2023-06-09

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Policy Statement 12-202 Respecting Revocation of Certain Cease Trade Orders

The Canadian Securities Administrators issued Policy Statement 12-202 to provide guidance for issuers seeking full or partial revocation of cease trade orders resulting from continuous disclosure defaults. The document establishes strict criteria for revocation, requiring issuers to file all outstanding disclosure, pay outstanding fees, and hold annual meetings, while allowing for exceptions based on the age of information or issuer inactivity. It further details the application procedures and permissible transactions for partial revocations, such as private placements, to facilitate the issuer's return to compliance.

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Source: Autorite des marches financiers Quebec — original document · Summary generated with machine assistance and reviewed before publication; the authoritative text is the regulator's original document. How RegAlert works

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