206(a) of the Securities Act (Alberta), (b) in British Columbia, … Act (Yukon); “statutory right of withdrawal” means, (a) in Alberta, subsection 130(1) of the Securities Act …
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… out in this schedule. 2. Subsection 1.7(5) is changed by (a) replacing “The definition of “successor issuer” requires that the issuer exist “as a result of a restructuring transaction”.” with the following: “A …
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… the following: “designated rating” means the following: (a) for the purposes of paragraph 2.6(1)(c), a credit rating from a designated rating organization listed in this paragraph, …
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… after “resources” wherever it occurs. 4. Paragraphs 1.1(5)(a) and (b) are amended by replacing “August 1, 2007” with … out, in part, in the NI 51-101 Glossary. Subparagraph 5.2(a)(iii) of NI 51-101 requires that all estimates of reserves … 2009/07 Amendment effective in Yukon: December 30, 2010 2 A reporting issuer may supplement the annual disclosure …
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… is amended by this Instrument. 2. Section 1.1 is amended (a) by replacing the definition of “approved rating” with the following: “designated rating” means, for a security, a rating issued by a designated rating organization, or its …
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… Section 1.1 of National Instrument 81-106 is amended by (a) adding the following after the definition of “EVCC”: … to securityholders, of the investment fund, as at a specific date, determined in accordance with Part 14;; (c) … investment fund”: “publicly accountable enterprise” means a publicly accountable enterprise as defined in the …
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… Paragraph 1.1(i) is repealed. 6. Section 1.1 is amended (a) by adding the following paragraph after paragraph (n): … officer, and (ii) on behalf of the board of directors, by (A) any two directors of the reporting issuer, other than the … and by adding the following after subsection (1): (2) A reporting issuer that adopts the approach described in …
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… or other mechanisms of board renewal and, if so, include a description of those director term limits or other … Nunavut, Ontario, Québec, Saskatchewan and Yukon only) – (a) Disclose whether the issuer has adopted a written policy relating to the identification and …
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… has provisions on marketing after the announcement of a bought deal and before a receipt for a preliminary short form prospectus, NI 41-101 has general …
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… the financial statements referred to in paragraph 32.1(1)(a) of Form 41-101F1 Information Required in a Prospectus; “primary business statements” mean the … 32.1(1)(b) of Form 41-101F1 Information Required in a Prospectus;”. 3. Paragraph 2.1(2)(d) is amended by adding …
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… “4.2.1 Alternative Consent – (1) Despite subparagraph 4.2(a)(vii), if the expert whose consent is required is a “qualified person” as defined in NI 43-101, the issuer is … required to file the consent of the qualified person if (a) the qualified person’s consent is required in connection …
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… à un mouvement de défense des droits de la personne qui a pris racine lors des émeutes de Stonewall en 1969, et qui n’a cessé de se consolider depuis. Tâchons de nous souvenir des …
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… by this Instrument, if the investment fund complies with (a) in the case of a mutual fund to which National Instrument 81-101 Mutual Fund … case of an investment fund not referred to in paragraph (a), National Instrument 41- 101 General Prospectus …
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… with “National Instrument 81-102 Investment Funds”: (a) subsection 3.10(6); (b) paragraph 5.2(1)(a); (c) paragraph 5.2(1)(c). 3. Subsection 6.2(2) is amended (a) by replacing “mutual fund conflict of interest investment …