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Vol. 140, No. 36 September 9, 2006 Insider Reports (Trust and Loan Companies) RegulationsStatutory authority Trust and Loan Companies Act Sponsoring department Department of Finance REGULATORY IMPACT ANALYSIS STATEMENT For the Regulatory Impact Analysis Statement, see the Civil Remedies (Banks and Bank Holding Companies) Regulations. Notice is hereby given that the Governor in Council, pursuant to section 273 (see footnote 1) of the Trust and Loan Companies Act (see footnote 2), proposes to make the annexed Insider Reports (Trust and Loan Companies) Regulations. Interested persons may make representations with respect to the proposed Regulations within 30 days after the date of publication of this notice. All such representations must cite the Canada Gazette, Part I, and the date of this notice and be addressed to Mr. Gerry Salembier, Financial Sector Policy Branch, Department of Finance, L'Esplanade Laurier, 15th floor, East Tower, 140 O'Connor Street, Ottawa, Ontario K1A 0G5. Ottawa, August 25, 2006
MARY O'NEILL INSIDER REPORTS (TRUST AND LOAN COMPANIES) REGULATIONS INTERPRETATION 1. In these Regulations, "Act" means the Trust and Loan Companies Act. INSIDER REPORTS 2. (1) For the purpose of paragraph 273(a) of the Act, an insider means an insider as it is defined, for the purpose of insider reports, under any legislation set out in column 2 of the schedule. (2) For the purpose of paragraph 273(b) of the Act, the required form and content of an insider report are to be the form and content required for insider reports under any legislation set out in column 2 of the schedule. (3) For the purpose of paragraph 273(c) of the Act, the procedure for submission and publication of insider reports is to be the procedure required for the submission and publication of insider reports under any legislation set out in column 2 of the schedule. 3. An insider required to submit an insider report under any legislation set out in column 2 of the schedule is to comply with the requirements set out in that legislation. EXEMPTION 4. (1) A person that is subject to an exemption under any legislation set out in column 2 of the schedule, or an order of the relevant provincial securities regulator, that provides that the person is not an insider for the purposes of the applicable legislation, is not an insider for the purpose of subsection 2(1). (2) A person that is subject to an exemption from any or all insider reporting requirements under any legislation set out in column 2 of the schedule, or an order of the relevant provincial securities regulator, is also exempt from those requirements for the purposes of these Regulations. COMING INTO FORCE 5. These Regulations come into force on the day on which they are registered.
SCHEDULE PROVINCIAL LEGISLATION
[36-1-o] S.C. 2005, c. 54, s. 421 S.C. 1991, c. 45 |
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