The Alberta Gazette

Part I

Vol. 100 Edmonton, Monday, March 15, 2004 No. 5

RESIGNATIONS AND RETIREMENTS

(Justice of the Peace Act)

Resignation of Justice of the Peace

January 8, 2004 Smith, Melanie Gayle

January 12, 2004 Friesen, Geraldine

ORDERS IN COUNCIL

O.C. 3/2004

(Municipal Government Act)

Approved and ordered: Lois E. Hole Lieutenant Governor. February 4, 2004

The Lieutenant Governor in Council orders that

(a) effective January 1, 2004, the land described in Appendix A and shown on the sketch in Appendix B is separated from the County of Grande Prairie No. 1 and annexed to the Village of Hythe,

(b) any taxes owing to the County of Grande Prairie No. 1 at the end of December 31, 2003 in respect of the annexed land are transferred to and become payable to the Village of Hythe together with any lawful penalties and costs levied in respect of those taxes, and the Village of Hythe upon collecting those taxes, penalties and costs must pay them to the County of Grande Prairie No. 1, and

(c) the assessor for the Village of Hythe must assess, for the purposes of taxation in 2004, the annexed land and the assessable improvements to it,

and makes the order in Appendix C. Ralph Klein, Chair. THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

APPENDIX A

DETAILED DESCRIPTION OF THE LANDS SEPARATED FROM THE COUNTY OF GRANDE PRAIRIE NO. 1 AND ANNEXED TO THE VILLAGE OF HYTHE

ALL THAT PORTION OF THE SOUTHEAST QUARTER OF SECTION THIRTEEN (13), TOWNSHIP SEVENTY-THREE (73), RANGE ELEVEN (11), WEST OF THE SIXTH MERIDIAN, WHICH LIES GENERALLY EAST OF ROAD PLAN 3171 JY AND NORTH OF ROAD PLAN 782 3535, INCLUDING SUBDIVISION PLAN 032 4925, BUT EXCLUDING ROAD PLAN 4093 BM.

ALL THAT PORTION OF THE NORTHEAST QUARTER OF SECTION THIRTEEN (13), TOWNSHIP SEVENTY-THREE (73), RANGE ELEVEN (11), WEST OF THE SIXTH MERIDIAN, WHICH LIES GENERALLY EAST OF THE EXISTING VILLAGE BOUNDARY, INCLUDING SUBDIVISION PLANS 872 2786 AND 012 0240, BUT EXCLUDING ROAD PLAN 2839 MC.

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APPENDIX B

A SKETCH SHOWING THE GENERAL LOCATION OF THE AREA ANNEXED TO THE VILLAGE OF HYTHE

LEGEND Area Annexed from the County of Grande Prairie No. 1 to the Village of Hythe

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APPENDIX C

ORDER

1 In this Order, “annexed land” means the land described in Appendix A and shown on the sketch in Appendix B.

2 For taxation purposes in 2004 and subsequent years up to and including 2023, the annexed land and the assessable improvements to it

(a) must be assessed by the Village of Hythe on the same basis as if they had remained in the County of Grande Prairie No. 1, and

(b) must be taxed by the Village of Hythe in respect of each assessment class that applies to the annexed land and the assessable improvements to it using the tax rate established by the County of Grande Prairie No. 1.

3 Where, in any taxation year, a portion of the annexed land

(a) becomes a new parcel of land created as a result of subdivision or separation of title by registered plan of subdivision or by instrument or any other method that occurs at the request of, or on behalf of, the landowner,

(b) becomes a residual portion of 3 acres or less after a new parcel referred to in clause (a) has been created,

(c) is redesignated at the request of, or on behalf of the landowner under the Village of Hythe’s Land Use Bylaw to another designation,

(d) is provided with water and sewer services by the Village of Hythe pursuant to a local improvement tax bylaw at the request of, or on behalf of the landowner, or

(e) is connected to water and sewer services provided by the Village of Hythe section 2 ceases to apply at the end of that taxation year in respect of that portion of the annexed land and the assessable improvements to it.

4 After section 2 ceases to apply to a portion of the annexed land in a taxation year, that portion of the annexed land and the assessable improvements to it must be assessed and taxed for the purposes of property taxes in that year in the same manner as other property of the same assessment class in the Village of Hythe is assessed and taxed.

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GOVERNMENT NOTICES

Agriculture, Food and Rural Development

Form 15

(Irrigation Districts Act)

(Section 88)

Notice to Irrigation Secretariat:

Change of Area of an Irrigation District

On behalf of the Lethbridge Northern Irrigation District, I hereby request that the Irrigation Secretariat forward a certified copy of this notice to the Registrar of Land Titles for the purposes of registration under section 22 of the Land Titles Act and arrange for notice to be published in The Alberta Gazette.

The following parcels of land should be REMOVED from the irrigation district and the notation removed from the certificate of title:

LINC Number Short Legal Description Title Number as shown on Title

0029 704 830 9810149;3 021 446 266 +24

I certify the procedures required under Part 4 of the Irrigation Districts Act have been completed and the area of the Lethbridge Northern Irrigation District should be changed according to the above list.

Laurie Hodge, Office Manager, Irrigation Secretariat.

Community Development

Notice of Intention to Designate A Provincial Historic Resource

(Historical Resources Act)

File No. Des. 255

Notice is hereby given that 60 days from the date of service of this Notice and its publication in Alberta Gazette, the Minister of Community Development intends to make an Order that the building known as the: Canadian Pacific Railway Station, together with the land legally described as:

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PLAN I BLOCK L

And municipally located at 8101 – 103 Street, Edmonton, Alberta be designated as a PROVINCIAL HISTORIC RESOURCE under Section 20 of the Historical Resources Act, R.S.A. 2000 cH-9.

The reasons for the designation are as follows: The Canadian Pacific Railway (CPR) Station at Strathcona reflects the importance of the railway to the basic patterns of rural and urban development in Alberta. Constructed in 1907, the station in Strathcona replaced the original depot at the northern terminus of the and Edmonton Railway (C&ER) and reflected the CPR’s ongoing commitment to developing Strathcona as the dominant terminal point in Northern Alberta. The station was built at a time of substantial local growth and optimism. Subsequent commitments by the Canadian Northern Railway and Trunk Pacific Railway to build terminal facilities in Edmonton, across the North Saskatchewan River, led to the eventual amalgamation of Strathcona with its larger rival, however, the Strathcona Station still serves as a visible reminder of the patterns of local development.

Architecturally, the station is a substantial and well-executed example of early twentieth century principles in railway station design. It is notable for its broad hip roofs, deep bracketed eaves, strong chateauesque silhouette, and a high quality stone, brick and timber detailing. Much of its original character has been retained despite ongoing refurbishment and modification.

In terms of its broader urban context, the station is recognized by the CPR as a key element of its image within the local community. It is an integral component of Edmonton’s most significant heritage district, Old Strathcona, and is surrounded by buildings of similar scale and vintage.

It is therefore considered that the preservation and protection of the resource is in the public interest.

Dated February 11, 2004.

Mark Rasmussen, Assistant Deputy Minister. ______

File No. Des. 396

Notice is hereby given that 60 days from the date of service of this Notice and its publication in Alberta Gazette, the Minister of Community Development intends to make an Order that the building known as the:

E.P. Ranch, together with the land legally described as:

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MERIDIAN 5, RANGE 3, TOWNSHIP 17 SECTION 1 QUARTER NORTH EAST CONTAINING 64.7 HECTARES (160 ACRES) MORE OR LESS EXCEPTING THEREOUT: PLAN NUMBER HECTARES ACRES MORE OR LESS ROADWAY 112EZ 0.178 0.44 EXCEPTING THEREOUT ALL MINES AND MINERALS

And municipally located in the Municipal District of Foothills, near High River, Alberta be designated as a PROVINCIAL HISTORIC RESOURCE under Section 20 of the Historical Resources Act, R.S.A. 2000 cH-9.

The reasons for the designation are as follows:

The historical significance of the E.P. Ranch lies in its direct association with King Edward VIII, who, in various guises, owned it from 1919 to 1962. In 1919, Edward, then the Prince of Wales, purchased the ranch from its original owner, Frank Bedingfeld, who had originally settled there in 1886. At the time, Edward stated that he wanted to have a permanent home in western Canada, “a place that I can come sometimes and live for a while. To this end, I have purchased a small ranch in southern Alberta and I shall look forward to developing it and making it my own.” Edward did not own other properties outside of Great Britain, and, although it is not evident that he provided direct input into the daily operations of the ranch, the property and its buildings were handsomely upgraded during the 1920s, when it became known as the E.P. (Edward Prince) Ranch. Edward, himself, visited the ranch in 1923 and 1924, during his Canadian tours in which he travelled under the alias Lord Renfrew. He also visited it briefly in 1927, when he was invited to celebrate Canada’s Diamond Jubilee. During the early 1930s, the Ranch experienced some financial difficulties, and, just before his abdication in December 1936, Edward attempted unsuccessfully to sell it. His next visits occurred in 1941 and 1955, when, as Duke of Windsor, he was accompanied by his wife, the Duchess. All the while, the operation of the ranch was under the management of a Board of Directors, who reported directly to Edward. Finally, upon Edward’s death in 1962, the E.P. Ranch was sold.

The site of the E.P. Ranch has been a working ranch in full year operation since the mid-1880s. The historic ranch complex is still extant and retains many of the main buildings that were present during Edward’s ownership of the site. These include: the portion of the ranch house constructed by the Prince of Wales, one of the original settlers cabins with a wood frame extension (known as the chicken house), a log shed structure, an implement and utility shed, a wood frame horse barn structure, a log bull barn and wood frame structure, a wood frame shed, a wood frame manager’s house and a one and one-half storey log residential structure. Many of the landscape features such as the approach lane with alley, the original access roadway and river crossing, remnants of the formal gardens with fencing, hedging, and axial walkway, remnant of the woodland walks and plantings adjacent to the creek, remnants of the kitchen and coarse vegetable gardens, and remnants of irrigated fields and irrigation works remain. The natural valley setting of the ranch site and its significant view sheds

- 589 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004 remain largely intact. The integrity of the site, for the period that it was owned by Edwards, is very high.

It is therefore considered that the preservation and protection of the resource is in the public interest.

Dated February 10, 2004.

Mark Rasmussen, Assistant Deputy Minister.

Government Services

Vital Statistics

Certificate of Change of Personal Name

(Change of Name Act)

All Notice of Change of Personal Names for 2004 can be viewed in print versions of the Alberta Gazette or on QP Source Professional.

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All Notice of Change of Personal Names for 2004 can be viewed in print versions of the Alberta Gazette or on QP Source Professional.

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All Notice of Change of Personal Names for 2004 can be viewed in print versions of the Alberta Gazette or on QP Source Professional.

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All Notice of Change of Personal Names for 2004 can be viewed in print versions of the Alberta Gazette or on QP Source Professional.

Safety Codes Council

Municipal Accreditation

(Safety Codes Act)

Pursuant to section 26 of the Safety Codes Act, it is hereby ordered that

- Town of Two Hills, Accreditation No. M000186, Order No. O00001489, February 2, 2004

Having satisfied the terms and conditions of the Safety Codes Council is authorized to administer the Safety Codes Act within their jurisdiction for Building. All parts of the Alberta Building Code, excluding any or all things, processes or activities owned by or under the care and control of Corporations accredited by the Safety Codes Council. ______

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Pursuant to section 26 of the Safety Codes Act, it is hereby ordered that

- Town of Two Hills, Accreditation No. M000186, Order No. O00001492, February 2, 2004 - Town of Stavely, Accreditation No. M000413, Order No. O00001495, February 4, 2004

Having satisfied the terms and conditions of the Safety Codes Council is authorized to administer the Safety Codes Act within their jurisdiction for Gas. All parts of the Canadian Gas Association, Propane and Natural Gas Codes, Alberta Amendments and Regulations, excluding propane and natural gas highway vehicle conversions, excluding any or all things, processes or activities owned by or under the care and control of Corporations accredited by the Safety Codes Council. ______

Pursuant to section 26 of the Safety Codes Act, it is hereby ordered that

- Town of Two Hills, Accreditation No. M000186, Order No. O00001492, February 2, 2004 - Town of Stavely, Accreditation No. M000413, Order No. O00001495, February 4, 2004

Having satisfied the terms and conditions of the Safety Codes Council is authorized to administer the Safety Codes Act within their jurisdiction for Electrical. Excluding any or all things, processes or activities owned by or under the care and control of Corporations accredited by the Safety Codes Council. ______

Pursuant to section 26 of the Safety Codes Act, it is hereby ordered that

- Town of Two Hills, Accreditation No. M000186, Order No. O00001492, February 2, 2004 - Town of Stavely, Accreditation No. M000413, Order No. O00001495, February 4, 2004

Having satisfied the terms and conditions of the Safety Codes Council is authorized to administer the Safety Codes Act within their jurisdiction for Plumbing. All parts of the Canadian Plumbing Code, Alberta Amendments and Regulations, including private sewage treatment and disposal systems, excluding any or all things, processes or activities owned by or under the care and control of Corporations accredited by the Safety Codes Council.

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Alberta Securities Commission

AMENDMENTS TO ASC RULE 45-508 Interim Amendments to Certain Appendices to Multilateral Instrument 45-102 Resale of Securities

(Securities Act)

Made as an amendment rule by the Alberta Securities Commission on December 10, 2003 pursuant to sections 223 and 224 of the Securities Act.

AMENDMENT TO ALBERTA SECURITIES COMMISSION RULES REPEAL OF ASC RULE 45-508

1. Amendments

Alberta Securities Commission Rule 45-508 Interim Amendments to Certain Appendices to Multilateral Instrument 45-102 Resale of Securities is repealed.

2. Effective Date

This rule is repealed effective March 30, 2004. ______

AMENDMENTS TO ASC RULES (GENERAL)

(Securities Act)

Made as an amendment rule by the Alberta Securities Commission on December 10, 2003 pursuant to sections 223 and 224 of the Securities Act.

ALBERTA SECURITIES COMMISSION RULES (GENERAL) AMENDMENT RULE

1. The Alberta Securities Commission Rules (General) are amended by this Rule.

2. Subsection 6(2) is amended by adding "and National Instrument 52-107 Acceptable Accounting Principles, Auditing Standards and Reporting Currency" after "section 110".

3. Section 144 is amended:

(a) in subsections (1), (2) and (5), by striking out “these Rules” and substituting “the Rules” wherever it occurs:

(b) by repealing subsection 144(3), and

(c) in subsection (5), by striking out "sections 101, 118, 148 and 153(3) of".

4. Section 145 is repealed.

5. This Rule comes into force on March 30, 2004. ______- 595 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

AMENDMENTS TO MULTILATERAL INSTRUMENT 45-103 Capital Raising Exemptions, Form 45-103F1 Offering Memorandum for Non-Qualifying Issuers, Form 45-103F2 Offering Memorandum for Qualifying Issuers and Form 45-103F4 Report of Exempt Distribution

(Securities Act)

Made as an amendment rule by the Alberta Securities Commission on December 10, 2003 pursuant to sections 223 and 224 of the Securities Act.

AMENDMENT TO MULTILATERAL INSTRUMENT 45-103 CAPITAL RAISING EXEMPTIONS

PART 1 AMENDMENTS

1.1. Amendments

(1) Multilateral Instrument 45-103 Capital Raising Exemptions is amended by this Instrument.

(2) Section 1.1 is amended by

(a) adding the following after the definition of “accredited investor”:

“AIF” has the meaning ascribed to that term under NI 51-102;

“CPC instrument” means a rule or regulation of a jurisdiction of Canada or a rule, regulation or policy of an exchange in Canada that applies only to capital pool companies;

(b) adding “, Newfoundland and Labrador” after “Nunavut” in the definition of “control person”;

(c) adding the following after the definition of “fully managed account”:

“MD&A” has the meaning ascribed to that term under NI 51-102;

(d) adding the following after the definition of “MI 45-102”:

“NI 51-102” means National Instrument 51-102 Continuous Disclosure Obligations;

(e) moving the definition of “non-redeemable investment fund” to before “private issuer”;

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(f) repealing the definition of “non-redeemable investment fund” and substituting the following:

“non-redeemable investment fund” means an issuer (a) where contributions of security holders are pooled for investment, (b) where security holders do not have day-to-day control over the management and investment decisions of the issuer, whether or not they have the right to be consulted or to give directions, and (c) whose securities do not entitle the security holder to receive on demand, or within a specified period after demand, an amount computed by reference to the value of a proportionate interest in the whole or in part of the net assets of the issuer;

(g) repealing the definition of “qualifying issuer” and substituting the following:

“qualifying issuer” means an issuer that (a) is a reporting issuer in a jurisdiction, (b) is an electronic filer under National Instrument 13-101 System for Electronic Document Analysis and Retrieval (SEDAR), (c) has filed all documents that it is required to file under NI 51- 102, National Instrument 43-101 Standards of Disclosure for Mineral Projects and National Instrument 51-101 Standards of Disclosure for Oil and Gas Activities, (d) if not a venture issuer, has filed in a jurisdiction (i) a prospectus (other than a prospectus filed under a CPC instrument) but, since becoming a reporting issuer, has not yet filed or been required to file an AIF or annual financial statements under NI 51-102, or (ii) an AIF, MD&A and annual financial statements under NI 51-102, and (e) if a venture issuer (i) has filed in a jurisdiction a prospectus, other than a prospectus filed under a CPC instrument, but since becoming a reporting issuer has not yet filed, or been required to file, annual financial statements under NI 51- 102, (ii) has filed in a jurisdiction an information circular or filing statement in respect of a qualifying transaction for a capital pool company under a CPC instrument, but has not, subsequently filed, or been required to file, annual financial statements under NI 51-102, or (iii) has filed in a jurisdiction (A) MD&A and annual financial statements under NI 51- 102, and (B) an AIF in the form required by Form 51-102F2 with copies of all material incorporated by reference in the AIF and not previously filed;

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(h) by adding the following after the definition of “reporting issuer”:

“venture issuer” has the meaning ascribed to that term in NI 51-102.

(3) Section 4.1 is amended:

(a) in subsections (1) and (2), by striking out “British Columbia and Nova Scotia” and substituting “British Columbia, Nova Scotia, and Newfoundland and Labrador”, and

(b) in subsections (3) and (4), by striking out “Newfoundland and Labrador”.

(4) Subsection 6.4(1) is amended

(a) in paragraph (a), by striking out “listed in Appendix B of MI 45-102” and substituting “of Canada”,

(b) by striking out paragraph (b) and substituting “if the issuer was not a reporting issuer in any jurisdiction of Canada at the time the security was acquired, the security has been held for at least 12 months”,

(c) by striking out paragraph (c) and substituting “the issuer of the security subsequently has filed a prospectus with the securities regulatory authority in Manitoba with respect to the security and has obtained a receipt for that prospectus, or”, and

(d) in paragraph (d) by

(i) striking out “prospectus and”, and

(ii) adding after “dealer registration requirements” “, and in the case of a trade that would be subject to the prospectus requirement, is made under an exemption from the prospectus requirements”.

(5) The following is added after Part 9:

PART 10 TRANSITIONAL PERIOD

10.1 Transitional period

(1) In this Part, “original MI 45-102” means Multilateral Instrument 45-102 Resale of Securities as it existed immediately before its repeal on March 30, 2004. (2) Despite the definition of qualifying issuer in section 1.1 of this instrument, an issuer that was a qualifying issuer as that term was defined in original MI 45-102 on March 29, 2004 will be considered to be a qualifying issuer under this instrument until

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(a) in the case of a venture issuer, the date following March 29, 2004 on which it first files or is required to file under NI 51-102, whichever is earlier, MD&A and annual financial statements, and (b) in the case of an issuer other than a venture issuer, the date following March 29, 2004 that it first files or is required to file an AIF, MD&A and annual financial statements under NI 51-102.

PART 2 EFFECTIVE DATE

2.1 Effective Date

This Instrument comes into force on March 30, 2004.

AMENDMENT TO FORM 45-103F1 OFFERING MEMORANDUM FOR NON-QUALIFYING ISSUERS, FORM 45-103F2 OFFERING MEMORANDUM FOR QUALITYING ISSUERS AND FORM 45-103F4 REPORT OF EXEMPT DISTRIBUTION

PART 1 AMENDMENTS TO FORM 45-103F1 OFFERING MEMORANDUM FOR NON-QUALIFYING ISSUERS

1.1. Amendments to Form 45-103F1 Offering Memorandum for Non- Qualifying Issuers

(1) Form 45-103F1 Offering Memorandum for Non-Qualifying Issuers is amended by this Part of this Instrument.

(2) The face page is amended by striking out the words “12 months” from the phrase “You will be restricted from selling your securities for 4 months/12 months/an indefinite period.” under the subheading “Resale restrictions”.

(3) Item 10.2 is repealed and the following is substituted:

Restricted Period - For trades in Alberta, British Columbia, Newfoundland and Labrador, Northwest Territories, Nova Scotia, Nunavut, Prince Edward Island and Saskatchewan, state one of the following as applicable:

(a) If the issuer is not a reporting issuer in a jurisdiction at the distribution date state:

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“Unless permitted under securities legislation, you cannot trade the securities before the date that is four months and a day after the date [insert name of issuer or other term used to refer to the issuer] becomes a reporting issuer in any province or territory of Canada.”

(b) If the issuer is a reporting issuer in a jurisdiction at the distribution date state:

“Unless permitted under securities legislation, you cannot trade the securities before the date that is four months and a day after the distribution date.”

(4) Item 10.3 is amended by

(a) striking out “listed in Appendix A of MI 45-102” in the preamble, and

(b) adding “Unless permitted under securities legislation,” before “You must not trade the securities”.

(5) Item B.1 is repealed and the following substituted

All financial statements included in the offering memorandum must comply with National Instrument 52-107 Acceptable Accounting Principles, Auditing Standards and Reporting Currency (NI 52-107), regardless of whether the issuer is a reporting issuer or not.

(6) Paragraph B.4(c) is amended by (a) striking out “3, 6 or 9 month interim period that” and substituting “interim period ending 9, 6, or 3 months before the end of the issuer’s financial year, if that interim period” and (b) striking out “the financial statements” and substituting “any financial statements”.

(7) Item B.6 is repealed and the following substituted:

If the issuer has changed its year end, refer to National Instrument 51-102 Continuous Disclosure Obligations (NI 51-102) for guidance concerning interim periods in a transition year. To satisfy B.4(c) in a transition year, provide financial statements for the most recently completed interim period that ended more than 60 days before the date of the offering memorandum and ended after the date of any financial statements required under B.4(a).

(8) Item B.8 is amended by (a) striking out “Canadian generally accepted auditing standards (Canadian GAAS) and the” and substituting “the requirements of NI 52-107. The”, and (b) adding at the end of the item “Refer to National Instrument 52-108 Auditor Oversight for requirements for auditors of reporting issuers.”

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(9) Item B.9 is amended by striking out “Each page of any” and substituting “All”.

(10) Item B.11 is repealed and the following substituted:

The offering memorandum does not have to be updated to include interim financial statements for periods completed after the date 60 days prior to the date of the offering memorandum unless it is necessary to do so to prevent the offering memorandum from containing a misrepresentation.

(11) Item C.1 is amended by adding “specified in C.4” before “for the business”.

(12) Item C.2 is amended by striking out “50” and substituting “40” wherever it occurs.

(13) Paragraph C.2(b) is amended by adding “, excluding any investments in or advances to the business,” before “as at the end of”.

(14) Item C.5 is amended by striking out “Canadian GAAS and the” and substituting “the requirements of Part 6 of NI 52-107. The”.

(15) Item C.8 is amended by adding “as defined in NI 51-102” after “reverse take-over”.

(16) The following is added after item C.8:

9. An issuer is exempt from the requirements in C.4 if the issuer includes in the offering memorandum the financial statements required in a business acquisition report under NI 51-102.

(17) Item D.2 is amended by (a) adding “Notwithstanding the requirements in section 3.2(2)1 of NI 52-107,” before “an audit report” and (b) adding “of a non-reporting issuer “ after “offering memorandum”.

(18) Items D.3 and D.4 are repealed.

(19) Item D.6 is amended by (a) adding “or the reporting issuer does not have access to those financial statements,” to the end of paragraph (a), and (b) repealing paragraph (d) and substituting the following:

the offering memorandum contains alternative disclosure for the property which includes (i) an operating statement (which must be accompanied by an audit report if it is prepared as an alternative to audited annual financial statements) presenting for the business, at a minimum, the following line items:

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(A) gross revenue, (B) royalty expenses, (C) production costs, and (D) operating income, (ii) information with respect to the estimated reserves and related future net revenue attributable to the business, the material assumptions used in preparing the estimates and the identity and relationship to the issuer or to the seller of the person who prepared the estimates, and other relevant information regarding the property, (iii) actual production volumes of the property for the most recently completed year, and (iv) estimated production volumes of the property for the next year, based on information in the reserve report.

PART 2 AMENDMENTS TO FORM 45-103F2 OFFERING MEMORANDUM FOR QUALIFYING ISSUERS

2.1. Amendments to Form 45-103F2 Offering Memorandum for Qualifying Issuers

(1) Form 45-103F2 Offering Memorandum for Qualifying Issuers is amended by this Part of this Instrument.

(2) Instruction A.1 is amended by striking out the words “as defined in Multilateral Instrument 45-102 Resale of Securities (MI 45-102)”.

(3) Instruction B.1 is repealed and the following is substituted:

Any financial statements incorporated by reference into the offering memorandum must comply with National Instrument 51-102 Continuous Disclosure Obligations and National Instrument 52-107 Acceptable Accounting Principles, Auditing Standards and Reporting Currency.

(4) Instruction C.1 is repealed and the following is substituted:

If the offering memorandum does not incorporate by reference the issuer's AIF, prospectus, MD&A, information circular or filing statement (as listed in the definition of qualifying issuer) that the issuer is relying on to meet the definition of qualifying issuer, update the offering memorandum to incorporate by reference the document as soon as the document is filed on SEDAR.

(5) Section 2.2 of Instruction D is amended by

(a) repealing paragraph (a) and substituting the following:

the issuer's AIF, prospectus, information circular or filing statement (as listed in the definition of qualifying issuer) that the issuer is relying on to meet the definition of qualifying issuer

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(b) striking out “for the annual comparative financial statements referred to in 2.2.(d) in paragraph (f) and substituting “as required under NI 51-102”,

(c) repealing paragraph (g) and substituting the following:

each business acquisition report required to be filed under NI 51-102,

(d) adding “ as defined in National Instrument 43-101 Standards of Disclosure for Mineral Projects,” after “mineral project,” in paragraph (i)

(e) repealing paragraph (j) and substituting the following:

if the issuer has oil and gas activities, as defined in National Instrument 51-101 Standards of Disclosure for Oil and Gas Activities, all documents that it is required to file under NI 51-101 after the commencement of the issuer’s current financial year.

PART 3 AMENDMENT TO FORM 45-103F4 REPORT OF EXEMPT DISTRIBUTION

3.1 Amendment to Form 45-103F4 Report of Exempt Distribution

(1) Form 45-103F4 Report of Exempt Distribution is amended by this Part of this Instrument.

(2) Section 1 Issuer Information is amended by: (a) striking out “If this report is filed by a vendor, other than the issuer, also state the full name and address of the vendor”; and (b) substituting with “Also state the full name and address of the vendor, if this report is filed (a) by a vendor who is not the issuer, and (b) in connection with an exemption other than those contained in MI 45- 103”.

PART 4 EFFECTIVE DATE

4.1 Effective Date

This Instrument comes into force on March 30, 2004. ______

AMENDMENTS TO NATIONAL INSTRUMENT 13-101 System for Electronic Document Analysis and Retrieval (SEDAR)

(Securities Act)

Made as an amendment rule by the Alberta Securities Commission on December 10, 2003 pursuant to sections 223 and 224 of the Securities Act.

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NATIONAL INSTRUMENT 13-101 SYSTEM FOR ELECTRONIC DOCUMENT ANALYSIS AND RETRIEVAL (SEDAR)

PART 1 AMENDMENTS TO NATIONAL INSTRUMENT 13-101

1.1 Amendments - Appendix A to National Instrument 13-101 System for Electronic Document Analysis and Retrieval (SEDAR) is amended by

(a) under Other Issuers - Continuous Disclosure,

(i) deleting item 15 Annual Information Form,

(ii) deleting item 16 Amended Annual Information Form (SHAIF System),

(iii) deleting item 17 Notice (SHAIF),

(iv) substituting the following item:

15. Form 1 (Resale Rule)

PART 2 EFFECTIVE DATE

2.1 Effective Date - These Amendments are effective March 30, 2004. ______

AMENDMENTS TO NATIONAL INSTRUMENT 44-101 Short Form Prospectus Distributions, and Form 44-101F3 Short Form Prospectus, and Revocation of Form 44-101F1 and 44-101F2

(Securities Act)

Made as an amendment rule by the Alberta Securities Commission on December 10, 2003 pursuant to sections 223 and 224 of the Securities Act.

AMENDMENTS TO NATIONAL INSTRUMENT 44-101 SHORT FORM PROSPECTUS DISTRIBUTIONS AND FORM 44-101F3 AND REVOCATION OF FORM 44-101F1 AND FORM 44-101F2

PART 1 AMENDMENTS TO NATIONAL INSTRUMENT 44-101

1.1 Amendments to Part 1 of NI 44-101 - Part 1 of National Instrument 44-101 is amended by,

(a) in section 1.1, repealing the definition of “AIF” and substituting the following:

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“AIF” means an annual information form

(a) in Form 51-102F2,

(b) in Form 51-102F2 or Form 44-101F1, if the annual information form was filed in respect of financial years beginning before January 1, 2004, or

(c) in the form referred to in section 3.4;

(b) in the definition of “current AIF” in section 1.1, adding “, Form 10- KSB,” after the words “Form 10-K”, wherever they appear;

(c) in section 1.1, adding immediately after the definition of “foreign GAAS” and immediately before the definition of “44-101 regulator” the following:

“Form 51-102F1” means Form 51-102F1 Management’s Discussion and Analysis;

“Form 51-102F2” means Form 51-102F2 Annual Information Form;

(d) in section 1.1, repealing the definition of “MD&A” and substituting the following:

“MD&A” means the management’s discussion and analysis of financial condition and results of operations of an issuer

(a) in Form 51-102F1, or

(b) for financial years beginning before January 1, 2004,

(i) in Form 51-102F1, or

(ii) required to be disclosed in an AIF in respect of financial years beginning before January 1, 2004;

(e) in section 1.1, adding immediately after the definition of “MRRS” and immediately before the definition of “non-convertible” the following:

“NI 51-102” means National Instrument 51-102 Continuous Disclosure Obligations;

1.2 Amendments to Part 3 of NI 44-101 - Part 3 of National Instrument 44-101 is amended by

(a) repealing subsection 3.1(1) and substituting the following:

(1) An issuer filing an initial AIF under this Instrument shall file the AIF

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(a) in Form 51-102F2;

(b) in respect of financial years beginning before January 1, 2004, in Form 51-102F2 or Form 44-101F1; or

(c) in the form referred to in section 3.4.

(b) repealing subsection 3.2(1) and substituting the following:

(1) An issuer filing a renewal AIF under this Instrument shall file the AIF

(a) in Form 51-102F2;

(b) in respect of financial years beginning before January 1, 2004, in Form 51-102F2 or Form 44-101F1; or

(c) in the form referred to in section 3.4.

(c) repealing subsection 3.2(5) and substituting the following:

(5) Upon receipt of a notice from the 44-101 regulator that its renewal AIF is being reviewed, an issuer shall promptly file the renewal AIF again, in all jurisdictions in which the renewal AIF was filed, with

(a) the following statement added in bold type to the cover page of the renewal AIF, if the renewal AIF is in Form 51-102F2, until the issuer is notified that the review has been completed:

“This annual information form is currently under review by the provincial and territorial securities regulatory authorities of one or more jurisdictions. Information contained in this form is subject to change.”, or

(b) the statement required under Item 1.2 of Form 44-101F1, if the renewal AIF is in Form 44-101F1.

(d) repealing subsection 3.3(2) and substituting the following:

(2) An issuer that files an AIF under this Instrument shall file an undertaking with the regulator to the effect that, when the securities of the issuer are in the course of a distribution under a preliminary short form prospectus or a short form prospectus, the issuer will provide to any person or company, upon request to the secretary of the issuer,

(a) one copy of the AIF of the issuer, together with one copy of any document, or the pertinent pages of any document, incorporated by reference in the AIF,

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(b) one copy of the financial statements of the issuer for its most recently completed financial year for which financial statements have been filed together with the accompanying report of the auditor and one copy of the most recent interim financial statements of the issuer that have been filed, if any, for any period after the end of its most recently completed financial year,

(c) one copy of the information circular of the issuer in respect of its most recent annual meeting of shareholders that involved the election of directors, and

(d) one copy of any other documents that are incorporated by reference into the preliminary short form prospectus or the short form prospectus and are not required to be provided under paragraphs (a), (b) or (c).

(e) repealing section 3.4 and substituting the following:

3.4 Alternative Forms of AIF - An issuer that

(a) has a class of securities registered under section 12 of the 1934 Act or is required to file reports under section 15(d) of the 1934 Act, and

(b) is not registered or required to be registered as an investment company under the Investment Company Act of 1940 of the United States of America,

may file an AIF in the form of an annual report or transition report under the 1934 Act on Form 10-K, Form 10-KSB or on Form 20-F.

Part 2 Revocation of Forms 44-101F1 AIF and 44-101F2 MD&A

2.1 Revocation of Form 44-101F1 AIF – Form 44-101F1 AIF is revoked.

2.2 Revocation of Form 44-101F2 MD&A – Form 44-101F2 MD&A is revoked.

Part 3 Amendments to Form 44-101F3 Short Form Prospectus

3.1 Item 10 of Form 44-101F3 Short Form Prospectus is repealed and the following substituted:

Item 10: Resource Property 10.1 Resource Property – If a material part of the proceeds of a distribution is to be expended on a particular resource property and if the current AIF does not contain the disclosure required under Item 4.3 or 4.4, as appropriate, of Form 44-101F1, or section 5.4 or 5.5, as appropriate, of Form 51-102F2, for the property or that disclosure is inadequate or incorrect due to changes, disclose the information required under section 5.4 or 5.5 of Form 51-102F2.

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3.2 Item 12 of Form 44-101F3 Short Form Prospectus is amended by

(a) striking subparagraph 12.1(1)7. and substituting the following:

7. MD&A relating to the issuer’s interim financial statements included in the short form prospectus.

(b) in subparagraph 12.1(1)8., adding the words “for financial years beginning before January 1, 2004,” after the words “information circulars or,”;

(c) striking subparagraph 12.1(3)(a) and substituting the following

(a) has filed an AIF in a form of current annual report on Form 10-K, Form 10-KSB or Form 20-F under the 1934 Act, as permitted under section 3.4 of National Instrument 44-101 and under NI 51-102.

(d) in subparagraph 12.2 4., adding the words “for financial years beginning before January 1, 2004,” after the words “information circulars or,”; and

(e) in clause 13.1(2)(b)(ii), striking the words “Form 10-K or Form 20-F” and substituting “Form 10-K, Form 10-KSB or Form 20-F”.

Part 4 Effective Date

4.1 Effective Date

(1) This Amendment, except for Part 2, comes into force on March 30, 2004.

(2) Part 2 of this Amendment comes into force on May 19, 2005. ______

AMENDMENTS TO NATIONAL INSTRUMENT 62-101 Control Block Distribution Issues

(Securities Act)

Made as a rule by the Alberta Securities Commission on December 10, 2003 pursuant to sections 223 and 224 of the Securities Act.

NATIONAL INSTRUMENT 62-101 CONTROL BLOCK DISTRIBUTION ISSUES

PART 1 AMENDMENTS TO NATIONAL INSTRUMENT 62-101 1.1 Amendments - National Instrument 62-101 Control Block Distribution Issues is amended by

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(a) amending section 1.1 by deleting the definition of information circular requirement;

(b) amending section 2.1 by deleting the words “and in Quebec only, the information circular requirement,” in subsection (1);

(c) deleting section 2.2 Pledgees;

(d) amending Appendix A to strike the reference to Quebec and Policy Statement Q-12 Secondary Distribution through Solicitations under the Securities Act (Quebec);

(e) deleting Appendix B; and

(f) deleting Appendix C.

PART 2 EFFECTIVE DATE

2.1 Effective Date – These Amendments are effective March 30, 2004. ______

AMENDMENTS TO NATIONAL INSTRUMENT 62-102 Disclosure of Outstanding Share Data

(Securities Act)

Made as a rule by the Alberta Securities Commission on December 10, 2003 pursuant to sections 223 and 224 of the Securities Act.

AMENDMENT TO AND REVOCATION OF NATIONAL INSTRUMENT 62-102 DISCLOSURE OF OUTSTANDING SHARE DATA

PART 1 AMENDMENT TO NATIONAL INSTRUMENT 62-102

1.1 Amendment to Part 3 of National Instrument 62-102 – Part 3 of National Instrument 62-102 is amended by adding the following as section 3.2:

3.2 Exemption for years beginning January 1, 2004 – This Instrument does not apply to financial years beginning on or after January 1, 2004.

PART 2 REVOCATION OF NATIONAL INSTRUMENT 62-102

2.1 Revocation of National Instrument 62-102 – National Instrument 62-102 is revoked.

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PART 3 EFFECTIVE DATE

3.1 Effective Date

(1) This Amendment, except for Part 2, comes into force on March 30, 2004.

(2) Part 2 comes into force on May 19, 2005. ______

AMENDMENTS TO NATIONAL INSTRUMENT 62-103 The Early Warning System and Related Take-Over Bid and Insider Reporting Issues

(Securities Act)

Made as a rule by the Alberta Securities Commission on December 10, 2003 pursuant to sections 223 and 224 of the Securities Act.

AMENDMENT TO NATIONAL INSTRUMENT 62-103 THE EARLY WARNING SYSTEM AND RELATED TAKE-OVER BID AND INSIDER REPORTING ISSUES

PART 1 AMENDMENT TO NATIONAL INSTRUMENT 62-103

1.1 Amendment to Part 1 of National Instrument 62-103 – Subsection 1.1(1) of National Instrument 62-103 is amended by repealing paragraph (g) of the definition of “applicable provisions”.

1.2 Amendment to Part 2 of National Instrument 62-103 – Subsection 2.1(1) of National Instrument 62-103 is amended by adding the words “or section 5.4 of National Instrument 51-102 Continuous Disclosure Obligations,” after “section 2.1 of National Instrument 62-102 Disclosure of Outstanding Share Data”.

PART 2 EFFECTIVE DATE

2.1 Effective Date – This Amendment comes into force on March 30, 2004. ______

AMENDMENTS TO NATIONAL INSTRUMENT 72-501 Distribution to Purchases Outside of Alberta

(Securities Act)

Made as a rule by the Alberta Securities Commission on December 10, 2003 pursuant to sections 223 and 224 of the Securities Act.

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ASC RULE 72-501 DISTRIBUTIONS TO PURCHASERS OUTSIDE OF ALBERTA

PART 1 AMENDMENT TO ALBERTA SECURITIES COMMISSION RULE 72-501

1.1 Amendment - Section 3.2 of Alberta Securities Commission Rule 72-501 Distributions to Purchasers Outside Alberta is amended by striking “section 2.5(2) or (3)” and substituting “section 2.5”.

PART 2 EFFECTIVE DATE

2.1 Effective Date - This amendment is effective March 30. 2004. ______

MULTILATERAL INSTRUMENT 45-102 Resale of Securities

(Securities Act)

Made as a rule by the Alberta Securities Commission on December 10, 2003 pursuant to sections 223 and 224 of the Securities Act.

MULTILATERAL INSTRUMENT 45-102 RESALE OF SECURITIES

TABLE OF CONTENTS

PART TITLE

PART 1 DEFINITIONS 1.1 Definitions

PART 2 FIRST TRADE 2.1 Application 2.2 Removal of Resale Provisions 2.3 Section 2.5 Applies 2.4 Section 2.6 Applies 2.5 Restricted Period 2.6 Seasoning Period 2.7 Exemption for a Trade if the Issuer Becomes a Reporting Issuer After the Distribution Date 2.8 Exemption for a Trade by a Control Person 2.9 Determining Time Periods 2.10 Exemption for a Trade in an Underlying Security if the Convertible Security, Exchangeable Security or Multiple Convertible Security is Qualified by a Prospectus 2.11 Exemption for a Trade in a Security Acquired in a Take-over Bid or Issuer Bid

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2.12 Exemption for a Trade in an Underlying Security if the Convertible Security, Exchangeable Security or Multiple Convertible Security is Qualified by a Securities Exchange Take-over Bid Circular or Issuer Bid Circular 2.13 Trades by Underwriters 2.14 First Trades in Securities of a Non-Reporting Issuer Distributed under a Prospectus Exemption

PART 3 EXEMPTION 3.1 Exemption

PART 4 EFFECTIVE DATE 4.1 Effective Date

APPENDIX A APPENDIX B APPENDIX C APPENDIX D APPENDIX E APPENDIX F FORM 45-102F1

MULTILATERAL INSTRUMENT 45-102 RESALE OF SECURITIES

PART 1 DEFINITIONS

1.1 Definitions - In this Instrument

"control distribution" means a trade described in the provisions of securities legislation listed in Appendix A;

"convertible security" means a security of an issuer that is convertible into, or carries the right of the holder to purchase or otherwise acquire, or of the issuer to cause the purchase or acquisition of, a security of the same issuer;

"distribution date" means

(a) in respect of a trade that is not a control distribution, the date the security that is the subject of the trade was distributed in reliance on an exemption from the prospectus requirement by the issuer or, in the case of a control distribution, by the selling security holder,

(b) in respect of a trade that is a control distribution, the date the security that is the subject of the trade was acquired by the selling security holder,

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(c) in respect of a trade of an underlying security that is not a control distribution, the date the convertible security, exchangeable security or multiple convertible security that, directly or indirectly, entitled or required the holder to acquire the underlying security was distributed in reliance on an exemption from the prospectus requirement by the issuer or, in the case of a control distribution, by the selling security holder, or

(d) in respect of a trade of an underlying security that is a control distribution, the date the convertible security, exchangeable security or multiple convertible security that, directly or indirectly, entitled or required the holder to acquire the underlying security was acquired by the selling security holder;

"exchangeable security" means a security of an issuer that is exchangeable for, or carries the right of the holder to purchase or otherwise acquire, or of the issuer to cause the purchase or acquisition of, a security of another issuer;

"former MI 45-102" means Multilateral Instrument 45-102 Resale of Securities that came into force on November 30, 2001;

“MI 45-102” or “this Instrument” means Multilateral Instrument 45-102 Resale of Securities that came into force on March 30, 2004;

“MI 45-103” means Multilateral Instrument 45-103 Capital Raising Exemptions;

“MI 45-105” means Multilateral Instrument 45-105 Trades to Employees, Senior Officers, Directors, and Consultants;

"multiple convertible security" means a security of an issuer that is convertible into, or exchangeable for, or carries the right of the holder to purchase or otherwise acquire, or of the issuer to cause the purchase or acquisition of, a convertible security, an exchangeable security or another multiple convertible security;

"private company" has the meaning ascribed to that term in securities legislation;

"private issuer" has the meaning ascribed to that term in securities legislation except in Ontario where "private issuer" means a person that

(a) is not a reporting issuer or a mutual fund,

(b) is an issuer all of whose issued and outstanding shares

(i) are subject to restrictions on transfer contained in the constating documents of the issuer or one or more agreements among the issuer and the holders of its securities; and

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(ii) are beneficially owned, directly or indirectly, by not more than 50 persons or companies, counting any two or more joint registered holders as one beneficial owner, exclusive of persons

(A) that are employed by the issuer or an affiliated entity of the issuer, or

(B) that beneficially owned, directly or indirectly, shares of the issuer while employed by it or an affiliated entity of it and at all times since ceasing to be so employed have continued to beneficially own, directly or indirectly, at least one share of the issuer, and

(c) has not distributed any securities to the public;

"SEDAR" has the meaning ascribed to that term in National Instrument 13-101 System for Electronic Document Analysis and Retrieval (SEDAR); and

"underlying security" means a security issued or transferred, or to be issued or transferred, in accordance with the terms of a convertible security, an exchangeable security or a multiple convertible security.

PART 2 FIRST TRADES

2.1 Application - In Manitoba, New Brunswick and the Yukon Territory, sections 2.2 to 2.7 and 2.10 to 2.14 do not apply.

2.2 Removal of Resale Provisions - In Newfoundland and Labrador, Nova Scotia and Ontario, the provisions in securities legislation listed in Appendix C, respectively, do not apply.

2.3 Section 2.5 Applies - If a security was distributed under any of the provisions listed in Appendix D, the first trade of that security is subject to section 2.5.

2.4 Section 2.6 Applies - If a security was distributed under any of the provisions listed in Appendix E, the first trade of that security is subject to section 2.6.

2.5 Restricted Period

(1) Unless the conditions in subsection (2) are satisfied, a trade that is specified by section 2.3 or other securities legislation to be subject to this section is a distribution.

(2) Subject to subsection (3), for the purposes of subsection (1) the conditions are:

1. The issuer is and has been a reporting issuer in a jurisdiction of Canada for the four months immediately preceding the trade.

2. At least four months have elapsed from the distribution date.

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3. If the distribution date is on or after March 30, 2004 and

(a) the issuer is a reporting issuer on the distribution date, the certificate representing the security carries a legend, or an ownership statement issued under a direct registration system or other electronic book-entry system acceptable to the regulator bears a legend restriction notation, stating:

"Unless permitted under securities legislation, the holder of this security must not trade the security before [insert the date that is 4 months and a day after the distribution date]."

or

(b) the issuer is not a reporting issuer on the distribution date, the certificate representing the security carries a legend, or an ownership statement issued under a direct registration system or other electronic book-entry system acceptable to the regulator bears a legend restriction notation, stating:

"Unless permitted under securities legislation, the holder of this security must not trade the security before the date that is 4 months and a day after the later of (i) [insert the distribution date], and (ii) the date the issuer became a reporting issuer in any province or territory."

4. The trade is not a control distribution.

5. No unusual effort is made to prepare the market or to create a demand for the security that is the subject of the trade.

6. No extraordinary commission or consideration is paid to a person or company in respect of the trade.

7. If the selling security holder is an insider or officer of the issuer, the selling security holder has no reasonable grounds to believe that the issuer is in default of securities legislation.

(3) Item 3.(a) of subsection (2) does not apply to a trade of an underlying security if the certificate representing the underlying security or the ownership statement issued under a direct registration book-entry system or other electronic system acceptable to the regulator, is issued at least four months after the distribution date.

2.6 Seasoning Period

(1) Unless the conditions in subsection (3) are satisfied, a trade that is specified by section 2.4 or other securities legislation to be subject to this section is a distribution.

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(2) The first trade of securities issued by a private company or private issuer made after the issuer has ceased to be a private company or private issuer is a distribution unless the conditions in subsection (3) are satisfied.

(3) For the purposes of subsections (1) and (2), the conditions are:

1. The issuer is and has been a reporting issuer in a jurisdiction of Canada for the four months immediately preceding the trade.

2. The trade is not a control distribution.

3. No unusual effort is made to prepare the market or to create a demand for the security that is the subject of the trade.

4. No extraordinary commission or consideration is paid to a person or company in respect of the trade.

5. If the selling security holder is an insider or officer of the issuer, the selling security holder has no reasonable grounds to believe that the issuer is in default of securities legislation.

2.7 Exemption for a Trade if the Issuer Becomes a Reporting Issuer After the Distribution Date

(1) Item 1. of subsection 2.5(2) does not apply if the issuer became a reporting issuer after the distribution date by filing a prospectus in a jurisdiction listed in Appendix B and is a reporting issuer in a jurisdiction of Canada at the time of the trade.

(2) Item 1. of subsection 2.6(3) does not apply if the issuer became a reporting issuer after the distribution date by filing a prospectus in a jurisdiction listed in Appendix B and is a reporting issuer in a jurisdiction of Canada at the time of the trade.

(3) Item 1. of subsection 2.8(2) does not apply if the issuer became a reporting issuer after the distribution date by filing a prospectus in a jurisdiction listed in Appendix B and is a reporting issuer in a jurisdiction of Canada at the time of the trade.

2.8 Exemption for a Trade by a Control Person

(1) The prospectus requirement does not apply to a control distribution, or a distribution by a lender, pledgee, mortgagee or other encumbrancer for the purpose of liquidating a debt made in good faith by selling or offering for sale a security pledged, mortgaged or otherwise encumbered in good faith as collateral for the debt if the security was acquired by the lender, pledgee, mortgagee or other encumbrancer in a control distribution, if the conditions in subsection (2) are satisfied.

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(2) For the purposes of subsection (1), the conditions are:

1. The issuer is and has been a reporting issuer in a jurisdiction of Canada for the four months immediately preceding the trade.

2. The selling security holder, or the lender, pledgee, mortgagee or other encumbrancer if the distribution is for the purpose of liquidating a debt, has held the securities for at least four months.

3. No unusual effort is made to prepare the market or to create a demand for the security that is the subject of the trade.

4. No extraordinary commission or consideration is paid to a person or company in respect of the trade.

5. The selling security holder has no reasonable grounds to believe that the issuer is in default of securities legislation.

(3) The selling security holder, or the lender, pledgee, mortgagee or other encumbrancer if the distribution is for the purpose of liquidating a debt, under subsection (2) must

(a) sign Form 45-102F1 no earlier than one business day before the form is filed;

(b) file Form 45-102F1 on SEDAR at least seven days before the first trade of the securities that is part of the distribution; and

(c) file, within three days after the completion of any trade, an insider report prepared in accordance with either Form 55-102F2 or Form 55-102F6 under National Instrument 55-102 System for Electronic Disclosure by Insiders (SEDI).

(4) A Form 45-102F1 filed under subsection (3) expires thirty days from the date the form was filed.

(5) If a person or company filed a Form 45-102F3 or a renewal Form 45- 102F3 under former MI 45-102 before March 30, 2004, the person or company is not subject to subsection (3) until 30 days after the date the Form 45-102F3 or the renewal Form 45-102F3 was filed.

2.9 Determining Time Periods

(1) In determining the period of time that an issuer was a reporting issuer for the purposes of section 2.5, 2.6 or 2.8, if the issuer was a party to an amalgamation, merger, continuation or arrangement, the selling security holder may include the period of time that one of the parties to the amalgamation, merger, continuation or arrangement was a reporting issuer in a jurisdiction of Canada immediately before the amalgamation,

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merger, continuation or arrangement to determine the period of time it has been a reporting issuer in a jurisdiction of Canada.

(2) In determining the period of time that a selling security holder has held a security for the purposes of section 2.5 or 2.8, if the selling security holder acquired the security from an affiliate of the selling security holder, the selling security holder may include the period of time that the affiliate held the security.

(3) In determining the period of time that a selling security holder has held an underlying security for the purposes of section 2.8, the selling security holder may include the period of time the selling security holder held the convertible security, exchangeable security or multiple convertible security.

(4) In determining the period of time that a lender, pledgee, mortgagee or other encumbrancer has held a security under item 2 of subsection 2.8(2), the selling security holder may include the period of time the debtor held the security.

(5) In determining the period of time that a lender, pledgee, mortgagee or other encumbrancer has held an underlying security under item 2 of subsection 2.8(2), the selling security holder may include the period of time the debtor held the convertible security, exchangeable security or multiple convertible security.

2.10 Exemption for a Trade in an Underlying Security if the Convertible Security, Exchangeable Security or Multiple Convertible Security is Qualified by a Prospectus - Section 2.6 does not apply to a trade in an underlying security issued or transferred under the terms of a convertible security, exchangeable security or multiple convertible security if

(a) a receipt was obtained for a prospectus qualifying the distribution of the convertible security, exchangeable security or multiple convertible security;

(b) the trade is not a control distribution; and

(c) the issuer of the underlying security is a reporting issuer at the time of the trade.

2.11 Exemption for a Trade in a Security Acquired in a Take-over Bid or Issuer Bid - Section 2.6 does not apply to a trade of a security of an offeror if

(a) a securities exchange take-over bid circular or securities exchange issuer bid circular relating to the distribution of the security was filed by the offeror on SEDAR;

(b) the trade is not a control distribution; and

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(c) the offeror was a reporting issuer on the date the securities of the offeree issuer were first taken up under the take-over bid or issuer bid.

2.12 Exemption for a Trade in an Underlying Security if the Convertible Security, Exchangeable Security or Multiple Convertible Security is Qualified by a Securities Exchange Take-over Bid Circular or Issuer Bid Circular - Section 2.6 does not apply to a trade in an underlying security issued or transferred under the terms of a convertible security, exchangeable security or multiple convertible security if

(a) a securities exchange take-over bid circular or a securities exchange issuer bid circular relating to the distribution of the convertible security, exchangeable security or multiple convertible security was filed by the offeror on SEDAR;

(b) the trade is not a control distribution;

(c) the offeror was a reporting issuer on the date the securities of the offeree issuer were first taken up under the take-over bid or issuer bid; and

(d) the issuer of the underlying security is a reporting issuer at the time of the trade.

2.13 Trades by Underwriters - A trade by an underwriter of securities distributed under any of the provisions listed in Appendix F is a distribution.

2.14 First Trades in Securities of a Non-Reporting Issuer Distributed under a Prospectus Exemption

(1) The prospectus requirement does not apply to the first trade of a security distributed under an exemption from the prospectus requirement if

(a) the issuer of the security

(i) was not a reporting issuer in any jurisdiction of Canada at the distribution date, or

(ii) is not a reporting issuer in any jurisdiction of Canada at the date of the trade;

(b) at the distribution date, after giving effect to the issue of the security and any other securities of the same class or series that were issued at the same time as or as part of the same distribution as the security, residents of Canada

(i) did not own directly or indirectly more than 10 percent of the outstanding securities of the class or series, and

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(ii) did not represent in number more than 10 percent of the total number of owners directly or indirectly of securities of the class or series; and

(c) the trade is made

(i) through an exchange, or a market, outside of Canada, or

(ii) to a person or company outside of Canada.

(2) The prospectus requirement does not apply to the first trade of an underlying security if

(a) the convertible security, exchangeable security or multiple convertible security that, directly or indirectly, entitled or required the holder to acquire the underlying security was distributed under an exemption from the prospectus requirement;

(b) the issuer of the underlying security

(i) was not a reporting issuer in any jurisdiction of Canada at the distribution date of the convertible security, exchangeable security or multiple convertible security, or

(ii) is not a reporting issuer in any jurisdiction of Canada at the date of the trade;

(c) the conditions in paragraph (1)(b) would have been satisfied for the underlying security at the time of the initial distribution of the convertible security, exchangeable security or multiple convertible security; and

(d) the condition in paragraph (1)(c) is satisfied.

PART 3 EXEMPTION

3.1 Exemption

(1) The regulator or the securities regulatory authority may grant an exemption from this Instrument, in whole or in part, subject to such conditions or restrictions as may be imposed in the exemption.

(2) Despite subsection (1), in Ontario, only the regulator may grant such an exemption.

PART 4 EFFECTIVE DATE

4.1 Effective Date - This Instrument comes into force on March 30, 2004.

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APPENDIX A TO MULTILATERAL INSTRUMENT 45-102 RESALE OF SECURITIES

CONTROL DISTRIBUTIONS

JURISDICTION SECURITIES LEGISLATION REFERENCE

Alberta Definition of "control person" in section 1(l) and subclause (iii) of the definition of "distribution" contained in section 1(p) of the Securities Act (Alberta)

British Columbia Paragraph (c) of the definition of "distribution" contained in section 1(1) of the Securities Act (British Columbia)

Manitoba Paragraph (b) of the definition of "primary distribution to the public" contained in subsection 1(1) of the Securities Act (Manitoba)

Newfoundland and Clause 2(1)(l)(iii) of the Securities Act (Newfoundland and Labrador Labrador)

Northwest Definition of "control person" and paragraph (iii) of the Territories definition of "distribution" contained in subsection 1(1) of Blanket Order No. 1 of the Registrar of Securities.

Nova Scotia Clause 2(1)(l)(iii) of the Securities Act (Nova Scotia)

Nunavut Definition of "control person" and paragraph (iii) of the definition of "distribution" contained in subsection 1(1) of Blanket Order No. 1 of the Registrar of Securities.

Ontario Paragraph (c) of the definition of "distribution" contained in subsection 1(1) of the Securities Act (Ontario)

Prince Edward Island Clause (iii) of the definition of "distribution" in section 1 of the Securities Act (Prince Edward Island)

Saskatchewan Subclauses 2(1)(r)(iii), (iv) and (v) of The Securities Act, 1988 (Saskatchewan)

- 621 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

APPENDIX B TO MULTILATERAL INSTRUMENT 45-102 RESALE OF SECURITIES

REPORTING ISSUER JURISDICTIONS

Alberta

British Columbia

Manitoba

Nova Scotia

Ontario

Quebec

Saskatchewan

APPENDIX C TO MULTILATERAL INSTRUMENT 45-102 RESALE OF SECURITIES

NON-APPLICABLE RESALE PROVISIONS (Section 2.2)

JURISDICTION SECURITIES LEGISLATION REFERENCE

Newfoundland and Clause 54(5)(a), subsections 54(7), 54(9), 54(10), 73(4), Labrador 73(5), 73(6) as it relates to clause 72(1)(r), 73(7) but not as it relates to subsection 54(6) and 54(7), 73(12), 73(18), 73(19) and 73(24) of the Securities Act (Newfoundland and Labrador)

Nova Scotia Subsections 77(5), 77(6), 77(7), 77(7A), 77(7B), 77(8), 77(9), 77(10)(a) and 77(11) of the Securities Act (Nova Scotia)

Ontario Subsections 72(4), 72(5), 72(6) as it relates to clause 72(1)(r), and 72(7) of the Securities Act (Ontario)

- 622 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

APPENDIX D TO MULTILATERAL INSTRUMENT 45-102 RESALE OF SECURITIES

RESTRICTED PERIOD TRADES (Section 2.3)

Sections 131(1), (b), (c), (l) and (m) of the Securities Act (Alberta)

Section 122(d) and section 122.2 of the Alberta Securities Commission Rules, section 3.1 of Alberta Securities Commission Rule 72-501 Distributions to Purchasers Outside Alberta, subsections 3.1(2), 4.1(2), 4.1(4), and 5.1(2) of MI 45-103 or an exemption from the prospectus requirement that specifies that the first trade is subject to section 2.5 of MI 45-102

Section 131(1)(f)(iii) of the Securities Act (Alberta) if the right to purchase, convert or exchange was previously acquired under one of the above-listed exemptions under the Securities Act (Alberta), the Alberta Securities Commission Rules or MI 45-103, or under an exemption from the prospectus requirement that specifies that the first trade is subject to section 2.5 of MI 45-102

Sections 74(2)(1) to (6), (16), (18), (19), (23) and (25) of the Securities Act (British Columbia)

Sections 128(a), (b), (c), (e), (f) and (h) of the Securities Rules (British Columbia) and subsections 3.1(2), 4.1(2), 4.1(4), and 5.1(2) of MI 45-103 or an exemption from the prospectus requirement that specifies that the first trade is subject to section 2.5 of MI 45-102

Sections 74(2)(11)(ii), 74(2)(11)(iii) and 74(2)(13) of the Securities Act (British Columbia) if the security acquired by the selling security holder or the right to purchase, convert or exchange or otherwise acquire, was initially acquired by a person or company under any of the sections of the Securities Act (British Columbia), the Securities Rules (British Columbia) or MI 45-103 referred to in this Appendix, or under an exemption from the prospectus requirement that specifies that the first trade is subject to section 2.5 of MI 45-102

Section 74(2)(12) of the Securities Act (British Columbia) if the security acquired by the selling security holder under the realization on collateral was initially acquired by a person or company under any of the sections of the Securities Act (British Columbia), the Securities Rules (British Columbia) or MI 45-103 referred to in this Appendix, or under an exemption from the prospectus requirement that specifies that the first trade is subject to section 2.5 of MI 45-102

Clauses 54(3)(f) and (g) and 73(1)(a), (b), (c), (d), (h), (l), (m), (p) and (q) of the Securities Act (Newfoundland and Labrador), subsections 3.1(2), 4.1(2), 4.1(4), and 5.1(2) of MI 45-103, or an exemption from the prospectus requirement that specifies that the first trade is subject to section 2.5 of MI 45-102

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Subclause 73(1)(f)(iii) of the Securities Act (Newfoundland and Labrador) if the right to purchase, convert or exchange was previously acquired under one of the above listed exemptions under the Securities Act (Newfoundland and Labrador) or MI 45- 103, or under an exemption from the prospectus requirement that specifies that the first trade is subject to section 2.5 of MI 45-102

Paragraphs 3(a), (b), (c), (k), (l), (m), (r), (s), (t), (u), (w) and (z) of Blanket Order No. 1 of the Registrar of Securities (Northwest Territories), subsections 3.1(2), 4.1(2), 4.1(4), 5.1(2) of MI 45-103 or an exemption from the prospectus requirement that specifies that the first trade is subject to section 2.5 of MI 45-102

Subparagraph 3(e)(iii) of Blanket Order No. 1 of the Registrar of Securities (Northwest Territories) if the right to purchase, convert or exchange was previously acquired under one of the above-listed exemptions under Blanket Order No. 1 of the Registrar of Securities (Northwest Territories) or MI 45-103, or under an exemption from the prospectus requirement that specifies that the first trade is subject to section 2.5 of MI 45-102

Clauses 77(1)(a), (b), (c), (d), (l), (m), (p), (q), (u), (w), (y), (ab) and (ad) of the Securities Act (Nova Scotia), subsections 3.1(2), 4.1(2), 4.1(4), and 5.1(2) of MI 45- 103 or an exemption from the prospectus requirement that specifies that the first trade is subject to section 2.5 of MI 45-102

Subclause 77(1)(f)(iii) of the Securities Act (Nova Scotia) if the right to purchase, convert or exchange was previously acquired under one of the above listed exemptions under the Securities Act (Nova Scotia) or MI 45-103, or under an exemption from the prospectus requirement that specifies that the first trade is subject to section 2.5 of MI 45-102

Paragraphs 3(a), (b), (c), (k), (l), (m), (r), (s), (t), (u), (w) and (z) of Blanket Order No.1 of the Registrar of Securities (Nunavut), subsections 3.1(2), 4.1(2), 4.1(4), and 5.1(2) of MI 45-103 or an exemption from the prospectus requirement that specifies that the first trade is subject to section 2.5 of MI 45-102

Subparagraph 3(e)(iii) of Blanket Order No.1 of the Registrar of Securities (Nunavut) if the right to purchase, convert or exchange was previously acquired under one of the above-listed exemptions under Blanket Order No. 1 of the Registrar of Securities (Nunavut) or MI 45-103, or under an exemption from the prospectus requirement that specifies that the first trade is subject to section 2.5 of MI 45-102

Clauses 72(1)(a), (b), (c), (d), (l), (m), (p) and (q) of the Securities Act (Ontario) and subclause 72(1)(f)(iii) of the Securities Act (Ontario) if the right to purchase, convert or exchange was previously acquired under one of the above-listed exemptions under the Securities Act (Ontario), or an exemption from the prospectus requirement that specifies that the first trade is subject to section 2.5 of MI 45-102

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Clauses 13(1)(a), (b), (c), (g) and (i) of the Securities Act (Prince Edward Island), subsections 3.1(2), 4.1(2), 4.1(4), and 5.1(2) of MI 45-103 or under an exemption from the prospectus requirement that specifies that the first trade is subject to section 2.5 of MI 45-102

Subclause 13(1)(e)(iii) of the Securities Act (Prince Edward Island) if the right to purchase, convert or exchange was previously acquired under one the above-listed exemptions under the Securities Act (Prince Edward Island) or under an exemption from the prospectus requirement that specifies that the first trade is subject to section 2.5 of MI 45-102

Clauses 81(1)(a), (b), (c), (d), (m), (n), (s), (t), (v), (w), (z), (bb) and (ee) of The Securities Act, 1988 (Saskatchewan) and subsections 3.1(2), 4.1(2), 4.1(4), and 5.1(2) of MI 45-103 or under an exemption from the prospectus requirement that specifies that the first trade is subject to section 2.5 of MI 45-102

Subclauses 81(1)(f)(iii) and (iv) of The Securities Act, 1988 (Saskatchewan) if the convertible security, exchangeable security or multiple convertible security was acquired under one of the exemptions of The Securities Act, 1988 (Saskatchewan) or MI 45-103 referred to in this Appendix or under an exemption from the prospectus requirement that specifies that the first trade is subject to section 2.5 of MI 45-102

Clause 81(1)(e) of The Securities Act, 1988 (Saskatchewan) if the person or company from whom the securities were acquired obtained the securities under one of the exemptions of The Securities Act, 1988 (Saskatchewan) referred to in this Appendix

APPENDIX E TO MULTILATERAL INSTRUMENT 45-102 RESALE OF SECURITIES

SEASONING PERIOD TRADES (Section 2.4)

Section 131(1)(f) if not included in Appendix D of this Instrument, sections 131(h), (i) , (j), (k), and (y) of the Securities Act (Alberta) and sections 107(1) (j.1) and (k.1) prior to their repeal by section 5 of the Securities Amendment Act, 1989 (Alberta), subsection 2.1(2) of MI 45-103 and sections 2.1, 2.2, 2.3 and 2.4 of MI 45-105 or under an exemption from the prospectus requirement that specifies that the first trade is subject to section 2.6 of MI 45-102

Section 74(2)(11)(iii) if not included in Appendix D or F and sections 74(2)(7), (8) if not included in Appendix F, (9) to (11), (13), (22) and (24) of the Securities Act (British Columbia)

Section 128(g) of the Securities Rules (British Columbia), section 2.1(2) of MI 45- 103 and sections 2.1, 2.2, 2.3 and 2.4 of MI 45-105 or under an exemption from the prospectus requirement that specifies that the first trade is subject to section 2.6 of MI 45-102

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Section 74(2)(12) of the Securities Act (British Columbia), if the security acquired by the selling security holder under the realization on collateral was initially acquired by a person or company under any of the sections of the Securities Act (British Columbia), the Securities Rules (British Columbia) or a multilateral instrument referred to in this Appendix or under an exemption from the prospectus requirement that specifies that the first trade is subject to section 2.6 of MI 45-102

Clauses 54(3) and 73(1)(f) if not included in Appendix D or F of this Instrument, (i) if not included in Appendix F, (j), (k) and (n) of the Securities Act (Newfoundland and Labrador), subsection 2.1(2) of MI 45-103 and sections 2.1, 2.2, 2.3 and 2.4 of MI 45- 105 or under an exemption from the prospectus requirement that specifies that the first trade is subject to section 2.6 of MI 45-102

Paragraphs 3(e), (f), (g), (h), (i), (n), (x), (y) and (mm) of Blanket Order No. 1 of the Registrar of Securities (Northwest Territories), except for a trade made under subparagraph 3(e)(iii) of Blanket Order No. 1 of the Registrar of Securities (Northwest Territories) that is included in Appendix D or F of this Instrument or a trade made under paragraph 3(g) that is included in Appendix F of this Instrument, subsection 2.1(2) of MI 45-103 and sections 2.1, 2.2, 2.3 and 2.4 of MI 45-105 or under an exemption from the prospectus requirement that specifies that the first trade is subject to section 2.6 of MI 45-102

Clause 77(1)(f) of the Securities Act (Nova Scotia) if not included in Appendix D or F of this Instrument, and clauses 77(1)(h), (i) if not included in Appendix F, (j), (k), (n), (v), (va), (ac), (ae) and (af) of the Securities Act (Nova Scotia), and clause 78(1)(a) of the Securities Act (Nova Scotia) as it relates to clause 41(2)(j) of the Securities Act (Nova Scotia) and Blanket Order No. 37, 38 if not included in Appendix F, 46 and 45- 503 if not included in Appendix F, subsection 2.1(2) of MI 45-103 and sections 2.1, 2.2, 2.3 and 2.4 of MI 45-105 or under an exemption from the prospectus requirement that specifies that the first trade is subject to section 2.6 of MI 45-102

Paragraphs 3(e), (f), (g), (h), (i), (n), (x), (y) and (mm) of Blanket Order No. 1 of the Registrar of Securities (Nunavut), except for a trade made under subparagraph 3(e)(iii) of Blanket Order No. 1 of the Registrar of Securities (Nunavut) that is included in Appendix D or F of this Instrument or a trade made under paragraph 3(g) that is included in Appendix F of this Instrument, subsection 2.1(2) of MI 45-103 and sections 2.1, 2.2, 2.3 and 2.4 of MI 45-105 or under an exemption from the prospectus requirement that specifies that the first trade is subject to section 2.6 of MI 45-102

Clauses 72(1)(f), (i) if not included in Appendix F, (j), (k) and (n) of the Securities Act (Ontario), except for a trade made under 72(1)(f)(iii) of the Securities Act (Ontario) that is: (i) included in Appendix D or F of this Instrument; or (ii) contemplated by section 6.5 of Ontario Securities Commission Rule 45-501 Exempt Distributions and sections 2.1, 2.2, 2.3 and 2.4 of MI 45-105 or an exemption from the prospectus requirement that specifies that the first trade is subject to section 2.6 of MI 45-102

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Clauses 13(1)(e) if not included in Appendix D or F of this Instrument, (f) if not included in Appendix F, (h) and (k) of the Securities Act (Prince Edward Island) or section 3.1 or 3.2 of Rule 45-501, section 1.1 of Prince Edward Island Rule 45-502, section 2.1 or 2.2 of Prince Edward Island Rule 45-506 or section 2.1 or 2.2 of Prince Edward Island Rule 45-510, subsection 2.1(2) of MI 45-103 and sections 2.1, 2.2, 2.3 and 2.4 of MI 45-105 or under an exemption from the prospectus requirement that specifies that the first trade is subject to section 2.6 of MI 45-102

Clauses 81(1)(a.1), (e) if not included in Appendix D of this Instrument, (f) if not included in Appendix D or F of this Instrument, (f.1), (g), (h), (i) if not included in Appendix F, (i.1), (j), (k), (o), (cc) and (dd) of The Securities Act, 1988 (Saskatchewan), subsection 2.1(2) of MI 45-103 and sections 2.1, 2.2, 2.3 and 2.4 of MI 45-105 or under an exemption from the prospectus requirement that specifies that the first trade is subject to section 2.6 of MI 45-102

APPENDIX F TO MULTILATERAL INSTRUMENT 45-102 RESALE OF SECURITIES

UNDERWRITERS (Section 2.13)

Section 74(2)(15) of the Securities Act (British Columbia) and section 74(2)(8) or 74(2)(11)(iii) of the Securities Act (British Columbia) if the original security was acquired under section 74(2)(15) of the Securities Act (British Columbia)

Clause 73(1)(r) of the Securities Act (Newfoundland and Labrador) and section 73(1)(i) or 73(1)(f)(iii) of the Securities Act (Newfoundland and Labrador) if the original security was acquired under section 73(1)(r) of the Securities Act (Newfoundland and Labrador)

Paragraph 3(v) of Blanket Order No. 1 of the Registrar of Securities (Northwest Territories) and paragraph 3(g) or subparagraph 3(e)(iii) of Blanket Order No. 1 of the Registrar of Securities (Northwest Territories) if the original security was acquired under paragraph 3(v) of Blanket Order No. 1 of the Registrar of Securities (Northwest Territories)

Clause 77(1)(r) of the Securities Act (Nova Scotia) and clause 77(1)(i) or 77(1)(f)(iii) of the Securities Act (Nova Scotia) or Blanket Order No. 38 or 45-503 if the original security was acquired under clause 77(1)(r) of the Securities Act (Nova Scotia)

Paragraph 3(v) of Blanket Order No. 1 of the Registrar of Securities (Nunavut) and paragraph 3(g) or subparagraph 3(e)(iii) of Blanket Order No. 1 of the Registrar of Securities (Nunavut) if the original security was acquired under paragraph 3(v) of Blanket Order No. 1 of the Registrar of Securities (Nunavut)

Clause 72(1)(r) of the Securities Act (Ontario) and clause 72(1)(f)(iii) or 72(1)(i) if the original security was acquired under section 72(1)(r) of the Securities Act (Ontario)

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Section 2.1 of Prince Edward Island Rule 45-509 and subclause 13(1)(e) (iii) or clause 13(1)(f) of the Securities Act (Prince Edward Island) or section 1.1 of Prince Edward Island Rule 45-502 if the original security was acquired under section 2.1 of Prince Edward Island Rule 45-509

Clause 81(1)(u) of The Securities Act, 1988 (Saskatchewan) and clause 81(1)(i) or subclause 81(1)(f)(iii) of The Securities Act, 1988 (Saskatchewan) if the original security was acquired under clause 81(1)(u) of The Securities Act, 1988 (Saskatchewan)

FORM 45-102F1

Notice of Intention to Distribute Securities under Section 2.8 of MI 45-102 Resale of Securities

Reporting issuer 1. Name of reporting issuer:

Selling security holder 2. Your name:

3. The offices or positions you hold in the reporting issuer:

4. Are you selling securities as a lender, pledgee, mortgagee or other encumbrancer?

5. Number and class of securities of the reporting issuer you beneficially own:

Distribution 6. Number and class of securities you propose to sell:

7. Will you sell the securities privately or on an exchange or market? If on an exchange or market, provide the name.

Warning It is an offence to submit information that, in a material respect and in light of the circumstances in which it is submitted, is misleading or untrue.

- 628 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

Certificate I certify that

(1) I have no knowledge of a material fact or material change with respect to the issuer of the securities that has not been generally disclosed; and

(2) the information given in this form is true and complete.

Date ...... … Your name (Selling security holder)

...... ….. Your signature (or if a company, the signature of your authorized signatory)

...... Name of your authorized signatory

INSTRUCTION: File this form electronically through SEDAR with the securities regulatory authority in each jurisdiction where you sell securities and with the Canadian exchange on which the securities are listed. Where the securities are being sold on an exchange, the form should be filed in every jurisdiction across Canada.

Notice to selling security holders - collection and use of personal information The personal information required in this form is collected for and used by the listed securities regulatory authorities to administer and enforce securities legislation in their jurisdictions. This form is publicly available by authority of Multilateral Instrument 45-102 and the securities legislation in each of the jurisdictions. The personal information collected will not be used or disclosed other than for the stated purposes without first obtaining your consent. Corporate filers should seek the consent of any individuals whose personal information appears in this form before filing this form.

If you have questions about the collection and use of your personal information, or the personal information of your authorized signatory, contact any of the securities regulatory authorities listed below.

Alberta Securities Commission 4th Floor, 300 - 5th Avenue SW Calgary, AB T2P 3C4 Attention: Information Officer Telephone: (403) 297-6454 Facsimile: (403) 297-6156

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British Columbia Securities Commission P.O. Box 10142, Pacific Centre 701 West Georgia Street Vancouver, B.C. V7Y 1L2 Attention: Manager, Financial and Insider Reporting Telephone: (604) 899-6730 or (800) 373-6393 (in B.C.) Facsimile: (604) 899-6506

Securities Commission of Newfoundland and Labrador P.O. Box 8700 2nd Floor, West Block Confederation Building 75 O'Leary Avenue St. John's NFLD A1B 4J6 Attention: Director of Securities Telephone: (709) 729-4189 Facsimile: (709) 729-6187

Department of Justice, Northwest Territories Legal Registries P.O. Box 1320 1st Floor, 5009-49th Street Yellowknife, NWT X1A 2L9 Attention: Director, Legal Registries Telephone: (867) 873-7490 Facsimile: (867) 873-0243

Nova Scotia Securities Commission 2nd Floor, Joseph Howe Building 1690 Hollis Street Halifax, NS B3J 3J9 Attention: Corporate Finance Telephone: (902) 424-7768 Facsimile: (902) 424-4625

Department of Justice, Nunavut Legal Registries Division P.O. Box 1000 - Station 570 1st Floor, Brown Building Iqaluit, NT X0A 0H0 Attention: Director, Legal Registries Division Telephone: (867) 975-6190 Facsimile: (867) 975-6194

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Ontario Securities Commission Suite 1903, Box 55 20 Queen Street West Toronto, ON M5H 3S8 Attention: Administrative Assistant to the Director of Corporate Finance Telephone: (416) 593-8314 Facsimile: (416) 593-8177

Prince Edward Island Securities Office Consumer, Corporate and Insurance Services Division Office of the Attorney General P.O. Box 2000 Charlottetown, PE C1A 7N8 Attention: Registrar of Securities Telephone: (902) 368- 4550 Fax: (902) 368-5283

Saskatchewan Financial Services Commission Securities Division 6th Floor, 1919 Saskatchewan Drive Regina, SK S4P 3V7 Attention: Deputy Director, Legal Telephone: (306) 787-5879 Facsimile: (306) 787-5899 ______

NATIONAL INSTRUMENT 51-102 Continuous Disclosure Obligations, Forms 51-102F1 Management’s Discussion & Analysis, 51-102F2 Annual Information Form, 51-102F3 Material Change Report, 51-102F4 Business Acquisition Report, 51-102F5 Information Circular, 51-102F6 Statement of Executive Compensation

(Securities Act)

Made as a rule by the Alberta Securities Commission on December 10, 2003 pursuant to sections 223 and 224 of the Securities Act.

NATIONAL INSTRUMENT 51-102 CONTINUOUS DISCLOSURE OBLIGATIONS

PART 1 DEFINITIONS AND INTERPRETATION 1.1 Definitions and Interpretation

PART 2 APPLICATION 2.1 Application

PART 3 LANGUAGE OF DOCUMENTS 3.1 French or English

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PART 4 FINANCIAL STATEMENTS 4.1 Comparative Annual Financial Statements and Auditor’s Report 4.2 Filing Deadline for Annual Financial Statements 4.3 Interim Financial Statements 4.4 Filing Deadline for Interim Financial Statements 4.5 Approval of Financial Statements 4.6 Delivery of Financial Statements 4.7 Filing of Financial Statements After Becoming a Reporting Issuer 4.8 Change in Year-End 4.9 Change in Corporate Structure 4.10 Reverse Takeovers 4.11 Change of Auditor

PART 5 MANAGEMENT’S DISCUSSION & ANALYSIS 5.1 Filing of MD&A 5.2 Filing of MD&A and Supplement for SEC Issuers 5.3 Additional Disclosure for Venture Issuers Without Significant Revenue 5.4 Disclosure of Outstanding Share Data 5.5 Approval of MD&A 5.6 Delivery of MD&A

PART 6 ANNUAL INFORMATION FORM 6.1 Requirement to File an AIF 6.2 Filing Deadline for an AIF 6.3 Incorporated Documents to be Filed

PART 7 MATERIAL CHANGE REPORTS 7.1 Publication of Material Change

PART 8 BUSINESS ACQUISITION REPORT 8.1 Interpretation and Application 8.2 Obligation to File a Business Acquisition Report 8.3 Determination of Significance 8.4 Financial Statement Disclosure for Significant Acquisitions 8.5 Reporting Periods 8.6 Exemption for Significant Acquisitions Accounted for Using the Equity Method 8.7 Exemptions for Significant Acquisitions if More Recent Statements Included 8.8 Exemption for Significant Acquisitions if Financial Year End Changed 8.9 Exemption from Comparatives if Financial Statements Not Previously Prepared 8.10 Exemption for Acquisition of an Interest in an Oil and Gas Property 8.11 Exemption for Step-By-Step Acquisitions

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PART 9 PROXY SOLICITATION AND INFORMATION CIRCULARS 9.1 Sending of Proxies and Information Circulars 9.2 Exemptions from Sending Information Circular 9.3 Filing of Information Circulars and Proxy-Related Material 9.4 Content of Form of Proxy 9.5 Exemption from Part 9

PART 10 RESTRICTED SECURITY DISCLOSURE 10.1 Restricted Security Disclosure 10.2 Dissemination of Disclosure Documents to Holder of Restricted Securities 10.3 Exemptions for Certain Reporting Issuers

PART 11 ADDITIONAL FILING REQUIREMENTS 11.1 Additional Filing Requirements 11.2 Change of Status Report 11.3 Voting Results 11.4 Financial Information

PART 12 FILING OF CERTAIN DOCUMENTS 12.1 Filing of Documents Affecting the Rights of Securityholders 12.2 Filing of Other Material Contracts 12.3 Time for Filing of Documents

PART 13 EXEMPTIONS 13.1 Exemptions from this Instrument 13.2 Existing Exemptions 13.3 Exemption for Certain Exchangeable Security Issuers 13.4 Exemption for Certain Credit Support Issuers

PART 14 EFFECTIVE DATE AND TRANSITION 14.1 Effective Date 14.2 Transition

NATIONAL INSTRUMENT 51-102 CONTINUOUS DISCLOSURE OBLIGATIONS

PART 1 DEFINITIONS AND INTERPRETATION

1.1 Definitions and Interpretation

In this Instrument:

“AIF” means a completed Form 51-102F2 Annual Information Form or, in the case of an SEC issuer, a completed Form 51-102F2 or an annual report or transition report under the 1934 Act on Form 10-K, Form 10-KSB or Form 20- F;

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“approved rating” means, for a security, a rating at or above one of the following rating categories issued by an approved rating organization for the security or a rating category that replaces a category listed below:

Approved Rating Long Term Short Term Preferred Organization Debt Debt Shares

Dominion Bond Rating BBB R-2 Pfd-3 Service Limited

Fitch Ratings Ltd. BBB F3 BBB

Moody’s Investors Service Baa Prime-3 “baaa”

Standard & Poor’s BBB A-3 P-3

“approved rating organization” means each of Dominion Bond Rating Service Limited, Fitch Ratings Ltd., Moody’s Investors Service, Standard & Poor’s and any of their successors;

“asset-backed security” means a security that is primarily serviced by the cash flows of a discrete pool of mortgages, receivables or other financial assets, fixed or revolving, that by their terms convert into cash within a finite period and any rights or other assets designed to assure the servicing or the timely distribution of proceeds to securityholders;

“board of directors” means, for a person or company that does not have a board of directors, an individual or group that acts in a capacity similar to a board of directors;

“business acquisition report” means a completed Form 51-102F4 Business Acquisition Report;

“class” includes a series of a class;

“common share” means an equity security to which are attached voting rights exercisable in all circumstances, irrespective of the number or percentage of securities owned, that are not less, per security, than the voting rights attached to any other outstanding securities of the reporting issuer;

“date of acquisition” means the date of acquisition required for accounting purposes;

“exchange-traded security” means a security that is listed on a recognized exchange or is quoted on a recognized quotation and trade reporting system or is listed on an exchange or quoted on a quotation and trade reporting system that is recognized for the purposes of National Instrument 21-101 Marketplace Operation and National Instrument 23-101 Trading Rules;

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“executive officer” of a reporting issuer means an individual who is

(a) a chair of the reporting issuer;

(b) a vice-chair of the reporting issuer;

(c) the president of the reporting issuer;

(d) a vice-president of the reporting issuer in charge of a principal business unit, division or function including sales, finance or production;

(e) an officer of the reporting issuer or any of its subsidiaries who performed a policy-making function in respect of the reporting issuer; or

(f) any other individual who performed a policy-making function in respect of the reporting issuer;

“form of proxy” means a document containing the information required under section 9.4 that, on completion and execution by or on behalf of a securityholder, becomes a proxy;

“income from continuing operations” means income or loss, adjusted to exclude discontinued operations, extraordinary items and income taxes;

“information circular” means a completed Form 51-102F5 Information Circular;

“informed person” means

(a) a director or executive officer of a reporting issuer;

(b) a director or executive officer of a person or company that is itself an informed person or subsidiary of a reporting issuer;

(c) any person or company who beneficially owns, directly or indirectly, voting securities of a reporting issuer or who exercises control or direction over voting securities of a reporting issuer or a combination of both carrying more than 10 percent of the voting rights attached to all outstanding voting securities of the reporting issuer other than voting securities held by the person or company as underwriter in the course of a distribution; and

(d) a reporting issuer that has purchased, redeemed or otherwise acquired any of its securities, for so long as it holds any of its securities;

“inter-dealer bond broker” means a person or company that is approved by the Investment Dealers Association under its By-Law No. 36 Inter-Dealer Bond Brokerage Systems, as amended, and is subject to its By-law No. 36 and its Regulation 2100 Inter-Dealer Bond Brokerage Systems, as amended;

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“interim period” means,

(a) in the case of a year other than a transition year, a period commencing on the first day of the financial year and ending nine, six or three months before the end of the financial year; or

(b) in the case of a transition year, a period commencing on the first day of the transition year and ending

(i) three, six, nine or twelve months, if applicable, after the end of the old financial year; or

(ii) twelve, nine, six or three months, if applicable, before the end of the transition year;

“investment fund” means a mutual fund or a non-redeemable investment fund;

“MD&A” means a completed Form 51-102F1 Management’s Discussion & Analysis or, in the case of an SEC issuer, a completed Form 51-102F1 or management’s discussion and analysis prepared in accordance with Item 303 of Regulation S-K or item 303 of Regulation S-B under the 1934 Act;

“marketplace” means

(a) an exchange;

(b) a quotation and trade reporting system;

(c) a person or company not included in paragraph (a) or (b) that

(i) constitutes, maintains or provides a market or facility for bringing together buyers and sellers of securities;

(ii) brings together the orders for securities of multiple buyers and sellers; and

(iii) uses established, non-discretionary methods under which the orders interact with each other, and the buyers and sellers entering the orders agree to the terms of a trade; or

(d) a dealer that executes a trade of an exchange-traded security outside of a marketplace, but does not include an inter-dealer bond broker;

“material change” means

(a) a change in the business, operations or capital of the reporting issuer that would reasonably be expected to have a significant effect on the market price or value of any of the securities of the reporting issuer; or

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(b) a decision to implement a change referred to in paragraph (a) made by the board of directors or other persons acting in a similar capacity or by senior management of the reporting issuer who believe that confirmation of the decision by the board of directors or any other persons acting in a similar capacity is probable;

“mineral project” means any exploration, development or production activity in respect of natural, solid, inorganic or fossilized organic material including base and precious metals, coal and industrial minerals;

“new financial year” means the financial year of a reporting issuer that immediately follows a transition year;

“non-voting security” means a restricted security that does not carry the right to vote generally, except for a right to vote that is mandated, in special circumstances, by law;

“non-redeemable investment fund” means any issuer

(a) where contributions of securityholders are pooled for investment;

(b) where securityholders do not have day-to-day control over the management and investment decisions of the issuer, whether or not they have the right to be consulted or to give directions; and

(c) whose securities do not entitle the securityholder to receive on demand, or within a specified period after demand, an amount computed by reference to the value of a proportionate interest in the whole or in part of the net assets of the issuer;

“old financial year” means the financial year of a reporting issuer that immediately precedes a transition year;

“preference share” means a security to which is attached a preference or right over the securities of any class of equity securities of the reporting issuer, but does not include an equity security;

“principal obligor” means, for an asset-backed security, a person or company that is obligated to make payments, has guaranteed payments, or has provided alternative credit support for payments, on financial assets that represent one- third or more of the aggregate amount owing on all of the financial assets servicing the asset-backed security;

“proxy” means a completed and executed form of proxy by which a securityholder has appointed a person or company as the securityholder’s nominee to attend and act for the securityholder and on the securityholder’s behalf at a meeting of securityholders;

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“published market” means, for a class of securities, a marketplace on which the securities have traded that discloses regularly in a publication of general and regular paid circulation or in a form that is broadly distributed by electronic means the prices at which those securities have traded;

“recognized exchange” means

(a) in Ontario, an exchange recognized by the securities regulatory authority to carry on business as a stock exchange; and

(b) in every other jurisdiction, an exchange recognized by the securities regulatory authority as an exchange, self-regulatory organization or self- regulatory body;

“recognized quotation and trade reporting system” means

(a) in every jurisdiction other than British Columbia, a quotation and trade reporting system recognized by the securities regulatory authority under securities legislation to carry on business as a quotation and trade reporting system; and

(b) in British Columbia, a quotation and trade reporting system recognized by the securities regulatory authority under securities legislation as a quotation and trade reporting system or as an exchange;

“restricted security” means an equity security of a reporting issuer, if any of the following apply:

(a) there is another class of securities of the reporting issuer that, to a reasonable person, appears to carry a greater vote per security relative to the equity security;

(b) the conditions of the class of equity securities, the conditions of another class of securities of the reporting issuer, or the reporting issuer’s constating documents have provisions that nullify or, to a reasonable person, appear to significantly restrict the voting rights of the equity securities; or

(c) the reporting issuer has issued a second class of equity securities that, to a reasonable person, appears to entitle the owners of securities of that second class to participate in the earnings or assets of the reporting issuer to a greater extent, on a per security basis, than the owners of the first class of equity securities;

“restricted security term” means each of the terms “non-voting security”, “subordinate voting security” and “restricted voting security”;

“restricted voting security” means a restricted security that carries a right to vote subject to a restriction on the number or percentage of securities that may be voted by one or more persons or companies, unless the restriction is

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(a) permitted or prescribed by statute; and

(b) is applicable only to persons or companies that are not citizens or residents of Canada or that are otherwise considered as a result of any law applicable to the reporting issuer to be non-Canadians;

“reverse takeover” means a transaction by which an enterprise obtains ownership of the securities of another enterprise but, as part of the transaction, issues enough voting securities as consideration that control of the combined enterprise passes to the securityholders of the acquired enterprise;

“reverse takeover acquiree” means the legal parent, as that term is used in the Handbook, in a reverse takeover;

“reverse takeover acquirer” means the legal subsidiary, as that term is used in the Handbook, whose securityholders control the combined enterprise as a result of a reverse takeover;

“SEC issuer” means a reporting issuer that

(a) has a class of securities registered under section 12 of the 1934 Act or is required to file reports under section 15(d) of the 1934 Act; and

(b) is not registered or required to be registered as an investment company under the Investment Company Act of 1940 of the United States of America, as amended;

“solicit”, in connection with a proxy, includes

(a) requesting a proxy whether or not the request is accompanied by or included in a form of proxy;

(b) requesting a securityholder to execute or not to execute a form of proxy or to revoke a proxy;

(c) sending a form of proxy or other communication to a securityholder under circumstances that to a reasonable person will likely result in the giving, withholding or revocation of a proxy; or

(d) sending a form of proxy to a securityholder by management of a reporting issuer; but does not include

(e) sending a form of proxy to a securityholder in response to a unsolicited request made by or on behalf of the securityholder; or

(f) performing ministerial acts or professional services on behalf of a person or company soliciting a proxy;

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“subordinate voting security” means a restricted security that carries a right to vote, if there are securities of another class outstanding that carry a greater right to vote on a per security basis;

“transition year” means the financial year of a reporting issuer in which the issuer changes its financial year-end;

“U.S. GAAP” means generally accepted accounting principles in the United States of America that the SEC has identified as having substantial authoritative support and as supplemented by Regulation S-X and Regulation S-B under the 1934 Act;

“U.S. laws” means the 1933 Act, the 1934 Act, all enactments made under those Acts and all SEC releases adopting the enactments, as amended;

“U.S. marketplace” means an exchange registered as a “national securities exchange” under section 6 of the 1934 Act, or the Nasdaq Stock Market; and

“venture issuer” means a reporting issuer that, as at the applicable time, did not have any of its securities listed or quoted on any of the Toronto Stock Exchange, a U.S. marketplace or a marketplace outside of Canada and the United States of America; where the “applicable time” in respect of

(a) Parts 4 and 5 of this Instrument and Form 51-102F1, is the end of the applicable financial period;

(b) Parts 6 and 9 of this Instrument and Form 51-102F6, is the end of the most recently completed financial year;

(c) Part 8 of this Instrument and Form 51-102F4, is the date of acquisition; and

(d) section 11.3 of this Instrument, is the date of the meeting of the securityholders.

PART 2 APPLICATION

2.1 Application

This Instrument does not apply to an investment fund.

PART 3 LANGUAGE OF DOCUMENTS

3.1 French or English

(1) A person or company must file a document required to be filed under this Instrument in French or in English.

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(2) Despite subsection (1), if a person or company files a document only in French or only in English but delivers to securityholders a version of the document in the other language, the person or company must file that other version not later than when it is first delivered to securityholders.

(3) In Québec, a reporting issuer must comply with linguistic obligations and rights prescribed by Québec law.

PART 4 FINANCIAL STATEMENTS

4.1 Comparative Annual Financial Statements and Auditor’s Report

(1) Subject to subsection 4.8(6), a reporting issuer must file annual financial statements that include

(a) an income statement, a statement of retained earnings, and a cash flow statement for

(i) the most recently completed financial year; and

(ii) the financial year immediately preceding the most recently completed financial year, if any;

(b) a balance sheet as at the end of each of the periods referred to in paragraph (a); and

(c) notes to the financial statements.

(2) Annual financial statements filed under subsection (1) must be accompanied by an auditor’s report.

4.2 Filing Deadline for Annual Financial Statements

The annual financial statements and auditor’s report required to be filed under section 4.1 must be filed

(a) in the case of a reporting issuer other than a venture issuer, on or before the earlier of

(i) the 90th day after the end of its most recently completed financial year; and

(ii) the date of filing, in a foreign jurisdiction, annual financial statements for its most recently completed financial year; or

(b) in the case of a venture issuer, on or before the earlier of

(i) the 120th day after the end of its most recently completed financial year; and

(ii) the date of filing, in a foreign jurisdiction, annual financial statements for its most recently completed financial year.

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4.3 Interim Financial Statements

(1) A reporting issuer must file,

(a) if it has not completed its first financial year, interim financial statements for the interim periods of the reporting issuer’s current financial year other than a period that is less than three months in length; or

(b) if it has completed its first financial year, interim financial statements for the interim periods of the reporting issuer’s current financial year.

(2) Subject to subsections 4.7(4), 4.8(7) and 4.8(8), the interim financial statements required to be filed under subsection (1) must include

(a) a balance sheet as at the end of the interim period and a balance sheet as at the end of the immediately preceding financial year, if any;

(b) an income statement, a statement of retained earnings and a cash flow statement, all for the year-to-date interim period, and comparative financial information for the corresponding interim period in the immediately preceding financial year, if any;

(c) for interim periods other than the first interim period in a reporting issuer’s financial year, an income statement and cash flow statement for the three month period ending on the last day of the interim period and comparative financial information for the corresponding period in the preceding financial year, if any; and

(d) notes to the financial statements.

(3) Disclosure of Auditor Review of Interim Financial Statements

(a) If an auditor has not performed a review of the interim financial statements required to be filed under subsection (1), the interim financial statements must be accompanied by a notice indicating that the financial statements have not been reviewed by an auditor.

(b) If a reporting issuer engaged an auditor to perform a review of the interim financial statements required to be filed under subsection (1) and the auditor was unable to complete the review, the interim financial statements must be accompanied by a notice indicating that the auditor was unable to complete a review of the interim financial statements and the reasons why the auditor was unable to complete the review.

(c) If an auditor has performed a review of the interim financial statements required to be filed under subsection (1) and the auditor has expressed a reservation in the auditor’s interim review report, the interim financial statements must be accompanied by a written review report from the auditor.

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(4) SEC Issuer - Restatement of Interim Financial Statements

If an SEC issuer

(a) has filed interim financial statements prepared in accordance with Canadian GAAP for one or more interim periods since its most recently completed financial year for which financial statements have been filed; and

(b) prepares its annual or interim financial statements for the period immediately following the periods referred to in paragraph (a) in accordance with U.S. GAAP,

the SEC issuer must

(c) restate the interim financial statements for the periods referred to in paragraph (a) in accordance with U.S. GAAP and comply with the reconciliation requirements set out in Part 4 of National Instrument 52- 107 Acceptable Accounting Principles, Auditing Standards and Reporting Currency; and

(d) file the restated financial statements referred to in paragraph (c) by the filing deadline for the financial statements referred to in paragraph (b).

4.4 Filing Deadline for Interim Financial Statements

The interim financial statements required to be filed under subsection 4.3(1) must be filed

(a) in the case of a reporting issuer other than a venture issuer, on or before the earlier of

(i) the 45th day after the end of the interim period; and

(ii) the date of filing, in a foreign jurisdiction, interim financial statements for a period ending on the last day of the interim period; or

(b) in the case of a venture issuer, on or before the earlier of

(i) the 60th day after the end of the interim period; and

(ii) the date of filing, in a foreign jurisdiction, interim financial statements for a period ending on the last day of the interim period.

4.5 Approval of Financial Statements

(1) The financial statements a reporting issuer is required to file under section 4.1 must be approved by the board of directors before the statements are filed.

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(2) The financial statements a reporting issuer is required to file under section 4.3 must be approved by the board of directors before the statements are filed.

(3) In fulfilling the requirement in subsection (2), the board of directors may delegate the approval of the financial statements to the audit committee of the board of directors.

4.6 Delivery of Financial Statements

(1) Subject to subsection (2), a reporting issuer must send annually a request form to the registered holders and beneficial owners of its securities, other than debt instruments, that the registered holders and beneficial owners may use to request a copy of the reporting issuer’s annual financial statements and MD&A for the annual financial statements, the interim financial statements and MD&A for the interim financial statements, or both.

(2) For the purposes of subsection (1), the reporting issuer must, applying the procedures set out in National Instrument 54-101 Communication with Beneficial Owners of Securities of a Reporting Issuer, send the request form to the beneficial owners of its securities who are identified under that Instrument as having chosen to receive all securityholder materials sent to beneficial owners of securities.

(3) If a registered holder or beneficial owner requests the reporting issuer’s annual or interim financial statements, the reporting issuer must send a copy of the requested financial statements to the person or company that made the request, without charge, by the later of

(a) the filing deadline for the financial statements requested; and

(b) 10 calendar days after the issuer receives the request.

(4) A reporting issuer is not required to send copies of annual or interim financial statements under subsection (3) that were filed more than two years before the issuer receives the request.

(5) Subsection (1) and the requirement to send annual financial statements under subsection (3) do not apply to a reporting issuer that sends its annual financial statements to all its securityholders, other than holders of debt instruments.

(6) If a reporting issuer sends financial statements under this section, the reporting issuer must also send, at the same time, the annual or interim MD&A relating to the financial statements.

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4.7 Filing of Financial Statements After Becoming a Reporting Issuer

(1) Despite any provisions of this Part other than subsections (2), (3) and (4) of this section, the first annual and interim financial statements that a reporting issuer must file under sections 4.1 and 4.3 are the financial statements for the financial year and interim periods immediately following the periods for which financial statements were included in a document filed

(a) that resulted in the issuer becoming a reporting issuer; or

(b) in respect of a transaction that resulted in the issuer becoming a reporting issuer.

(2) If, under subsection (1), a reporting issuer is required to file annual financial statements for a financial year that ended before the issuer became a reporting issuer, those financial statements must be filed on or before the later of

(a) the 20th day after the issuer became a reporting issuer; and

(b) the filing deadline in section 4.2.

(3) If, under subsection (1), a reporting issuer is required to file interim financial statements for an interim period that ended before the issuer became a reporting issuer, those financial statements must be filed on or before the later of

(a) the 10th day after the issuer became a reporting issuer; and

(b) the filing deadline in section 4.4.

(4) A reporting issuer is not required to provide comparative interim financial information for periods that ended before the issuer became a reporting issuer if

(a) to a reasonable person it is impracticable to present prior-period information on a basis consistent with subsection 4.3(2);

(b) the prior-period information that is available is presented; and

(c) the notes to the interim financial statements disclose the fact that the prior-period information has not been prepared on a basis consistent with the most recent interim financial information.

4.8 Change in Year-End

(1) Exemption from Change in Year-End Requirements – This section does not apply to an SEC issuer if

(a) it complies with the requirements of U.S. laws relating to a change of fiscal year; and

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(b) it files a copy of all materials required by U.S. laws relating to a change of fiscal year at the same time as, or as soon as practicable after, they are filed with or furnished to the SEC and, in the case of financial statements, no later than the filing deadlines prescribed under sections 4.2 and 4.4.

(2) Notice of Change – If a reporting issuer decides to change its financial year- end by more than 14 days, it must file a notice containing the information set out in subsection (3) as soon as practicable, and, in any event, not later than the earlier of

(a) the filing deadline, based on the reporting issuer’s old financial year-end, for the next financial statements required to be filed, either annual or interim, whichever comes first; and

(b) the filing deadline, based on the reporting issuer’s new financial year-end, for the next financial statements required to be filed, either annual or interim, whichever comes first.

(3) The notice referred to in subsection (2) must state

(a) that the reporting issuer has decided to change its year-end;

(b) the reason for the change;

(c) the reporting issuer’s old financial year-end;

(d) the reporting issuer’s new financial year-end;

(e) the length and ending date of the periods, including the comparative periods, of the interim and annual financial statements to be filed for the reporting issuer’s transition year and its new financial year; and

(f) the filing deadlines, prescribed under sections 4.2 and 4.4, for the interim and annual financial statements for the reporting issuer’s transition year.

(4) Maximum Length of Transition Year – For the purposes of this section,

(a) a transition year must not exceed 15 months; and

(b) the first interim period after an old financial year must not exceed four months.

(5) Interim Period Ends Within One Month of Year-End – Despite paragraph 4.3(1)(b), a reporting issuer is not required to file interim financial statements for any period in its transition year that ends within one month

(a) after the last day of its old financial year; or

(b) before the first day of its new financial year.

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(6) Comparative Financial Information in Annual Financial Statements for New Financial Year – If a transition year is less than nine months in length, the reporting issuer must include as comparative financial information to its financial statements for its new financial year

(a) a balance sheet and income statement, a statement of retained earnings and a cash flow statement for its transition year; and

(b) a balance sheet and income statement, a statement of retained earnings and a cash flow statement for its old financial year.

(7) Comparative Financial Information in Interim Financial Statements if Interim Periods Not Changed in Transition Year – If interim periods for the reporting issuer’s transition year end three, six, nine or twelve months after the end of its old financial year, the reporting issuer must include

(a) as comparative financial information in its interim financial statements during its transition year, the comparative financial information required by subsection 4.3(2), except if an interim period during the transition year is 12 months in length and the reporting issuer’s transition year is longer than 13 months, the comparative financial information must be the balance sheet and income statement, statement of retained earnings and cash flow statement for the 12 month period that constitutes its old financial year; and

(b) as comparative financial information in its interim financial statements during its new financial year

(i) a balance sheet as at the end of its transition year; and

(ii) the income statement, statement of retained earnings and cash flow statement for the periods in its transition year or old financial year, for the same calendar months as, or as close as possible to, the calendar months in the interim period in the new financial year.

(8) Comparative Financial Information in Interim Financial Statements if Interim Periods Changed in Transition Year – If interim periods for a reporting issuer’s transition year end twelve, nine, six or three months before the end of the transition year, the reporting issuer must include

(a) as comparative financial information in its interim financial statements during its transition year

(i) a balance sheet as at the end of its old financial year; and

(ii) the income statement, statement of retained earnings and cash flow statement for periods in its old financial year, for the same calendar months as, or as close as possible to, the calendar months in the interim period in the transition year; and

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(b) as comparative financial information in its interim financial statements during its new financial year

(i) a balance sheet as at the end of its transition year; and

(ii) the income statement, statement of retained earnings and cash flow statement in its transition year or old financial year, or both, as appropriate, for the same calendar months as, or as close as possible to, the calendar months in the interim period in the new financial year.

4.9 Change in Corporate Structure

If a reporting issuer is party to an amalgamation, arrangement, merger, winding-up, reverse takeover, reorganization or other transaction that will result in

(a) the reporting issuer ceasing to be a reporting issuer;

(b) another entity becoming a reporting issuer;

(c) a change in the reporting issuer’s financial year end; or

(d) a change in the name of the reporting issuer, the issuer must, as soon as practicable, and in any event not later than the deadline for the first filing required under this Instrument following the transaction, file a notice stating

(e) the names of the parties to the transaction;

(f) a description of the transaction;

(g) the effective date of the transaction;

(h) the names of each party, if any, that ceased to be a reporting issuer subsequent to the transaction and of each continuing entity;

(i) the date of the reporting issuer’s first financial year-end subsequent to the transaction; and

(j) the periods, including the comparative periods, if any, of the interim and annual financial statements required to be filed for the reporting issuer’s first financial year subsequent to the transaction.

4.10 Reverse Takeovers

(1) Change in Year End - If a reporting issuer must comply with section 4.9 because it was a party to a reverse takeover, the reporting issuer must comply with section 4.8 unless

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(a) the reporting issuer had the same year-end as the reverse takeover acquirer before the transaction; or

(b) the reporting issuer changes its year-end to be the same as that of the reverse takeover acquirer.

(2) Financial Statements of the Reverse Takeover Acquirer for Periods Ending Before a Reverse Takeover - If a reporting issuer completes a reverse takeover, it must

(a) file financial statements for the reverse takeover acquirer for all annual and interim periods ending

(i) after the date of the financial statements included in an information circular filed in connection with the transaction; and

(ii) before the date of the reverse takeover,

unless the financial statements have already been filed;

(b) file the annual financial statements required by paragraph (a) on or before the later of

(i) the 20th day after the date of the reverse takeover;

(ii) the 90th date after the end of the financial year; and

(iii) the 120th day after the end of the financial year if the reporting issuer is a venture issuer; and

(c) file the interim financial statements required by paragraph (a) on or before the later of

(i) the 10th day after the date of the reverse takeover;

(ii) the 45th day after the end of the interim period; and

(iii) the 60th day after the end of the interim period if the reporting issuer is a venture issuer.

4.11 Change of Auditor

(1) Definitions - In this section

“appointment” means, in relation to a reporting issuer, the earlier of

(a) the appointment as its auditor of a different person or company than its former auditor; and

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(b) the decision by the board of directors of the reporting issuer to propose to holders of qualified securities to appoint as its auditor a different person or company than its former auditor;

“consultation” means advice provided by a successor auditor, whether or not in writing, to a reporting issuer during the relevant period, which the successor auditor concluded was an important factor considered by the reporting issuer in reaching a decision concerning

(a) the application of accounting principles or policies to a transaction, whether or not the transaction is completed;

(b) a report provided by an auditor on the reporting issuer’s financial statements;

(c) scope or procedure of an audit or review engagement; or

(d) financial statement disclosure;

“disagreement” means a difference of opinion between personnel of a reporting issuer responsible for finalizing the reporting issuer’s financial statements and the personnel of a former auditor responsible for authorizing the issuance of audit reports on the reporting issuer’s financial statements or authorizing the communication of the results of the auditor’s review of the reporting issuer’s interim financial statements, if the difference of opinion

(a) resulted in a reservation in the former auditor’s audit report on the reporting issuer’s financial statements for any period during the relevant period;

(b) would have resulted in a reservation in the former auditor’s audit report on the reporting issuer’s financial statements for any period during the relevant period if the difference of opinion had not been resolved to the former auditor’s satisfaction, not including a difference of opinion based on incomplete or preliminary information that was resolved to the satisfaction of the former auditor upon the receipt of further information;

(c) resulted in a qualified or adverse communication or denial of assurance in respect of the former auditor’s review of the reporting issuer’s interim financial statements for any interim period during the relevant period; or

(d) would have resulted in a qualified or adverse communication or denial of assurance in respect of the former auditor’s review of the reporting issuer’s interim financial statements for any interim period during the relevant period if the difference of opinion had not been resolved to the former auditor’s satisfaction, not including a difference of opinion based on incomplete or preliminary information that was resolved to the satisfaction of the former auditor upon the receipt of further information;

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“former auditor” means the auditor of a reporting issuer that is the subject of the most recent termination or resignation;

“qualified securities” means securities of a reporting issuer that carry the right to participate in voting on the appointment or removal of the reporting issuer’s auditor;

“relevant information circular” means

(a) if a reporting issuer’s constating documents or applicable law require holders of qualified securities to take action to remove the reporting issuer’s auditor or to appoint a successor auditor

(i) the information circular required to accompany or form part of every notice of meeting at which that action is proposed to be taken; or

(ii) the disclosure document accompanying the text of the written resolution provided to holders of qualified securities; or

(b) if paragraph (a) does not apply, the information circular required to accompany or form part of the first notice of meeting to be sent to holders of qualified securities following the preparation of a reporting package concerning a termination or resignation;

“relevant period” means the period commencing at the beginning of the reporting issuer’s two most recently completed financial years and ending on the date of termination or resignation;

“reportable event” means a disagreement, a consultation, or an unresolved issue;

“reporting package” means

(a) the documents referred to in subparagraphs (5)(a)(i) and (6)(a)(i);

(b) the letter referred to in clause (5)(a)(ii)(B), if received by the reporting issuer, unless an updated letter referred to in clause (6)(a)(iii)(B) has been received by the reporting issuer;

(c) the letter referred to in clause (6)(a)(ii)(B), if received by the reporting issuer; and

(d) any updated letter referred to in clause (6)(a)(iii)(B) received by the reporting issuer;

“resignation” means notification from an auditor to a reporting issuer of the auditor’s decision to resign or decline to stand for reappointment;

“successor auditor” means the person or company

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(a) appointed;

(b) that the board of directors have proposed to holders of qualified securities be appointed; or

(c) that the board of directors have decided to propose to holders of qualified securities be appointed,

as the reporting issuer’s auditor after the termination or resignation of the reporting issuer’s former auditor;

“termination” means, in relation to a reporting issuer, the earlier of

(a) the removal of its auditor before the expiry of the auditor’s term of appointment, the expiry of its auditor’s term of appointment without reappointment, or the appointment of a different person or company as its auditor upon expiry of its auditor’s term of appointment; and

(b) the decision by the board of directors of the reporting issuer to propose to holders of its qualified securities that its auditor be removed before, or that a different person or company be appointed as its auditor upon, the expiry of its auditor’s term of appointment;

“unresolved issue” means any matter that, in the former auditor’s opinion, has, or could have, a material impact on the financial statements, or reports provided by the auditor relating to the financial statements, for any financial period during the relevant period, and about which the former auditor has advised the reporting issuer if

(a) the former auditor was unable to reach a conclusion as to the matter’s implications before the date of termination or resignation;

(b) the matter was not resolved to the former auditor’s satisfaction before the date of termination or resignation; or

(c) the former auditor is no longer willing to be associated with any of the financial statements;

(2) Meaning of “Material” - For the purposes of this section, the term “material” has a meaning consistent with the discussion of the term “materiality” in the Handbook.

(3) Exemption from Change of Auditor Requirements - This section does not apply if

(a) (i) a termination, or resignation, and appointment occur in connection with an amalgamation, arrangement, takeover or similar transaction involving the reporting issuer or a reorganization of the reporting issuer;

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(i) the termination, or resignation, and appointment have been disclosed in a news release that has been filed or in a disclosure document that has been delivered to holders of qualified securities and filed; and

(ii) no reportable event has occurred;

(b) the change of auditor is required by the legislation under which the reporting issuer exists or carries on its activities; or

(c) the change of auditor arises from an amalgamation, merger or other reorganization of the auditor.

(4) Exemption From Change of Auditor Requirements – SEC Issuers - This section does not apply to an SEC issuer if it

(a) complies with the requirements of U.S. laws relating to a change of auditor;

(b) files a copy of all materials required by U.S. laws relating to a change of auditor at the same time as, or as soon as practicable after, they are filed with or furnished to the SEC;

(c) issues and files a news release describing the information disclosed in the materials referred to in paragraph (b), if there are any reportable events; and

(d) includes the materials referred to in paragraph (b) with each relevant information circular.

(5) Requirements Upon Auditor Termination or Resignation - Upon a termination or resignation of its auditor, a reporting issuer must

(a) within 10 days after the date of termination or resignation

(i) prepare a change of auditor notice in accordance with subsection (7) and deliver a copy of it to the former auditor; and

(ii) request the former auditor to

(A) review the reporting issuer’s change of auditor notice;

(B) prepare a letter, addressed to the applicable regulator or securities regulatory authority, stating, for each statement in the change of auditor notice, whether the auditor

(I) agrees,

(II) disagrees, and the reasons why, or

(III) has no basis to agree or disagree; and

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(C) deliver the letter to the reporting issuer within 20 days after the date of termination or resignation;

(b) within 30 days after the date of termination or resignation

(i) have the audit committee of its board of directors or its board of directors review the letter referred to in clause (5)(a)(ii)(B) if received by the reporting issuer, and approve the change of auditor notice;

(ii) file a copy of the reporting package with the regulator or securities regulatory authority;

(iii) deliver a copy of the reporting package to the former auditor;

(iv) if there are any reportable events, issue and file a news release describing the information in the reporting package; and

(c) include with each relevant information circular

(i) a copy of the reporting package as an appendix; and

(ii) a summary of the contents of the reporting package with a cross- reference to the appendix.

(6) Requirements upon Auditor Appointment - Upon an appointment of a successor auditor, a reporting issuer must

(a) within 10 days after the date of appointment

(i) prepare a change of auditor notice in accordance with subsection (7) and deliver it to the successor auditor and to the former auditor;

(ii) request the successor auditor to

(A) review the reporting issuer’s change of auditor notice;

(B) prepare a letter addressed to the applicable regulator or securities regulatory authority, stating, for each statement in the change of auditor notice, whether the auditor

(I) agrees,

(II) disagrees, and the reasons why, or

(III) has no basis to agree or disagree; and

(C) deliver that letter to the reporting issuer within 20 days after the date of appointment; and

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(iii) request the former auditor to, within 20 days after the date of appointment,

(A) confirm that the letter referred to in clause (5)(a)(ii)(B) does not have to be updated; or

(B) prepare and deliver to the reporting issuer an updated letter to replace the letter referred to in clause (5)(a)(ii)(B);

(b) within 30 days after the date of appointment,

(i) have the audit committee of its board of directors or its board of directors review the letters referred to in clauses (6)(a)(ii)(B) and (6)(a)(iii)(B) if received by the reporting issuer, and approve the change of auditor notice;

(ii) file a copy of the reporting package with the regulator or securities regulatory authority;

(iii) deliver a copy of the reporting package to the successor auditor and to the former auditor; and

(iv) if there are any reportable events, issue and file a news release disclosing the appointment of the successor auditor and either describing the information in the reporting package or referring to the news release required under subparagraph (5)(b)(iv).

(7) Change of Auditor Notice Content - A change of auditor notice must state

(a) the date of termination or resignation;

(b) whether the former auditor

(i) resigned on the former auditor’s own initiative or at the reporting issuer’s request;

(ii) was removed or is proposed to holders of qualified securities to be removed during the former auditor’s term of appointment; or

(iii) was not reappointed or has not been proposed for reappointment;

(c) whether the termination or resignation of the former auditor and any appointment of the successor auditor were considered or approved by the audit committee of the reporting issuer’s board of directors or the reporting issuer's board of directors;

(d) whether the former auditor’s report on any of the reporting issuer’s financial statements relating to the relevant period contained any reservation and, if so, a description of each reservation;

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(e) if there is a reportable event, the following information:

(i) for a disagreement,

(A) a description of the disagreement;

(B) whether the audit committee of the reporting issuer’s board of directors or the reporting issuer’s board of directors discussed the disagreement with the former auditor; and

(C) whether the reporting issuer authorized the former auditor to respond fully to inquiries by any successor auditor concerning the disagreement and, if not, a description of and reasons for any limitation;

(ii) for a consultation,

(A) a description of the issue that was the subject of the consultation;

(B) a summary of the successor auditor’s oral advice, if any, provided to the reporting issuer concerning the issue;

(C) a copy of the successor auditor’s written advice, if any, received by the reporting issuer concerning the issue; and

(D) whether the reporting issuer consulted with the former auditor concerning the issue and, if so, a summary of the former auditor's advice concerning the issue; and

(iii) for an unresolved issue,

(A) a description of the issue;

(B) whether the audit committee of the reporting issuer’s board of directors or the reporting issuer’s board of directors discussed the issue with the former auditor; and

(C) whether the reporting issuer authorized the former auditor to respond fully to inquiries by any successor auditor concerning the issue and, if not, a description of and reasons for any limitation; and

(f) if there are no reportable events, a statement to that effect.

(8) Auditor’s Obligations to Report Non-Compliance - Except in British Columbia, Alberta and Manitoba, if the successor auditor becomes aware that the change of auditor notice required by this section has not been prepared and filed by the reporting issuer, the auditor must, within 7 days, advise the reporting issuer in writing and deliver a copy of the letter to the applicable regulator or securities regulatory authority.

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PART 5 MANAGEMENT’S DISCUSSION & ANALYSIS

5.1 Filing of MD&A

(1) A reporting issuer must file MD&A relating to its annual and interim financial statements required under Part 4.

(2) Subject to section 5.2, the MD&A required to be filed under subsection (1) must be filed by the earlier of

(a) the filing deadlines for the annual and interim financial statements set out in sections 4.2, 4.4 and 4.7, as applicable; and

(b) the date the reporting issuer files the financial statements under subsections 4.1(1), 4.3(1) or 4.7(1), as applicable.

5.2 Filing of MD&A and Supplement for SEC Issuers

(1) If an SEC issuer is filing its annual or interim MD&A prepared in accordance with Item 303 of Regulation S-K or Item 303 of Regulation S-B under the 1934 Act, then the SEC issuer must file

(a) that document on or before the earlier of

(i) the date the SEC issuer would be required to file that document under section 5.1; and

(ii) the date the SEC issuer files that document with the SEC; and

(b) at the same time, a supplement prepared in accordance with subsection (2) if the SEC issuer

(i) has based the discussion in the MD&A on financial statements prepared in accordance with U.S. GAAP; and

(ii) is required by subsection 4.1(1) of National Instrument 52-107 Acceptable Accounting Principles, Auditing Standards and Reporting Currency to provide a reconciliation to Canadian GAAP.

(2) A supplement required under subsection (1) must restate, based on financial information of the reporting issuer prepared in accordance with or reconciled to Canadian GAAP, those parts of the MD&A that

(a) are based on financial statements of the reporting issuer prepared in accordance with U.S. GAAP; and

(b) would contain material differences if they were based on financial statements of the reporting issuer prepared in accordance with Canadian GAAP.

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5.3 Additional Disclosure for Venture Issuers Without Significant Revenue

(1) A venture issuer that has not had significant revenue from operations in either of its last two financial years, must disclose in its MD&A or in its MD&A supplement if one is required under section 5.2, for each period referred to in subsection (2), a breakdown of material components of

(a) capitalized or expensed exploration and development costs;

(b) expensed research and development costs;

(c) deferred development costs;

(d) general and administration expenses; and

(e) any material costs, whether capitalized, deferred or expensed, not referred to in paragraphs (a) through (d);

and if the venture issuer’s business primarily involves mining exploration and development, the analysis of capitalized or expensed exploration and development costs must be presented on a property-by-property basis.

(2) The disclosure in subsection (1) must be provided for the following periods:

(a) in the case of annual MD&A, for the two most recently completed financial years; and

(b) in the case of interim MD&A, for the most recent year-to-date interim period and the comparative period presented in the interim financial statements.

(3) Subsection (1) does not apply if the information required under that subsection has been disclosed in the financial statements to which the MD&A or MD&A supplement relates.

5.4 Disclosure of Outstanding Share Data

(1) A reporting issuer must disclose in its MD&A, or in its MD&A supplement if one is required under section 5.2, the designation and number or principal amount of

(a) each class and series of voting or equity securities of the reporting issuer for which there are securities outstanding;

(b) each class and series of securities of the reporting issuer for which there are securities outstanding if the securities are convertible into, or exercisable or exchangeable for, voting or equity securities of the reporting issuer; and

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(c) subject to subsection (2), each class and series of voting or equity securities of the reporting issuer that are issuable on the conversion, exercise or exchange of outstanding securities of the reporting issuer.

(2) If the exact number or principal amount of voting or equity securities of the reporting issuer that are issuable on the conversion, exercise or exchange of outstanding securities of the reporting issuer is not determinable, the reporting issuer must disclose the maximum number or principal amount of each class and series of voting or equity securities that are issuable on the conversion, exercise or exchange of outstanding securities of the reporting issuer and, if that maximum number or principal amount is not determinable, the reporting issuer must describe the exchange or conversion features and the manner in which the number or principal amount of voting or equity securities will be determined.

(3) The disclosure under subsections (1) and (2) must be prepared as of the latest practicable date.

5.5 Approval of MD&A

(1) The annual MD&A and any annual MD&A supplement that a reporting issuer is required to file under this Part must be approved by the board of directors before being filed.

(2) The interim MD&A and any interim MD&A supplement that a reporting issuer is required to file under this Part must be approved by the board of directors before being filed.

(3) In fulfilling the requirement in subsection (2), the board of directors may delegate the approval of the interim MD&A and any MD&A supplement required to be filed under this Part to the audit committee of the board of directors.

5.6 Delivery of MD&A

(1) If a registered holder or beneficial owner requests the reporting issuer’s annual or interim MD&A, the reporting issuer must send a copy of the requested MD&A and any MD&A supplement required under section 5.2 to the person or company that made the request, without charge, by the later of

(a) the filing deadline for the MD&A requested; and

(b) 10 calendar days after the issuer receives the request.

(2) A reporting issuer is not required to send copies of any MD&A or MD&A supplement under subsection (1) that was filed more than two years before the issuer receives the request.

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(3) The requirement to send annual MD&A and any related MD&A supplement under subsection (1) does not apply to a reporting issuer that sends its annual MD&A and any related MD&A supplement to all its securityholders, other than holders of debt instruments.

(4) If a reporting issuer sends MD&A under this section, the reporting issuer must also send, at the same time, the annual or interim financial statements to which the MD&A relates.

PART 6 ANNUAL INFORMATION FORM

6.1 Requirement to File an AIF

A reporting issuer that is not a venture issuer must file an AIF.

6.2 Filing Deadline for an AIF

An AIF required to be filed under section 6.1 must be filed,

(a) subject to paragraph (b), on or before the 90th day after the end of the reporting issuer’s most recently completed financial year; or

(b) in the case of a reporting issuer that is an SEC issuer filing its AIF in Form 10-K, Form 10-KSB or Form 20-F, on or before the earlier of

(i) the 90th day after the end of the reporting issuer’s most recently completed financial year; and

(ii) the date the reporting issuer files its Form 10-K, Form 10-KSB or Form 20-F with the SEC.

6.3 Incorporated Documents to be Filed

A reporting issuer that files an AIF must at the same time file copies of all material incorporated by reference in the AIF and not previously filed.

PART 7 MATERIAL CHANGE REPORTS

7.1 Publication of Material Change

(1) Subject to subsection (2), if a material change occurs in the affairs of a reporting issuer, the reporting issuer must

(a) immediately issue and file a news release authorized by a senior officer disclosing the nature and substance of the change; and

(b) as soon as practicable, and in any event within 10 days of the date on which the change occurs, file a Form 51-102F3 Material Change Report with respect to the material change.

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(2) Subsection (1) does not apply if,

(a) in the opinion of the reporting issuer, and if that opinion is arrived at in a reasonable manner, the disclosure required by subsection (1) would be unduly detrimental to the interests of the reporting issuer; or

(b) the material change consists of a decision to implement a change made by senior management of the reporting issuer who believe that confirmation of the decision by the board of directors is probable, and senior management of the reporting issuer has no reason to believe that persons with knowledge of the material change have made use of that knowledge in purchasing or selling securities of the reporting issuer,

and the reporting issuer immediately files the report required under paragraph (1)(b) marked so as to indicate that it is confidential, together with written reasons for non-disclosure.

(3) In Québec, subsection (1) does not apply to a reporting issuer in Québec if

(a) senior management of the reporting issuer has reasonable grounds to believe that disclosure required by subsection (1) would be seriously prejudicial to the interests of the reporting issuer and that no trade in the securities of the reporting issuer has been or will be carried out on the basis of the information not generally known; and

(b) the reporting issuer immediately files the report required under paragraph (1)(b) marked so as to indicate that it is confidential, together with written reasons for non-disclosure.

(4) If a reporting issuer relies on subsection (3), the reporting issuer must comply with subsection (1) when the circumstances that justify non-disclosure have ceased to exist.

(5) If a report has been filed under subsection (2) or (3), the reporting issuer must advise the regulator or securities regulatory authority in writing if it believes the report should continue to remain confidential, within 10 days of the date of filing of the initial report and every 10 days thereafter until the material change is generally disclosed in the manner referred to in paragraph (1)(a), or, if the material change consists of a decision of the type referred to in paragraph (2)(b), until that decision has been rejected by the board of directors of the reporting issuer.

(6) Despite subsection (5), in Ontario, the reporting issuer must advise the securities regulatory authority.

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(7) If a report has been filed under subsection (2) or (3), the reporting issuer must promptly generally disclose the material change in the manner referred to in paragraph (1)(a) upon the reporting issuer becoming aware, or having reasonable grounds to believe, that persons or companies are purchasing or selling securities of the reporting issuer with knowledge of the material change that has not been generally disclosed.

PART 8 BUSINESS ACQUISITION REPORT

8.1 Interpretation and Application

(1) In this Part,

“acquisition” includes an acquisition of an interest in a business that is consolidated for accounting purposes or accounted for by another method, such as the equity method;

“acquisition of related businesses” means the acquisition of two or more businesses if

(a) the businesses were under common control or management before the acquisitions were completed;

(b) each acquisition was conditional upon the completion of each other acquisition; or

(c) the acquisitions were contingent upon a single common event; and

“business” includes an interest in an oil and gas property.

(2) This Part does not apply to an acquisition made by a reporting issuer if the reporting issuer files its own information circular or that of another person or company, or a filing statement prepared in accordance with the policies and requirements of the TSX Venture Exchange, and

(a) the information circular or filing statement either

(i) contains the information and financial statements that would be required by section 14.2 of Form 51-102F5 concerning the acquisition of the business or related businesses; or

(ii) is an information circular or filing statement prepared in connection with a Qualifying Transaction for an issuer that is a capital pool company under the TSX Venture Exchange’s policy on Capital Pool Companies, and the reporting issuer complies with the policies and requirements of the TSX Venture Exchange in respect of the Qualifying Transaction;

(b) the date of the acquisition is within nine months of the date of the information circular or filing statement; and

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(c) between the date of the information circular or filing statement and the date of acquisition there has been no material change in the terms of the significant acquisition from those disclosed in the information circular or filing statement.

8.2 Obligation to File a Business Acquisition Report

If a reporting issuer completes a significant acquisition, as determined under section 8.3, it must file a business acquisition report within 75 days after the date of acquisition.

8.3 Determination of Significance

(1) Significant Acquisitions - Subject to subsection (3), an acquisition of a business or related businesses is a significant acquisition,

(a) for a reporting issuer that is not a venture issuer, if the acquisition satisfies any of the three significance tests set out in subsection (2); and

(b) for a venture issuer, if the acquisition satisfies either of the significance tests set out in paragraphs (2)(a) or (b) if “20 percent” is read as “40 percent”.

(2) Required Significance Tests - For the purposes of subsection (1), the significance tests are:

(a) The Asset Test. The reporting issuer’s proportionate share of the consolidated assets of the business or related businesses exceeds 20 percent of the consolidated assets of the reporting issuer calculated using the audited financial statements of each of the reporting issuer and the business or the related businesses for the most recently completed financial year of each that ended before the date of the acquisition.

(b) The Investment Test. The reporting issuer’s consolidated investments in and advances to the business or related businesses as at the date of the acquisition exceeds 20 percent of the consolidated assets of the reporting issuer as at the last day of the most recently completed financial year of the reporting issuer ended before the date of the acquisition, excluding any investments in or advances to the business or related businesses as at that date.

(c) The Income Test. The reporting issuer’s proportionate share of the consolidated income from continuing operations of the business or related businesses exceeds 20 percent of the consolidated income from continuing operations of the reporting issuer calculated using the audited financial statements of each of the reporting issuer and the business or related businesses for the most recently completed financial year of each ended before the date of acquisition.

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(3) Optional Significance Tests - Despite subsection (1), if an acquisition of a business or related businesses is significant based on the significance tests in subsection (2),

(a) a reporting issuer that is not a venture issuer may re-calculate the significance using the optional significance tests in subsection (4); and

(b) a venture issuer may re-calculate the significance using the optional significance tests in paragraphs (4)(a) or (b) if “20 percent” is read as “40 percent”.

(4) For the purposes of subsection (3), the optional significance tests are:

(a) The Asset Test. The reporting issuer’s proportionate share of the consolidated assets of the business or related businesses, as at the last day of the reporting issuer’s most recently completed interim period, exceeds 20 percent of the consolidated assets of the reporting issuer, as at the last day of the reporting issuer’s most recently completed interim period, without giving effect to the acquisition.

(b) The Investment Test. The reporting issuer’s consolidated investments in and advances to the business or related businesses as at the date of the acquisition exceeds 20 percent of the consolidated assets of the reporting issuer as at the last day of the most recently completed interim period of the reporting issuer ended before the date of the acquisition, excluding any investments in or advances to the business or related businesses as at that date.

(c) The Income Test. The income from continuing operations calculated under the following item 1. exceeds 20 percent of the income from continuing operations calculated under the following item 2.:

1. The reporting issuer’s proportionate share of the consolidated income from continuing operations of the business or related businesses for the later of

(A) the most recently completed financial year of the business or related businesses, or

(B) the 12 months ended on the last day of the most recently completed interim period of the business or related businesses.

2. The reporting issuer’s consolidated income from continuing operations for the later of

(A) the most recently completed financial year, without giving effect to the acquisition, or

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(B) the 12 months ended on the last day of the most recently completed interim period of the reporting issuer, without giving effect to the acquisition.

(5) If a reporting issuer re-calculates the significance of an acquisition of a business or of related businesses under subsection (4) and none of the significance tests in that subsection is met, the acquisition is not a significant acquisition for purposes of this Instrument.

(6) Despite subsection (3), the significance of an acquisition of a business or related businesses may be re-calculated using financial statements for periods that ended after the date of acquisition only if, after the date of acquisition, the business or related businesses remained substantially intact and were not significantly reorganized, and no significant assets or liabilities were transferred to other entities.

(7) Application of the Income Test if a Loss Occurred - For the purposes of paragraphs (2)(c) and (4)(c), if any of the reporting issuer, the business or the related businesses has incurred a loss, the significance test must be applied using the absolute value of the loss.

(8) Application of the Income Test if Lower Than Average Income for the Most Recent Year - For the purposes of paragraph (2)(c) and clause (4)(c)2.(A), if the reporting issuer’s consolidated income from continuing operations for the most recently completed financial year was

(a) positive; and

(b) lower by 20 percent or more than the average consolidated income from continuing operations of the reporting issuer for the three most recently completed financial years,

then the average consolidated income from continuing operations for the three most recently completed financial years may, subject to subsection (10), be substituted in determining whether the significance test set out in paragraph (2)(c) or (4)(c) is satisfied.

(9) Application of the Optional Income Test if Lower Than Average Income for the Most Recent Year - For the purpose of clause (4)(c)2.(B) if the reporting issuer’s consolidated income from continuing operations for the most recently completed 12-month period was

(a) positive; and

(b) lower by 20 percent or more than the average consolidated income from continuing operations of the reporting issuer for the three most recently completed 12-month periods,

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then the average consolidated income for the three most recently completed 12-month periods may, subject to subsection (10), be substituted in determining whether the significance test set out in paragraph (4)(c) is satisfied.

(10) Lower than Average Income of the Issuer if a Loss Occurred - If the reporting issuer’s consolidated income from continuing operations for either of the two earlier financial periods referred to in subsections (8) and (9) is a loss, the reporting issuer’s income from continuing operations for that period is considered to be zero for the purposes of calculating the average consolidated income for the three financial periods.

(11) Application of Significance Tests – Step-By-Step Acquisitions - If a reporting issuer has made a “step-by-step” purchase as described in the Handbook, then for the purposes of applying subsections (2) and (4),

(a) if the initial investment and one or more incremental investments were made during the same financial year, the investments must be aggregated and tested on a combined basis;

(b) if one or more incremental investments were made in a financial year subsequent to the financial year in which an initial or incremental investment was made and the initial or previous incremental investments are reflected in audited annual financial statements of the reporting issuer previously filed, the reporting issuer must apply the significance tests set out in subsections (2) and (4) on a combined basis to the incremental investments not reflected in audited financial statements of the reporting issuer previously filed; and

(c) if one or more incremental investments were made in a financial year subsequent to the financial year in which the initial investment was made and the initial investment is not reflected in audited annual financial statements of the issuer previously filed, the reporting issuer must apply the significance tests set out in subsections (2) and (4) to the initial and incremental investments on a combined basis.

(12) Application of Significance Tests – Related Businesses - In determining whether an acquisition of related businesses is a significant acquisition, related businesses acquired after the ending date of the most recently filed annual audited financial statements of the reporting issuer must be considered on a combined basis.

(13) Application of Significance Tests – Accounting Principles and Currency - For the purposes of the significance tests in subsections (2) and (4), financial statements of the business or related businesses must be reconciled to the accounting principles used to prepare the reporting issuer’s financial statements and translated into the same reporting currency as that used in the reporting issuer’s financial statements.

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(14) Application of Significance Tests – Use of Unaudited Financial Statements - Despite subsections (2) and (4), the significance of an acquisition of a business or related businesses may be calculated using unaudited financial statements of the business or related businesses that comply with subsection 6.1(1) of National Instrument 52-107 Acceptable Accounting Principles, Auditing Standards and Reporting Currency if the financial statements of the business or related businesses for the most recently completed financial year have not been audited.

8.4 Financial Statement Disclosure for Significant Acquisitions

(1) Annual Financial Statements - If an acquisition of a business or related businesses is a significant acquisition under subsection 8.3(1) or 8.3(3), subject to sections 8.6 through 8.11, a business acquisition report must include the following financial statements of each business or related businesses:

(a) an income statement, a statement of retained earnings and a cash flow statement for the periods specified in section 8.5;

(b) a balance sheet as at the date on which each of the periods specified in section 8.5 ended;

(c) notes to the financial statements; and

(d) an auditor’s report on the financial statements for each of the periods specified in section 8.5.

(2) Interim Financial Statements - Subject to sections 8.6 through 8.11, if a reporting issuer must include financial statements in a business acquisition report under subsection (1), the business acquisition report must include interim financial statements for

(a) either

(i) the most recently completed interim period of the business that started the day after the balance sheet date specified in paragraph (1)(b) and ended before the date of acquisition; or

(ii) the period that started the day after the balance sheet date specified in paragraph (1)(b) and ended on a day that is more recent than the ending date of the period in subparagraph (i) and is not later than the date of acquisition; and

(b) the comparable period in the preceding financial year of the business.

(3) Pro Forma Financial Statements Required in a Business Acquisition Report - If a reporting issuer is required to include financial statements in a business acquisition report under subsection (1) or (2), the business acquisition report must include

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(a) a pro forma balance sheet of the reporting issuer as at the date of the reporting issuer’s most recent balance sheet filed that gives effect, as if they had taken place as at the date of the pro forma balance sheet, to significant acquisitions that have been completed, but are not reflected in the reporting issuer’s most recent annual or interim balance sheet;

(b) a pro forma income statement of the reporting issuer that gives effect to significant acquisitions completed after the ending date of the reporting issuer’s most recently completed financial year for which financial statements are required to have been filed, as if they had taken place at the beginning of that financial year, for each of the following financial periods:

(i) the reporting issuer’s most recently completed financial year for which financial statements are required to have been filed; and

(ii) the reporting issuer’s most recently completed interim period that ended after the period in subparagraph (i) for which financial statements are required to have been filed;

(c) pro forma earnings per share based on the pro forma financial statements referred to in paragraph (b); and

(d) a compilation report accompanying the pro forma financial statements required under paragraphs (a) and (b) signed by the reporting issuer’s auditor and prepared in accordance with the Handbook.

(4) Preparation of Pro Forma Financial Statements - If a reporting issuer is required to include pro forma financial statements in a business acquisition report under subsection (3),

(a) the reporting issuer must identify in the pro forma financial statements each significant acquisition, if the pro forma financial statements give effect to more than one significant acquisition;

(b) the reporting issuer must include in the pro forma financial statements a description of the underlying assumptions on which the pro forma financial statements are prepared, cross-referenced to each related pro forma adjustment;

(c) if the financial year-end of the business differs from the reporting issuer’s year-end by more than 93 days, for the purpose of preparing the pro forma income statement for the reporting issuer’s most recently completed financial year, the reporting issuer must construct an income statement of the business for a period of 12 consecutive months ending no more than 93 days before or after the reporting issuer’s year-end, by adding the results for a subsequent interim period to a completed financial year of the business and deducting the comparable interim results for the immediately preceding year;

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(d) if a constructed income statement is required under paragraph (c), the pro forma financial statements must disclose the period covered by the constructed income statement on the face of the pro forma financial statements and must include a note stating that the financial statements of the business used to prepare the pro forma financial statements were prepared for the purpose of the pro forma financial statements and do not conform with the financial statements for the business included elsewhere in the business acquisition report;

(e) if a reporting issuer is required to prepare a pro forma income statement for an interim period required by subparagraph (3)(b)(ii), and the pro forma income statement for the most recently completed financial year includes results of the business which are also included in the pro forma income statement for the interim period, the reporting issuer must disclose in a note to the pro forma financial statements the revenue, expenses, gross profit and income from continuing operations included in each pro forma income statement for the overlapping period; and

(f) an audit report is not required for a constructed period referred to in paragraph (c).

(5) Financial Statements of Related Businesses - If a reporting issuer is required under subsection (1) to include financial statements for more than one business because the significant acquisition involves an acquisition of related businesses, the financial statements required under subsection (1) must be presented separately for each business, except for the periods during which the businesses have been under common control or management, in which case the reporting issuer may present the financial statements of the businesses on a combined basis.

8.5 Reporting Periods

(1) Reporting Issuers that are not Venture Issuers - The periods for which the financial statements are required under subsection 8.4(1) for a reporting issuer that is not a venture issuer as at the date of acquisition must be determined by reference to the significance tests set out in subsections 8.3(2) and 8.3(4) as follows:

1. Acquisitions significant between 20 percent and 40 percent - If none of the significance tests is satisfied if “20 percent” is read as “40 percent”, financial statements must be included for

(A) the most recently completed financial year of the business ended more than 45 days before the date of acquisition; or

(B) if the business has not completed one financial year, or the business has completed its first financial year that ended 45 or fewer days before the date of acquisition, the financial period commencing on the date of formation and ending on a date not more than 45 days before the date of acquisition.

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2. Acquisitions significant over 40 percent - If any of the significance tests are satisfied if “20 percent” is read as “40 percent”, financial statements must be included for

(A) each of the two most recently completed financial years of the business ended more than 45 days before the date of acquisition;

(B) if the business has not completed two financial years, any completed financial year ended more than 45 days before the date of acquisition; or

(C) if the business has not completed one financial year, or the business has completed its first financial year that ended 45 or fewer days before the date of acquisition, a financial period commencing on the date of formation and ending on a date not more than 45 days before the date of acquisition.

(2) Venture Issuers - The period for which the financial statements are required under subsection 8.4(1) for a reporting issuer that is a venture issuer as at the date of acquisition is

(a) the most recently completed financial year of the business ended more than 45 days before the date of acquisition; or

(b) if the business has not completed one financial year, or the business has completed its first financial year that ended 45 or fewer days before the date of acquisition, the financial period commencing on the date of formation and ending on a date not more than 45 days before the date of acquisition.

8.6 Exemption for Significant Acquisitions Accounted for Using the Equity Method

A reporting issuer is exempt from the requirements in section 8.4 if

(a) the acquisition is, or will be, an investment accounted for using the equity method;

(b) the business acquisition report includes disclosure for the periods for which financial statements are otherwise required under subsection 8.4(1) that

(i) summarizes information as to the assets, liabilities and results of operations of the business; and

(ii) describes the reporting issuer’s proportionate interest in the business and any contingent issuance of securities by the business that might significantly affect the reporting issuer’s share of earnings;

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(c) the financial information provided under paragraph (b) for any completed financial year

(i) has been derived from audited financial statements of the business; or

(ii) has been audited; and

(d) the business acquisition report

(i) identifies the financial statements referred to in subparagraph (c)(i) from which the disclosure provided under paragraph (b) has been derived; or

(ii) discloses that the financial information provided under paragraph (b), if not derived from audited financial statements, has been audited; and

(iii) discloses that the audit opinion with respect to the financial statements referred to in subparagraph (i), or the financial information referred to in subparagraph (ii), was issued without a reservation.

8.7 Exemptions for Significant Acquisitions if More Recent Statements Included

(1) If under item 8.5(1)2. a reporting issuer is required to provide financial statements of a business for two completed financial years, the reporting issuer may omit the financial statements for the oldest financial year, if

(a) audited financial statements of the business are included for a financial year ended 45 days or less before the date of acquisition; or

(b) (i) audited financial statements are included in the business acquisition report for a period of at least nine months commencing the day after the most recently completed financial year for which financial statements are required under item 8.5(1)2.;

(ii) the business is not seasonal; and

(iii) the reporting issuer has not included audited financial statements in the business acquisition report for a period of less than 12 months using the exemption set out in section 8.8.

(2) A reporting issuer is exempt from the requirement in subsection 8.4(2) to provide interim financial statements if the reporting issuer includes annual audited or unaudited financial statements of the business for a financial year ended 45 days or less before the date of acquisition.

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8.8 Exemption for Significant Acquisitions if Financial Year End Changed

If under section 8.5 a reporting issuer is required to provide financial statements for two completed financial years for a business acquired and the business changed its financial year end during either of the financial years required to be included, the reporting issuer may include financial statements for the transition year in satisfaction of the financial statements for one of the years, provided that the transition year is at least nine months.

8.9 Exemption from Comparatives if Financial Statements Not Previously Prepared

A reporting issuer is not required to provide comparative information for interim financial statements required under subsection 8.4(2) for a business acquired if

(a) to a reasonable person it is impracticable to present prior-period information on a basis consistent with the most recently completed interim period of the acquired business;

(b) the prior-period information that is available is presented; and

(c) the notes to the interim financial statements disclose the fact that the prior-period information has not been prepared on a basis consistent with the most recent interim financial information.

8.10 Exemption for Acquisition of an Interest in an Oil and Gas Property

A reporting issuer is exempt from the requirements in section 8.4 if

(a) the significant acquisition is

(ii) an acquisition of a business that is an interest in an oil and gas property; or

(iii) an acquisition of related businesses that are interests in oil and gas properties;

(b) the reporting issuer is unable to provide the financial statements in respect of the significant acquisition otherwise required under this Part because those financial statements do not exist or because the reporting issuer does not have access to those financial statements;

(c) the acquisition does not constitute a reverse takeover;

(d) the business or related businesses did not, immediately before the time of completion of the acquisition, constitute a “reportable segment” of the vendor, as defined in the Handbook;

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(e) in respect of the business or related businesses, for each of the financial years for which financial statements would, but for this section, be required under section 8.4, the business acquisition report includes

(i) an operating statement, accompanied by a report of an auditor, presenting for the business or related businesses at least the following:

(A) gross revenue;

(B) royalty expenses;

(C) production costs; and

(D) operating income;

(ii) a description of the property or properties and the interest acquired by the reporting issuer; and

(iii) disclosure of the annual oil and gas production volumes from the business or related businesses; and

(f) the business acquisition report discloses

(i) the estimated reserves and related future net revenue attributable to the business or related businesses, the material assumptions used in preparing the estimates and the identity and relationship to the reporting issuer or to the vendor of the person who prepared the estimates; and

(ii) the estimated oil and gas production volumes from the business or related businesses for the first year reflected in the estimates disclosed under subparagraph (f)(i).

8.11 Exemption for Step-By-Step Acquisitions

Despite section 8.4, a reporting issuer is exempt from the requirements to file financial statements for an acquired business, other than the pro forma financial statements required by subsection 8.4(3), in a business acquisition report if the reporting issuer has made a “step-by-step” purchase as described in the Handbook and the acquired business has been consolidated in the reporting issuer's most recent annual financial statements that have been filed.

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PART 9 PROXY SOLICITATION AND INFORMATION CIRCULARS

9.1 Sending of Proxies and Information Circulars

(1) If management of a reporting issuer gives notice of a meeting to its registered holders of voting securities, management must, at the same time as or before giving that notice, send to each registered holder of voting securities who is entitled to notice of the meeting a form of proxy for use at the meeting.

(2) Subject to section 9.2, a person or company that solicits proxies from registered holders of voting securities of a reporting issuer must,

(a) in the case of a solicitation by or on behalf of management of a reporting issuer, send an information circular with the notice of meeting to each registered securityholder whose proxy is solicited; or

(b) in the case of any other solicitation, concurrently with or before the solicitation, send an information circular to each registered securityholder whose proxy is solicited.

(3) In Québec, subsections (1) and (2) apply, adapted as required, to a meeting of holders of debt securities of an issuer that is a reporting issuer in Québec, whether called by management of the reporting issuer or by the trustee of the debt securities.

9.2 Exemptions from Sending Information Circular

(1) Subsection 9.1(2) does not apply to a solicitation by a person or company in respect of securities of which the person or company is the beneficial owner.

(2) Paragraph 9.1(2)(b) does not apply to a solicitation if the total number of securityholders whose proxies are solicited is not more than 15.

(3) For the purposes of subsection (2), two or more persons or companies who are joint registered owners of one or more securities are considered to be one securityholder.

9.3 Filing of Information Circulars and Proxy-Related Material

A person or company that is required under this Instrument to send an information circular or form of proxy to registered securityholders of a reporting issuer must promptly file a copy of the information circular, form of proxy and all other material required to be sent by the person or company in connection with the meeting to which the information circular or form of proxy relates.

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9.4 Content of Form of Proxy

(1) A form of proxy sent to securityholders of a reporting issuer by a person or company soliciting proxies must indicate in bold-face type whether or not the proxy is solicited by or on behalf of the management of the reporting issuer, provide a specifically designated blank space for dating the form of proxy and specify the meeting in respect of which the proxy is solicited.

(2) An information circular sent to securityholders of a reporting issuer or the form of proxy to which the information circular relates must

(a) indicate in bold-face type that the securityholder has the right to appoint a person or company to represent the securityholder at the meeting other than the person or company if any, designated in the form of proxy; and

(b) contain instructions as to the manner in which the securityholder may exercise the right referred to in paragraph (a).

(3) If a form of proxy sent to securityholders of a reporting issuer contains a designation of a named person or company as nominee, it must provide an option for the securityholder to designate in the form of proxy some other person or company as the securityholder’s nominee.

(4) A form of proxy sent to securityholders of a reporting issuer must provide an option for the securityholder to specify that the securities registered in the securityholder’s name will be voted for or against each matter or group of related matters identified in the form of proxy, in the notice of meeting or in an information circular, other than the appointment of an auditor and the election of directors.

(5) A form of proxy sent to securityholders of a reporting issuer may confer discretionary authority with respect to each matter referred to in subsection (4) as to which a choice is not specified if the form of proxy or the information circular states in bold-face type how the securities represented by the proxy will be voted in respect of each matter or group of related matters.

(6) A form of proxy sent to securityholders of a reporting issuer must provide an option for the securityholder to specify that the securities registered in the name of the securityholder must be voted or withheld from voting in respect of the appointment of an auditor or the election of directors.

(7) An information circular sent to securityholders of a reporting issuer or the form of proxy to which the information circular relates must state that

(a) the securities represented by the proxy will be voted or withheld from voting in accordance with the instructions of the securityholder on any ballot that may be called for; and

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(b) if the securityholder specifies a choice under subsection (4) or (6) with respect to any matter to be acted upon, the securities will be voted accordingly.

(8) A form of proxy sent to securityholders of a reporting issuer may confer discretionary authority with respect to

(a) amendments or variations to matters identified in the notice of meeting; and

(b) other matters which may properly come before the meeting,

if,

(c) the person or company by whom or on whose behalf the solicitation is made is not aware within a reasonable time before the time the solicitation is made that any of those amendments, variations or other matters are to be presented for action at the meeting; and

(d) a specific statement is made in the information circular or in the form of proxy that the proxy is conferring such discretionary authority.

(9) A form of proxy sent to securityholders of a reporting issuer must not confer authority to vote

(a) for the election of any person as a director of a reporting issuer unless a bona fide proposed nominee for that election is named in the information circular; or

(b) at any meeting other than the meeting specified in the notice of meeting or any adjournment of that meeting.

9.5 Exemption from Part 9

This Part does not apply to a reporting issuer that complies with the requirements of the laws of the jurisdiction in which it is incorporated, organized or continued, if the requirements are substantially similar to the requirements of this Part.

PART 10 RESTRICTED SECURITY DISCLOSURE

10.1 Restricted Security Disclosure

(1) Except as otherwise provided in section 10.3, if a reporting issuer has outstanding restricted securities, or securities that are directly or indirectly convertible into or exercisable or exchangeable for restricted securities or securities that will, when issued, result in an existing class of outstanding securities being considered restricted securities, each document referred to in subsection (2) must

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(a) refer to restricted securities using a term that includes the appropriate restricted security term;

(b) not refer to securities by a term that includes “common”, or “preference” or “preferred”, unless the securities are common shares or preference shares, respectively;

(c) describe any restrictions on the voting rights of restricted securities;

(d) describe the rights to participate, if any, of holders of restricted securities if a takeover bid is made for securities of the reporting issuer with voting rights superior to those attached to the restricted securities;

(e) state the percentage of the aggregate voting rights attached to the reporting issuer’s securities that are represented by the class of restricted securities; and

(f) if holders of restricted securities have no right to participate if a takeover bid is made for securities of the reporting issuer with voting rights superior to those attached to the restricted securities, contain a statement to that effect in bold-face type.

(2) Subsection (1) applies to the following documents except as provided in subsections (3) and (6):

(a) an information circular;

(b) a document required by this Instrument to be delivered upon request by a reporting issuer to any of its securityholders; and

(c) an AIF prepared by a reporting issuer.

(3) Despite subsection (2), annual financial statements, interim financial statements and MD&A or other accompanying discussion by management of those financial statements are not required to include the details referred to in paragraphs (1)(c), (d), (e) and (f).

(4) Each reference to restricted securities in any document not referred to in subsection (2) that a reporting issuer sends to its securityholders must include the appropriate restricted security term.

(5) A reporting issuer must not refer, in any of the documents described in subsection (4), to securities by a term that includes “common” or “preference” or “preferred”, unless the securities are common shares or preference shares, respectively.

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(6) Despite paragraph (1)(b) and subsection (5), a reporting issuer may, in one place only in a document referred to in subsection (2) or (4), describe the restricted securities by the term used in the constating documents of the reporting issuer, to the extent that term differs from the appropriate restricted security term, if the description is not on the front page of the document and is in the same type face and type size as that used generally in the document.

10.2 Dissemination of Disclosure Documents to Holder of Restricted Securities

(1) If a reporting issuer sends a document to all holders of any class of its equity securities the document must also be sent by the reporting issuer at the same time to the holders of its restricted securities.

(2) A reporting issuer that is required by this Instrument to arrange for, or voluntarily makes arrangements for, delivery of the documents referred to in subsection (1) to the beneficial owners of any securities of a class of equity securities registered in the name of a registrant, must make similar arrangements for delivery of the documents to the beneficial owners of securities of a class of restricted securities registered in the name of the registrant.

10.3 Exemptions for Certain Reporting Issuers

The provisions of sections 10.1 and 10.2 do not apply to

(a) securities that carry a right to vote subject to a restriction on the number or percentage of securities that may be voted or owned by persons or companies that are not citizens or residents of Canada or that are otherwise considered as a result of any law applicable to the reporting issuer to be non-Canadians, but only to the extent of the restriction; and

(b) securities that are subject to a restriction, imposed by any law governing the reporting issuer, on the level of ownership of the securities by any person, company or combination of persons or companies, but only to the extent of the restriction.

PART 11 ADDITIONAL FILING REQUIREMENTS

11.1 Additional Filing Requirements

(1) A reporting issuer must file a copy of any disclosure material

(a) that it sends to its securityholders; or

(b) in the case of an SEC issuer, that it files with or furnishes to the SEC, including material filed as exhibits to other documents, if the material contains information that has not been included in disclosure already filed in a jurisdiction by the SEC issuer.

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(2) A reporting issuer must file the material referred to in subsection (1) on the same date as, or as soon as practicable after, the earlier of

(a) the date on which the reporting issuer sends the material to its securityholders; and

(b) the date on which the reporting issuer files or furnishes the material to the SEC.

11.2 Change of Status Report

A reporting issuer must file a notice promptly after the occurrence of either of the following:

(a) the reporting issuer becomes a venture issuer; or

(b) the reporting issuer ceases to be a venture issuer.

11.3 Voting Results

A reporting issuer that is not a venture issuer must, promptly following a meeting of securityholders at which a matter was submitted to a vote, file a report that discloses, for each matter voted upon

(a) a brief description of the matter voted upon and the outcome of the vote; and

(b) if the vote was conducted by ballot, including a vote on a matter in which votes are cast both in person and by proxy, the number or percentage of votes cast for, against or withheld from the vote.

11.4 Financial Information

A reporting issuer must file a copy of any news release issued by it that discloses information regarding its historical or prospective results of operations or financial condition for a financial year or interim period.

PART 12 FILING OF CERTAIN DOCUMENTS

12.1 Filing of Documents Affecting the Rights of Securityholders

(1) A reporting issuer must file copies of the following documents, and any amendments to the following documents, unless previously filed:

(a) articles of incorporation, amalgamation, continuation or any other constating or establishing documents of the issuer, unless the constating or establishing document is a statutory or regulatory instrument;

(b) by-laws or other corresponding instruments currently in effect;

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(c) any securityholder or voting trust agreement that the reporting issuer has access to and that can reasonably be regarded as material to an investor in securities of the reporting issuer;

(d) any securityholders’ rights plans or other similar plans; and

(e) any other contract of the issuer or a subsidiary of the issuer that creates or can reasonably be regarded as materially affecting the rights or obligations of its securityholders generally.

(2) A document required to be filed under subsection (1) may be filed in paper format if

(a) it is dated before March 30, 2004; and

(b) it does not exist in an acceptable electronic format under National Instrument 13-101 System for Electronic Document Analysis and Retrieval (SEDAR).

12.2 Filing of Other Material Contracts

(1) Unless previously filed, a reporting issuer must file a copy of any contract that it or any of its subsidiaries is a party to, other than a contract entered into in the ordinary course of business, that is material to the issuer and was entered into within the last financial year, or before the last financial year but is still in effect.

(2) If an executive officer of the reporting issuer has reasonable grounds to believe that disclosure of certain provisions of a contract required by subsection (1) to be filed would be seriously prejudicial to the interests of the reporting issuer, or would violate confidentiality provisions, the reporting issuer may file the contract with those certain provisions omitted or marked so as to be unreadable.

(3) Despite subsection (1), a reporting issuer is not required to file a contract entered into before January 1, 2002.

12.3 Time for Filing of Documents

The documents required to be filed under sections 12.1 and 12.2 must be filed no later than the time the reporting issuer files a material change report in Form 51- 102F3, if the making of the document constitutes a material change for the issuer, and

(a) no later than the time the reporting issuer’s AIF is filed under section 6.1, if the document was made or adopted before the date of the issuer’s AIF; or

(b) if the reporting issuer is not required to file an AIF under section 6.1, within 120 days after the end of the issuer’s most recently completed financial year, if the document was made or adopted before the end of the issuer’s most recently completed financial year.

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PART 13 EXEMPTIONS

13.1 Exemptions from this Instrument

(1) The regulator or securities regulatory authority may grant an exemption from this Instrument, in whole or in part, subject to such conditions or restrictions as may be imposed in the exemption.

(2) Despite subsection (1), in Ontario only the regulator may grant such an exemption.

13.2 Existing Exemptions

(1) A reporting issuer that was entitled to rely on an exemption, waiver or approval granted to it by a regulator or securities regulatory authority relating to continuous disclosure requirements of securities legislation or securities directions existing immediately before this Instrument came into force is exempt from any substantially similar provision of this Instrument to the same extent and on the same conditions, if any, as contained in the exemption, waiver or approval.

(2) A reporting issuer must, at the time that it first intends to rely on subsection (1) in connection with a filing requirement under this Instrument, inform the securities regulatory authority in writing of

(a) the general nature of the prior exemption, waiver or approval and the date on which it was granted; and

(b) the requirement under prior securities legislation or securities directions in respect of which the prior exemption, waiver or approval applied and the substantially similar provision of this Instrument.

13.3 Exemption for Certain Exchangeable Security Issuers

(1) In this section:

“designated exchangeable security” means an exchangeable security which provides the holder of the security with economic and voting rights which are, as nearly as possible except for tax implications, equivalent to the underlying securities;

“exchangeable security” means a security of an issuer that is exchangeable for, or carries the right of the holder to purchase, or of the parent issuer to cause the purchase of, an underlying security;

“exchangeable security issuer” means a person or company that has issued an exchangeable security;

“parent issuer”, when used in relation to an exchangeable security issuer, means the person or company that issues the underlying security; and

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“underlying security” means a security of a parent issuer issued or transferred, or to be issued or transferred, on the exchange of an exchangeable security.

(2) Except as provided in this subsection, this Instrument does not apply to an exchangeable security issuer if

(a) the parent issuer is the direct or indirect beneficial owner of all the issued and outstanding voting securities of the exchangeable security issuer;

(b) the parent issuer is an SEC issuer with a class of securities listed or quoted on a U.S. marketplace;

(c) the exchangeable security issuer does not issue any securities, other than

(i) designated exchangeable securities;

(ii) securities issued to the parent issuer; or

(iii) debt securities issued to banks, loan corporations, trust corporations, treasury branches, credit unions, insurance companies or other financial institutions;

(d) the exchangeable security issuer files copies of all documents the parent issuer is required to file with the SEC, at the same time as, or as soon as practicable after, the filing by the parent issuer of those documents with the SEC;

(e) the exchangeable security issuer concurrently sends to all holders of designated exchangeable securities, in the manner and at the time required by U.S. laws and the requirements of any U.S. marketplace on which securities of the parent issuer are listed or quoted, all disclosure materials that are sent to holders of the underlying securities;

(f) the parent issuer is in compliance with U.S. laws and the requirements of any U.S. marketplace on which the securities of the parent issuer are listed or quoted in respect of making public disclosure of material information on a timely basis, and immediately issues in Canada and files any news release that discloses a material change in its affairs;

(g) the exchangeable security issuer issues in Canada a news release and files a material change report in accordance with Part 7 of this Instrument for all material changes in respect of the affairs of the exchangeable security issuer that are not also material changes in the affairs of its parent issuer; and

(h) the parent issuer includes in all mailings of proxy solicitation materials to holders of designated exchangeable securities a clear and concise statement that

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(i) explains the reason the mailed material relates solely to the parent issuer;

(ii) indicates that the designated exchangeable securities are the economic equivalent to the underlying securities; and

(iii) describes the voting rights associated with the designated exchangeable securities.

(3) The insider reporting requirement and the requirement to file an insider profile under National Instrument 55-102 System for Electronic Disclosure by Insiders does not apply to any insider of an exchangeable security issuer in respect of securities of the exchangeable security issuer so long as

(a) the insider does not receive, in the ordinary course, information as to material facts or material changes concerning the parent issuer before the material facts or material changes are generally disclosed;

(b) the insider is not an insider of the parent issuer in any capacity other than by virtue of being an insider of the exchangeable security issuer;

(c) the parent issuer is the direct or indirect beneficial owner of all of the issued and outstanding voting securities of the exchangeable security issuer;

(d) the parent issuer is an SEC issuer; and

(e) the exchangeable security issuer has not issued any securities, other than

(i) designated exchangeable securities;

(ii) securities issued to the parent issuer; or

(iii) debt securities issued to the parent issuer or to banks, loan corporations, trust corporations, treasury branches, credit unions, insurance companies or other financial institutions.

13.4 Exemption for Certain Credit Support Issuers

(1) In this section:

“credit support issuer” means an issuer of securities for which a credit supporter has provided a guarantee;

“credit supporter” means a person or company that provides a guarantee for any of the payments to be made by an issuer of securities as stipulated in the terms of the securities or in an agreement governing rights of, or granting rights to, holders of the securities;

“designated credit support securities” means

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(a) non-convertible debt that has an approved rating; or

(b) non-convertible preferred shares that have an approved rating,

in respect of which a credit supporter has provided a full and unconditional guarantee of the payments to be made by the credit support issuer, as stipulated in the terms of the securities or in an agreement governing the rights of holders of the securities, that results in the holder of such securities being entitled to receive payment from the credit supporter within 15 days of any failure by the credit support issuer to make a payment;

“SEC MJDS issuer” means an issuer that

(a) is incorporated or organized under the laws of the United States of America or any state or territory of the United States of America or the District of Columbia;

(b) either

(i) has a class of securities registered under section 12(b) or 12(g) of the 1934 Act, or

(ii) is required to file reports under section 15(d) of the 1934 Act;

(c) has filed with the SEC all 1934 Act filings for a period of 12 calendar months immediately before the date on which the person or company seeks to rely on the exemptions in subsections (2) or (3);

(d) is not registered or required to be registered as an investment company under the Investment Company Act of 1940 of the United States of America, as amended; and

(e) is not an issuer formed and operated for the purpose of investing in commodity futures contracts, commodity futures, related products, or a combination of them.

(2) Except as provided in this subsection, this Instrument does not apply to a credit support issuer if,

(a) the credit supporter is the direct or indirect beneficial owner of all the issued and outstanding voting securities of the credit support issuer;

(b) the credit supporter is an SEC MJDS issuer;

(c) the credit support issuer does not issue any securities, other than

(i) designated credit support securities;

(ii) securities issued to the credit supporter or an affiliate of the credit supporter; or

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(iii) debt securities issued to banks, loan corporations, trust corporations, treasury branches, credit unions, insurance companies or other financial institutions;

(d) the credit support issuer files copies of all documents the credit supporter is required to file with the SEC, at the same time or as soon as practicable after the filing by the credit supporter of those documents with the SEC;

(e) the credit supporter is in compliance with the requirements of U.S. laws and any U.S. marketplace on which securities of the credit supporter are listed or quoted in respect of making public disclosure of material information on a timely basis and immediately issues in Canada and files any news release that discloses a material change in its affairs;

(f) the credit support issuer issues in Canada a news release and files a material change report in accordance with Part 7 of this Instrument for all material changes in respect of the affairs of the credit support issuer that are not also material changes in the affairs of the credit supporter;

(g) in the case of a credit support issuer that has operations, other than minimal operations, that are independent of the credit supporter, the credit support issuer files, in electronic format,

(i) annual comparative financial information, derived from the credit support issuer’s audited consolidated financial statements for its most recently completed financial year, that is accompanied by a specified procedures report of the auditors to the credit support issuer and that includes the following line items for the most recently completed financial year and the financial year immediately preceding the most recently completed financial year:

(A) sales/revenues;

(B) net earnings from continuing operations before extraordinary items;

(C) net earnings;

(D) current assets;

(E) non-current assets;

(F) current liabilities; and

(G) non-current liabilities; and

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(ii) interim comparative financial information, derived from the credit support issuer’s unaudited consolidated financial statements for its most recently completed interim period, that includes the following line items for the most recently completed interim period and, for items (A), (B) and (C), the corresponding interim period in the immediately preceding completed financial year, and for items (D), (E), (F) and (G), as at the end of the immediately preceding financial year:

(A) sales/revenues;

(B) net earnings or loss from continuing operations before extraordinary items;

(C) net earnings or loss;

(D) current assets;

(E) non-current assets;

(F) current liabilities; and

(G) non-current liabilities;

(h) in the case of designated credit support securities that include debt, the credit support issuer concurrently sends to all holders of such securities, in the manner and at the time required by U.S. laws and any U.S. marketplace on which securities of the credit supporter are listed or quoted, all disclosure materials that are sent to holders of non-convertible debt of the credit supporter that has an approved rating; and

(i) in the case of designated credit support securities that include preferred shares, the credit support issuer concurrently sends to all holders of such securities, in the manner and at the time required by U.S. laws and any U.S. marketplace on which securities of the credit supporter are listed or quoted, all disclosure materials that are sent to holders of non-convertible preferred shares of the credit supporter that have an approved rating.

(3) The insider reporting requirement and the requirement to file an insider profile under National Instrument 55-102 System for Electronic Disclosure by Insiders do not apply to an insider of a credit support issuer in respect of securities of the credit support issuer so long as

(a) the insider does not receive, in the ordinary course, information as to material facts or material changes concerning the credit supporter before the material facts or material changes are generally disclosed;

(b) the insider is not an insider of the credit supporter in any capacity other than by virtue of being an insider of the credit support issuer;

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(c) the credit supporter is the direct or indirect beneficial owner of all the issued and outstanding voting securities of the credit support issuer;

(d) the credit supporter is an SEC MJDS issuer; and

(e) the credit support issuer has not issued any securities, other than

(i) designated credit support securities;

(ii) securities issued to the credit supporter or an affiliate of the credit supporter; or

(iii) debt securities issued to banks, loan corporations, trust corporations, treasury branches, credit unions, insurance companies or other financial institutions.

PART 14 EFFECTIVE DATE AND TRANSITION

14.1 Effective Date

This Instrument comes into force on March 30, 2004.

14.2 Transition

Despite section 14.1, the provisions of this Instrument, including Part 10, concerning

(a) annual financial statements or MD&A relating to those financial statements, except sections 4.8 to 4.11, apply for financial years beginning on or after January 1, 2004;

(b) interim financial statements or MD&A relating to those financial statements, except sections 4.8 to 4.11, apply for interim periods in financial years beginning on or after January 1, 2004;

(c) AIFs apply in respect of financial years beginning on or after January 1, 2004;

(d) business acquisition reports apply to significant acquisitions if the initial legally binding agreement relating to the acquisition was entered into on or after March 30, 2004;

(e) proxy solicitation and information circulars apply from and after June 1, 2004; and

(f) filing of documents under Part 12 apply in respect of financial years beginning on or after January 1, 2004.

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FORM 51-102F1 MANAGEMENT’S DISCUSSION & ANALYSIS

TABLE OF CONTENTS

PART 1 GENERAL INSTRUCTIONS AND INTERPRETATION (a) What is MD&A? (b) Date of Information (c) Use of “Company” (d) Explain Your Analysis (e) Focus on Material Information (f) What is Material? (g) Forward-Looking Information (h) Venture Issuers Without Significant Revenues (i) Reverse Takeover Transactions (j) Foreign Accounting Principles (k) Resource Issuers (l) Numbering and Headings (m) Omitting Information (n) Defined Terms (o) Plain Language

PART 2 CONTENT OF MD&A

Item 1 Annual MD&A 1.1 Date 1.2 Overall Performance 1.3 Selected Annual Information 1.4 Results of Operations 1.5 Summary of Quarterly Results 1.6 Liquidity 1.7 Capital Resources 1.8 Off-Balance Sheet Arrangements 1.9 Transactions with Related Parties 1.10 Fourth Quarter 1.11 Proposed Transactions 1.12 Critical Accounting Estimates 1.13 Changes in Accounting Policies including Initial Adoption 1.14 Financial Instruments and Other Instruments 1.15 Other MD&A Requirements

Item 2 Interim MD&A 2.1 Date 2.2 Interim MD&A

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FORM 51-102F1 MANAGEMENT’S DISCUSSION & ANALYSIS

PART 1 GENERAL INSTRUCTIONS AND INTERPRETATION

(a) What is MD&A?

MD&A is a narrative explanation, through the eyes of management, of how your company performed during the period covered by the financial statements, and of your company’s financial condition and future prospects. MD&A complements and supplements your financial statements, but does not form part of your financial statements.

Your objective when preparing the MD&A should be to improve your company’s overall financial disclosure by giving a balanced discussion of your company’s results of operations and financial condition including, without limitation, such considerations as liquidity and capital resources - openly reporting bad news as well as good news. Your MD&A should

• help current and prospective investors understand what the financial statements show and do not show;

• discuss material information that may not be fully reflected in the financial statements, such as contingent liabilities, defaults under debt, off-balance sheet financing arrangements, or other contractual obligations;

• discuss important trends and risks that have affected the financial statements, and trends and risks that are reasonably likely to affect them in the future; and

• provide information about the quality, and potential variability, of your company’s earnings and cash flow, to assist investors in determining if past performance is indicative of future performance.

(b) Date of Information

In preparing the MD&A, you must take into account information available up to the date of the MD&A. If the date of the MD&A is not the date it is filed, you must ensure the disclosure in the MD&A is current so that it will not be misleading when it is filed.

(c) Use of “Company”

Wherever this Form uses the word “company”, the term includes other types of business organizations such as partnerships, trusts and other unincorporated business entities.

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(d) Explain Your Analysis

Explain the nature of, and reasons for, changes in your company’s performance. Do not simply disclose the amount of change in a financial statement item from period to period. Avoid using boilerplate language. Your discussion should assist the reader to understand trends, events, transactions and expenditures.

(e) Focus on Material Information

Focus your MD&A on material information. You do not need to disclose information that is not material. Exercise your judgment when determining whether information is material.

(f) What is Material?

Would a reasonable investor’s decision whether or not to buy, sell or hold securities in your company likely be influenced or changed if the information in question was omitted or misstated? If so, the information is likely material. This concept of materiality is consistent with the financial reporting notion of materiality contained in the Handbook.

(g) Forward-Looking Information

You are encouraged to provide forward-looking information if you have a reasonable basis for making the statements. Preparing your MD&A necessarily involves some degree of prediction or projection. For example, MD&A requires a discussion of known trends or uncertainties that are reasonably likely to affect your company’s business. However, MD&A does not require that your company provide a detailed forecast of future revenues, income or loss or other information.

All forward-looking information must contain a statement that the information is forward-looking, a description of the factors that may cause actual results to differ materially from the forward-looking information, your material assumptions and appropriate risk disclosure and cautionary language.

You must discuss any forward-looking information disclosed in MD&A for a prior period which, in light of intervening events and absent further explanation, may be misleading. Forward looking statements may be considered misleading when they are unreasonably optimistic or aggressive, or lack objectivity, or are not adequately explained. Your timely disclosure obligations might also require you to issue a news release and file a material change report.

(h) Venture Issuers Without Significant Revenues

If your company is a venture issuer without significant revenues from operations, focus your discussion and analysis of results of operations on expenditures and progress towards achieving your business objectives and milestones.

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(i) Reverse Takeover Transactions

When an acquisition is accounted for as a reverse takeover, the MD&A should be based on the reverse takeover acquirer’s financial statements.

(j) Foreign Accounting Principles

If your company’s primary financial statements have been prepared using accounting principles other than Canadian GAAP and a reconciliation is provided, your MD&A must focus on the primary financial statements.

(k) Resource Issuers

If your company has mineral projects, your disclosure must comply with National Instrument 43-101 Standards of Disclosure for Mineral Projects, including the requirement that all scientific and technical disclosure be based on a technical report or other information prepared by or under the supervision of a qualified person.

If your company has oil and gas activities, your disclosure must comply with National Instrument 51-101 Standards of Disclosure for Oil and Gas Activities.

(l) Numbering and Headings

The numbering, headings and ordering of items included in this Form are guidelines only. You do not need to include the headings or numbering or follow the order of items in this Form. Disclosure provided in response to any item need not be repeated elsewhere.

(m) Omitting Information

You do not need to respond to any item in this Form that is inapplicable.

(n) Defined Terms

If a term is used but not defined in this Form, refer to Part 1 of National Instrument 51-102 and to National Instrument 14-101 Definitions. If a term is used in this Form and is defined in both the securities statute of the local jurisdiction and in National Instrument 51-102, refer to section 1.4 of Companion Policy 51-102CP.

(o) Plain Language

Write the MD&A so that readers are able to understand it. Refer to the plain language principles listed in section 1.5 of Companion Policy 51-102CP. If you use technical terms, explain them in a clear and concise manner.

PART 2 CONTENT OF MD&A

Item 1 Annual MD&A

1.1 Date

Specify the date of your MD&A. The date of the MD&A must be no earlier than the date of the auditor’s report on the financial statements for your company’s most recently completed financial year.

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1.2 Overall Performance

Provide an analysis of your company’s financial condition, results of operations and cash flows. Discuss known trends, demands, commitments, events or uncertainties that are reasonably likely to have an effect on your company’s business. Compare your company’s performance in the most recently completed financial year to the prior year’s performance. Your analysis should address at least the following:

(a) operating segments that are reportable segments as those terms are used in the Handbook;

(b) other parts of your business if

(i) they have a disproportionate effect on revenues, income or cash needs; or

(ii) there are any legal or other restrictions on the flow of funds from one part of your company’s business to another;

(c) industry and economic factors affecting your company’s performance;

(d) why changes have occurred or expected changes have not occurred in your company’s financial condition and results of operations; and

(e) the effect of discontinued operations on current operations.

INSTRUCTIONS

(i) When explaining changes in your company’s financial condition and results, include an analysis of the effect on your continuing operations of any acquisition, disposition, write-off, abandonment or other similar transaction.

(ii) Financial condition includes your company’s financial position (as shown on the balance sheet) and other factors that may affect your company’s liquidity and capital resources.

(iii) Include information for a period longer than two financial years if it will help the reader to better understand a trend.

1.3 Selected Annual Information

(1) Provide the following financial data derived from your company’s financial statements for each of the three most recently completed financial years:

(a) net sales or total revenues;

(b) income or loss before discontinued operations and extraordinary items, in total and on a per-share and diluted per-share basis;

(c) net income or loss, in total and on a per-share and diluted per-share basis;

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(d) total assets;

(e) total long-term financial liabilities; and

(f) cash dividends declared per-share for each class of share.

(2) Discuss the factors that have caused period to period variations including discontinued operations, changes in accounting policies, significant acquisitions or dispositions and changes in the direction of your business, and any other information your company believes would enhance an understanding of, and would highlight trends in, financial condition and results of operations.

INSTRUCTION

Indicate the accounting principles that the financial data has been prepared in accordance with, the reporting currency, the measurement currency if different from the reporting currency and, if the underlying financial statements have been reconciled to Canadian GAAP, provide a cross-reference to the reconciliation that is found in the notes to the financial statements.

1.4 Results of Operations

Discuss your analysis of your company’s operations for the most recently completed financial year, including

(a) net sales or total revenues by operating business segment, including any changes in such amounts caused by selling prices, volume or quantity of goods or services being sold, or the introduction of new products or services;

(b) any other significant factors that caused changes in net sales or total revenues;

(c) cost of sales or gross profit;

(d) for issuers that have significant projects that have not yet generated operating revenue, describe each project, including your company’s plan for the project and the status of the project relative to that plan, and expenditures made and how these relate to anticipated timing and costs to take the project to the next stage of the project plan;

(e) for resource issuers with producing mines, identify milestones such as mine expansion plans, productivity improvements, or plans to develop a new deposit;

(f) factors that caused a change in the relationship between costs and revenues, including changes in costs of labour or materials, price changes or inventory adjustments;

(g) commitments, events, risks or uncertainties that you reasonably believe will materially affect your company’s future performance including net sales, total revenue and income or loss before discontinued operations and extraordinary items;

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(h) effect of inflation and specific price changes on your company’s net sales and total revenues and on income or loss before discontinued operations and extraordinary items;

(i) a comparison in tabular form of disclosure you previously made about how your company was going to use proceeds (other than working capital) from any financing, an explanation of variances and the impact of the variances, if any, on your company’s ability to achieve its business objectives and milestones; and

(j) unusual or infrequent events or transactions.

INSTRUCTION

Your discussion under paragraph 1.4(d) should include

(i) whether or not you plan to expend additional funds on the project; and

(ii) any factors that have affected the value of the project(s) such as change in commodity prices, land use or political or environmental issues.

1.5 Summary of Quarterly Results

Provide the following information in summary form, derived from your company’s financial statements, for each of the eight most recently completed quarters:

(a) net sales or total revenues;

(b) income or loss before discontinued operations and extraordinary items, in total and on a per-share and diluted per-share basis; and

(c) net income or loss, in total and on a per-share and diluted per-share basis.

Discuss the factors that have caused variations over the quarters necessary to understand general trends that have developed and the seasonality of the business.

INSTRUCTIONS

(i) In the case of the annual MD&A, your most recently completed quarter is the quarter that ended on the last day of your most recently completed financial year.

(ii) You do not have to provide information for a quarter prior to your company becoming a reporting issuer if your company has not prepared financial statements for those quarters.

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(iii) For sections 1.2, 1.3, 1.4 and 1.5 consider identifying, discussing and analyzing the following factors:

(A) changes in customer buying patterns, including changes due to new technologies and changes in demographics;

(B) changes in selling practices, including changes due to new distribution arrangements or a reorganization of a direct sales force;

(C) changes in competition, including an assessment of the issuer’s resources, strengths and weaknesses relative to those of its competitors;

(D) the effect of exchange rates;

(E) changes in pricing of inputs, constraints on supply, order backlog, or other input-related matters;

(F) changes in production capacity, including changes due to plant closures and work stoppages;

(G) changes in volume of discounts granted to customers, volumes of returns and allowances, excise and other taxes or other amounts reflected on a net basis against revenues;

(H) changes in the terms and conditions of service contracts;

(I) the progress in achieving previously announced milestones; and

(J) for resource issuers with producing mines, identify changes to cash flow caused by changes in production throughput, head-grade, cut-off grade, metallurgical recovery and any expectation of future changes.

(iv) Indicate the accounting principles that the financial data has been prepared in accordance with, the reporting currency, the measurement currency if different from the reporting currency and, if the underlying financial statements have been reconciled to Canadian GAAP, provide a cross-reference to the reconciliation that is found in the notes to the financial statements.

1.6 Liquidity

Provide an analysis of your company’s liquidity, including

(a) its ability to generate sufficient amounts of cash and cash equivalents, in the short term and the long term, to maintain your company’s capacity, to meet your company’s planned growth or to fund development activities;

(b) trends or expected fluctuations in your company’s liquidity, taking into account demands, commitments, events or uncertainties;

(c) its working capital requirements;

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(d) liquidity risks associated with financial instruments;

(e) if your company has or expects to have a working capital deficiency, discuss its ability to meet obligations as they become due and how you expect it to remedy the deficiency;

(f) balance sheet conditions or income or cash flow items that may affect your company’s liquidity;

(g) legal or practical restrictions on the ability of subsidiaries to transfer funds to your company and the effect these restrictions have had or may have on the ability of your company to meet its obligations; and

(h) defaults or arrears or anticipated defaults or arrears on

(i) dividend payments, lease payments, interest or principal payment on debt;

(ii) debt covenants during the most recently completed financial year; and

(iii) redemption or retraction or sinking fund payments,

and how your company intends to cure the default or arrears.

INSTRUCTIONS

(i) In discussing your company’s ability to generate sufficient amounts of cash and cash equivalents you should describe sources of funding and the circumstances that could affect those sources that are reasonably likely to occur. Examples of circumstances that could affect liquidity are market or commodity price changes, economic downturns, defaults on guarantees and contractions of operations.

(ii) In discussing trends or expected fluctuations in your company’s liquidity and liquidity risks associated with financial instruments you should discuss

(A) provisions in debt, lease or other arrangements that could trigger an additional funding requirement or early payment. Examples of such situations are provisions linked to credit rating, earnings, cash flows or share price; and

(B) circumstances that could impair your company’s ability to undertake transaction considered essential to operations. Examples of such circumstances are the inability to maintain investment grade credit rating, earnings per-share, cash flow or share price.

(iii) In discussing your company’s working capital requirements you should discuss situations where your company must maintain significant inventory to meet customers’ delivery requirements or any situations involving extended payment terms.

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(iv) In discussing your company’s balance sheet conditions or income or cash flow items you should present a summary, in tabular form, of contractual obligations including payments due for each of the next five years and thereafter. The summary and table do not have to be provided if your company is a venture issuer. An example of a table that can be adapted to your company’s particular circumstances follows:

Payments Due by Period

Less Contractual than 1 - 3 4 - 5 After Obligations Total 1 year years years 5 years

Long Term Debt

Capital Lease Obligations

Operating Leases

Purchase Obligations1

Other Long Term Obligations 2

Total Contractual Obligations ______

1 “Purchase Obligation” means an agreement to purchase goods or services that is enforceable and legally binding on your company that specifies all significant terms, including: fixed or minimum quantities to be purchased; fixed, minimum or variable price provisions; and the approximate timing of the transaction.

2 “Other Long Term Obligations” means other long-term liabilities reflected on your company’s balance sheet.

The tabular presentation may be accompanied by footnotes to describe provisions that create, increase or accelerate obligations, or other details to the extent necessary for an understanding of the timing and amount of your company’s specified contractual obligations.

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1.7 Capital Resources

Provide an analysis of your company’s capital resources, including

(a) commitments for capital expenditures as of the date of your company’s financial statements including

(i) the amount, nature and purpose of these commitments;

(ii) the expected source of funds to meet these commitments; and

(iii) expenditures not yet committed but required to maintain your company’s capacity, to meet your company’s planned growth or to fund development activities;

(b) known trends or expected fluctuations in your company’s capital resources, including expected changes in the mix and relative cost of these resources; and

(c) sources of financing that your company has arranged but not yet used.

INSTRUCTIONS

(i) Capital resources are financing resources available to your company and include debt, equity and any other financing arrangements that you reasonably consider will provide financial resources to your company.

(ii) In discussing your company’s commitments you should discuss any exploration and development, or research and development expenditures required to maintain properties or agreements in good standing.

1.8 Off-Balance Sheet Arrangements

Discuss any off-balance sheet arrangements that have, or are reasonably likely to have, a current or future effect on the results of operations or financial condition of your company including, without limitation, such considerations as liquidity and capital resources.

In your discussion of off-balance sheet arrangements you should discuss their business purpose and activities, their economic substance, risks associated with the arrangements, and the key terms and conditions associated with any commitments. Your discussion should include

(a) a description of the other contracting party(ies);

(b) the effects of terminating the arrangement;

(c) the amounts receivable or payable, revenues, expenses and cash flows resulting from the arrangement;

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(d) the nature and amounts of any other obligations or liabilities arising from the arrangement that could require your company to provide funding under the arrangement and the triggering events or circumstances that could cause them to arise; and

(e) any known event, commitment, trend or uncertainty that may affect the availability or benefits of the arrangement (including any termination) and the course of action that management has taken, or proposes to take, in response to any such circumstances.

INSTRUCTIONS

(i) Off-balance sheet arrangements include any contractual arrangement with an entity not reported on a consolidated basis with your company, under which your company has

(A) any obligation under certain guarantee contracts;

(B) a retained or contingent interest in assets transferred to an unconsolidated entity or similar arrangement that serves as credit, liquidity or market risk support to that entity for the assets;

(C) any obligation under certain derivative instruments; or

(D) any obligation under a material variable interest held by your company in an unconsolidated entity that provides financing, liquidity, market risk or credit risk support to your company, or engages in leasing, hedging or, research and development services with your company.

(ii) Contingent liabilities arising out of litigation, arbitration or regulatory actions are not considered to be off-balance sheet arrangements.

(iii) Disclosure of off-balance sheet arrangements should cover the most recently completed financial year. However, the discussion should address changes from the previous year where such discussion is necessary to understand the disclosure.

(iv) The discussion need not repeat information provided in the notes to the financial statements if the discussion clearly cross-references to specific information in the relevant notes and integrates the substance of the notes into the discussion in a manner that explains the significance of the information not included in the MD&A.

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1.9 Transactions with Related Parties

Discuss all transactions involving related parties as defined by the Handbook.

INSTRUCTION

In discussing your company’s transactions with related parties, your discussion should include both qualitative and quantitative characteristics that are necessary for an understanding of the transactions’ business purpose and economic substance. You should discuss

(A) the relationship and identify the related person or entities;

(B) the business purpose of the transaction;

(C) the recorded amount of the transaction and the measurement basis used; and

(D) any ongoing contractual or other commitments resulting from the transaction.

1.10 Fourth Quarter

Discuss and analyze fourth quarter events or items that affected your company’s financial condition, cash flows or results of operations, including extraordinary items, year-end and other adjustments, seasonal aspects of your company’s business and dispositions of business segments.

1.11 Proposed Transactions

Discuss the expected effect on financial condition, results of operations and cash flows of any proposed asset or business acquisition or disposition if your company’s board of directors, or senior management who believe that confirmation of the decision by the board is probable, have decided to proceed with the transaction. Include the status of any required shareholder or regulatory approvals.

INSTRUCTION

You do not have to disclose this information if, under section 7.1 of National Instrument 51-102, your company has filed a Form 51-102F3 Material Change Report regarding the transaction on a confidential basis and the report remains confidential.

1.12 Critical Accounting Estimates

If your company is not a venture issuer, provide an analysis of your company’s critical accounting estimates. Your analysis should

(a) identify and describe each critical accounting estimate used by your company including

(i) a description of the accounting estimate;

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(ii) the methodology used in determining the critical accounting estimate;

(iii) the assumptions underlying the accounting estimate that relate to matters highly uncertain at the time the estimate was made;

(iv) any known trends, commitments, events or uncertainties that you reasonably believe will materially affect the methodology or the assumptions described; and

(v) if applicable, why the accounting estimate is reasonably likely to change from period to period and have a material impact on the financial presentation;

(b) explain the significance of the accounting estimate to your company’s financial condition, changes in financial condition and results of operations and identify the financial statement line items affected by the accounting estimate;

(c) quantify the changes in overall financial performance and financial statement line items if you assume that the accounting estimate was to change by using either

(i) reasonably likely changes in the material assumptions; or

(ii) the upper and lower ends of the range of estimates from which the recorded estimate was selected;

(d) discuss changes made to critical accounting estimates during the past two financial years including the reasons for the change and the quantitative effect on your company’s overall financial performance and financial statement line items; and

(e) identify the segments of your company’s business that the accounting estimate affects and discuss the accounting estimate on a segment basis, if your company operates in more than one segment.

INSTRUCTION

An accounting estimate is a critical accounting estimate only if

(A) it requires your company to make assumptions about matters that are highly uncertain at the time the accounting estimate is made; and

(B) different estimates that your company could have used in the current period, or changes in the accounting estimate that are reasonably likely to occur from period to period, would have a material impact on your company’s financial condition, changes in financial condition or results of operations.

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1.13 Changes in Accounting Policies including Initial Adoption

Discuss and analyze any changes in your company’s accounting policies, including

(a) for any accounting policies that you have adopted or expect to adopt subsequent to the end of your most recently completed financial year, including changes you have made or expect to make voluntarily and those due to a change in an accounting standard or a new accounting standard that you do not have to adopt until a future date, you should

(i) describe the new standard, the date you are required to adopt it and, if determined, the date you plan to adopt it;

(ii) disclose the methods of adoption permitted by the accounting standard and the method you expect to use;

(iii) discuss the expected effect on your company’s financial statements, or if applicable, state that you cannot reasonably estimate the effect; and

(iv) discuss the potential effect on your business, for example technical violations or default of debt covenants or changes in business practices; and

(b) for any accounting policies that you have initially adopted during the most recently completed financial year, you should

(i) describe the events or transactions that gave rise to the initial adoption of an accounting policy;

(ii) describe the accounting principle that has been adopted and the method of applying that principle;

(iii) discuss the effect resulting from the initial adoption of the accounting policy on your company’s financial condition, changes in financial condition and results of operations;

(iv) if your company is permitted a choice among acceptable accounting principles,

(A) state that you made a choice among acceptable alternatives;

(B) identify the alternatives;

(C) describe why you made the choice that you did; and

(D) discuss the effect, where material, on your company’s financial condition, changes in financial condition and results of operations under the alternatives not chosen; and

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(v) if no accounting literature exists that covers the accounting for the events or transactions giving rise to your initial adoption of the accounting policy, explain your decision regarding which accounting principle to use and the method of applying that principle.

INSTRUCTION

You do not have to present the discussion under paragraph 1.13(b) for the initial adoption of accounting policies resulting from the adoption of new accounting standards.

1.14 Financial Instruments and Other Instruments

For financial instruments and other instruments,

(a) discuss the nature and extent of your company’s use of, including relationships among, the instruments and the business purposes that they serve;

(b) describe and analyze the risks associated with the instruments;

(c) describe how you manage the risks in paragraph (b), including a discussion of the objectives, general strategies and instruments used to manage the risks, including any hedging activities;

(d) disclose the financial statement classification and amounts of income, expenses, gains and losses associated with the instrument; and

(e) discuss the significant assumptions made in determining the fair value of financial instruments, the total amount and financial statement classification of the change in fair value of financial instruments recognized in income for the period, and the total amount and financial statement classification of deferred or unrecognized gains and losses on financial instruments.

INSTRUCTIONS

(i) “Other instruments” are instruments that may be settled by the delivery of non- financial assets. A commodity futures contract is an example of an instrument that may be settled by delivery of non-financial assets.

(ii) Your discussion under paragraph 1.14(a) should enhance a reader’s understanding of the significance of recognized and unrecognized instruments on your company’s financial position, results of operations and cash flows. The information should also assist a reader in assessing the amounts, timing, and certainty of future cash flows associated with those instruments. Also discuss the relationship between liability and equity components of convertible debt instruments.

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(iii) For purposes of paragraph 1.14(c), if your company is exposed to significant price, credit or liquidity risks, consider providing a sensitivity analysis or tabular information to help readers assess the degree of exposure. For example, an analysis of the effect of a hypothetical change in the prevailing level of interest or currency rates on the fair value of financial instruments and future earnings and cash flows may be useful in describing your company’s exposure to price risk.

(iv) For purposes of paragraph 1.14(d), disclose and explain the income, expenses, gains and losses from hedging activities separately from other activities.

1.15 Other MD&A Requirements

(a) Your MD&A must disclose that additional information relating to your company, including your company’s AIF if your company files an AIF, is on SEDAR at www.sedar.com.

(b) Your MD&A must also provide the information required in the following sections of National Instrument 51-102:

(i) Section 5.3 – Additional Disclosure for Venture Issuers without Significant Revenue; and

(ii) Section 5.4 – Disclosure of Outstanding Share Data.

INSTRUCTION

Your company may also be required to provide additional disclosure in its MD&A as set out in Form 52-109F1 Certification of Annual Filings and Form 52-109F2 Certification of Interim Filings.

Item 2 Interim MD&A

2.1 Date

Specify the date of your interim MD&A.

2.2 Interim MD&A

Interim MD&A must update your company’s annual MD&A for all disclosure required by Item 1 except section 1.3. This disclosure must include

(a) a discussion of your analysis of

(i) current quarter and year-to-date results including a comparison of results of operations and cash flows to the corresponding periods in the previous year;

(ii) changes in results of operations and elements of income or loss that are not related to ongoing business operations;

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(iii) any seasonal aspects of your company’s business that affect its financial condition, results of operations or cash flows; and

(b) a comparison of your company’s interim financial condition to your company’s financial condition as at the most recently completed financial year-end.

INSTRUCTION

(i) If the first MD&A you file in this Form (your first MD&A) is not an annual MD&A, you must provide all the disclosure called for in Item 1 in your first MD&A. Your subsequent interim MD&A for that year will update your first interim MD&A.

(ii) For the purposes of paragraph 2.2(b), you may assume the reader has access to your annual MD&A or your first MD&A. You do not have to duplicate the discussion and analysis of financial condition in your annual MD&A or your first MD&A. For example, if economic and industry factors are substantially unchanged you may make a statement to this effect.

(iii) For the purposes of subparagraph 2.2(a)(i), you should generally give prominence to the current quarter.

(iv) In discussing your company’s balance sheet conditions or income or cash flow items for an interim period, you do not have to present a summary, in tabular form, of all known contractual obligations contemplated under section 1.6. Instead, you should disclose material changes in the specified contractual obligations during the interim period that are outside the ordinary course of your company’s business.

(v) Interim MD&A prepared in accordance with Item 2 is not required for your company’s fourth quarter as relevant fourth quarter content will be contained in your company’s annual MD&A prepared in accordance with Item 1 (see section 1.10).

FORM 51-102F2 ANNUAL INFORMATION FORM

TABLE OF CONTENTS

PART 1 GENERAL INSTRUCTIONS AND INTERPRETATION (a) What is an AIF? (b) Date of Information (c) Use of “Company” (d) Focus on Material Information (e) What is Material? (f) Incorporating Information by Reference (g) Defined Terms (h) Plain Language (i) Special Purpose Vehicles (j) Numbering and Headings (k) Omitting Information

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PART 2 CONTENT OF AIF

Item 1 Cover Page 1.1 Date 1.2 Revisions

Item 2 Table of Contents 2.1 Table of Contents

Item 3 Corporate Structure 3.1 Name, Address and Incorporation 3.2 Intercorporate Relationships

Item 4 General Development of the Business 4.1 Three Year History 4.2 Significant Acquisitions

Item 5 Describe the Business 5.1 General 5.2 Risk Factors 5.3 Companies with Asset-backed Securities Outstanding 5.4 Companies with Mineral Projects 5.5 Companies with Oil and Gas Activities

Item 6 Dividends 6.1 Dividends

Item 7 Description of Capital Structure 7.1 General Description of Capital Structure 7.2 Constraints 7.3 Ratings

Item 8 Market for Securities 8.1 Trading Price and Volume 8.2 Prior Sales

Item 9 Escrowed Securities 9.1 Escrowed Securities

Item 10 Directors and Officers 10.1 Name, Occupation and Security Holding 10.2 Cease Trade Orders, Bankruptcies, Penalties or Sanctions 10.3 Conflicts of Interest

Item 11 Promoters 11.1 Promoters

Item 12 Legal Proceedings 12.1 Legal Proceedings

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Item 13 Interest of Management and Others in Material Transactions 13.1 Interest of Management and Others in Material Transactions

Item 14 Transfer Agents and Registrars 14.1 Transfer Agents and Registrars

Item 15 Material Contracts 15.1 Material Contracts

Item 16 Interests of Experts 16.1 Names of Experts 16.2 Interests of Experts

Item 17 Additional Information 17.1 Additional Information

Item 18 Additional Disclosure for Companies Not Sending Information Circulars 18.1 Additional Disclosure

FORM 51-102F2

ANNUAL INFORMATION FORM

PART 1 GENERAL INSTRUCTIONS AND INTERPRETATION

(a) What is an AIF?

An AIF (annual information form) is required to be filed annually by certain companies under Part 6 of National Instrument 51-102. An AIF is a disclosure document intended to provide material information about your company and its business at a point in time in the context of its historical and possible future development. Your AIF describes your company, its operations and prospects, risks and other external factors that impact your company specifically.

This disclosure is supplemented throughout the year by subsequent continuous disclosure filings including news releases, material change reports, business acquisition reports, financial statements and management discussion and analysis.

(b) Date of Information

Unless otherwise specified in this Form, the information in your AIF must be presented as at the last day of your company’s most recently completed financial year. If necessary, you must update the information in the AIF so it is not misleading when it is filed. For information presented as at any date other than the last day of your company’s most recently completed financial year, specify the relevant date in the disclosure.

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(c) Use of “Company”

Wherever this Form uses the word “company”, the term includes other types of business organizations such as partnerships, trusts and other unincorporated business entities.

All references to “your company” in Items 4, 5, 6, 12, 13, 15 and 16 of this Form apply collectively to your company, your company’s subsidiaries, joint ventures to which your company is a party and entities in which your company has an investment accounted for by the equity method.

(d) Focus on Material Information

Focus your AIF on material information. You do not need to disclose information that is not material. Exercise your judgment when determining whether information is material. However, you must disclose all corporate and individual cease trade orders, bankruptcies, penalties and sanctions in accordance with Item 10 of this Form.

(e) What is Material?

Would a reasonable investor’s decision whether or not to buy, sell or hold securities in your company likely be influenced or changed if the information in question was omitted or misstated? If so, the information is likely material. This concept of materiality is consistent with the financial reporting notion of materiality contained in the Handbook.

(f) Incorporating Information by Reference

You may incorporate information required to be included in your AIF by reference to another document, other than a previous AIF. Clearly identify the referenced document or any excerpt of it that you incorporate into your AIF. Unless you have already filed the referenced document or excerpt under your SEDAR profile, you must file it with your AIF. You must also disclose that the document is on SEDAR at www.sedar.com.

(g) Defined Terms

If a term is used but not defined in this Form, refer to Part 1 of National Instrument 51-102 and to National Instrument 14-101 Definitions. If a term is used in this Form and is defined in both the securities statute of a local jurisdiction and in National Instrument 51-102, refer to section 1.4 of Companion Policy 51-102CP.

(h) Plain Language

Write the AIF so that readers are able to understand it. Refer to the plain language principles listed in section 1.5 of Companion Policy 51-102CP. If you use technical terms, explain them in a clear and concise manner.

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(i) Special Purpose Vehicles

If your company is a special purpose vehicle, you may have to modify the disclosure items in this Form to reflect the special purpose nature of your company’s business.

(j) Numbering and Headings

The numbering, headings and ordering of items included in this Form are guidelines only. You do not need to include the headings or numbering or follow the order of items in this Form. Disclosure provided in response to any item need not be repeated elsewhere.

(k) Omitting Information

You do not need to respond to any item in this Form that is inapplicable and you may omit negative answers.

PART 2 CONTENT OF AIF

Item 1 Cover Page

1.1 Date

Specify the date of your AIF. The date must be no earlier than the date of the auditor’s report on the financial statements for your company’s most recently completed financial year.

You must file your AIF within 10 days of the date of the AIF.

1.2 Revisions

If you revise your company’s AIF after you have filed it, identify the revised version as a “revised AIF”.

Item 2 Table of Contents

2.1 Table of Contents

Include a table of contents.

Item 3 Corporate Structure

3.1 Name, Address and Incorporation

(1) State your company’s full corporate name or, if your company is an unincorporated entity, the full name under which it exists and carries on business, and the address(es) of your company’s head and registered office.

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(2) State the statute under which your company is incorporated, continued or organized or, if your company is an unincorporated entity, the laws of the jurisdiction or foreign jurisdiction under which it is established and exists. Describe the substance of any material amendments to the articles or other constating or establishing documents of your company.

3.2 Intercorporate Relationships

Describe, by way of a diagram or otherwise, the intercorporate relationships among your company and its subsidiaries. For each subsidiary state:

(a) the percentage of votes attaching to all voting securities of the subsidiary beneficially owned, controlled or directed, by your company;

(b) the percentage of each class of restricted securities of the subsidiary beneficially owned, controlled or directed, by your company; and

(c) where it was incorporated or continued.

INSTRUCTION

You may omit a particular subsidiary if, at the most recent financial year-end of your company,

(i) the total assets of the subsidiary do not exceed 10 per cent of the consolidated assets of your company;

(ii) the sales and operating revenues of the subsidiary do not exceed 10 per cent of the consolidated sales and operating revenues of your company; and

(iii) the conditions in paragraphs (i) and (ii) would be satisfied if you

(A) aggregated the subsidiaries that may be omitted under paragraphs (i) and (ii), and

(B) changed the reference in those paragraphs from 10 per cent to 20 per cent.

Item 4 General Development of the Business

4.1 Three Year History

Describe how your company’s business has developed over the last three completed financial years. Include only events, such as acquisitions or dispositions, or conditions that have influenced the general development of the business. If your company produces or distributes more than one product or provides more than one kind of service, describe the products or services. Also discuss changes in your company’s business that you expect will occur during the current financial year.

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4.2 Significant Acquisitions

Disclose any significant acquisition completed by your company during its most recently completed financial year for which disclosure is required under Part 8 of National Instrument 51-102, by

(a) incorporating by reference any Forms 51-102F4 filed by your company since you filed your previous AIF; and

(b) providing a brief summary of any significant acquisition for which a Form 51-102F4 has not yet been filed.

Item 5 Describe the Business

5.1 General

(1) Describe the business of your company and its operating segments that are reportable segments as those terms are used in the Handbook. For each reportable segment include:

(a) Summary - For products or services,

(i) their principal markets;

(ii) distribution methods;

(iii) for each of the two most recently completed financial years, as dollar amounts or as percentages, the revenues for each category of products or services that accounted for 15 per cent or more of total consolidated revenues for the applicable financial year derived from

A. sales or transfers to joint ventures in which your company is a participant or to entities in which your company has an investment accounted for by the equity method,

B. sales to customers, other than those referred to in clause A, outside the consolidated entity, and

C. sales or transfers to controlling shareholders;

(iv) if not fully developed, the stage of development of the products or services and, if the products are not at the commercial production stage

A. the timing and stage of research and development programs,

B. whether your company is conducting its own research and development, is subcontracting out the research and development or is using a combination of those methods, and

C. the additional steps required to reach commercial production and an estimate of costs and timing.

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(b) Production and Services – The actual or proposed method of production and, if your company provides services, the actual or proposed method of providing services. (c) Specialized Skill and Knowledge – A description of any specialized skill and knowledge requirements and the extent to which the skill and knowledge are available to your company.

(d) Competitive Conditions – The competitive conditions in your company’s principal markets and geographic areas, including, if reasonably possible, an assessment of your company’s competitive position. (e) New Products – If you have publicly announced the introduction of a new product, the status of the product. (f) Components – The sources, pricing and availability of raw materials, component parts or finished products. (g) Intangible Properties – The importance, duration and effect of identifiable intangible properties, such as brand names, circulation lists, copyrights, franchises, licences, patents, software, subscription lists and trademarks, on the segment.

(h) Cycles – The extent to which the business of the segment is cyclical or seasonal.

(i) Economic Dependence – A description of any contract upon which your company’s business is substantially dependent, such as a contract to sell the major part of your company’s products or services or to purchase the major part of your company’s requirements for goods, services or raw materials, or any franchise or licence or other agreement to use a patent, formula, trade secret, process or trade name upon which your company’s business depends.

(j) Changes to Contracts – A description of any aspect of your company’s business that you reasonably expect to be affected in the current financial year by renegotiation or termination of contracts or sub-contracts, and the likely effect. (k) Environmental Protection – The financial and operational effects of environmental protection requirements on the capital expenditures, earnings and competitive position of your company in the current financial year and the expected effect in future years.

(l) Employees – The number of employees as at the most recent financial year-end or the average number of employees over the year, whichever is more meaningful to understand the business.

(m) Foreign Operations – Describe the dependence of your company and any segment upon foreign operations. (n) Lending – With respect to your company’s lending operations, disclose the investment policies and lending and investment restrictions.

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(2) Bankruptcy, etc. - Disclose the nature and results of any bankruptcy, receivership or similar proceedings against your company or any of its subsidiaries, or any voluntary bankruptcy, receivership or similar proceedings by your company or any of its subsidiaries, within the three most recently completed financial years and up to the date of the AIF.

(3) Reorganizations - Disclose the nature and results of any material reorganization of your company or any of its subsidiaries within the three most recently completed financial years or completed during or proposed for the current financial year.

(4) Social or Environmental Policies – If your company has implemented social or environmental policies that are fundamental to your operations, such as policies regarding your company’s relationship with the environment or with the communities in which it does business, or human rights policies, describe them and the steps your company has taken to implement them.

5.2 Risk Factors

Disclose risk factors relating to your company and its business, such as cash flow and liquidity problems, if any, experience of management, the general risks inherent in the business carried on by your company, environmental and health risks, reliance on key personnel, regulatory constraints, economic or political conditions and financial history and any other matter that would be most likely to influence an investor’s decision to purchase securities of your company. Risks should be disclosed in the order of their seriousness. If there is a risk that securityholders of your company may become liable to make an additional contribution beyond the price of the security, disclose that risk.

5.3 Companies with Asset-backed Securities Outstanding

If your company had asset-backed securities outstanding that were distributed under a prospectus, disclose the following information:

(1) Payment Factors - A description of any events, covenants, standards or preconditions that may reasonably be expected to affect the timing or amount of any payments or distributions to be made under the asset-backed securities.

(2) Underlying Pool of Assets - For the three most recently completed financial years of your company or the lesser period commencing on the first date on which your company had asset-backed securities outstanding, information on the pool of financial assets servicing the asset-backed securities relating to

(a) the composition of the pool as of the end of each financial year or partial period;

(b) income and losses from the pool on at least an annual basis or such shorter period as is reasonable given the nature of the underlying pool of assets;

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(c) the payment, prepayment and collection experience of the pool on at least an annual basis or such shorter period as is reasonable given the nature of the underlying pool of assets;

(d) servicing and other administrative fees; and

(e) any significant variances experienced in the matters referred to in paragraphs (a), (b), (c), or (d).

(3) Investment Parameters - The investment parameters applicable to investments of any cash flow surpluses.

(4) Payment History - The amount of payments made during the three most recently completed financial years or the lesser period commencing on the first date on which your company had asset-backed securities outstanding, in respect of principal and interest or capital and yield, each stated separately, on asset-backed securities of your company outstanding.

(5) Acceleration Event - The occurrence of any event that has led to, or with the passage of time could lead to, the accelerated payment of principal, interest or capital of asset-backed securities.

(6) Principal Obligors - The identity of any principal obligors for the outstanding asset-backed securities of your company, the percentage of the pool of financial assets servicing the asset-backed securities represented by obligations of each principal obligor and whether the principal obligor has filed an AIF in any jurisdiction or a Form 10-K, Form 10-KSB or Form 20-F in the United States.

INSTRUCTIONS

(i) Present the information requested under subsection (2) in a manner that enables a reader to easily determine the status of the events, covenants, standards and preconditions referred to in subsection (1).

(ii) If the information required under subsection (2)

(A) is not compiled specifically on the pool of financial assets servicing the asset-backed securities, but is compiled on a larger pool of the same assets from which the securitized assets are randomly selected so that the performance of the larger pool is representative of the performance of the pool of securitized assets, or

(B) in the case of a new company, where the pool of financial assets servicing the asset-backed securities will be randomly selected from a larger pool of the same assets so that the performance of the larger pool will be representative of the performance of the pool of securitized assets to be created,

a company may comply with subsection (2) by providing the information required based on the larger pool and disclosing that it has done so.

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5.4 Companies With Mineral Projects

If your company had a mineral project, disclose the following information for each project material to your company:

(1) Project Description and Location

(a) The area (in hectares or other appropriate units) and the location of the project.

(b) The nature and extent of your company’s title to or interest in the project, including surface rights, obligations that must be met to retain the project and the expiration date of claims, licences and other property tenure rights.

(c) The terms of any royalties, overrides, back-in rights, payments or other agreements and encumbrances to which the project is subject.

(d) All environmental liabilities to which the project is subject.

(e) The location of all known mineralized zones, mineral resources, mineral reserves and mine workings, existing tailing ponds, waste deposits and important natural features and improvements.

(f) To the extent known, the permits that must be acquired to conduct the work proposed for the project and if the permits have been obtained.

(2) Accessibility, Climate, Local Resources, Infrastructure and Physiography

(a) The means of access to the property.

(b) The proximity of the property to a population centre and the nature of transport.

(c) To the extent relevant to the mining project, the climate and length of the operating season.

(d) The sufficiency of surface rights for mining operations, the availability and sources of power, water, mining personnel, potential tailings storage areas, potential waste disposal areas, heap leach pads areas and potential processing plant sites.

(e) The topography, elevation and vegetation.

(3) History

(a) The prior ownership and development of the property and ownership changes and the type, amount, quantity and results of the exploration work undertaken by previous owners, and any previous production on the property, to the extent known.

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(b) If your company acquired a project within the three most recently completed financial years or during the current financial year from, or intends to acquire a project from, an informed person or promoter of your company or an associate or affiliate of an informed person or promoter, the name of the vendor, the relationship of the vendor to your company, and the consideration paid or intended to be paid to the vendor.

(c) To the extent known, the name of every person or company that has received or is expected to receive a greater than five per cent interest in the consideration received or to be received by the vendor referred to in paragraph (b).

(4) Geological Setting - The regional, local and property geology.

(5) Exploration - The nature and extent of all exploration work conducted by, or on behalf of, your company on the property, including

(a) the results of all surveys and investigations and the procedures and parameters relating to surveys and investigations;

(b) an interpretation of the exploration information;

(c) whether the surveys and investigations have been carried out by your company or a contractor and if by a contractor, the name of the contractor; and

(d) a discussion of the reliability or uncertainty of the data obtained in the program.

(6) Mineralization - The mineralization encountered on the property, the surrounding rock types and relevant geological controls, detailing length, width, depth and continuity together with a description of the type, character and distribution of the mineralization.

(7) Drilling - The type and extent of drilling, including the procedures followed and an interpretation of all results.

(8) Sampling and Analysis - The sampling and assaying including

(a) description of sampling methods and the location, number, type, nature, spacing or density of samples collected;

(b) identification of any drilling, sampling or recovery factors that could materially impact the accuracy or reliability of the results;

(c) a discussion of the sample quality and whether the samples are representative and of any factors that may have resulted in sample biases;

(d) rock types, geological controls, widths of mineralized zones, cut-off grades and other parameters used to establish the sampling interval; and

(e) quality control measures and data verification procedures.

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(9) Security of Samples - The measures taken to ensure the validity and integrity of samples taken.

(10) Mineral Resource and Mineral Reserve Estimates - The mineral resources and mineral reserves, if any, including

(a) the quantity and grade or quality of each category of mineral resources and mineral reserves;

(b) the key assumptions, parameters and methods used to estimate the mineral resources and mineral reserves; and

(c) the extent to which the estimate of mineral resources and mineral reserves may be materially affected by metallurgical, environmental, permitting, legal, title, taxation, socio-economic, marketing, political and other relevant issues.

(11) Mining Operations - For development properties and production properties, the mining method, metallurgical process, production forecast, markets, contracts for sale of products, environmental conditions, taxes, mine life and expected payback period of capital.

(12) Exploration and Development - A description of your company’s current and contemplated exploration or development activities.

INSTRUCTIONS

(i) Disclosure regarding mineral exploration development or production activities on material projects must comply with, and is subject to the limitations set out in, National Instrument 43-101 Standards of Disclosure for Mineral Projects. You must use the appropriate terminology to describe mineral reserves and mineral resources. You must base your disclosure on a technical report, or other information, prepared by or under the supervision of a qualified person.

(ii) You may satisfy the disclosure requirements in section 5.4 by reproducing the summary from the technical report on the material property, and incorporating the detailed disclosure in the technical report into the AIF by reference.

(iii) In giving the information required under section 5.4 include the nature of ownership interests, such as fee interests, leasehold interests, royalty interests and any other types and variations of ownership interests.

5.5 Companies with Oil and Gas Activities

If your company is engaged in oil and gas activities as defined in National Instrument 51-101 Standards of Disclosure for Oil and Gas Activities, disclose the following information:

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(1) Reserves Data and Other Information

(a) In the case of information that, for purposes of Form 51-101F1 Statement of Reserves Data and Other Oil and Gas Information, is to be prepared as at the end of a financial year, disclose that information as at your company’s most recently completed financial year-end.

(b) In the case of information that, for purposes of Form 51-101F1, is to be prepared for a financial year, disclose that information for your company’s most recently completed financial year.

(c) To the extent not reflected in the information disclosed in response to paragraphs (a) and (b), disclose the information contemplated by Part 6 of National Instrument 51-101 in respect of material changes that occurred after your company’s most recently completed financial year-end.

(2) Report of Independent Qualified Reserves Evaluator or Auditor - Include with the disclosure under subsection (1) a report in the form of Form 51-101F2 Report on Reserves Data by Independent Qualified Reserves Evaluator or Auditor, on the reserves data included in the disclosure required under paragraphs (1)(a) and 1(b) above.

(3) Report of Management - Include with the disclosure under subsection (1) a report in the form of Form 51-101F3 Report of Management and Directors on Oil and Gas Disclosure that refers to the information disclosed under subsection (1).

INSTRUCTION

The information presented in response to section 5.5 must be in accordance with National Instrument 51-101 Standards of Disclosure for Oil and Gas Activities.

Item 6 Dividends

6.1 Dividends

(1) Disclose the amount of cash dividends declared per share for each class of your company’s shares for each of the three most recently completed financial years.

(2) Describe any restriction that could prevent your company from paying dividends.

(3) Disclose your company’s current dividend policy and any intended change in dividend policy.

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Item 7 Description of Capital Structure

7.1 General Description of Capital Structure

Describe your company’s capital structure. State the description or the designation of each class of authorized security, and describe the material characteristics of each class of authorized security, including voting rights, provisions for exchange, conversion, exercise, redemption and retraction, dividend rights and rights upon dissolution or winding-up.

INSTRUCTION

This section requires only a brief summary of the provisions that are material from a securityholder’s standpoint. The provisions attaching to different classes of securities do not need to be set out in full. This summary should include the disclosure required in subsection 10.1(1) of National Instrument 51-102.

7.2 Constraints

If there are constraints imposed on the ownership of securities of your company to ensure that your company has a required level of Canadian ownership, describe the mechanism, if any, by which the level of Canadian ownership of the securities is or will be monitored and maintained.

7.3 Ratings

If one or more ratings, including provisional ratings, has been received from one or more rating organizations for securities of your company that are outstanding and the rating or ratings continue in effect, disclose

(a) each security rating, including a provisional rating, received from an approved rating organization;

(b) for each rating disclosed under paragraph (a), the name of the approved rating organization that has assigned the rating;

(c) a definition or description of the category in which each approved rating organization rated the securities and the relative rank of each rating within the organization’s overall classification system;

(d) an explanation of what the rating addresses and what attributes, if any, of the securities are not addressed by the rating;

(e) any factors or considerations identified by the approved rating organization as giving rise to unusual risks associated with the securities;

(f) a statement that a security rating is not a recommendation to buy, sell or hold securities and may be subject to revision or withdrawal at any time by the rating organization; and

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(g) any announcement made by an approved rating organization that the organization is reviewing or intends to revise or withdraw a rating previously assigned and required to be disclosed under this section.

INSTRUCTIONS

There may be factors relating to a security that are not addressed by a ratings agency when they give a rating. For example, in the case of cash settled derivatives, factors in addition to the creditworthiness of the issuer, such as the continued subsistence of the underlying interest or the volatility of the price, value or level of the underlying interest may be reflected in the rating analysis. Rather than being addressed in the rating itself, these factors may be described by an approved rating organization by way of a superscript or other notation to a rating. Any such attributes must be discussed in the disclosure under section 7.3.

Item 8 Market for Securities

8.1 Trading Price and Volume

(1) For each class of securities of your company that is traded or quoted on a Canadian marketplace, identify the marketplace and the price ranges and volume traded or quoted on the Canadian marketplace on which the greatest volume of trading or quotation generally occurs.

(2) If a class of securities of your company is not traded or quoted on a Canadian marketplace, identify the foreign marketplace and the price ranges and volume traded or quoted on the foreign marketplace on which the greatest volume of trading or quotation generally occurs.

(3) Provide the information required under subsections (1) and (2) on a monthly basis for each month or, if applicable, partial months of the most recently completed financial year.

8.2 Prior Sales

For each class of securities of your company that is outstanding but not listed or quoted on a marketplace, state the price at which securities of the class have been sold during the most recently completed financial year by your company and the number of securities of the class sold.

Item 9 Escrowed Securities

9.1 Escrowed Securities

(1) State, in substantially the following tabular form, the number of securities of each class of your company held, to your company’s knowledge, in escrow, and the percentage that number represents of the outstanding securities of that class.

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ESCROWED SECURITIES

Designation of Class Number of Securities Percentage of Class held in Escrow

(2) In a note to the table, disclose the name of the escrow agent, if any, and the date of and conditions governing the release of the securities from escrow.

INSTRUCTION

For the purposes of this Item, escrow includes a pooling agreement.

Item 10 Directors and Officers

10.1 Name, Occupation and Security Holding

(1) List the name, province or state, and country of residence of each director and executive officer of your company and indicate their respective positions and offices held with your company and their respective principal occupations during the five preceding years.

(2) State the period or periods during which each director has served as a director and when his or her term of office will expire.

(3) State the number and percentage of securities of each class of voting securities of your company or any of its subsidiaries beneficially owned, directly or indirectly, or over which control or direction is exercised, by all directors and executive officers of your company as a group.

(4) Identify the members of each committee of the board.

(5) If the principal occupation of a director or executive officer of your company is acting as an officer of a person or company other than your company, disclose that fact and state the principal business of the person or company.

INSTRUCTION

For the purposes of subsection (3), securities of subsidiaries of your company that are beneficially owned, directly or indirectly, or controlled or directed, by directors or executive officers through ownership or control or direction over securities of your company, do not need to be included.

- 721 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

10.2 Cease Trade Orders, Bankruptcies, Penalties or Sanctions

(1) If a director or executive officer of your company, or a shareholder holding a sufficient number of securities of your company to affect materially the control of your company

(a) is, as at the date of the AIF or has been, within the 10 years before the date of the AIF, a director or executive officer of any company (including your company), that while that person was acting in that capacity,

(i) was the subject of a cease trade or similar order or an order that denied the relevant company access to any exemption under securities legislation, for a period of more than 30 consecutive days, state the fact and describe the basis on which the order was made and whether the order is still in effect;

(ii) was subject to an event that resulted, after the director or executive officer ceased to be a director or executive officer, in the company being the subject of a cease trade or similar order or an order that denied the relevant company access to any exemption under securities legislation, for a period of more than 30 consecutive days, state the fact and describe the basis on which the order was made and whether the order is still in effect; or

(iii) or within a year of that person ceasing to act in that capacity, became bankrupt, made a proposal under any legislation relating to bankruptcy or insolvency or was subject to or instituted any proceedings, arrangement or compromise with creditors or had a receiver, receiver manager or trustee appointed to hold its assets, state the fact; or

(b) has, within the 10 years before the date of the AIF, become bankrupt, made a proposal under any legislation relating to bankruptcy or insolvency, or become subject to or instituted any proceedings, arrangement or compromise with creditors, or had a receiver, receiver manager or trustee appointed to hold the assets of the director, officer or shareholder, state the fact.

(2) Describe the penalties or sanctions imposed and the grounds on which they were imposed, or the terms of the settlement agreement and the circumstances that gave rise to the settlement agreement, if a director or executive officer of your company, or a shareholder holding a sufficient number of securities of your company to affect materially the control of your company, has been subject to

(a) any penalties or sanctions imposed by a court relating to securities legislation or by a securities regulatory authority or has entered into a settlement agreement with a securities regulatory authority; or

- 722 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

(b) any other penalties or sanctions imposed by a court or regulatory body that would likely be considered important to a reasonable investor in making an investment decision.

(3) Despite subsection (2), no disclosure is required of a settlement agreement entered into before December 31, 2000 unless the disclosure would likely be important to a reasonable investor in making an investment decision.

INSTRUCTION

The disclosure required by subsections (1) and (2) also applies to any personal holding companies of any of the persons referred to in subsections (1) and (2).

10.3 Conflicts of Interest

Disclose particulars of existing or potential material conflicts of interest between your company or a subsidiary of your company and any director or officer of your company or a subsidiary of your company.

Item 11 Promoters

11.1 Promoters

For a person or company that has been, within the three most recently completed financial years or during the current financial year, a promoter of your company or of a subsidiary of your company, state

(a) the person or company’s name;

(b) the number and percentage of each class of voting securities and equity securities of your company or any of its subsidiaries beneficially owned, directly or indirectly, or over which control is exercised;

(c) the nature and amount of anything of value, including money, property, contracts, options or rights of any kind received or to be received by the promoter directly or indirectly from your company or from a subsidiary of your company, and the nature and amount of any assets, services or other consideration received or to be received by your company or a subsidiary of your company in return; and

(d) for an asset acquired within the three most recently completed financial years or during the current financial year, or an asset to be acquired, by your company or by a subsidiary of your company from a promoter

(i) the consideration paid or to be paid for the asset and the method by which the consideration has been or will be determined;

- 723 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

(ii) the person or company making the determination referred to in subparagraph (i) and the person or company’s relationship with your company, the promoter, or an associate or affiliate of your company or of the promoter; and

(iii) the date that the asset was acquired by the promoter and the cost of the asset to the promoter.

Item 12 Legal Proceedings

12.1 Legal Proceedings

Describe any legal proceedings to which your company is a party or of which any of its property is the subject and any such proceedings known to your company to be contemplated, including the name of the court or agency, the date instituted, the principal parties to the proceedings, the nature of the claim, the amount claimed, if any, whether the proceedings are being contested, and the present status of the proceedings.

INSTRUCTION

You do not need to give information with respect to any proceeding that involves a claim for damages if the amount involved, exclusive of interest and costs, does not exceed ten per cent of the current assets of your company. However, if any proceeding presents in large degree the same legal and factual issues as other proceedings pending or known to be contemplated, you must include the amount involved in the other proceedings in computing the percentage.

Item 13 Interest of Management and Others in Material Transactions

13.1 Interest of Management and Others in Material Transactions

Describe, and state the approximate amount of, any material interest, direct or indirect, of any of the following persons or companies in any transaction within the three most recently completed financial years or during the current financial year that has materially affected or will materially affect your company:

(a) a director or executive officer of your company;

(b) a person or company that is the direct or indirect beneficial owner of, or who exercises control or direction over, more than 10 percent of any class or series of your outstanding voting securities; and

(c) an associate or affiliate of any of the persons or companies referred to in paragraphs (a) or (b).

- 724 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

INSTRUCTIONS

(i) The materiality of the interest is to be determined on the basis of the significance of the information to investors in light of all the circumstances of the particular case. The importance of the interest to the person having the interest, the relationship of the parties to the transaction with each other and the amount involved are among the factors to be considered in determining the significance of the information to securityholders.

(ii) This Item does not apply to any interest arising from the ownership of securities of your company if the securityholder receives no extra or special benefit or advantage not shared on an equal basis by all other holders of the same class of securities or all other holders of the same class of securities who are resident in Canada.

(iii) Give a brief description of the material transactions. Include the name of each person or company whose interest in any transaction is described and the nature of the relationship to your company.

(iv) For any transaction involving the purchase of assets by or sale of assets to your company or a subsidiary of your company, state the cost of the assets to the purchaser, and the cost of the assets to the seller if acquired by the seller within three years before the transaction.

(v) You do not need to give information under this Item for a transaction if

(A) the rates or charges involved in the transaction are fixed by law or determined by competitive bids,

(B) the interest of a specified person or company in the transaction is solely that of a director of another company that is a party to the transaction,

(C) the transaction involves services as a bank or other depository of funds, a transfer agent, registrar, trustee under a trust indenture or other similar services, or

(D) the transaction does not involve remuneration for services and the interest of the specified person or company arose from the beneficial ownership, direct or indirect, of less than ten per cent of any class of equity securities of another company that is party to the transaction and the transaction is in the ordinary course of business of your company or your company’s subsidiaries.

(vi) Describe all transactions not excluded above that involve remuneration (including an issuance of securities), directly or indirectly, to any of the specified persons or companies for services in any capacity unless the interest of the person or company arises solely from the beneficial ownership, direct or indirect, of less than ten per cent of any class of equity securities of another company furnishing the services to your company or your company’s subsidiaries.

- 725 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

Item 14 Transfer Agents and Registrars

14.1 Transfer Agents and Registrars

State the name of your company’s transfer agent(s) and registrar(s) and the location (by municipalities) of the register(s) of transfers of each class of securities.

Item 15 Material Contracts

15.1 Material Contracts

(1) Give particulars of every contract, other than a contract entered into in the ordinary course of business, that is material to your company and that was entered into within the most recently completed financial year, or before the most recently completed financial year but is still in effect.

(2) You do not need to give disclosure under subsection (1) of a contract that was entered into before January 1, 2002.

INSTRUCTION

(i) Whether a contract has been entered into in the ordinary course of business is a question of fact. It must be considered in the context of the company’s business and the industry that it operates within.

(ii) Set out a complete list of all contracts for which particulars must be given under section 15.1, indicating those that are disclosed elsewhere in the AIF. Particulars need only be provided for those contracts that do not have the particulars given elsewhere in the AIF.

(iii) Particulars of contracts should include the dates of, parties to, consideration provided for in, and key terms of, the contracts.

Item 16 Interests of Experts

16.1 Names of Experts

Name each person or company

(a) who is named as having prepared or certified a statement, report or valuation described or included in a filing, or referred to in a filing, made under National Instrument 51-102 by your company during, or relating to, your company’s most recently completed financial year; and

(b) whose profession or business gives authority to the statement, report or valuation made by the person or company.

- 726 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

Interests of Experts

(1) Disclose all registered or beneficial interests, direct or indirect, in any securities or other property of your company or of one of your associates or affiliates

(a) held by an expert named in section 16.1 when that expert prepared the statement, report, or valuation referred to in paragraph 16.1(a);

(b) received by an expert named in section 16.1 after the time specified in paragraph 16.2(1)(a); or

(c) to be received by an expert named in section 16.1.

(2) For the purposes of subsection (1), if the person’s or company’s interest in the securities represents less than one per cent of your outstanding securities of the same class, a general statement to that effect is sufficient.

(3) If a person or a director, officer or employee of a person or company referred to in subsection (1) is or is expected to be elected, appointed or employed as a director, officer or employee of your company or of any associate or affiliate of your company, disclose the fact or expectation.

INSTRUCTIONS

(i) If you have included a statement, report or valuation of an expert in the AIF, your company may be required by other securities legislation to obtain the consent of an expert before referring to the expert’s opinion, for example under National Instrument 43-101 Standards of Disclosure for Mineral Projects and National Instrument 51-101 Standards of Disclosure for Oil and Gas Activities.

(ii) Section 16.2 does not apply to

(A) auditors of a business acquired by your company provided they have not been or will not be appointed as your company’s auditor subsequent to the acquisition, and

(B) your company’s predecessor auditors, if any, for periods when they were not your company’s auditor.

(iii) Section 16.2 does not apply to registered or beneficial interests, direct or indirect, held through mutual funds.

Item 17 Additional Information

17.1 Additional Information

(1) Disclose that additional information relating to your company may be found on SEDAR at www.sedar.com.

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(2) If your company is required to distribute a Form 51-102F5 to any of its securityholders, include a statement that additional information, including directors’ and officers’ remuneration and indebtedness, principal holders of your company’s securities and securities authorized for issuance under equity compensation plans, if applicable, is contained in your company’s information circular for its most recent annual meeting of securityholders that involved the election of directors.

(3) Include a statement that additional financial information is provided in your company’s financial statements and MD&A for its most recently completed financial year.

INSTRUCTION

Your company may also be required to provide additional information in its AIF as set out in Form 52-110F1 Audit Committee Information Required in an AIF.

Item 18 Additional Disclosure for Companies Not Sending Information Circulars

18.1 Additional Disclosure

For companies that are not required to send a Form 51-102F5 to any of their securityholders, disclose the information required under Items 6 to 10, 12 and 13 of Form 51-102F5, as modified below, if applicable:

Form 51-102F5 Reference Modification

Item 6 - Voting Securities Include the disclosure specified in section 6.1 and Principal Holders of without regard to the phrase “entitled to be voted at Voting Securities the meeting”. Do not include the disclosure specified in sections 6.2, 6.3 and 6.4. Include the disclosure specified in section 6.5.

Item 7 – Election of Disregard the preamble of section 7.1. Include the Directors disclosure specified in section 7.1 without regard to the word “proposed” throughout. Do not include the disclosure specified in section 7.3.

Item 10 – Indebtedness of Include the disclosure specified throughout; however, Directors and Executive replace the phrase “date of the information circular” Officers with “date of the AIF” throughout.

Item 12 – Appointment of Name the auditor. If the auditor was first appointed Auditor within the last five years, state the date when the auditor was first appointed.

- 728 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

FORM 51-102F3 MATERIAL CHANGE REPORT

PART 1 GENERAL INSTRUCTIONS AND INTERPRETATION

(a) Confidentiality

If this Report is filed on a confidential basis, state in block capitals “CONFIDENTIAL” at the beginning of the Report.

(b) Use of “Company”

Wherever this Form uses the word “company” the term includes other types of business organizations such as partnerships, trusts and other unincorporated business entities.

(c) Numbering and Headings

The numbering, headings and ordering of the items included in this Form are guidelines only. You do not need to include the headings or numbering or follow the order of items in this Form. Disclosure provided in response to any item need not be repeated elsewhere.

(d) Defined Terms

If a term is used but not defined in this Form, refer to Part 1 of National Instrument 51-102 and to National Instrument 14-101 Definitions. If a term is used in this Form and is defined in both the securities statute of a local jurisdiction and in National Instrument 51-102, refer to section 1.4 of Companion Policy 51-102CP.

(e) Plain Language

Write the Report so that readers are able to understand it. Consider both the level of detail provided and the language used in the document. Refer to the plain language principles listed in section 1.5 of Companion Policy 51-102CP. If you use technical terms, explain them in a clear and concise manner.

PART 2 CONTENT OF MATERIAL CHANGE REPORT

Item 1 Name and Address of Company

State the full name of your company and the address of its principal office in Canada.

Item 2 Date of Material Change

State the date of the material change.

- 729 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

Item 3 News Release

State the date and method(s) of dissemination of the news release issued under section 7.1 of National Instrument 51–102.

Item 4 Summary of Material Change

Provide a brief but accurate summary of the nature and substance of the material change.

Item 5 Full Description of Material Change

Supplement the summary required under Item 4 with sufficient disclosure to enable a reader to appreciate the significance and impact of the material change without having to refer to other material. Management is in the best position to determine what facts are significant and must disclose those facts in a meaningful manner. See also Item 7.

Some examples of significant facts relating to the material change include: dates, parties, terms and conditions, description of any assets, liabilities or capital affected, purpose, financial or dollar values, reasons for the change, and a general comment on the probable impact on the issuer or its subsidiaries. Specific financial forecasts would not normally be required.

Other additional disclosure may be appropriate depending on the particular situation.

INSTRUCTION

If your company is engaged in oil and gas activities, the disclosure under Item 5 must also satisfy the requirements of Part 6 of National Instrument 51-101 Standards of Disclosure for Oil and Gas Activities.

Item 6 Reliance on subsection 7.1(2) or (3) of National Instrument 51-102

If this Report is being filed on a confidential basis in reliance on subsection 7.1(2) or (3) of National Instrument 51-102, state the reasons for such reliance.

INSTRUCTION

Refer to subsections 7.1 (4),(5), (6) and (7) of National Instrument 51-102 concerning continuing obligations in respect of reports filed under subsection 7.1(2) or (3) of National Instrument 51-102.

Item 7 Omitted Information

State whether any information has been omitted on the basis that it is confidential information.

In a separate letter to the applicable regulator or securities regulatory authority marked “Confidential” provide the reasons for your company’s omission of confidential significant facts in the Report in sufficient detail to permit the applicable regulator or securities regulatory authority to determine whether to exercise its discretion to allow the omission of these significant facts.

- 730 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

INSTRUCTIONS

In certain circumstances where a material change has occurred and a Report has been or is about to be filed but subsection 7.1(2), (3) or (5) of National Instrument 51- 102 is not or will no longer be relied upon, your company may nevertheless believe one or more significant facts otherwise required to be disclosed in the Report should remain confidential and not be disclosed or not be disclosed in full detail in the Report.

Item 8 Executive Officer

Give the name and business telephone number of an executive officer of your company who is knowledgeable about the material change and the Report, or the name of an officer through whom such executive officer may be contacted.

Item 9 Date of Report

Date the Report.

FORM 51-102F4 BUSINESS ACQUISITION REPORT

PART 1 GENERAL INSTRUCTIONS AND INTERPRETATION

(a) What is a Business Acquisition Report?

Your company must file a Business Acquisition Report after completing a significant acquisition. See Part 8 of National Instrument 51-102. The Business Acquisition Report describes the significant businesses acquired by your company and the effect of the acquisition on your company.

(b) Use of “Company”

Wherever this Form uses the word “company”, the term includes other types of business organizations such as partnerships, trusts and other unincorporated business entities.

(c) Focus on Relevant Information

When providing the disclosure required by this Form, focus your discussion on information that is relevant to an investor, analyst or other reader.

(d) Incorporating Material By Reference

You may incorporate information required by this Form, other than the financial statements or other information required by Item 3, by reference to another document. Clearly identify the referenced document, or any excerpt of it, that you incorporate into this Report. Unless the referenced document or excerpt has already been filed, you must file it with this Report.

- 731 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

(e) Defined Terms

If a term is used but not defined in this Form, refer to Part 1 of National Instrument 51-102 and to National Instrument 14-101 Definitions. If a term is used in this Form and is defined in both the securities statute of a local jurisdiction and in National Instrument 51-102, refer to section 1.4 of Companion Policy 51-102CP.

(f) Plain Language

Write this Report so that readers are able to understand it. Consider both the level of detail provided and the language used in the document. Refer to the plain language principles listed in section 1.5 of Companion Policy 51-102CP. If you use technical terms, explain them in a clear and concise manner.

(g) Numbering and Headings

The numbering, headings and ordering of items included in this Form are guidelines only. You do not need to include the headings or numbering or follow the order of items in this Form. Disclosure provided in response to any item need not be repeated elsewhere in the Report.

PART 2 CONTENT OF BUSINESS ACQUISITION REPORT

Item 1 Identity of Company

1.1 Name and Address of Company

State the full name of your company and the address of its principal office in Canada.

1.2 Executive Officer

Give the name and business telephone number of an executive officer of your company who is knowledgeable about the significant acquisition and the Report, or the name of an officer through whom such executive officer may be contacted.

Item 2 Details of Acquisition

2.1 Nature of Business Acquired

Describe the nature of the business acquired.

2.2 Date of Acquisition

State the date of acquisition used for accounting purposes.

INSTRUCTION

If your company is using Canadian GAAP, the date of acquisition for accounting purposes is one of the following two dates, whichever is applicable:

- 732 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

(a) the date the net assets or equity interests are received, and the consideration is given; or

(b) the date of the written agreement that provides that control of the acquired enterprise transferred to the acquirer, subject only to those conditions required to protect the interests of the parties involved, or the later date, if any, specified in the written agreement that such control is to be transferred.

2.3 Consideration

Disclose the type and amount of consideration, both monetary and non-monetary, paid or payable by your company in connection with the significant acquisition, including contingent consideration. Identify the source of funds used by your company for the acquisition, including a description of any financing associated with the acquisition.

2.4 Effect on Financial Position

Describe any plans or proposals for material changes in your business affairs or the affairs of the acquired business which may have a significant effect on the results of operations and financial position of your company. Examples include any proposal to liquidate the business, to sell, lease or exchange all or a substantial part of its assets, to amalgamate the business with any other business organization or to make any material changes to your business or the business acquired such as changes in corporate structure, management or personnel.

2.5 Prior Valuations

Describe in sufficient detail any valuation opinion obtained within the last 12 months by the acquired business or your company required by securities legislation or a Canadian exchange or market to support the consideration paid by your company or any of its subsidiaries for the business, including the name of the author, the date of the opinion, the business to which the opinion relates, the value attributed to the business and the valuation methodologies used.

2.6 Parties to Transaction

State whether the transaction is with an informed person, associate or affiliate of your company and, if so, the identity and the relationship of the other parties to your company.

2.7 Date of Report

Date the Report.

Item 3 Financial Statements

Include the financial statements or other information required by Part 8 of National Instrument 51-102. If applicable, disclose that the auditors have not given their consent to include their audit report in this Report.

- 733 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

FORM 51-102F5 INFORMATION CIRCULAR

TABLE OF CONTENTS

PART 1 GENERAL INSTRUCTIONS AND INTERPRETATION (a) Timing of Information (b) Use of “Company” (c) Incorporating Information by Reference (d) Defined Terms (e) Plain Language (f) Numbering and Headings (g) Tables and Figures (h) Omitting Information

PART 2 CONTENT

Item 1 Date Item 2 Revocability of Proxy Item 3 Persons Making the Solicitation Item 4 Proxy Instructions Item 5 Interest of Certain Persons or Companies in Matters to be Acted Upon Item 6 Voting Securities and Principal Holders of Voting Securities Item 7 Election of Directors Item 8 Executive Compensation Item 9 Securities Authorized for Issuance Under Equity Compensation Plans Item 10 Indebtedness of Directors and Executive Officers Item 11 Interest of Informed Persons in Material Transactions Item 12 Appointment of Auditor Item 13 Management Contracts Item 14 Particulars of Matters to be Acted Upon Item 15 Restricted Securities Item 16 Additional Information

FORM 51-102F5 INFORMATION CIRCULAR

PART 1 GENERAL INSTRUCTIONS AND INTERPRETATION

(a) Timing of Information

The information required by this Form 51-102F5 must be given as of a specified date not more than thirty days prior to the date you first send the information circular to any securityholder of the company.

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(b) Use of “Company”

Wherever this Form uses the word “company”, the term includes other types of business organizations such as partnerships, trusts and other unincorporated business entities.

(c) Incorporating Information by Reference

You may incorporate information required to be included in your information circular by reference to another document. Clearly identify the referenced document or any excerpt of it that you incorporate into your information circular. Unless you have already filed the referenced document or excerpt, you must file it with your information circular. You must also disclose that the document is on SEDAR at www.sedar.com and that, upon request, you will promptly provide a copy of any such document free of charge to a securityholder of the company.

(d) Defined Terms

If a term is used but not defined in this Form, refer to Part 1 of National Instrument 51-102 and to National Instrument 14-101 Definitions. If a term is used in this Form and is defined in both the securities statute of the local jurisdiction and in National Instrument 51-102, refer to section 1.4 of Companion Policy 51-102CP.

(e) Plain Language

Write this document so that readers are able to understand it. Refer to the plain language principles listed in section 1.5 of Companion Policy 51-102CP. If you use technical terms, explain them in a clear and concise manner.

(f) Numbering and Headings

The numbering, headings and ordering of items included in this Form are guidelines only. You do not need to include the headings or numbering or follow the order of items in this Form. Disclosure provided in response to any item need not be repeated elsewhere.

(g) Tables and Figures

Where it is practicable and appropriate, present information in tabular form. State all amounts in figures.

(h) Omitting Information

You do not need to respond to any item in this Form that is inapplicable. You may also omit information that is not known to the person or company on whose behalf the solicitation is made and that is not reasonably within the power of the person or company to obtain, if you briefly state the circumstances that render the information unavailable.

- 735 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

You may omit information that was contained in another information circular, notice of meeting or form of proxy sent to the same persons or companies whose proxies were solicited in connection with the same meeting, as long as you clearly identify the particular document containing the information.

PART 2 CONTENT

Item 1 Date

Specify the date of the information circular.

Item 2 Revocability of Proxy

State whether the person or company giving the proxy has the power to revoke it. If any right of revocation is limited or is subject to compliance with any formal procedure, briefly describe the limitation or procedure.

Item 3 Persons Making the Solicitation

3.1 If a solicitation is made by or on behalf of management of the company, state this. Name any director of the company who has informed management in writing that he or she intends to oppose any action intended to be taken by management at the meeting and indicate the action that he or she intends to oppose.

3.2 If a solicitation is made other than by or on behalf of management of the company, state this and give the name of the person or company by whom, or on whose behalf, it is made.

3.3 If the solicitation is to be made other than by mail, describe the method to be employed. If the solicitation is to be made by specially engaged employees or soliciting agents, state,

(a) the parties to and material features of any contract or arrangement for the solicitation; and

(b) the cost or anticipated cost thereof.

3.4 State who has borne or will bear, directly or indirectly, the cost of soliciting.

Item 4 Proxy Instructions

4.1 The information circular or the form of proxy to which the information circular relates must indicate in bold-face type that the securityholder has the right to appoint a person or company to represent the securityholder at the meeting other than the person or company, if any, designated in the form of proxy and must contain instructions as to the manner in which the securityholder may exercise the right.

- 736 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

4.2 The information circular or the form of proxy to which the information circular relates must state that the securities represented by the proxy will be voted or withheld from voting in accordance with the instructions of the securityholder on any ballot that may be called for and that, if the securityholder specifies a choice with respect to any matter to be acted upon, the securities will be voted accordingly.

Item 5 Interest of Certain Persons or Companies in Matters to be Acted Upon

Briefly describe any material interest, direct or indirect, by way of beneficial ownership of securities or otherwise, of each of the following persons or companies in any matter to be acted upon other than the election of directors or the appointment of auditors:

(a) if the solicitation is made by or on behalf of management of the company, each person who has been a director or executive officer of the company at any time since the beginning of the company’s last financial year;

(b) if the solicitation is made other than by or on behalf of management of the company, each person or company by whom, or on whose behalf, directly or indirectly, the solicitation is made;

(c) each proposed nominee for election as a director of the company; and

(d) each associate or affiliate of any of the persons or companies listed in paragraphs (a) to (c).

INSTRUCTIONS

(i) The following persons and companies are deemed to be persons or companies by whom or on whose behalf the solicitation is made (collectively, “solicitors” or individually a “solicitor”):

(A) any member of a committee or group that solicits proxies, and any person or company whether or not named as a member who, acting alone or with one or more other persons or companies, directly or indirectly takes the initiative or engages in organizing, directing or financing any such committee or group;

(B) any person or company who contributes, or joins with another to contribute, more than $250 to finance the solicitation of proxies; or

(C) any person or company who lends money, provides credit, or enters into any other arrangements, under any contract or understanding with a solicitor, for the purpose of financing or otherwise inducing the purchase, sale, holding or voting of securities of the company but not including a bank or other lending institution or a dealer that, in the ordinary course of business, lends money or executes orders for the purchase or sale of securities.

- 737 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

(ii) Subject to paragraph (i), the following persons and companies are deemed not to be solicitors:

(A) any person or company retained or employed by a solicitor to solicit proxies or any person or company who merely transmits proxy-soliciting material or performs ministerial or clerical duties;

(B) any person or company employed or retained by a solicitor in the capacity of lawyer, accountant, or advertising, public relations, investor relations or financial advisor and whose activities are limited to the performance of their duties in the course of the employment or retainer;

(C) any person regularly employed as an officer or employee of the company or any of its affiliates; or

(D) any officer or director of, or any person regularly employed by, any solicitor.

Item 6 Voting Securities and Principal Holders of Voting Securities

6.1 For each class of voting securities of the company entitled to be voted at the meeting, state the number of securities outstanding and the particulars of voting rights for each class.

6.2 For each class of restricted securities, provide the information required in subsection 10.1(1) of National Instrument 51-102.

6.3 Give the record date as of which the securityholders entitled to vote at the meeting will be determined or particulars as to the closing of the security transfer register, as the case may be, and, if the right to vote is not limited to securityholders of record as of the specified record date, indicate the conditions under which securityholders are entitled to vote.

6.4 If action is to be taken with respect to the election of directors and if the securityholders or any class of securityholders have the right to elect a specified number of directors or have cumulative or similar voting rights, include a statement of such rights and state briefly the conditions precedent, if any, to the exercise thereof.

6.5 If, to the knowledge of the company’s directors or executive officers, any person or company beneficially owns, directly or indirectly, or controls or directs, voting securities carrying 10 per cent or more of the voting rights attached to any class of voting securities of the company, name each person or company and state

(a) the approximate number of securities beneficially owned, directly or indirectly, or controlled or directed by each such person or company; and

(b) the percentage of the class of outstanding voting securities of the company represented by the number of voting securities so owned, controlled or directed.

- 738 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

Item 7 Election of Directors

7.1 If directors are to be elected, provide the following information, in tabular form to the extent practicable, for each person proposed to be nominated for election as a director and each other person whose term of office as a director will continue after the meeting:

(a) State the name, province or state, and country of residence, of each director and proposed director.

(b) State the period or periods during which each director has served as a director and when the term of office for each director and proposed director will expire.

(c) Identify the members of each committee of the board.

(d) State the present principal occupation, business or employment of each director and proposed director. Give the name and principal business of any company in which any such employment is carried on. Furnish similar information as to all of the principal occupations, businesses or employments of each proposed director within the five preceding years, unless the proposed director is now a director and was elected to the present term of office by a vote of securityholders at a meeting, the notice of which was accompanied by an information circular.

(e) If a director or proposed director has held more than one position in the company, or a parent or subsidiary, state only the first and last position held.

(f) State the number of securities of each class of voting securities of the company or any of its subsidiaries beneficially owned, directly or indirectly, or controlled or directed by each proposed director.

(g) If securities carrying 10 per cent or more of the voting rights attached to all voting securities of the company or of any of its subsidiaries are beneficially owned, directly or indirectly, or controlled or directed by any proposed director and the proposed director’s associates or affiliates,

(i) state the number of securities of each class of voting securities beneficially owned, directly or indirectly, or controlled or directed by the associates or affiliates; and

(ii) name each associate or affiliate whose security holdings are 10 per cent or more.

- 739 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

7.2 If a proposed director

(a) is, as at the date of the information circular, or has been, within 10 years before the date of the information circular, a director or executive officer of any company (including the company in respect of which the information circular is being prepared) that, while that person was acting in that capacity,

(i) was the subject of a cease trade or similar order or an order that denied the relevant company access to any exemption under securities legislation, for a period of more than 30 consecutive days, state the fact and describe the basis on which the order was made and whether the order is still in effect;

(ii) was subject to an event that resulted, after the director or executive officer ceased to be a director or executive officer, in the company being the subject of a cease trade or similar order or an order that denied the relevant company access to any exemption under securities legislation, for a period of more than 30 consecutive days, state the fact and describe the basis on which the order was made and whether the order is still in effect; or

(iii) or within a year of that person ceasing to act in that capacity, became bankrupt, made a proposal under any legislation relating to bankruptcy or insolvency or was subject to or instituted any proceedings, arrangement or compromise with creditors or had a receiver, receiver manager or trustee appointed to hold its assets, state the fact; or

(b) has, within the 10 years before the date of the information circular, become bankrupt, made a proposal under any legislation relating to bankruptcy or insolvency, or become subject to or instituted any proceedings, arrangement or compromise with creditors, or had a receiver, receiver manager or trustee appointed to hold the assets of the proposed director, state the fact.

7.3 If any proposed director is to be elected under any arrangement or understanding between the proposed director and any other person or company, except the directors and executive officers of the company acting solely in such capacity, name the other person or company and describe briefly the arrangement or understanding.

Item 8 Executive Compensation

Include in this information circular a completed Form 51-102F6 Statement of Executive Compensation.

- 740 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

Item 9 Securities Authorized for Issuance Under Equity Compensation Plans

9.1 In the tabular form under the caption set out, provide the information specified in section 9.2 as of the end of the company’s most recently completed financial year with respect to compensation plans under which equity securities of the company are authorized for issuance, aggregated as follows:

(a) all compensation plans previously approved by securityholders; and

(b) all compensation plans not previously approved by securityholders.

Equity Compensation Plan Information

Number of securities Number of remaining available securities to be Weighted-average for future issuance issued upon exercise price of under equity exercise of outstanding compensation plans outstanding options, warrants (excluding securities options, warrants and rights reflected in column and rights (a))

Plan Category (a) (b) (c)

Equity compensation plans approved by securityholders

Equity compensation plans not approved by securityholders

Total

9.2 Include in the table the following information as of the end of the company’s most recently completed financial year for each category of compensation plan described in section 9.1:

(a) the number of securities to be issued upon the exercise of outstanding options, warrants and rights (column (a));

(b) the weighted-average exercise price of the outstanding options, warrants and rights disclosed under subsection 9.2(a) (column (b)); and

(c) other than securities to be issued upon the exercise of the outstanding options, warrants and rights disclosed in subsection 9.2(a), the number of securities remaining available for future issuance under the plan (column (c)).

- 741 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

9.3 For each compensation plan under which equity securities of the company are authorized for issuance and that was adopted without the approval of securityholders, describe briefly, in narrative form, the material features of the plan.

INSTRUCTIONS

(i) The disclosure under Item 9 relating to compensation plans must include individual compensation arrangements.

(ii) Provide disclosure with respect to any compensation plan of the company (or parent, subsidiary or affiliate of the company) under which equity securities of the company are authorized for issuance to employees or non-employees (such as directors, consultants, advisors, vendors, customers, suppliers or lenders) in exchange for consideration in the form of goods or services as described in section 3870 “Stock-based Compensation and Other Stock-based Payments” of the Handbook. You do not have to provide disclosure regarding any plan, contract or arrangement for the issuance of warrants or rights to all securityholders of the company on a pro rata basis (such as a rights offering).

(iii) If more than one class of equity security is issued under the company’s compensation plans, disclose aggregate plan information for each class of security separately.

(iv) You may aggregate information regarding individual compensation arrangements with the plan information required under subsections 9.1(a) and (b), as applicable.

(v) You may aggregate information regarding a compensation plan assumed in connection with a merger, consolidation or other acquisition transaction pursuant to which the company may make subsequent grants or awards of its equity securities with the plan information required under subsections 9.1(a) and (b), as applicable. Disclose on an aggregated basis in a footnote to the table the information required under subsections 9.2(a) and (b) with respect to any individual options, warrants or rights outstanding under the compensation plan assumed in connection with a merger, consolidation or other acquisition transaction.

(vi) To the extent that the number of securities remaining available for future issuance disclosed in column (c) includes securities available for future issuance under any compensation plan other than upon the exercise of an option, warrant or right, disclose the number of securities and type of plan separately for each such plan in a footnote to the table.

(vii) If the description of a compensation plan set forth in the company’s financial statements contains the disclosure required by section 9.3, a cross-reference to the description satisfies the requirements of section 9.3.

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(viii) If an equity compensation plan contains a formula for calculating the number of securities available for issuance under the plan, including, without limitation, a formula that automatically increases the number of securities available for issuance by a percentage of the number of outstanding securities of the company, describe this formula in a footnote to the table.

Item 10 Indebtedness of Directors and Executive Officers

10.1 Aggregate Indebtedness

AGGREGATE INDEBTEDNESS ($)

Purpose To the Company or its To Another Entity Subsidiaries

(a) (b) (c)

Share purchases

Other

(1) Complete the above table for the aggregate indebtedness outstanding as at a date within thirty days before the date of the information circular entered into in connection with:

(a) a purchase of securities; and

(b) all other indebtedness.

(2) Report separately the indebtedness to

(a) the company or any of its subsidiaries (column (b)); and

(b) another entity if the indebtedness is the subject of a guarantee, support agreement, letter of credit or other similar arrangement or understanding provided by the company or any of its subsidiaries (column (c)),

of all executive officers, directors, employees and former executive officers, directors and employees of the company or any of its subsidiaries.

(3) “Support agreement” includes, but is not limited to, an agreement to provide assistance in the maintenance or servicing of any indebtedness and an agreement to provide compensation for the purpose of maintaining or servicing any indebtedness of the borrower.

- 743 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

10.2 Indebtedness of Directors and Executive Officers under (1) Securities Purchase and (2) Other Programs

INDEBTEDNESS OF DIRECTORS AND EXECUTIVE OFFICERS UNDER (1) SECURITIES PURCHASE AND (2) OTHER PROGRAMS

Financially Largest Assisted Amount Securities Amount Outstanding Purchases Forgiven Name and Involvement During [Most Amount During [Most Security for During [Most Principal of Company Recently Outstanding Recently Indebtedness Recently Position or Subsidiary Completed as at [Date Completed Completed Financial within 30 Financial Financial Year] days] Year] Year] ($) ($) (#) ($)

(a) (b) (c) (d) (e) (f) (g)

Securities Purchase Programs

Other Programs

(1) Complete the above table for each individual who is, or at any time during the most recently completed financial year was, a director or executive officer of the company, each proposed nominee for election as a director of the company, and each associate of any such director, executive officer or proposed nominee,

(a) who is, or at any time since the beginning of the most recently completed financial year of the company has been, indebted to the company or any of its subsidiaries, or

(b) whose indebtedness to another entity is, or at any time since the beginning of the most recently completed financial year has been, the subject of a guarantee, support agreement, letter of credit or other similar arrangement or understanding provided by the company or any of its subsidiaries,

and separately disclose the indebtedness for security purchase programs and all other programs.

- 744 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

(2) Note the following:

Column (a) – disclose the name and principal position of the borrower. If the borrower was, during the most recently completed financial year, but no longer is a director or executive officer, state that fact. If the borrower is a proposed nominee for election as a director, state that fact. If the borrower is included as an associate, describe briefly the relationship of the borrower to an individual who is or, during the financial year, was a director or executive officer or who is a proposed nominee for election as a director, name that individual and provide the information required by this subparagraph for that individual.

Column (b) – disclose whether the company or a subsidiary of the company is the lender or the provider of a guarantee, support agreement, letter of credit or similar arrangement or understanding.

Column (c) – disclose the largest aggregate amount of the indebtedness outstanding at any time during the most recently completed financial year.

Column (d) – disclose the aggregate amount of indebtedness outstanding as at a date within thirty days before the date of the information circular.

Column (e) – disclose separately for each class or series of securities, the sum of the number of securities purchased during the most recently completed financial year with the financial assistance (security purchase programs only).

Column (f) – disclose the security for the indebtedness, if any, provided to the company, any of its subsidiaries or the other entity (security purchase programs only).

Column (g) – disclose the total amount of indebtedness that was forgiven at any time during the most recently completed financial year.

(3) Supplement the above table with a summary discussion of

(a) the material terms of each incidence of indebtedness and, if applicable, of each guarantee, support agreement, letter of credit or other similar arrangement or understanding, including

(i) the nature of the transaction in which the indebtedness was incurred;

(ii) the rate of interest;

(iii) the term to maturity;

(iv) any understanding, agreement or intention to limit recourse; and

(v) any security for the indebtedness;

- 745 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

(b) any material adjustment or amendment made during the most recently completed financial year to the terms of the indebtedness and, if applicable, the guarantee, support agreement, letter of credit or similar arrangement or understanding. Forgiveness of indebtedness reported in column (g) of the above table should be explained; and

(c) the class or series of the securities purchased with financial assistance or held as security for the indebtedness and, if the class or series of securities is not publicly traded, all material terms of the securities, including the provisions for exchange, conversion, exercise, redemption, retraction and dividends.

10.3 You do not need to disclose information required by this Item for any indebtedness that has been entirely repaid on or before the date of the information circular or for routine indebtedness.

“Routine indebtedness” means indebtedness described in any of the following clauses:

(i) If the company or its subsidiary makes loans to employees generally,

(A) the loans are made on terms no more favourable than the terms on which loans are made by the company or its subsidiary to employees generally, and

(B) the amount, at any time during the last completed financial year, remaining unpaid under the loans to the director, executive officer or proposed nominee, together with his or her associates, does not exceed $50,000.

(ii) A loan to a person or company who is a full-time employee of the company,

(A) that is fully secured against the residence of the borrower, and

(B) the amount of which in total does not exceed the annual salary of the borrower.

(iii) If the company or its subsidiary makes loans in the ordinary course of business, a loan made to a person or company other than a full-time employee of the company

(A) on substantially the same terms, including those as to interest rate and security, as are available when a loan is made to other customers of the company or its subsidiary with comparable credit, and

(B) with no more than the usual risks of collectibility.

(iv) A loan arising by reason of purchases made on usual trade terms or of ordinary travel or expense advances, or for similar reasons, if the repayment arrangements are in accord with usual commercial practice.

- 746 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

Item 11 Interest of Informed Persons in Material Transactions

Describe briefly and, where practicable, state the approximate amount of any material interest, direct or indirect, of any informed person of the company, any proposed director of the company, or any associate or affiliate of any informed person or proposed director, in any transaction since the commencement of the company’s most recently completed financial year or in any proposed transaction which has materially affected or would materially affect the company or any of its subsidiaries.

INSTRUCTIONS:

(i) Briefly describe the material transaction. State the name and address of each person or company whose interest in any transaction is described and the nature of the relationship giving rise to the interest.

(ii) For any transaction involving the purchase or sale of assets by or to the company or any subsidiary, other than in the ordinary course of business, state the cost of the assets to the purchaser and the cost of the assets to the seller, if acquired by the seller within two years prior to the transaction.

(iii) This Item does not apply to any interest arising from the ownership of securities of the company where the securityholder receives no extra or special benefit or advantage not shared on a proportionate basis by all holders of the same class of securities or by all holders of the same class of securities who are resident in Canada.

(iv) Include information as to any material underwriting discounts or commissions upon the sale of securities by the company where any of the specified persons or companies was or is to be an underwriter in a contractual relationship with the company with respect to securities or is an associate or affiliate of a person or company that was or is to be such an underwriter.

(v) You do not need to disclose the information required by this Item for any transaction or any interest in that transaction if

(A) the rates or charges involved in the transaction are fixed by law or determined by competitive bids,

(B) the interest of the specified person in the transaction is solely that of director of another company that is a party to the transaction,

(C) the transaction involves services as a bank or other depositary of funds, transfer agent, registrar, trustee under a trust indenture or other similar services, or

(D) the transaction does not directly or indirectly, involve remuneration for services, and

- 747 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

(I) the interest of the specified person or company arose from the beneficial ownership, direct or indirect, of less than 10 per cent of any class of voting securities of another company that is a party to the transaction,

(II) the transaction is in the ordinary course of business of the company or its subsidiaries, and

(III) the amount of the transaction or series of transactions is less than 10 per cent of the total sales or purchases, as the case may be, of the company and its subsidiaries for the most recently completed financial year.

(vi) Provide information for transactions not excluded above which involve remuneration, directly or indirectly, to any of the specified persons or companies for services in any capacity unless the interest of the person arises solely from the beneficial ownership, direct or indirect, of less than 10 per cent of any class of voting securities of another company furnishing the services to the company or its subsidiaries.

Item 12 Appointment of Auditor

Name the auditor of the company. If the auditor was first appointed within the last five years, state the date when the auditor was first appointed.

If action is to be taken to replace an auditor, provide the information required under section 4.11 of National Instrument 51-102.

Item 13 Management Contracts

If management functions of the company or any of its subsidiaries are to any substantial degree performed other than by the directors or executive officers of the company or subsidiary,

(a) give details of the agreement or arrangement under which the management functions are performed, including the name and address of any person or company who is a party to the agreement or arrangement or who is responsible for performing the management functions;

(b) give the names and provinces of residence of any person that was, during the most recently completed financial year, an informed person of any person or company with which the company or subsidiary has any such agreement or arrangement and, if the following information is known to the directors or executive officers of the company, give the names and provinces of residence of any person or company that would be an informed person of any person or company with which the company or subsidiary has any such agreement or arrangement if the person were an issuer;

- 748 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

(c) for any person or company named under paragraph (a) state the amounts paid or payable by the company and its subsidiaries to the person or company since the commencement of the most recently completed financial year and give particulars; and

(d) for any person or company named under paragraph (a) or (b) and their associates or affiliates, give particulars of,

(i) any indebtedness of the person, company, associate or affiliate to the company or its subsidiaries that was outstanding, and

(ii) any transaction or arrangement of the person, company, associate or affiliate with the company or subsidiary,

at any time since the start of the company’s most recently completed financial year.

INSTRUCTIONS:

(i) Do not refer to any matter that is relatively insignificant.

(ii) In giving particulars of indebtedness, state the largest aggregate amount of indebtedness outstanding at any time during the period, the nature of the indebtedness and of the transaction in which it was incurred, the amount of the indebtedness presently outstanding and the rate of interest paid or charged on the indebtedness.

(iii) Do not include as indebtedness amounts due from the particular person for purchases subject to usual trade terms, for ordinary travel and expense advances and for other similar transactions.

Item 14 Particulars of Matters to be Acted Upon

14.1 If action is to be taken on any matter to be submitted to the meeting of securityholders other than the approval of financial statements, briefly describe the substance of the matter, or related groups of matters, except to the extent described under the foregoing items, in sufficient detail to enable reasonable securityholders to form a reasoned judgment concerning the matter. Without limiting the generality of the foregoing, such matters include alterations of share capital, charter amendments, property acquisitions or dispositions, reverse takeovers, amalgamations, mergers, arrangements or reorganizations and other similar transactions.

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14.2 If the action to be taken is in respect of a significant acquisition as determined under Part 8 of National Instrument 51-102 or a restructuring transaction under which securities are to be changed, exchanged, issued, or distributed, the information circular must include information sufficient to enable a reasonable securityholder to form a reasoned judgment concerning the nature and effect of the significant acquisition or restructuring transaction and the expected resulting entity or entities. This information must include the disclosure (including financial statement disclosure) for each entity, securities of which are being changed, exchanged, issued, or distributed, and for each entity that would result from the significant acquisition or restructuring transaction, prescribed by the form of prospectus that the entity would be eligible to use for a distribution of securities in the jurisdiction. For the purposes of this section, a restructuring transaction means a reverse takeover, amalgamation, merger, arrangement or reorganization or other similar transaction, but does not include a subdivision, consolidation, or other transaction that only affects the number of securities of a class that are outstanding. If the action is to be taken on a matter that is a reverse takeover, disclosure in this Item must include disclosure prescribed by the appropriate prospectus form for the reverse takeover acquirer.

14.3 If the matter is one that is not required to be submitted to a vote of securityholders, state the reasons for submitting it to securityholders and state what action management intends to take in the event of a negative vote by the securityholders.

14.4 Section 14.2 does not apply to an information circular that is sent to holders of voting securities of a reporting issuer soliciting proxies otherwise than on behalf of management of the reporting issuer (a “dissident circular”), unless the sender of the dissident circular is proposing a significant acquisition or restructuring transaction involving the reporting issuer and the sender, under which securities of the sender, or an affiliate of the sender, are to be distributed or transferred to securityholders of the reporting issuer. However, a sender of a dissident circular shall include in the dissident circular the disclosure required by section 14.2 if the sender of the dissident circular is proposing a significant acquisition or restructuring transaction under which securities of the sender or securities of an affiliate of the sender are to be changed, exchanged, issued or distributed.

14.5 Section 14.2 does not apply to an information circular that is prepared in connection with a Qualifying Transaction for a company that is a CPC (as such terms are defined in the TSX Venture Exchange policy on Capital Pool Companies) provided that the company complies with the policies and requirements of the TSX Venture Exchange in respect of that Qualifying Transaction.

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Item 15 Restricted Securities

15.1 If the action to be taken involves a transaction that would have the effect of converting or subdividing, in whole or in part, existing securities into restricted securities, or creating new restricted securities, the information circular must also include, as part of the minimum disclosure required, a detailed description of:

(a) the voting rights attached to the restricted securities that are the subject of the transaction or that will result from the transaction either directly or following a conversion, exchange or exercise, and the voting rights, if any, attached to the securities of any other class of securities of the company that are the same or greater on a per security basis than those attached to the restricted securities that are the subject of the transaction or that will result from the transaction either directly or following a conversion, exchange or exercise;

(b) the percentage of the aggregate voting rights attached to the company’s securities that are represented by the class of restricted securities;

(c) any significant provisions under applicable corporate and securities law, in particular whether the restricted securities may or may not be tendered in any takeover bid for securities of the reporting issuer having voting rights superior to those attached to the restricted securities, that do not apply to the holders of the restricted securities that are the subject of the transaction or that will result from the transaction either directly or following a conversion, exchange or exercise, but do apply to the holders of another class of equity securities, and the extent of any rights provided in the constating documents or otherwise for the protection of holders of the restricted securities; and

(d) any rights under applicable corporate law, in the constating documents or otherwise, of holders of restricted securities that are the subject of the transaction either directly or following a conversion, exchange or exercise, to attend, in person or by proxy, meetings of holders of equity securities of the company and to speak at the meetings to the same extent that holders of equity securities are entitled.

15.2 If holders of restricted securities do not have all of the rights referred to in section 15.1, the detailed description referred to in section 15.1 must include, in bold-face type, a statement of the rights the holders do not have.

Item 16 Additional Information

16.1 Disclose that additional information relating to the company is on SEDAR at www.sedar.com. Disclose how securityholders may contact the company to request copies of the company’s financial statements and MD&A.

16.2 Include a statement that financial information is provided in the company’s comparative financial statements and MD&A for its most recently completed financial year.

- 751 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

FORM 51-102F6 STATEMENT OF EXECUTIVE COMPENSATION

TABLE OF CONTENTS

Item 1 General Instructions and Interpretation Item 2 Summary Compensation Table Item 3 LTIP Awards Table Item 4 Options and SARs Item 5 Option and SAR Repricings Item 6 Defined Benefit or Actuarial Plan Disclosure Item 7 Termination of Employment, Change in Responsibilities and Employment Contracts Item 8 Composition of the Compensation Committee Item 9 Report on Executive Compensation Item 10 Performance Graph Item 11 Compensation of Directors Item 12 Unincorporated Issuers Item 13 Venture Issuers Item 14 Issuers Reporting in the United States

FORM 51-102F6 STATEMENT OF EXECUTIVE COMPENSATION

Item 1 GENERAL INSTRUCTIONS AND INTERPRETATION

1.1 The purpose of this Form is to provide disclosure of all compensation earned by certain executive officers and directors in connection with office or employment by your company or a subsidiary of your company. Wherever this Form uses the word “company”, the term includes other types of business organizations such as partnerships, trusts and other unincorporated business entities.

1.2 You should prepare the Form in the prescribed format. You may omit a table or column of a table if it is not applicable.

1.3 Definitions. For the purposes of this Form

“Chief Executive Officer” or “CEO” means each individual who served as chief executive officer of your company or acted in a similar capacity during the most recently completed financial year;

- 752 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

“Chief Financial Officer” or “CFO” means each individual who served as chief financial officer of your company or acted in a similar capacity during the most recently completed financial year;

“long-term incentive plan” or “LTIP” means a plan providing compensation intended to motivate performance over a period greater than one financial year. LTIPs do not include option or SAR plans or plans for compensation through shares or units that are subject to restrictions on resale;

“measurement period” means the period beginning at the “measurement point” which is established by the market close on the last trading day before the beginning of your company’s fifth preceding financial year, through and including the end of your company’s most recently completed financial year. If the class or series of securities has been publicly traded for a shorter period of time, the period covered by the comparison may correspond to that time period;

“Named Executive Officers” or “NEOs” means the following individuals:

(a) each CEO;

(b) each CFO;

(c) each of your company’s three most highly compensated executive officers, other than the CEO and CFO, who were serving as executive officers at the end of the most recently completed financial year and whose total salary and bonus exceeds $150,000; and

(d) any additional individuals for whom disclosure would have been provided under (c) except that the individual was not serving as an officer of your company at the end of the most recently completed financial year-end;

“normal retirement age” means normal retirement age as defined in a pension plan or, if not defined, the earliest time at which a plan participant may retire without any benefit reduction due to age;

“options” includes all options, share purchase warrants and rights granted by a company or its subsidiaries as compensation for employment services or office. An extension of an option or replacement grant is a grant of a new option. Also, options includes any grants made to a NEO by a third party or a non-subsidiary affiliate of your company in respect of services to your company or a subsidiary of your company;

“plan” includes, but is not limited to, any arrangement, whether or not set forth in any formal document and whether or not applicable to only one individual, under which cash, securities, options, SARs, phantom stock, warrants, convertible securities, shares or units that are subject to restrictions on resale, performance units and performance shares, or similar instruments may be received or purchased. It excludes the Canada Pension Plan, similar government plans and group life, health, hospitalization, medical

- 753 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

reimbursement and relocation plans that are available generally to all salaried employees (for example, does not discriminate in scope, terms or operation in favour of executive officers or directors;

“replacement grant” means the grant of an option or SAR reasonably related to any prior or potential cancellation of an option or SAR;

“repricing” of an option or SAR means the adjustment or amendment of the exercise or base price of a previously awarded option or SAR. Any repricing occurring through the operation of a formula or mechanism in, or applicable to, the previously awarded option or SAR equally affecting all holders of the class of securities underlying the option or SAR is excluded; and

“stock appreciation right” or “SAR” means a right, granted by a company or any of its subsidiaries as compensation for employment services or office to receive cash or an issue or transfer of securities based wholly or in part on changes in the trading price of publicly traded securities.

If a term is used but not defined in this Form, refer to Part 1 of National Instrument 51-102 and to National Instrument 14-101 Definitions. If a term is used in this Form and is defined in both the securities statute of a local jurisdiction and in National Instrument 51-102, refer to section 1.4 of Companion Policy 51-102CP.

1.4 In preparing this Form:

(a) Determination of Most Highly Compensated Executive Officers. The determination of your company’s most highly compensated executive officers is based on the total annual salary and bonus of each executive officer during your company’s most recently completed financial year.

(b) Change in Status of a NEO During the Financial Year. If the NEO served in that capacity during any part of a financial year for which disclosure is required, disclose all of his or her compensation for the full financial year.

(c) Exclusion Due to Unusual Compensation or Compensation for Foreign Assignment. In limited circumstances, you can exclude disclosure of an individual, other than a CEO or CFO, who is one of the three most highly compensated executive officers. Factors to consider in determining to exclude an individual are

(i) a payment or accrual of an unusually large amount of cash compensation (such as bonus or commission) that is not part of a recurring arrangement and is unlikely to continue; or

(ii) the payment of additional amounts of cash compensation for increased living expenses due to an assignment outside of Canada.

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(d) All Compensation Covered. This Form requires disclosure of all plan and non-plan compensation for each NEO, and each director in accordance with Item 11. Except as expressly provided, no amount, benefit or right reported as compensation for a financial year need be reported as compensation for any subsequent fiscal year.

(e) Sources of Compensation. Compensation to officers and directors must include compensation from the company and its subsidiaries. Also, any compensation under an understanding or agreement existing among any of the company, its subsidiaries or an officer or director of the company or its subsidiary and another entity, for the primary purpose of the other entity compensating the officer or director for employment services or office, must be included in the appropriate compensation category.

(f) Compensation Furnished to Associates. Any compensation to an associate, under an understanding or agreement among any of the company, its subsidiaries or another entity and an officer or director of the company or its subsidiary for the primary purpose of the company, its subsidiary or the other entity compensating the officer or director for employment services or office, must be included in the appropriate compensation category.

Item 2 Summary Compensation Table

2.1 Summary Compensation Table

Annual Compensation Long-Term Compensation Awards Payouts Securities Shares or NEO Other Under Units Name Annual Options/ Subject to All Other and Compen- SARs Resale Compen- Principal Salary Bonus sation Granted Restrictions LTIP sation Position Year ($) ($) ($) (#) ($) Payouts ($) ($) (a) (b) (c) (d) (e) (f) (g) (h) (i) CEO XXX3 XXX2 XXX1 CFO XXX3 XXX2 XXX1 A XXX3 XXX2 XXX1 B XXX3 XXX2 XXX1 C XXX3 XXX2 XXX1

- 755 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

1. Complete this table for each of the NEOs for your company’s three most recently completed financial years. Note the following:

• Columns (c) and (d) – include any cash or non-cash base salary and bonus earned by the NEO. For non-cash compensation, disclose the fair market value of the compensation at the time the compensation is earned. Amounts deferred at the election of a NEO must be included in the financial year in which earned. If the amount of salary and/or bonus earned in a given financial year is not calculable, that fact must be disclosed in a footnote and the amount must be disclosed in the subsequent financial year in the column for the financial year in which earned.

• Any salary or bonus earned in a covered year that was foregone, at the election of a NEO, under a program of your company under which non- cash compensation may be received in lieu of a portion of annual compensation, need not be included in the salary or bonus columns. Instead, you may disclose the non-cash compensation in the appropriate column for that year (i.e. columns (f), (g) and (i)). If the election was made under a LTIP and therefore is not reportable at the time of grant in this table, a footnote must be added to the salary or bonus column disclosing this fact and referring to the table in section 3.1.

• Commissions can be treated as salary or bonus. You can add a footnote to the table to indicate that such amounts are paid under a commission arrangement and disclose details of the arrangement in the compensation committee report (Item 9).

• Column (e) – disclose all other compensation of the NEO that is not properly categorized as salary or bonus, including

(a) Perquisites and other personal benefits, securities or property, unless the aggregate amount of such compensation is less than $50,000 and 10 per cent of the total of the annual salary and bonus of the NEO for the financial year. Generally, a perquisite is the cost or value of a personal benefit provided to the NEO that is not available to all employees. Examples of things that could be perquisites are

• Car allowance • Car lease • Cars • Corporate aircraft • Club membership • Financial assistance to provide education to children of the executives • Financial counselling • Parking • Tax return preparation

- 756 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

The following are not considered perquisites and thus need not be reported:

• Contributions to professional dues • CPP • Dental • Employee relocation plans available to all employees • Group life benefits available to all employees • Long-term benefits available to all employees • Medical

Each perquisite or other personal benefit exceeding 25 per cent of the total perquisites and other personal benefits reported for a NEO must be identified by type and amount in a footnote to column (e). Perquisites and other personal benefits must be valued on the basis of the aggregate incremental cost to your company and its subsidiaries;

(b) The above-market portion of all interest, dividends or other amounts paid concerning securities, options, stock appreciation rights (SARs), loans, deferred compensation or other obligations issued to a NEO during the financial year or payable during that period but deferred at the election of the NEO. Above-market or preferential means a rate greater than the rate ordinarily paid by the company or its subsidiary on securities or other obligations having the same or similar features issued to third parties. Any above-market portion not reported in column (e) should be reported in column (i);

(c) Earnings on LTIP compensation or dividend equivalents paid during the financial year or payable during that period but deferred at the election of the NEO;

(d) Amounts reimbursed during the financial year for the payment of taxes;

(e) The difference between the price paid by a NEO for a security of your company or its subsidiaries that was purchased from your company or its subsidiaries and the fair market value of the security at the time of purchase, unless the discount was available generally, either to all securityholders or to all salaried employees of your company;

(f) The imputed interest benefits from loans provided to, or debts incurred on behalf of, the NEO by your company and its subsidiaries as computed in accordance with the Income Tax Act (Canada); and

(g) The amounts of loan or interest obligations of the NEO to your company, its subsidiaries or third parties that were serviced or settled by the company or its subsidiaries without the substitution of an obligation to repay the amount to the company or subsidiaries in its place.

- 757 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

• Column (f) - includes the number of securities under option (with or without SARs awarded with the options) and, separately, the number of securities subject to freestanding SARs. The figures in this column for the most recent fiscal year should equal those reported in the table in section 4.1, column (b). These figures are not cumulative.

• If at any time during the most recently completed financial year your company repriced options or freestanding SARs previously awarded to a NEO, disclose the repriced options or SARs as new options or SARs grants in column (f).

• Column (g) - includes the dollar value (net of consideration paid by the NEO) of any shares or units that are subject to restrictions on resale (calculated by multiplying the closing market price of your company's freely trading shares on the date of grant by the number of stock or stock units awarded).

• In a footnote to column (g) disclose

• the number and value of the aggregate holdings of shares and units that are subject to restrictions on resale at the end of the most recently completed financial year;

• for any shares or units that are subject to restrictions on resale that will vest, in whole or in part, in less than three years from the date of grant, the total number of securities awarded and the vesting schedule; and

• whether dividends or dividend equivalents will be paid on the shares and units that are subject to restrictions on resale disclosed in the column.

• Column (h) – includes the dollar value of all payouts under LTIPs.

• Awards of shares or units that are subject to restrictions on resale that are subject to performance-based conditions prior to vesting may be disclosed as LTIP awards under the table in section 3.1 instead of under column (g). If this approach is selected, once the share or unit vests, it must be reported as an LTIP payout in column (h).

• If any specified performance target, goal or condition to payout was waived regarding any amount included in LTIP payouts, disclose this fact in a footnote to column (h).

• Column (i) – must include, but is not limited to,

(a) The amount paid, payable or accrued to a NEO for

(i) the resignation, retirement or other termination of the NEO’s employment with your company or one of its subsidiaries; or

- 758 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

(ii) a change in control of your company or one of its subsidiaries or a change in the NEO’s responsibilities following such a change in control.

(b) The dollar value of the above-market portion of all interest, dividends or other amounts earned during the financial year, or calculated with respect to that period, excluding amounts that are paid during that period, or payable during that period at the election of the NEO that were reported as other annual compensation in column (e). See the description for column (e), point (b) for an explanation of the above market portion.

(c) The dollar value of amounts earned on LTIP compensation during the financial year, or calculated with respect to that period, and dividend equivalents earned during that period except that amounts paid during that period, or payable during that period at the election of the NEO must be reported as other annual compensation in column (e).

(d) Annual contributions or other allocations by the company or its subsidiaries to vested and unvested defined contribution plans or employee savings plans. These benefits are not considered to be perquisites due to their all-inclusive nature.

(e) The dollar value of any insurance premium paid by, or on behalf of, your company or its subsidiaries during the financial year with respect to term life insurance for the benefit of a NEO. If there is an arrangement or understanding, whether formal or informal, that the NEO has received or will receive or be allocated an interest in any cash surrender value under the insurance policy, either

(i) the full dollar value of the remainder of the premiums paid by, or on behalf of, the company or its subsidiaries; or

(ii) if the premiums will be refunded to the company or its subsidiaries on termination of the policy, the dollar value of the benefit to the NEO of the remainder of the premium paid by, or on behalf of, the company or its subsidiaries during the financial year. This benefit must be determined for the period, projected on an actuarial basis, between payment of premium and the refund.

(f) If the NEO’s compensation takes the form of a contribution to assist in the NEO’s purchase of shares, the amount of the contribution, unless the contribution was available generally, either to all securityholders or to all salaried employees of the company.

• The same method of reporting under this paragraph must be used for each NEO. If your company changes methods of reporting from one year to the next, that fact and the reason for the change must be disclosed in a footnote to column (i).

- 759 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

• The following need not be reported in column (i):

(i) LTIP awards and amounts received on exercise of options and SARs; and

(ii) information on defined benefit and actuarial plans.

2. The $150,000 threshold only applies to the most recent fiscal year in determining the NEOs.

3. If, during any of the financial years covered by the table, your company or its subsidiaries did not employ a NEO for the entire financial year, disclose this fact and the number of months the NEO was so employed during the year in a footnote to the table.

4. If during any of the financial years covered by the table, a NEO was compensated by a non-subsidiary affiliate of your company, disclose in a note to the table

(a) the amount and nature of such compensation; and

(b) whether the compensation is included in the compensation reported in the table.

5. Information with respect to a financial year-end prior to the most recently completed financial year-end need not be provided if your company was not a reporting issuer at any time during such prior financial year.

Item 3 LTIP Awards Table

3.1 LTIP—Awards In Most Recently Completed Financial Year

Estimated Future Payouts Under Non- Securities-Price-Based Plans Performance Securities, or Other Units or Period Until NEO Other Rights Maturation Threshold Target Maximum Name (#) or Payout ($ or #) ($ or #) ($ or #) (a) (b) (c) (d) (e) (f) CEO CFO A B C

- 760 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

1. Complete this table for each LTIP award made to the NEOs during the most recently completed financial year. Note the following:

• Column (b) – Include the number of securities, units or other rights awarded under any LTIP and, if applicable, the number of securities underlying any such unit or right.

• Columns (d) to (f) - For plans not based on stock price, the dollar value of the estimated payout or range estimated payouts under the award (threshold, target and maximum amount), whether such award is denominated in stock or cash.

• Threshold is the minimum amount payable for a certain level of performance under the plan.

• Target is the amount payable if the specified performance target(s) is reached. You should provide a representative amount based on the previous financial year’s performance if the target award is not determinable.

• Maximum is the maximum payout possible under the plan.

2. Describe in a footnote to the table, the material terms of any award, including a general description of the formula or criteria applied in determining the amounts payable. You are not required to disclose confidential information that would adversely affect your company’s competitive position.

3. A grant of two instruments in conjunction with each other, only one of which is under an LTIP, need be reported only in the table applicable to the other instrument.

Item 4 Options and SARs

4.1 Option/SAR Grants During The Most Recently Completed Financial Year

Market Per cent of Value of Total Securities Securities, Options/ Underlying Under SARs Options/ Options/ Granted to Exercise SARs on SARs Employees or the Date of NEO Granted in Financial Base Price Grant Expiration Name (#) Year ($/Security) ($/Security) Date (a) (b) (c) (d) (e) (f) CEO CFO A B C

- 761 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

1. Complete this table for individual grants of options to purchase or acquire securities of your company or any of its subsidiaries (whether or not in conjunction with SARs) and freestanding SARs made during the most recently completed financial year to each of NEO. Note the following:

• The information must be presented for each NEO in groups according to each issuer and class or series of security underlying the options or SARs granted and within these groups in reverse chronological order. For each grant, disclose in a footnote the issuer and the class or series of securities underlying the options or freestanding SARs granted.

• If more than one grant of options or freestanding SARs was made to a NEO during the most recently completed financial year, a separate row must be used to provide the particulars of each grant. However, multiple grants during a single financial year to a NEO can be aggregated if each grant was made on the same terms (eg. exercise price, expiration date and vesting thresholds, if any).

• A single grant of options or freestanding SARs must be reported as separate grants for each tranche with a different exercise or base price, expiration date or performance-vesting threshold.

• Each material term of the grant, including but not limited to the date of exercisability, the number of SARs, dividend equivalents, performance units or other instruments granted in conjunction with options, a performance-based condition to exercisability, a re-load feature or a tax- reimbursement feature must be disclosed in a footnote to the table.

• Options or freestanding SARs granted in an option repricing transaction must be disclosed.

• If the exercise or base price is adjustable over the term of an option or freestanding SAR in accordance with a prescribed standard or formula, include in a footnote to the table, a description of the standard or formula.

• If any provision of an option or SAR (other than an anti-dilution provision) could cause the exercise or base price to be lowered, a description of the provision and its potential consequences must be included in a footnote to the table.

• In determining the grant date market value of the securities underlying options or freestanding SARs, use either the closing market price or any other formula prescribed under the option or SAR plan. For options or SARs granted prior to the establishment of a trading market in the underlying securities, the initial offering price may be used.

- 762 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

4.2 Aggregated Option/SAR Exercises During The Most Recently Completed Financial Year And Financial Year-End Option/SAR Values

Value of Unexercised Unexercised in-the-Money Options/SARs Options/SARs Securities, Aggregate at FY-End at FY-End Acquired on Value (#) ($) NEO Exercise Realized Exercisable/ Exercisable/ Name (#) ($) Unexercisable Unexercisable (a) (b) (c) (d) (e) CEO CFO A B C

1. Complete this table for each exercise of options (or SARS awarded with the options) and freestanding SARs during the most recently completed financial year by each NEO and the financial year-end value of unexercised options and SARs, on an aggregated basis. Note the following:

• Column (c) - the aggregate dollar value realized upon exercise. The dollar value is equal to column (b) times the difference between the market value of the securities underlying the options or SARs at exercise or financial year-end, respectively, and the exercise or base price of the options or SARs.

• Column (d) - the total number of securities underlying unexercised options and SARs held at the end of the most recently completed financial year, separately identifying the exercisable and unexercisable options and SARs.

• Column (e) - the aggregate dollar value of in-the-money, unexercised options and SARs held at the end of the financial year, separately identifying the exercisable and unexercisable options and SARs. The dollar value is calculated the same way as in column (c). Options or freestanding SARs are in-the-money at financial year-end if the market value of the underlying securities on that date exceeds the exercise or base price of the option or SAR.

- 763 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

Item 5 Option and SAR Repricings

5.1 Table of Option and SAR Repricings

Length of Securities Market Price Original Option Under of Securities Exercise Price Term Options/SARs at Time of at Time of Remaining at Repriced or Repricing or Repricing or New Exercise Date of NEO Date of Amended Amendment Amendment Price Repricing or Name Repricing (#) ($/Security) ($/Security) ($/Security) Amendment (a) (b) (c) (d) (e) (f) (g) CEO CFO A B C

1. Complete this table if at any time during the most recently completed financial year, your company has repriced downward any options or freestanding SARs held by any NEO.

2. State the following information for all downward repricings of options or SARs held by any NEO during the shorter of

(a) the 10 year period ending on the date of this Form; and

(b) the period during which your company has been a reporting issuer.

3. Information about a replacement grant made during the financial year must be disclosed even if the corresponding original grant was cancelled in a prior year. If the replacement grant is not made at the current market value, describe this fact and the terms of the grant in a footnote to the table.

4. The information must be presented in groups according to issuer and class or series of security underlying options or SARs and within these groups in reverse chronological order.

5. In a narrative immediately before or after this table, explain in reasonable detail the basis for all downward repricings during the most recently completed financial year of options and SARs held by any of the NEOs.

- 764 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

Item 6 Defined Benefit or Actuarial Plan Disclosure

6.1 Pension Plan Table

Remuneration Years of Service ($) 15 20 25 30 35 125,000 150,000 175,000 200,000 225,000 250,000 300,000 400,000 [insert additional rows as appropriate for additional increments]

1. Complete this table for defined benefit or actuarial plans under which benefits are determined primarily by final compensation (or average final compensation) and years of service. The estimated annual benefits payable upon retirement (including amounts attributable to any defined benefit supplementary or excess pension awards plan) for the specified compensation and years of service should be disclosed .

2. Immediately following the table disclose

(a) the compensation covered by the plan(s), including the relationship of the covered compensation to the compensation reported in the table in section 2.1;

(b) the current compensation covered by the plan for any NEO whose total compensation differs substantially (by more than 10 per cent) from that set out in the table in section 2.1;

(c) a statement as to the basis upon which benefits are computed (for example; straight-life annuity amounts), and whether or not the benefits listed in the table are subject to any deduction for social security or other offset amounts such as Canada Pension Plan or Québec Pension Plan amounts; and

(d) the estimated credited years of service for each NEO.

3. Compensation disclosed in the table must allow for reasonable increases in existing compensation levels or, alternately, you may present, as the highest compensation level in the table, an amount equal to 120 per cent of the amount of covered compensation of the most highly compensated of the NEOs.

- 765 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

4. For defined benefit or actuarial plans which are not reported in the table in section 6.1 because the benefits are not determined primarily by final compensation (or average final compensation) or years of service, state in narrative form

(a) the formula by which benefits are determined; and

(b) the estimated annual benefits payable upon retirement at normal retirement age for each of the NEOs.

Item 7 Termination of Employment, Change in Responsibilities and Employment Contracts

7.1 Describe the terms and conditions, including dollar amounts, of each of the following contracts or arrangements which are in existence at the end of the most recently completed financial year:

(a) any employment contract between your company or its subsidiaries and a NEO; and

(b) any compensatory plan, contract or arrangement, where a NEO is entitled to receive more than $100,000 from the issuer or its subsidiaries, including periodic payments or instalments, in the event of

(i) the resignation, retirement or any other termination of the NEO’s employment with your company and its subsidiaries;

(ii) a change of control of your company or any of its subsidiaries; or

(iii) a change in the NEO’s responsibilities following a change in control.

7.2 A cross reference to disclosure already made of any payments, instalments or contributions to defined benefit pension plans under Items 2 or 6 is permitted.

Item 8 Composition of the Compensation Committee

8.1 If any compensation is reported in Items 2 to 6 for the most recently completed financial year, under the caption “Composition of the Compensation Committee”, identify each member of your company’s compensation committee (or other board committee performing equivalent functions or in the absence of any such committee, the entire board of directors) during the most recently completed financial year. Also, indicate each committee member who

(a) was, during the most recently completed financial year, an officer or employee of your company or any of its subsidiaries;

(b) was formerly an officer of your company or any of its subsidiaries;

- 766 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

(c) had or has any relationship that requires disclosure by your company under Form 51-102F5 Information Circular, Item 10 “Indebtedness of Directors and Executive Officers” and Item 11 “Interest of Informed Persons in Material Transactions”;

(d) was an executive officer of your company and also served as a director or member of the compensation committee (or other board committee performing equivalent functions or, in the absence of any such committee, the entire board of directors) of another issuer, one of whose executive officers served either

(i) on the compensation committee (or other board committee performing equivalent functions or, in the absence of any such committee, the entire board of directors) of the issuer; or

(ii) as a director of the issuer.

8.2 If the composition of the compensation committee changed during the year or before the report in Item 9 “Report on Executive Compensation” is prepared, then disclose the change in membership as well as any of the relationships described in section 8.1, if any.

Item 9 Report on Executive Compensation

9.1 If any compensation is reported in Items 2 to 6 for the most recently completed financial year, describe under the caption “Report on Executive Compensation” the policies of the compensation committee or other board committee performing equivalent functions, or in the absence of any such committee then of the entire board of directors of your company, during the most recently completed financial year, for determining compensation of executive officers. Boilerplate language should be avoided.

9.2 This report should include a discussion of

(a) the relative emphasis of your company on cash compensation, options, SARs, securities purchase programs, shares or units that are subject to restrictions on resale and other incentive plans, and annual versus long- term compensation;

(b) whether the amount and terms of outstanding options, SARs, shares and units subject to restrictions on resale were taken into account when determining whether and how many new option grants would be made;

(c) the specific relationship of your company’s performance to executive compensation, and, in particular, describing each measure of your company’s performance, whether quantitative or qualitative, on which executive compensation was based and the weight assigned to each measure, e.g. percentage ranges; and

- 767 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

(d) the waiver or adjustment of the relevant performance criteria and the bases for the decision if an award was made to a NEO under a performance-based plan despite failure to meet the relevant performance criteria. For example, you should explain how bonuses are earned and why they were awarded this period, if applicable.

9.3 The report should state the following information about each CEO’s compensation:

(a) the bases for the CEO’s compensation for the most recently completed financial year, including the factors and criteria upon which the CEO’s compensation was based and the relative weight assigned to each factor;

(b) the competitive rates, if compensation of the CEO was based on assessments of competitive rates, with whom the comparison was made, the nature of, and the basis for, selecting the group with which the comparison was made and at what level in the group the compensation was placed. Disclose if different competitive standards were used for different components of the CEO’s compensation; and

(c) the relationship of your company’s performance to the CEO’s compensation for the most recently completed financial year, describing each measure of your company’s performance, whether quantitative or qualitative, on which the CEO’s compensation was based and the weight assigned to each measure, for example, percentage ranges.

9.4 Name each member of your company’s compensation committee (or other board committee performing equivalent functions or, in the absence of any such committee, the entire board of directors). If the board of directors modified or rejected in any material way any action or recommendation by the committee with respect to decisions in the most recently completed financial year, the report should indicate this fact, explain the reasons for the board's action and include the names of all of the members of the board.

9.5 If a compensation committee member dissents concerning the content of the report, the report must identify the dissenting member and the reasons provided to the committee for the dissent.

9.6 Disclosure of target levels with respect to specific quantitative or qualitative performance-related factors considered by the committee (or board), or any factors or criteria involving confidential information is not required.

9.7 If compensation of executive officers is determined by different board committees, a joint report may be presented indicating the separate committee's responsibilities and members of each committee or alternatively separate reports may be prepared for each committee.

- 768 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

Item 10 Performance Graph

10.1 If any compensation is reported in response to Items 2 to 6 for the most recently completed financial year, immediately after Item 9, provide a line graph called “Performance Graph” comparing

(a) the yearly percentage change in your company’s cumulative total shareholder return on each class or series of equity securities that are publicly traded, as measured in accordance with section 10.2, with

(b) the cumulative total return of a broad equity market index assuming reinvestment of dividends, that includes issuers whose securities are traded on the same exchange or are of comparable market capitalization, provided that, if your company is within the S&P/TSX Composite Index, you must use the total return index value of the S&P/TSX Composite Index.

10.2 The yearly percentage change in your company’s cumulative total shareholder return on a class or series of securities must be measured by dividing

(a) the sum of

(i) the cumulative amount of dividends for the measurement period, assuming dividend reinvestment, and

(ii) the difference between the price for the securities of the class or series at the end and the beginning of the measurement period, by

(b) the price for the securities of the class or series at the beginning of the measurement period.

At the measurement point, which is the beginning of the measurement period, the closing price must be converted into a fixed investment of $100 in your company’s securities (or in the securities represented by a given index), with cumulative returns for each subsequent financial year measured as a change from that investment.

10.3 In preparing the required graphic comparisons,

(a) use, to the extent feasible, comparable methods of presentation and assumptions for the total return calculations, provided that, if your company constructs its own peer group index under section 10.5(b), the same methodology must be used in calculating both your company’s total return and that of the peer group index;

(b) assume the reinvestment of dividends into additional securities of the same class or series at the frequency with which dividends are paid on the securities during the applicable financial year; and

- 769 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

(c) each financial year should be plotted with points showing the cumulative total return as of that point. The value of the investment as of each point plotted on a given return line is the number of securities held at that point multiplied by the then-prevailing security price.

10.4 You must present information for your company’s last five most recently completed financial years, and may choose to graph a longer period but the $100 measurement point remains the same. A period shorter than five years may be used if the class or series of securities forming the basis for the comparison has been publicly traded for a shorter time period.

10.5 You also may elect to include in the graph a line charting the cumulative total return, assuming reinvestment of dividends, of

(a) a published industry or line-of-business index which is any index that is prepared by a party other than your company or its affiliate and is accessible to your company’s securityholders, provided that, you may use an index prepared by your company or its affiliate if such index is widely recognized and used;

(b) peer issuer(s) selected in good faith. If you do not select your company’s peer issuers on an industry or line-of-business basis, you must disclose the basis for your selection; or

(c) issuer(s) with similar market capitalization(s), but only if you do not use a published industry or line-of-business index and do not believe you can reasonably identify a peer group. If you use this alternative, the graph must be accompanied by a statement of the reasons for this selection.

10.6 If you use peer issuer comparisons or comparisons with issuers with similar market capitalizations, the identity of those issuers must be disclosed and the returns of each component issuer of the group must be weighted according to the respective issuer’s market capitalization at the beginning of each period for which a return is indicated.

10.7 Any election to use an additional index under section 10.5 is considered to apply in respect of all subsequent financial years unless abandoned by your company in accordance with this section. To abandon the index, your company must have, in the information circular or AIF for the financial year immediately preceding the most recently completed financial year

(a) stated its intention to abandon the index;

(b) explained the reason(s) for this change; and

(c) compared your company’s total return with that of the elected additional index.

- 770 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

10.8 You may include comparisons using performance measures in addition to total return, such as return on average common shareholders’ equity, so long as your company’s compensation committee (or other board committee performing equivalent functions or in the absence of any such committee the entire board of directors) describes the link between that measure and the level of executive compensation in the report required by Item 9.

Item 11 Compensation of Directors

11.1 Disclose the following under the “Compensation of Directors” heading:

(a) any standard compensation arrangements, stating amounts, earned by directors of your company for their services as directors from your company and its subsidiaries during the most recently completed financial year, including any additional amounts payable for committee participation or special assignments;

(b) any other arrangements, stating the amounts paid and the name of the director, under which directors were compensated for their services as directors from your company and its subsidiaries during the most recently completed financial year; and

(c) any other arrangements, stating the amounts paid and the name of the director, under which directors of your company were compensated for services as consultants or experts, by your company and its subsidiaries during the most recently completed financial year.

11.2 If information required by section 11.1 is provided in response to another item of this Form, a cross-reference to where the information is provided satisfies section 11.1.

Item 12 Unincorporated Issuers

12.1 Unincorporated issuers must report

(a) a description of and amount of fees or other compensation paid by the issuer to individuals acting as directors or trustees of the issuer for the most recently completed financial year; and

(b) a description of and amount of expenses reimbursed by the issuer to such individuals as directors or trustees during the most recently completed financial year.

12.2 The information required by this Item may be disclosed in the issuer’s annual financial statements instead.

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Item 13 Venture Issuers

13.1 A venture issuer may omit the disclosure required by Items 5, 6, 8, 9 and 10. A venture issuer must, in a narrative that accompanies the table required in section 4.1, disclose which grants of options or SARs result from repricing and explain in reasonable detail the basis for the repricing.

Item 14 Issuers Reporting in the United States

14.1 Except as provided in section 14.2, SEC issuers may satisfy the requirements of this Form by providing the information required by Item 402 “Executive Compensation” of Regulation S-K under the 1934 Act.

14.2 Section 14.1 is not available to an issuer that, as a foreign private issuer, satisfies Item 402 of Regulation S-K by providing the information required by Items 6.B “Compensation” and 6.E.2 “Share Ownership” of Form 20-F under the 1934 Act. ______

NATIONAL INSTRUMENT 52-107 Acceptable Accounting Principles, Auditing Standards and Reporting Currency

(Securities Act)

Made as a rule by the Alberta Securities Commission on December 10, 2003 pursuant to sections 223 and 224 of the Securities Act.

NATIONAL INSTRUMENT 52-107 ACCEPTABLE ACCOUNTING PRINCIPLES, AUDITING STANDARDS AND REPORTING CURRENCY

PART 1 DEFINITIONS AND INTERPRETATION 1.1 Definitions 1.2 Determination of Canadian Shareholders for Calculation of Designated Foreign Issuer and Foreign Issuer 1.3 Timing for Calculation of Designated Foreign Issuer, Foreign Issuer and Foreign Registrant 1.4 Interpretation

PART 2 APPLICATION 2.1 Application

PART 3 GENERAL RULES 3.1 Acceptable Accounting Principles 3.2 Acceptable Auditing Standards 3.3 Acceptable Auditors 3.4 Measurement and Reporting Currencies 3.5 Financial Information Derived from a Credit Support Issuer’s Consolidated Financial Statements

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PART 4 EXEMPTIONS FOR SEC ISSUERS 4.1 Acceptable Accounting Principles for SEC Issuers 4.2 Acceptable Auditing Standards for SEC Issuers

PART 5 EXEMPTIONS FOR FOREIGN ISSUERS 5.1 Acceptable Accounting Principles for Foreign Issuers 5.2 Acceptable Auditing Standards for Foreign Issuers

PART 6 REQUIREMENTS FOR ACQUISITION STATEMENTS 6.1 Acceptable Accounting Principles for Acquisition Statements 6.2 Acceptable Auditing Standards for Significant Acquisitions 6.3 Financial Information for Acquisitions Accounted for by the Issuer Using the Equity Method

PART 7 PRO FORMA FINANCIAL STATEMENTS 7.1 Acceptable Accounting Principles for Pro Forma Financial Statements

PART 8 EXEMPTIONS FOR FOREIGN REGISTRANTS 8.1 Acceptable Accounting Principles for Foreign Registrants 8.2 Acceptable Auditing Standards for Foreign Registrants

PART 9 EXEMPTIONS 9.1 Exemptions 9.2 Certain Exemptions Evidenced by Receipt

PART 10 EFFECTIVE DATE 10.1 Effective Date

NATIONAL INSTRUMENT 52-107 ACCEPTABLE ACCOUNTING PRINCIPLES, AUDITING STANDARDS AND REPORTING CURRENCY

PART I DEFINITIONS AND INTERPRETATION

1.1 Definitions – In this Instrument:

“accounting principles” mean a body of accounting principles that are generally accepted in a jurisdiction of Canada or a foreign jurisdiction and include, without limitation, Canadian GAAP, U.S. GAAP and International Financial Reporting Standards;

“acquisition statements” means the financial statements of an acquired business or a business to be acquired, or operating statements for an oil and gas property that is an acquired business or a business to be acquired, that are required to be filed under National Instrument 51-102 or that are included in a prospectus;

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“auditing standards” mean a body of auditing standards that are generally accepted in a jurisdiction of Canada or a foreign jurisdiction and include, without limitation, Canadian GAAS, U.S. GAAS and International Standards on Auditing;

“business acquisition report” means a completed Form 51-102F4 Business Acquisition Report;

“convertible security” means a security of an issuer that is convertible into, or carries the right of the holder to acquire, or of the issuer to cause the acquisition of, a security of the same issuer;

“credit support issuer” means an issuer of securities for which a credit supporter has provided a guarantee;

“credit supporter” means a person or company that provides a guarantee for any of the payments to be made by an issuer of securities as stipulated in the terms of the securities or in an agreement governing rights of, or granting rights to, holders of the securities;

“designated foreign issuer” means a foreign issuer

(a) that does not have a class of securities registered under section 12 of the 1934 Act and is not required to file reports under section 15(d) of the 1934 Act,

(b) that is subject to foreign disclosure requirements, and

(c) for which the total number of equity securities owned, directly or indirectly, by residents of Canada does not exceed ten per cent, on a fully- diluted basis, of the total number of equity securities of the issuer, calculated in accordance with sections 1.2 and 1.3;

“designated foreign jurisdiction” means Australia, France, Germany, Hong Kong, Italy, Japan, Mexico, the Netherlands, New Zealand, Singapore, South Africa, Spain, Sweden, Switzerland or the United Kingdom of Great Britain and Northern Ireland;

“exchangeable security” means a security of an issuer that is exchangeable for, or carries the right of the holder to acquire, or of the issuer to cause the acquisition of, a security of another issuer;

“exchange-traded security” means a security that is listed on a recognized exchange or is quoted on a recognized quotation and trade reporting system or is listed on an exchange or quoted on a quotation and trade reporting system that is recognized for the purposes of National Instrument 21-101 Marketplace Operation and National Instrument 23-101 Trading Rules;

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“executive officer” with respect to a person or company means an individual who is

(a) a chair of the person or company,

(b) a vice-chair of the person or company,

(c) the president of the person or company,

(d) a vice-president of the person or company in charge of a principal business unit, division or function including sales, finance or production,

(e) an officer of the person or company or any of its subsidiaries who performed a policy-making function in respect of the person or company, or

(f) any other individual who performed a policy-making function in respect of the person or company;

“foreign disclosure requirements” means the requirements to which a foreign issuer is subject concerning disclosure made to the public, to securityholders of the issuer, or to a foreign regulatory authority

(a) relating to the foreign issuer and the trading in its securities, and

(b) that is made publicly available in the foreign jurisdiction under

(i) the securities laws of the foreign jurisdiction in which the principal trading market of the foreign issuer is located, or

(ii) the rules of the marketplace that is the principal trading market of the foreign issuer;

“foreign issuer” means an issuer, other than an investment fund, that is incorporated or organized under the laws of a foreign jurisdiction, unless

(a) outstanding voting securities of the issuer carrying more than 50 per cent of the votes for the election of directors are owned, directly or indirectly, by residents of Canada, and

(b) any of the following apply:

(i) the majority of the executive officers or directors of the issuer are residents of Canada;

(ii) more than 50 per cent of the consolidated assets of the issuer are located in Canada; or

(iii) the business of the issuer is administered principally in Canada;

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“foreign registrant” means a registrant that is incorporated or organized under the laws of a foreign jurisdiction , except a registrant that satisfies the following conditions:

(a) outstanding voting securities of the registrant carrying more than 50 per cent of the votes for the election of directors are owned, directly or indirectly, by residents of Canada; and

(b) any of the following apply:

(i) the majority of the executive officers or directors of the registrant are residents of Canada;

(ii) more than 50 per cent of the consolidated assets of the registrant are located in Canada; or

(iii) the business of the registrant is administered principally in Canada;

“foreign regulatory authority” means a securities commission, exchange or other securities market regulatory authority in a designated foreign jurisdiction;

“inter-dealer bond broker” means a person or company that is approved by the Investment Dealers Association under IDA By-Law No. 36 Inter-Dealer Bond Brokerage Systems, as amended, and is subject to IDA By-Law No. 36 and IDA Regulation 2100 Inter-Dealer Bond Brokerage Systems, as amended;

“investment fund” means a mutual fund or a non-redeemable investment fund;

“issuer’s GAAP” means the accounting principles used to prepare an issuer’s financial statements, as permitted by this Instrument;

“marketplace” means

(a) an exchange,

(b) a quotation and trade reporting system,

(c) a person or company not included in paragraph (a) or (b) that

(i) constitutes, maintains or provides a market or facility for bringing together buyers and sellers of securities,

(ii) brings together the orders for securities of multiple buyers and sellers, and

(iii) uses established, non-discretionary methods under which the orders interact with each other, and the buyers and sellers entering the orders agree to the terms of a trade, or

(d) a dealer that executes a trade of an exchange-traded security outside of a marketplace,

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“multiple convertible security” means a security of an issuer that is convertible into, or exchangeable for, or carries the right of the holder to acquire, or of the issuer to cause the acquisition of, a convertible security, an exchangeable security or another multiple convertible security;

“National Instrument 51-102” means National Instrument 51-102 Continuous Disclosure Obligations;

“National Instrument 71-102” means National Instrument 71-102 Continuous Disclosure and Other Exemptions Relating to Foreign Issuers;

“non-redeemable investment fund” means any issuer

(a) where contributions of security holders are pooled for investment,

(b) where security holders do not have day-to-day control over the management and investment decisions of the issuer, whether or not they have the right to be consulted or to give directions, and

(c) whose securities do not entitle the security holder to receive on demand, or within a specified period after demand, an amount computed by reference to the value of a proportionate interest in the whole or in part of the net assets of the issuer;

“principal trading market” means the published market on which the largest trading volume in the equity securities of the issuer occurred during the issuer's most recently completed financial year that ended before the date the determination is being made;

“public enterprise” means a public enterprise determined with reference to the Handbook;

“published market” means, for a class of securities, a marketplace on which the securities have traded that discloses, regularly in a publication of general and regular paid circulation or in a form that is broadly distributed by electronic means, the prices at which those securities have traded;

“recognized exchange” means

(a) in Ontario, an exchange recognized by the securities regulatory authority to carry on business as a stock exchange, and

(b) in every other jurisdiction of Canada, an exchange recognized by the securities regulatory authority as an exchange, self-regulatory organization or self-regulatory body;

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“recognized quotation and trade reporting system” means

(a) in every jurisdiction of Canada other than British Columbia, a quotation and trade reporting system recognized by the securities regulatory authority under securities legislation to carry on business as a quotation and trade reporting system, and

(b) in British Columbia, a quotation and trade reporting system recognized by the securities regulatory authority under securities legislation as a quotation and trade reporting system or as an exchange;

“SEC issuer” means an issuer that

(a) has a class of securities registered under section 12 of the 1934 Act or is required to file reports under section 15(d) of the 1934 Act, and

(b) is not registered or required to be registered as an investment company under the Investment Company Act of 1940 of the United States of America, as amended;

“SEC foreign issuer” means a foreign issuer that is also an SEC issuer;

“underlying security” means a security issued or transferred, or to be issued or transferred, in accordance with the terms of a convertible security, an exchangeable security or a multiple convertible security;

“U.S. GAAP” means generally accepted accounting principles in the United States of America that the SEC has identified as having substantial authoritative support, as supplemented by Regulation S-X and Regulation S-B under the 1934 Act; and

“U.S. GAAS” means generally accepted auditing standards in the United States of America, as supplemented by the SEC’s rules on auditor independence.

1.2 Determination of Canadian Shareholders for Calculation of Designated Foreign Issuer and Foreign Issuer –

(1) For the purposes of paragraph (c) of the definition of “designated foreign issuer” and paragraph 5.1(c), a reference to equity securities owned, directly or indirectly, by residents of Canada, includes

(a) the underlying securities that are equity securities of the foreign issuer; and

(b) the equity securities of the foreign issuer represented by an American depositary receipt or an American depositary share issued by a depositary holding equity securities of the foreign issuer.

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(2) For the purposes of paragraph (a) of the definition of “foreign issuer”, securities represented by American depositary receipts or American depositary shares issued by a depositary holding voting securities of the foreign issuer must be included as outstanding in determining both the number of votes attached to securities owned, directly or indirectly, by residents of Canada and the number of votes attached to all of the issuer’s outstanding voting securities.

1.3 Timing for Calculation of Designated Foreign Issuer, Foreign Issuer and Foreign Registrant– For the purposes of paragraph (c) of the definition of "designated foreign issuer" , paragraph (a) of the definition of " foreign issuer" and paragraph (a) of the definition of “foreign registrant”, the calculation is made

(a) if the issuer has not completed one financial year, on the earlier of

(i) the date that is 90 days before the date of its prospectus, and

(ii) the date that it became a reporting issuer; and

(b) for all other issuers and for registrants, on the first day of the most recent financial year or year-to-date interim period for which operating results are presented in the financial statements filed or included in the issuer’s prospectus.

1.4 Interpretation

(1) Interpretation of “prospectus” – For the purposes of this Instrument, a reference to “prospectus” includes a preliminary prospectus, a prospectus, an amendment to a preliminary prospectus and an amendment to a prospectus.

(2) Interpretation of “included” – For the purposes of this Instrument, a reference to information being “included in” another document means information reproduced in the document or incorporated into the document by reference.

PART 2 APPLICATION

2.1 Application –

(1) This Instrument does not apply to investment funds.

(2) This Instrument applies to

(a) all annual and interim financial statements delivered by registrants to the securities regulatory authority,

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(b) all annual, interim and pro forma financial statements filed, or included in a document that is filed, under National Instrument 51- 102 or National Instrument 71-102,

(c) all annual, interim and pro forma financial statements included in a prospectus or a take-overbid circular filed, or included in a document that is filed,

(d) any operating statements for an oil and gas property that is an acquired business or a business to be acquired, that are filed under National Instrument 51-102 or that are included in a prospectus or a take-over bid circular filed, or included in a document that is filed,

(e) any other annual, interim or pro forma financial statement filed by a reporting issuer, and

(f) financial information that is filed under National Instrument 51-102 or that is included in a prospectus or a take-over bid circular filed, or included in a document that is filed, that is

(i) derived from a credit support issuer’s consolidated financial statements, or

(ii) summarized financial information as to the assets, liabilities and results of operations of a business relating to an acquisition that is, or will be, an investment accounted for by the issuer using the equity method.

PART 3 GENERAL RULES

3.1 Acceptable Accounting Principles –

(1) Financial statements, other than acquisition statements, must be prepared in accordance with Canadian GAAP as applicable to public enterprises.

(2) Financial statements must be prepared in accordance with the same accounting principles for all periods presented in the financial statements.

(3) The notes to the financial statements must identify the accounting principles used to prepare the financial statements.

3.2 Acceptable Auditing Standards –Financial statements, other than acquisition statements, that are required by securities legislation to be audited must be audited in accordance with Canadian GAAS and be accompanied by an auditor’s report that

(a) does not contain a reservation;

(b) identifies all financial periods presented for which the auditor has issued an auditor's report;

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(c) refers to the former auditor’s reports on the comparative periods, if the issuer or registrant has changed its auditor and one or more of the comparative periods presented in the financial statements were audited by a different auditor; and

(d) identifies the auditing standards used to conduct the audit and the accounting principles used to prepare the financial statements.

3.3 Acceptable Auditors –

An auditor’s report filed by an issuer or registrant must be prepared and signed by a person or company that is authorized to sign an auditor’s report by the laws of a jurisdiction of Canada or a foreign jurisdiction, and that meets the professional standards of that jurisdiction.

3.4 Measurement and Reporting Currencies –

(1) The reporting currency must be disclosed on the face page of the financial statements or in the notes to the financial statements unless the financial statements are prepared in accordance with Canadian GAAP and the reporting currency is the Canadian dollar.

(2) The notes to the financial statements must disclose the measurement currency if it is different than the reporting currency.

3.5 Financial Information Derived from a Credit Support Issuer’s Consolidated Financial Statements –

If a credit support issuer files, or includes in a prospectus, financial information derived from the credit support issuer’s consolidated financial statements,

(a) the credit support issuer’s consolidated financial statements must be prepared in accordance with Canadian GAAP as applicable to public enterprises for all periods presented in the financial statements and in the case of annual audited consolidated financial statements,

(i) be audited in accordance with Canadian GAAS and

(ii) be accompanied by an auditor’s report that

(A) does not contain a reservation, and

(B) is prepared and signed by a person or company that is authorized to sign an auditor’s report by the laws of a jurisdiction of Canada or a foreign jurisdiction, and that meets the professional standards of that jurisdiction;

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(b) the financial information must disclose that the credit support issuer’s consolidated financial statements from which the financial information is derived were prepared in accordance with Canadian GAAP as applicable to public enterprises; and

(c) the financial information must disclose the reporting currency for the financial information, and disclose the measurement currency if it is different than the reporting currency.

PART 4 EXEMPTIONS FOR SEC ISSUERS

4.1 Acceptable Accounting Principles for SEC Issuers –

(1) Despite subsections 3.1(1) and 3.1(2), financial statements filed by an SEC issuer, other than acquisition statements, may be prepared in accordance with U.S. GAAP provided that, if the SEC issuer previously filed or included in a prospectus financial statements prepared in accordance with Canadian GAAP, the SEC issuer complies with the following:

(a) the notes to the first two sets of the issuer’s annual financial statements after the change from Canadian GAAP to U.S. GAAP and the notes to the issuer’s interim financial statements for interim periods during those two years

(i) explain the material differences between Canadian GAAP as applicable to public enterprises and U.S. GAAP that relate to recognition, measurement and presentation;

(ii) quantify the effect of material differences between Canadian GAAP as applicable to public enterprises and U.S. GAAP that relate to recognition, measurement and presentation, including a tabular reconciliation between net income reported in the financial statements and net income computed in accordance with Canadian GAAP as applicable to public enterprises; and

(iii) provide disclosure consistent with disclosure requirements of Canadian GAAP as applicable to public enterprises to the extent not already reflected in the financial statements;

(b) financial information for any comparative periods that were previously reported in accordance with Canadian GAAP are presented as follows:

(i) as previously reported in accordance with Canadian GAAP;

(ii) as restated and presented in accordance with U.S. GAAP; and

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(iii) supported by an accompanying note that

(A) explains the material differences between Canadian GAAP and U.S. GAAP that relate to recognition, measurement and presentation; and

(B) quantifies the effect of material differences between Canadian GAAP and U.S. GAAP that relate to recognition, measurement and presentation, including a tabular reconciliation between net income as previously reported in the financial statements in accordance with Canadian GAAP and net income as restated and presented in accordance with U.S. GAAP; and

(c) if the SEC issuer has filed financial statements prepared in accordance with Canadian GAAP for one or more interim periods of the current year, those interim financial statements are restated in accordance with U.S. GAAP and comply with paragraphs (a) and (b).

(2) The comparative information specified in subparagraph 4.1(1)(b)(i) may be presented on the face of the balance sheet and statements of income and cash flow or in the note to the financial statements required by subparagraph 4.1(1)(b)(iii).

4.2 Acceptable Auditing Standards for SEC Issuers – Despite section 3.2, financial statements filed by an SEC issuer, other than acquisition statements, that are required by securities legislation to be audited may be audited in accordance with U.S. GAAS if the financial statements are accompanied by an auditor’s report prepared in accordance with U.S. GAAS that

(a) contains an unqualified opinion;

(b) identifies all financial periods presented for which the auditor has issued an auditor's report;

(c) refers to the former auditor’s reports on the comparative periods, if the issuer has changed its auditor and one or more of the comparative periods presented in the financial statements were audited by a different auditor; and

(d) identifies the auditing standards used to conduct the audit and the accounting principles used to prepare the financial statements.

PART 5 EXEMPTIONS FOR FOREIGN ISSUERS

5.1 Acceptable Accounting Principles for Foreign Issuers – Despite subsection 3.1(1), financial statements filed by a foreign issuer, other than acquisition statements, may be prepared in accordance with

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(a) U.S. GAAP, if the issuer is an SEC foreign issuer;

(b) International Financial Reporting Standards;

(c) accounting principles that meet the disclosure requirements for foreign private issuers, as that term is defined for the purposes of the 1934 Act, if

(i) the issuer is an SEC foreign issuer;

(ii) on the last day of the most recently completed financial year the total number of equity securities owned directly or indirectly by residents of Canada does not exceed ten per cent, on a fully-diluted basis, of the total number of equity securities of the issuer; and

(iii) the financial statements include any reconciliation to U.S. GAAP required by the SEC;

(d) accounting principles that meet the foreign disclosure requirements of the designated foreign jurisdiction to which the issuer is subject, if the issuer is a designated foreign issuer; or

(e) accounting principles that cover substantially the same core subject matter as Canadian GAAP, including recognition and measurement principles and disclosure requirements, if the notes to the financial statements

(i) explain the material differences between Canadian GAAP applicable to public enterprises and the accounting principles used that relate to recognition, measurement and presentation;

(ii) quantify the effect of material differences between Canadian GAAP applicable to public enterprises and the accounting principles used that relate to recognition, measurement and presentation, including a tabular reconciliation between net income reported in the issuer's financial statements and net income computed in accordance with Canadian GAAP applicable to public enterprises; and

(iii) provide disclosure consistent with Canadian GAAP applicable to public enterprises requirements to the extent not already reflected in the financial statements.

5.2 Acceptable Auditing Standards for Foreign Issuers – Despite section 3.2, financial statements filed by a foreign issuer, other than acquisition statements, that are required by securities legislation to be audited may be audited in accordance with

(a) U.S. GAAS if the auditor’s report contains an unqualified opinion;

(b) International Standards on Auditing, if the auditor’s report is accompanied by a statement by the auditor that

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(i) describes any material differences in the form and content of the auditor’s report as compared to an auditor’s report prepared in accordance with Canadian GAAS; and

(ii) indicates that an auditor’s report prepared in accordance with Canadian GAAS would not contain a reservation; or

(c) auditing standards that meet the foreign disclosure requirements of the designated foreign jurisdiction to which the issuer is subject, if the issuer is a designated foreign issuer,

if the financial statements are accompanied by an auditor’s report prepared in accordance with the same auditing standards used to audit the financial statements and the auditor’s report identifies the auditing standards used to conduct the audit and the accounting principles used to prepare the financial statements.

PART 6 REQUIREMENTS FOR ACQUISITION STATEMENTS

6.1 Acceptable Accounting Principles for Acquisition Statements –

(1) Acquisition statements included in a business acquisition report or included in a prospectus must be prepared in accordance with any of the following accounting principles:

(a) Canadian GAAP applicable to public enterprises;

(b) U.S. GAAP;

(c) International Financial Reporting Standards;

(d) accounting principles that meet the disclosure requirements for foreign private issuers, as that term is defined for the purposes of the 1934 Act, if

(i) the issuer or the acquired business is an SEC foreign issuer;

(ii) on the last day of the most recently completed financial year the total number of equity securities owned directly or indirectly by residents of Canada does not exceed ten per cent, on a fully- diluted basis, of the total number of equity securities of the SEC foreign issuer; and

(iii) the financial statements include any reconciliation to U.S. GAAP required by the SEC;

(e) accounting principles that meet the foreign disclosure requirements of the designated foreign jurisdiction to which the issuer or the acquired business is subject, if the issuer or the acquired business is a designated foreign issuer; or

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(f) accounting principles that cover substantially the same core subject matter as Canadian GAAP, including recognition and measurement principles and disclosure requirements.

(2) Acquisition statements must be prepared in accordance with the same accounting principles for all periods presented.

(3) The notes to the acquisition statements must identify the accounting principles used to prepare the acquisition statements.

(4) If acquisition statements are prepared using accounting principles that are different from the issuer’s GAAP, the acquisition statements for the most recently completed financial year and interim period that are required to be filed must be reconciled to the issuer’s GAAP and the notes to the acquisition statements must

(a) explain the material differences between the issuer’s GAAP and the accounting principles used to prepare the acquisition statements that relate to recognition, measurement, and presentation;

(b) quantify the effect of material differences between the issuer’s GAAP and the accounting principles used to prepare the acquisition statements that relate to recognition, measurement and presentation, including a tabular reconciliation between net income reported in the acquisition statements and net income computed in accordance with the issuer’s GAAP; and

(c) provide disclosure consistent with the issuer’s GAAP to the extent not already reflected in the acquisition statements.

(5) Despite subsections (1) and (4), if the issuer is required to reconcile its financial statements to Canadian GAAP, the acquisition statements for the most recently completed financial year and interim period that are required to be filed must be

(a) prepared in accordance with Canadian GAAP applicable to public enterprises; or

(b) reconciled to Canadian GAAP applicable to public enterprises and the notes to the acquisition statements must

(i) explain the material differences between Canadian GAAP applicable to public enterprises and the accounting principles used to prepare the acquisition statements that relate to recognition, measurement, and presentation;

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(ii) quantify the effect of material differences between Canadian GAAP applicable to public enterprises and the accounting principles used to prepare the acquisition statements that relate to recognition, measurement and presentation, including a tabular reconciliation between net income reported in the acquisition statements and net income computed in accordance with Canadian GAAP applicable to public enterprises; and

(iii) provide disclosure consistent with disclosure requirements of Canadian GAAP applicable to public enterprises to the extent not already reflected in the acquisition statements.

6.2 Acceptable Auditing Standards for Acquisition Statements –

(1) Acquisition statements that are required by securities legislation to be audited must be audited in accordance with

(a) Canadian GAAS; or

(b) U.S. GAAS.

(2) Despite subsection (1), acquisition statements filed by or included in a prospectus of a foreign issuer may be audited in accordance with

(a) International Standards on Auditing, if the auditor’s report is accompanied by a statement by the auditor that

(i) describes any material differences in the form and content of the auditor’s report as compared to an auditor’s report prepared in accordance with Canadian GAAS; and

(ii) indicates that an auditor’s report prepared in accordance with Canadian GAAS would not contain a reservation; or

(b) auditing standards that meet the foreign disclosure requirements of the designated foreign jurisdiction to which the issuer is subject, if the issuer is a designated foreign issuer.

(3) Acquisition statements must be accompanied by an auditor’s report prepared in accordance with the same auditing standards used to audit the acquisition statements and the auditor’s report must identify the auditing standards used to conduct the audit and the accounting principles used to prepare the financial statements.

(4) If acquisition statements are audited in accordance with paragraph (1)(a), the auditor’s report must not contain a reservation.

(5) If acquisition statements are audited in accordance with paragraph (1)(b), the auditor’s report must contain an unqualified opinion.

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(6) Despite paragraph (2)(a) and subsections (4) and (5) an auditor’s report that accompanies acquisition statements may contain a qualification of opinion relating to inventory if

(a) the issuer includes in the business acquisition report, prospectus or other document containing the acquisition statements, a balance sheet for the business that is for a date that is subsequent to the date to which the qualification relates; and

(b) the balance sheet referred to in paragraph (a) is accompanied by an auditor's report that does not contain a qualification of opinion relating to closing inventory.

6.3 Financial Information for Acquisitions Accounted for by the Issuer Using the Equity Method –

(1) If an issuer files, or includes in a prospectus, summarized financial information as to the assets, liabilities and results of operations of a business relating to an acquisition that is, or will be, an investment accounted for by the issuer using the equity method, the financial information must

(a) meet the requirements in section 6.1 if the term “acquisition statements” in that section is read as “summarized financial information as to the assets, liabilities and results of operations of a business relating to an acquisition that is, or will be, an investment accounted for by the issuer using the equity method,” and

(b) disclose the reporting currency for the financial information, and disclose the measurement currency if it is different than the reporting currency.

(2) If the financial information referred to in subsection (1) is for any completed financial year, the financial information must

(a) either

(i) meet the requirements in section 6.2 if the term “acquisition statements” in that section is read as “summarized financial information as to the assets, liabilities and results of operations of a business relating to an acquisition that is; or will be, an investment accounted for by the issuer using the equity method,” or

(ii) be derived from financial statements that meet the requirements in section 6.2 if the term “acquisition statements” in that section is read as “financial statements from which is derived summarized financial information as to the assets, liabilities and results of operations of a business relating to an acquisition that is, or will be, an investment accounted for by the issuer using the equity method”; and

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(b) be audited, or derived from financial statements that are audited, by a person or company that is authorized to sign an auditor’s report by the laws of a jurisdiction of Canada or a foreign jurisdiction, and that meets the professional standards of that jurisdiction.

PART 7 PRO FORMA FINANCIAL STATEMENTS

7.1 Acceptable Accounting Principles for Pro Forma Financial Statements –

(1) Pro forma financial statements must be prepared in accordance with the issuer’s GAAP.

(2) Despite subsection (1), if an issuer’s financial statements have been reconciled to Canadian GAAP under subsection 4.1(1) or paragraph 5.1(e), the issuer’s pro forma financial statements must be prepared in accordance with, or reconciled to, Canadian GAAP applicable to public enterprises.

(3) Despite subsection (1), if an issuer’s financial statements have been prepared in accordance with the accounting principles referred to in paragraph 5.1(c) and those financial statements are reconciled to U.S. GAAP, the pro forma financial statements may be prepared in accordance with, or reconciled to, U.S. GAAP.

PART 8 EXEMPTIONS FOR FOREIGN REGISTRANTS

8.1 Acceptable Accounting Principles for Foreign Registrants – Despite subsection 3.1(1), financial statements delivered by a foreign registrant may be prepared in accordance with

(a) U.S. GAAP;

(b) International Financial Reporting Standards;

(c) accounting principles that meet the disclosure requirements of a foreign regulatory authority to which the registrant is subject, if it is a foreign registrant incorporated or organized under the laws of that designated foreign jurisdiction; or

(d) accounting principles that cover substantially the same core subject matter as Canadian GAAP, including recognition and measurement principles and disclosure requirements, if the notes to the financial statements

(i) explain the material differences between Canadian GAAP as applicable to public enterprises and the accounting principles used that relate to recognition, measurement and presentation;

(ii) quantify the effect of material differences between Canadian GAAP as applicable to public enterprises and the accounting principles used that relate to recognition, measurement, and presentation; and

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(iii) provide disclosure consistent with disclosure requirements of Canadian GAAP as applicable to public enterprises to the extent not already reflected in the financial statements.

8.2 Acceptable Auditing Standards for Foreign Registrants –Despite section 3.2, financial statements delivered by a foreign registrant that are required by securities legislation to be audited may be audited in accordance with

(a) U.S. GAAS if the auditor’s report contains an unqualified opinion;

(b) International Standards on Auditing, if the auditor’s report is accompanied by a statement by the auditor that

(i) describes any material differences in the form and content of the auditor’s report as compared to an auditor’s report prepared in accordance with Canadian GAAS; and

(ii) indicates that an auditor’s report prepared in accordance with Canadian GAAS would not contain a reservation; or

(c) auditing standards that meet the foreign disclosure requirements of the designated foreign jurisdiction to which the registrant is subject, if it is a foreign registrant incorporated or organized under the laws of that designated foreign jurisdiction,

if the financial statements are accompanied by an auditor’s report prepared in accordance with the same auditing standards used to audit the financial statements and the auditor’s report identifies the auditing standards used to conduct the audit and the accounting principles used to prepare the financial statements.

PART 9 EXEMPTIONS

9.1 Exemptions –

(1) The regulator or securities regulatory authority may grant an exemption from this Instrument, in whole or in part, subject to such conditions or restrictions as may be imposed in the exemption.

(2) Despite subsection (1), in Ontario, only the regulator may grant an exemption.

9.2 Certain Exemptions Evidenced by Receipt –

(1) Subject to subsections (2) and (3), without limiting the manner in which an exemption may be evidenced, an exemption from this Instrument as it pertains to financial statements or auditor’s reports included in a prospectus, may be evidenced by the issuance of a receipt for the prospectus or an amendment to the prospectus.

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(2) A person or company must not rely on a receipt as evidence of an exemption unless the person or company

(a) sent to the regulator or securities regulatory authority, on or before the date the preliminary prospectus or the amendment to the preliminary prospectus or prospectus was filed, a letter or memorandum describing the matters relating to the exemption application, and indicating why consideration should be given to the granting of the exemption; or

(b) sent to the regulator or securities regulatory authority the letter or memorandum referred to in paragraph (a) after the date of the preliminary prospectus or the amendment to the preliminary prospectus or prospectus has been filed and receives a written acknowledgement from the securities regulatory authority or regulator that issuance of the receipt is evidence that the exemption is granted.

(3) A person or company must not rely on a receipt as evidence of an exemption if the regulator or securities regulatory authority has before, or concurrently with, the issuance of the receipt for the prospectus, sent notice to the person or company that the issuance of a receipt does not evidence the granting of the exemption.

(4) For the purpose of this section, a reference to a prospectus does not include a preliminary prospectus.

PART 10 EFFECTIVE DATE

10.1 Effective Date – This Instrument comes into force on March 30, 2004. ______

NATIONAL INSTRUMENT 71-102 Continuous Disclosure and Other Exemptions Relating to Foreign Issuers

(Securities Act)

Made as a rule by the Alberta Securities Commission on December 10, 2003 pursuant to sections 223 and 224 of the Securities Act.

PART 1 DEFINITIONS AND INTERPRETATION 1.1 Definitions and Interpretation 1.2 Determination of Canadian Shareholders 1.3 Timing for Calculation of Designated Foreign Issuer and Foreign Reporting Issuer

PART 2 LANGUAGE OF DOCUMENTS 2.1 French or English 2.2 Filings Prepared in a Language other than French or English

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PART 3 FILING AND SENDING OF DOCUMENTS 3.1 Timing of Filing of Documents 3.2 Sending of Documents to Canadian Securityholders

PART 4 SEC FOREIGN ISSUERS 4.1 Amendments and Supplements 4.2 Material Change Reporting 4.3 Financial Statements 4.4 AIFs and MD&A 4.5 Business Acquisition Reports 4.6 Proxies and Proxy Solicitation by the Issuer and Information Circulars 4.7 Proxy Solicitation by Another Person or Company 4.8 Disclosure of Voting Results 4.9 Filing of Certain News Releases 4.10 Filing of Certain Documents 4.11 Early Warning 4.12 Insider Reporting 4.13 Communication with Beneficial Owners of Securities 4.14 Going Private Transactions and Related Party Transactions 4.15 Change of Auditor 4.16 Restricted Securities

PART 5 DESIGNATED FOREIGN ISSUERS 5.1 Amendments and Supplements 5.2 Mandatory Annual Disclosure by Designated Foreign Issuer 5.3 Material Change Reporting 5.4 Financial Statements 5.5 AIFs & MD&A 5.6 Business Acquisition Reports 5.7 Proxies and Proxy Solicitation by the Issuer and Information Circulars 5.8 Proxy Solicitation by Another Person or Company 5.9 Disclosure of Voting Results 5.10 Filing of Certain News Releases 5.11 Filing of Certain Documents 5.12 Early Warning 5.13 Insider Reporting 5.14 Communication with Beneficial Owners of Securities 5.15 Going Private Transactions and Related Party Transactions 5.16 Change in Year-End 5.17 Change of Auditor 5.18 Restricted Securities

PART 6 FOREIGN TRANSITION ISSUERS 6.1 Application 6.2 Definition 6.3 Transitional Exemptions

PART 7 EFFECTIVE DATE 7.1 Effective Date

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NATIONAL INSTRUMENT 71-102 CONTINUOUS DISCLOSURE AND OTHER EXEMPTIONS RELATING TO FOREIGN ISSUERS

PART 1 DEFINITIONS AND INTERPRETATION

1.1 Definitions and Interpretation

In this Instrument:

“AIF” means a completed Form 51-102F2 Annual Information Form or, in the case of an SEC foreign issuer, a completed Form 51-102F2 or an annual report or transition report under the 1934 Act on Form 10-K, Form 10-KSB, or Form 20-F;

“board of directors” means, for a person or company that does not have a board of directors, an individual or group that acts in a capacity similar to a board of directors;

“business acquisition report” means a completed Form 51-102F4 Business Acquisition Report;

“class” includes a series of a class;

“convertible security” means a security of an issuer that is convertible into, or carries the right of the holder to acquire, or of the issuer to cause the acquisition of, a security of the same issuer;

“designated foreign issuer” means a foreign reporting issuer

(a) that does not have a class of securities registered under section 12 of the 1934 Act and is not required to file reports under section 15(d) of the 1934 Act;

(b) that is subject to foreign disclosure requirements; and

(c) for which the total number of equity securities owned, directly or indirectly, by residents of Canada does not exceed 10 per cent, on a fully- diluted basis, of the total number of equity securities of the issuer, calculated in accordance with sections 1.2 and 1.3;

“designated foreign jurisdiction” means Australia, France, Germany, Hong Kong, Italy, Japan, Mexico, the Netherlands, New Zealand, Singapore, South Africa, Spain, Sweden, Switzerland or the United Kingdom of Great Britain and Northern Ireland;

“exchangeable security” means a security of an issuer that is exchangeable for, or carries the right of the holder to acquire, or of the issuer to cause the acquisition of, a security of another issuer;

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“exchange-traded security” means a security that is listed on a recognized exchange or is quoted on a recognized quotation and trade reporting system or is listed on an exchange or quoted on a quotation and trade reporting system that is recognized for the purposes of National Instrument 21-101 Marketplace Operation and National Instrument 23-101 Trading Rules;

“executive officer” of a reporting issuer means an individual who is

(A) a chair of the reporting issuer;

(B) a vice-chair of the reporting issuer;

(C) the president of the reporting issuer;

(D) a vice-president of the reporting issuer in charge of a principal business unit, division or function including sales, finance or production;

(E) an officer of the reporting issuer or any of its subsidiaries who performed a policy-making function in respect of the reporting issuer; or

(F) any other individual who performed a policy-making function in respect of the reporting issuer;

“foreign disclosure requirements” means the requirements to which a foreign reporting issuer is subject concerning the disclosure made to the public, to securityholders of the issuer or to a foreign regulatory authority

(a) relating to the foreign reporting issuer and the trading in its securities; and

(b) that is made publicly available in the foreign jurisdiction under

(i) the securities laws of the foreign jurisdiction in which the principal trading market of the foreign reporting issuer is located; or

(ii) the rules of the marketplace that is the principal trading market of the foreign reporting issuer;

“foreign regulatory authority” means a securities commission, exchange or other securities market regulatory authority in a designated foreign jurisdiction;

“foreign reporting issuer” means a reporting issuer, other than an investment fund, that is incorporated or organized under the laws of a foreign jurisdiction, unless

(a) outstanding voting securities carrying more than 50 per cent of the votes for the election of directors are owned, directly or indirectly, by residents of Canada; and

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(b) any one or more of the following is true:

(i) the majority of the executive officers or directors of the issuer are residents of Canada;

(ii) more than 50 per cent of the consolidated assets of the issuer are located in Canada; or

(iii) the business of the issuer is administered principally in Canada;

“inter-dealer bond broker” means a person or company that is approved by the Investment Dealers Association under its By-Law No. 36 Inter-Dealer Bond Brokerage Systems, as amended, and is subject to its By-Law No. 36 and its Regulation 2100 Inter-Dealer Bond Brokerage Systems, as amended;

“interim period” means,

(a) in the case of a year other than a transition year, a period commencing on the first day of the financial year and ending nine, six or three months before the end of the financial year, or

(b) in the case of a transition year, a period commencing on the first day of the transition year and ending

(i) three, six, nine or twelve months, if applicable, after the end of the old financial year; or

(ii) twelve, nine, six or three months, if applicable, before the end of the transition year;

“investment fund” means a mutual fund or a non-redeemable investment fund;

“marketplace” means

(a) an exchange;

(b) a quotation and trade reporting system;

(c) a person or company not included in paragraph (a) or (b) that

(i) constitutes, maintains or provides a market or facility for bringing together buyers and sellers of securities;

(ii) brings together the orders for securities of multiple buyers and sellers; and

(iii) uses established, non-discretionary methods under which the orders interact with each other, and the buyers and sellers entering the orders agree to the terms of a trade; or

(d) a dealer that executes a trade of an exchange-traded security outside of a marketplace,

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“MD&A” means a completed Form 51-102F1 Management’s Discussion & Analysis or, in the case of an SEC foreign issuer, a completed Form 51-102F1 or management’s discussion and analysis prepared in accordance with Item 303 of Regulation S-K or Item 303 of Regulation S-B under the 1934 Act;

“multiple convertible security” means a security of an issuer that is convertible into, or exchangeable for, or carries the right of the holder to acquire, or of the issuer to cause the acquisition of, a convertible security, an exchangeable security or another multiple convertible security;

“Nasdaq” means Nasdaq National Market and Nasdaq SmallCap Market;

“NI 52-107” means National Instrument 52-107 Acceptable Accounting Principles, Auditing Standards and Reporting Currency;

“non-redeemable investment fund” means any issuer

(a) where contributions of securityholders are pooled for investment;

(b) where securityholders do not have day-to-day control over the management and investment decisions of the issuer, whether or not they have the right to be consulted or to give directions; and

(c) whose securities do not entitle the securityholder to receive on demand, or within a specified period after demand, an amount computed by reference to the value of a proportionate interest in the whole or in part of the net assets of the issuer;

“old financial year” means the financial year of a reporting issuer that immediately precedes its transition year;

“principal trading market” means the published market on which the largest trading volume in the equity securities of the issuer occurred during the issuer’s most recent financial year that ended before the date the determination is being made;

“published market” means, for a class of securities, a marketplace on which the securities have traded that discloses regularly in a publication of general and regular paid circulation or in a form that is broadly distributed by electronic means the prices at which those securities have traded;

“recognized exchange” means

(a) in Ontario, an exchange recognized by the securities regulatory authority to carry on business as a stock exchange; and

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(b) in every other jurisdiction, an exchange recognized by the securities regulatory authority as an exchange, self-regulatory organization or self- regulatory body;

“recognized quotation and trade reporting system” means

(a) in every jurisdiction other than British Columbia, a quotation and trade reporting system recognized by the securities regulatory authority under securities legislation to carry on business as a quotation and trade reporting system; and

(b) in British Columbia, a quotation and trade reporting system recognized by the securities regulatory authority under securities legislation as a quotation and trade reporting system or as an exchange;

“SEC foreign issuer” means a foreign reporting issuer that

(a) has a class of securities registered under section 12 of the 1934 Act or is required to file reports under section 15(d) of the 1934 Act; and

(b) is not registered or required to be registered as an investment company under the Investment Company Act of 1940 of the United States of America, as amended;

“SEDI issuer” has the meaning ascribed to that term in National Instrument 55-102 System for Electronic Disclosure by Insiders (SEDI);

“transition year” means the financial year of reporting issuer in which the issuer changes its financial year-end;

“TSX” means the Toronto Stock Exchange;

“underlying security” means a security issued or transferred, or to be issued or transferred, in accordance with the terms of a convertible security, an exchangeable security or a multiple convertible security;

“U.S. market” means an exchange in the United States of America or Nasdaq; and

“U.S. market requirements” means the requirements of the U.S. market on which the reporting issuer’s securities are listed or quoted.

1.2 Determination of Canadian Shareholders

(1) For the purposes of section 4.14 and paragraph (c) of the definition of “designated foreign issuer”, a reference to equity securities owned, directly or indirectly, by residents of Canada, includes

(a) the underlying securities that are equity securities of the foreign reporting issuer; and

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(b) the equity securities of the foreign reporting issuer represented by an American depositary receipt or an American depositary share issued by a depositary holding equity securities of the foreign reporting issuer.

(2) For the purposes of paragraph (a) of the definition of “foreign reporting issuer”, securities represented by American depositary receipts or American depositary shares issued by a depositary holding voting securities of the foreign reporting issuer must be included as outstanding in determining both the number of votes attached to securities owned, directly or indirectly, by residents of Canada and the number of votes attached to all of the issuer’s outstanding voting securities.

1.3 Timing for Calculation of Designated Foreign Issuer and Foreign Reporting Issuer

For the purposes of paragraph (c) of the definition of “designated foreign issuer”, paragraph (a) of the definition of “foreign reporting issuer” and section 4.14, the calculation is made,

(a) if the issuer has not completed a financial year since becoming a reporting issuer, at the date that the issuer became a reporting issuer; and

(b) for all other issuers,

(i) for the purpose of financial statement and MD&A filings under this Instrument, on the first day of the most recent financial year or year- to-date interim period for which operating results are presented in the financial statements or MD&A; and

(ii) for the purpose of other continuous disclosure filing obligations under this Instrument, on the first day of the issuer’s current financial year.

PART 2 LANGUAGE OF DOCUMENTS

2.1 French or English

(1) A person or company must file a document required to be filed under this Instrument in either French or English.

(2) Notwithstanding subsection (1), if a person or company files a document only in French or only in English but delivers to securityholders of an issuer a version of the document in the other language, the person or company must file that other version not later than when it is first delivered to securityholders.

(3) In Québec, a reporting issuer must comply with linguistic obligations and rights prescribed by Québec law.

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2.2 Filings Prepared in a Language other than French or English

(1) If a person or company files a document that is required to be filed under this Instrument that is a translation of a document prepared in a language other than French or English, the person or company must file the document upon which the translation was based.

(2) A foreign reporting issuer filing a document upon which the translation was based under subsection (1) must attach to the document a certificate as to the accuracy of the translation.

PART 3 FILING AND SENDING OF DOCUMENTS

3.1 Timing of Filing of Documents

A person or company filing a document under this Instrument must file the document at the same time as, or as soon as practicable after, the filing or furnishing of the document to the SEC or to a foreign regulatory authority.

3.2 Sending of Documents to Canadian Securityholders

If a person or company sends a document to holders of securities of any class under U.S. federal securities law, or the laws or requirements of a designated foreign jurisdiction, and that document is required to be filed under this Instrument, then the document must be sent in the same manner and at the same time, or as soon as practicable after, to holders of securities of that class in the local jurisdiction.

PART 4 SEC FOREIGN ISSUERS

4.1 Amendments and Supplements

Any amendments or supplements to disclosure documents filed by an SEC foreign issuer under this Instrument must also be filed.

4.2 Material Change Reporting

An SEC foreign issuer is exempt from securities legislation requirements relating to disclosure of material changes if the issuer

(a) complies with the U.S. market requirements for making public disclosure of material information on a timely basis;

(b) complies with foreign disclosure requirements for making public disclosure of material information on a timely basis, if securities of the issuer are not listed or quoted on a U.S. market;

(c) promptly files each news release issued by it for the purpose of complying with the requirements referred to in paragraph (a) or (b);

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(d) complies with the requirements of U.S. federal securities law for filing or furnishing current reports to the SEC; and

(e) files the current reports filed with or furnished to the SEC.

4.3 Financial Statements

An SEC foreign issuer satisfies securities legislation requirements relating to the preparation, approval, filing and delivery of its interim financial statements, and annual financial statements and auditor’s reports on annual financial statements if it

(a) complies with the requirements of U.S. federal securities law relating to interim financial statements, annual financial statements and auditor’s reports on annual financial statements;

(b) complies with the U.S. market requirements relating to interim financial statements and annual financial statements, if securities of the issuer are listed or quoted on a U.S. market;

(c) files the interim financial statements, annual financial statements and auditor’s reports on annual financial statements filed with or furnished to the SEC or a U.S. market;

(d) complies with section 3.2 of this Instrument; and

(e) complies with NI 52-107 as it relates to financial statements of the issuer that are included in any documents specified in paragraph (c).

4.4 AIFs and MD&A

An SEC foreign issuer satisfies securities legislation requirements relating to the preparation, approval, filing and delivery of AIFs and MD&A if it

(a) complies with the requirements of U.S. federal securities law relating to annual reports, quarterly reports, current reports and management’s discussion and analysis;

(b) files each annual report, quarterly report, current report and management’s discussion and analysis filed with or furnished to the SEC;

(c) complies with section 3.2 of this Instrument; and

(d) complies with NI 52-107 as it relates to financial statements of the issuer that are included in any documents specified in paragraph (b).

4.5 Business Acquisition Reports

An SEC foreign issuer satisfies securities legislation requirements relating to the preparation and filing of business acquisition reports if it

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(a) complies with the requirements of U.S. federal securities law relating to business acquisition reports;

(b) files each business acquisition report filed with or furnished to the SEC;

(c) complies with section 3.2 of this Instrument; and

(d) complies with NI 52-107 as it relates to financial statements that are included in any documents specified in paragraph (b).

4.6 Proxies and Proxy Solicitation by the Issuer and Information Circulars

An SEC foreign issuer satisfies securities legislation requirements relating to information circulars, proxies and proxy solicitation if it

(a) complies with the requirements of U.S. federal securities law relating to proxy statements, proxies and proxy solicitation;

(b) files all material relating to a meeting of securityholders that is filed with or furnished to the SEC;

(c) sends each document filed under paragraph (b) to securityholders in the local jurisdiction in the manner and at the time required by U.S. federal securities laws and U.S. market requirements; and

(d) complies with NI 52-107 as it relates to financial statements of the issuer that are included in any documents specified in paragraph (b).

4.7 Proxy Solicitation by Another Person or Company

(1) A person or company, other than the SEC foreign issuer, satisfies securities legislation requirements relating to information circulars, proxies and proxy solicitation with respect to an SEC foreign issuer if the person or company complies with the requirements of subsection 4.6.

(2) If a proxy solicitation is made with respect to an SEC foreign issuer by a person or company other than the SEC foreign issuer and the person or company soliciting proxies lacks access to the relevant list of securityholders of the SEC foreign issuer, the exemption in subsection (1) is not available, if

(a) the aggregate published trading volume of the class on the TSX and the TSX Venture Exchange exceeded the aggregate published trading volume of the class on all U.S. markets

(i) for the 12 calendar month period before commencement of the proxy solicitation, if there is no other proxy solicitation for securities of the same class in progress, or

(ii) for the 12 calendar month period before commencement of the first proxy solicitation, if another proxy solicitation for securities of the same class is already in progress;

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(b) the information disclosed by the SEC foreign issuer in its most recent Form 10-K, Form 10-KSB or Form 20-F filed with the SEC under the 1934 Act demonstrated that paragraph (a) of the definition of “foreign reporting issuer” applied to the SEC foreign issuer; or

(c) the person or company soliciting proxies reasonably believes that paragraph (a) of the definition of “foreign reporting issuer” applies to the SEC foreign issuer.

4.8 Disclosure of Voting Results

An SEC foreign issuer is exempt from securities legislation requirements relating to disclosure of securityholder voting results if the issuer

(a) complies with the requirements of U.S. federal securities law relating to disclosure of securityholder voting results; and

(b) files a copy of all disclosure of securityholder voting results filed with or furnished to the SEC.

4.9 Filing of Certain News Releases

An SEC foreign issuer is exempt from securities legislation requirements relating to the filing of news releases that disclose information regarding its results of operations or financial condition if the issuer

(a) complies with the requirements of U.S. federal securities laws relating to the filing of news releases disclosing financial information; and

(b) files a copy of each news release disclosing financial information that is filed with or furnished to the SEC.

4.10 Filing of Certain Documents

An SEC foreign issuer is exempt from securities legislation requirements relating to the filing of documents affecting the rights of securityholders and the filing of material contracts.

4.11 Early Warning

A person or company is exempt from the early warning requirements and acquisition announcement provisions of securities legislation in respect of securities of an SEC foreign issuer that has a class of securities registered under section 12 of the 1934 Act if the person or company

(a) complies with the requirements of U.S. federal securities law relating to the reporting of beneficial ownership of equity securities of the SEC foreign issuer; and

(b) files each report of beneficial ownership that is filed with or furnished to the SEC.

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4.12 Insider Reporting

The insider reporting requirement does not apply to an insider of an SEC foreign issuer that has a class of securities registered under section 12 of the 1934 Act if

(a) the SEC foreign issuer is not a SEDI issuer; and

(b) the insider complies with the requirements of U.S. federal securities law relating to insider reporting.

4.13 Communication with Beneficial Owners of Securities

An SEC foreign issuer that has a class of securities registered under section 12 of the 1934 Act satisfies securities legislation requirements relating to communications with, delivery of materials to and conferring voting rights upon non-registered holders of its securities who hold their interests in the securities through one or more intermediaries if the issuer

(a) complies with the requirements of Rule 14a-13 under the 1934 Act for any depositary and any intermediary whose last address as shown on the books of the issuer is in Canada; and

(b) complies with the requirements of National Instrument 54-101 Communication with Beneficial Owners of Securities of a Reporting Issuer with respect to fees payable to intermediaries, for any depositary and any intermediary whose last address as shown on the books of the issuer is in Canada.

4.14 Going Private Transactions and Related Party Transactions

Securities legislation requirements relating to going private transactions and related party transactions, as those terms are used in securities legislation of the local jurisdiction, do not apply to an SEC foreign issuer carrying out a going private transaction or related party transaction if the total number of equity securities of the SEC foreign issuer owned, directly or indirectly, by residents of Canada, does not exceed 20 per cent, on a diluted basis, of the total number of equity securities of the SEC foreign issuer.

4.15 Change of Auditor

An SEC foreign issuer satisfies securities legislation requirements relating to a change of auditor if the issuer

(a) complies with the requirements of U.S. federal securities laws relating to a change of auditor; and

(b) files a copy of all materials relating to a change of auditor that are filed with or furnished to the SEC.

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4.16 Restricted Securities

(1) Securities legislation continuous disclosure requirements relating to restricted securities do not apply in respect of SEC foreign issuers.

(2) Securities legislation minority approval requirements relating to restricted securities do not apply in respect of SEC foreign issuers.

PART 5 DESIGNATED FOREIGN ISSUERS

5.1 Amendments and Supplements

Any amendments or supplements to disclosure documents filed by a designated foreign issuer under this Instrument must also be filed.

5.2 Mandatory Annual Disclosure by Designated Foreign Issuer

To rely on this Part, a designated foreign issuer must, at least once a year, disclose in, or as an appendix to, a document that it is required by foreign disclosure requirements to send to its securityholders and that it sends to its securityholders in Canada

(a) that it is a designated foreign issuer as defined in this Instrument;

(b) that it is subject to the foreign regulatory requirements of a foreign regulatory authority; and

(c) the name of the foreign regulatory authority referred to in paragraph (b).

5.3 Material Change Reporting

A designated foreign issuer is exempt from securities legislation requirements relating to disclosure of material changes if the issuer

(a) complies with foreign disclosure requirements for making public disclosure of material information on a timely basis;

(b) promptly files each news release issued by it for the purpose of complying with the requirements referred to in paragraph (a); and

(c) files the documents disclosing the material information filed with or furnished to the foreign regulatory authority or disseminated to the public or securityholders of the issuer.

5.4 Financial Statements

A designated foreign issuer satisfies securities legislation requirements relating to the preparation, approval, filing and delivery of its interim financial statements, annual financial statements and auditor’s reports on annual financial statements if it

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(a) complies with the foreign disclosure requirements relating to interim financial statements, annual financial statements and auditor’s reports on annual financial statements;

(b) files the interim financial statements, annual financial statements and auditor’s reports on annual financial statements required to be filed with or furnished to the foreign regulatory authority;

(c) complies with section 3.2 of this Instrument; and

(d) complies with NI 52-107 as it relates to financial statements of the issuer that are included in any documents specified in paragraph (b).

5.5 AIFs & MD&A

A designated foreign issuer satisfies securities legislation requirements relating to the preparation, approval, filing and delivery of AIFs and MD&A if it

(a) complies with the foreign disclosure requirements relating to annual reports, quarterly reports and management’s discussion and analysis;

(b) files each annual report, quarterly report and management’s discussion and analysis required to be filed with or furnished to the foreign regulatory authority;

(c) complies with section 3.2 of this Instrument; and

(d) complies with NI 52-107 as it relates to financial statements of the issuer that are included in any documents specified in paragraph (b).

5.6 Business Acquisition Reports

A designated foreign issuer satisfies securities legislation requirements relating to the preparation and filing of business acquisition reports if it

(a) complies with the foreign disclosure requirements relating to business acquisitions;

(b) files each report in respect of a business acquisition required to be filed with or furnished to the foreign regulatory authority;

(c) complies with section 3.2 of this Instrument; and

(d) complies with NI 52-107 as it relates to financial statements that are included in any documents specified in paragraph (b).

5.7 Proxies and Proxy Solicitation by the Issuer and Information Circulars

A designated foreign issuer satisfies securities legislation requirements relating to information circulars, proxies and proxy solicitation if it

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(a) complies with the foreign disclosure requirements relating to proxy statements, proxies and proxy solicitation;

(b) files all material relating to a meeting of securityholders that is filed with or furnished to the foreign regulatory authority;

(c) complies with section 3.2 of this Instrument; and

(d) complies with NI 52-107 as it relates to financial statements of the issuer that are included in any documents specified in paragraph (b).

5.8 Proxy Solicitation by Another Person or Company

(1) A person or company, other than the designated foreign issuer, satisfies securities legislation requirements relating to information circulars, proxies and proxy solicitation with respect to a designated foreign issuer if the person or company satisfies the requirements of section 5.7.

(2) If a proxy solicitation is made with respect to a designated foreign issuer by a person or company other than the designated foreign issuer and the person or company soliciting proxies lacks access to the relevant list of securityholders of the designated foreign issuer, the exemption in subsection (1) is not available, if

(a) the aggregate published trading volume of the class on the TSX and the TSX Venture Exchange exceeded the aggregate trading volume on securities marketplaces outside Canada

(i) for the 12 calendar months before commencement of the proxy solicitation, if there is no other proxy solicitation for securities of the same class in progress, or

(ii) for the 12 calendar month period before the commencement of the first proxy solicitation, if another proxy solicitation for securities of the same class is already in progress;

(b) the information disclosed by the designated foreign issuer in a document filed within the previous 12 months with a foreign regulatory authority, demonstrated that paragraph (a) of the definition of “foreign reporting issuer” applied to the designated foreign issuer; or

(c) the person or company soliciting proxies reasonably believes that paragraph (a) of the definition of “foreign reporting issuer” applies to the designated foreign issuer.

5.9 Disclosure of Voting Results

A designated foreign issuer is exempt from securities legislation requirements relating to disclosure of securityholder voting results if the issuer

- 806 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

(a) complies with the foreign disclosure requirements relating to disclosure of securityholder voting results; and

(b) files each report disclosing securityholder voting results that is filed with or furnished to a foreign regulatory authority.

5.10 Filing of Certain News Releases

A designated foreign issuer is exempt from securities legislation requirements relating to the filing of news releases that disclose information regarding its results of operations or financial condition if the issuer

(a) complies with the foreign disclosure requirements relating to the filing of news releases disclosing financial information; and

(b) files a copy of each news release disclosing financial information that is filed with or furnished to a foreign regulatory authority.

5.11 Filing of Certain Documents

A designated foreign issuer is exempt from securities legislation requirements relating to the filing of documents affecting the rights of securityholders and the filing of material contracts.

5.12 Early Warning

A person or company is exempt from the early warning requirements and acquisition announcement provisions of securities legislation in respect of securities of a designated foreign issuer if the person or company

(a) complies with the foreign disclosure requirements relating to reporting of beneficial ownership of equity securities of the designated foreign issuer; and

(b) files each report of beneficial ownership that is filed with or furnished to the foreign regulatory authority.

5.13 Insider Reporting

The insider reporting requirement does not apply to an insider of a designated foreign issuer if

(a) the designated foreign issuer is not a SEDI issuer; and

(b) the insider complies with the foreign disclosure requirements relating to insider reporting.

- 807 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

5.14 Communication with Beneficial Owners of Securities

A designated foreign issuer satisfies securities legislation requirements relating to communications with, delivery of materials to and conferring voting rights upon non-registered holders of its securities who hold their interests in the securities through one or more intermediaries if the issuer

(a) complies with foreign disclosure requirements relating to communication with beneficial owners of securities; and

(b) complies with the requirements of National Instrument 54-101 Communication with Beneficial Owners of Securities of a Reporting Issuer with respect to fees payable to intermediaries, for any depositary and any intermediary whose last address as shown on the books of the issuer is in Canada.

5.15 Going Private Transactions and Related Party Transactions

Securities legislation requirements relating to going private transactions and related party transactions, as those terms are used in securities legislation of the local jurisdiction, do not apply to a designated foreign issuer carrying out a going private transaction or related party transaction.

5.16 Change in Year-End

A designated foreign issuer satisfies securities legislation requirements relating to a change in year-end if the issuer

(a) complies with foreign disclosure requirements relating to a change in year-end; and

(b) files a copy of all filings made under foreign disclosure requirements relating to the change in year-end.

5.17 Change of Auditor

A designated foreign issuer satisfies securities legislation requirements relating to a change of auditor if the issuer

(a) complies with foreign disclosure requirements relating to a change of auditor; and

(b) files a copy of all filings made under foreign disclosure requirements relating to the change of auditor.

5.18 Restricted Securities

(1) Securities legislation continuous disclosure requirements relating to restricted securities do not apply in respect of designated foreign issuers.

(2) Securities legislation minority approval requirements relating to restricted securities do not apply in respect of designated foreign issuers.

- 808 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

PART 6 FOREIGN TRANSITION ISSUERS

6.1 Application

This Part only applies in Ontario.

6.2 Definition

In this section, “foreign transition issuer” means an issuer

(a) that is not incorporated or organized under the laws of Canada or a jurisdiction of Canada;

(b) that is not an SEC foreign issuer or a designated foreign issuer;

(c) that became a reporting issuer solely by listing securities on the TSX before March 30, 2004;

(d) of which the total number of securities of the class listed on the TSX registered in the names of residents of Canada does not exceed 5 per cent of the total number of issued and outstanding securities of the class; and

(e) of which the total number of holders of securities of the class listed on the TSX registered in the names of residents of Canada does not exceed 300.

6.3 Transitional Exemptions

Until January 1, 2005, a foreign transition issuer is exempt from

(a) securities legislation requirements to file business acquisition reports, AIFs and MD&A;

(b) securities legislation requirements relating to the preparation, approval and filing of annual financial statements and auditor’s reports thereon if the annual financial statements are

(i) prepared in compliance with the laws of the foreign jurisdiction of incorporation or organization of the issuer; and

(ii) filed not later than the earlier of

(A) promptly after they are filed with any other governmental agency or securities market regulatory authority; and

(B) 140 days after the end of the financial year; and

(c) securities legislation requirements relating to the preparation, approval and filing of interim financial statements, if the interim financial statements are

- 809 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

(i) prepared in compliance with the laws of the foreign jurisdiction of incorporation or organization of the issuer; and

(ii) filed not later than the earlier of

(A) promptly after they are filed with any other governmental agency or securities market regulatory authority; and

(B) 60 days after the end of the interim period.

PART 7 EFFECTIVE DATE

7.1 Effective Date

This Instrument comes into force on March 30, 2004.

Solicitor General

Designation of Qualified Technician Appointment

(Intoxilyzer 5000C)

Alberta Justice Palser, Robert John Donald

(Date of Designation February 9, 2004)

Blood Tribe Police Conner, Keewatin John

(Date of Designation February 9, 2004)

Royal Canadian Mounted Police “K” Division Anderson, Keith Gerald Baskier, Clayton Hugh Boutin, Michelle Callihoo, Malcolm Francis Collins, Leilani Ann Courage, Gordon Fredrick Earl Eamer, Christopher Ronald Elliott, Margaret Shelly Lynn Grunow, Dean Mervin Himmelman, Shane Dennis Howard, Scott Richard Kellogg, Tanya Marie Moroziuk, Andrei Russel Powder, Amber Lynn Purcka, Dean Allan Robinson, William Edward Gordon Skeoch, James William

- 810 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

Ward, Stephanie Phyllis Zanidean, Christopher Wilaid

(Date of Designation February 9, 2004)

Sustainable Resource Development

Alberta Fishery Regulations, 1998

Notice of Variation Order 47-2003

Commercial Fishing Seasons

The close times and quotas set out in Schedule 8 to the Alberta Fishery Regulations in respect of the waters listed in the Schedule to this Notice have been varied by Variation Order 47-2003 by the Director of Fisheries Management in accordance with section 3 of the Alberta Fishery Regulations.

Where fishing with gill nets is permitted during an open season established by the Order, the gill net mesh size has been specified in the Order.

Pursuant to Variation Order 47-2003 commercial fishing is permitted in accordance with the following schedule.

SCHEDULE PART 1 Item - 1. Column 1 Waters - In respect of: (103) Snipe Lake (71-19-W5) Column 2 Gear - Gill net not less than 152 mm mesh Column 3 Open Time - A. In respect of Snipe Lake excluding the following portions: - that portion within 400 m of shore: 08:00 hours February 2, 2004 to 16:00 hours February 5, 2004 B. In respect of all other waters: Closed. Column 4 Species and Quota - 1) Lake whitefish: 80,000 kg; 2) Walleye: 800 kg; 3) Yellow perch: 900 kg; 4) Northern pike: 2,000 kg; 5) Tullibee: 1 kg; 6) Lake trout: 1 kg

Column 1 Waters - In respect of: (122) Utikuma Lake (79-10-W5) Column 2 Gear - Gill net not Less than 140 mm mesh Column 3 Open Time -08:00 hours January 19, 2004 to 16:00 hours January 22, 2004; 08:00 hours February 9, 2004 to 16:00 hours February 12, 2004 Column 4 Species and Quota - 1) Lake whitefish: 100,000 kg; 2) Walleye: 500 kg; 3) Yellow perch: 500 kg; 4) Northern pike: 30,000 kg; 5) Tullibee: 3,000 kg; 6) Lake trout: 1 kg ______

- 811 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

Notice of Variation Order 48-2003

Commercial Fishing Seasons

The close times and quotas set out in Schedule 8 to the Alberta Fishery Regulations in respect of the waters listed in the Schedule to this Notice have been varied by Variation Order 48-2003 by the Director of Fisheries Management in accordance with section 3 of the Alberta Fishery Regulations.

Where fishing with gill nets is permitted during an open season established by the Order, the gill net mesh size has been specified in the Order.

Pursuant to Variation Order 48-2003 commercial fishing is permitted in accordance with the following schedule.

SCHEDULE PART 1

Item - 1. Column 1 Waters - In respect of: (49) Unnamed Lake locally known as Jumbo Lake (73-4-W4) Column 2 Gear - Gill net not less than 140 mm mesh Column 3 Open Time -08:00 hours March 16, 2004 to 16:00 hours March 17, 2004 Column 4 Species and Quota - 1) Lake whitefish: 2,100 kg; 2) Walleye: 1 kg; 3) Yellow perch: 1 kg; 4) Northern pike: 70 kg; 5) Tullibee: 1 kg; 6) Lake trout: 1 kg ______

Notice of Variation Order 49-2003

Commercial Fishing Seasons

The close times and quotas set out in Schedule 8 to the Alberta Fishery Regulations in respect of the waters listed in the Schedule to this Notice have been varied by Variation Order 49-2003 by the Director of Fisheries Management in accordance with section 3 of the Alberta Fishery Regulations.

Where fishing with gill nets is permitted during an open season established by the Order, the gill net mesh size has been specified in the Order.

Pursuant to Variation Order 49-2003 commercial fishing is permitted in accordance with the following schedule.

- 812 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

SCHEDULE PART 1

Item - 1. Column 1 Waters - In respect of: (49) Unnamed Lake locally known as Jumbo Lake (73-4-W4) Column 2 Gear - Gill net not less than 140 mm mesh Column 3 Open Time - 08:00 hours February 16, 2004 to 16:00 hours February 17, 2004 Column 4 Species and Quota - 1) Lake whitefish: 2,100 kg; 2) Walleye: 1 kg; 3) Yellow perch: 1 kg; 4) Northern pike: 70 kg; 5) Tullibee: 1 kg; 6) Lake trout: 1 kg

______

Notice of Variation Order 50-2003

Commercial Fishing Seasons

The close times and quotas set out in Schedule 8 to the Alberta Fishery Regulations in respect of the waters listed in the Schedule to this Notice have been varied by Variation Order 50-2003 by the Director of Fisheries Management in accordance with section 3 of the Alberta Fishery Regulations.

Where fishing with gill nets is permitted during an open season established by the Order, the gill net mesh size has been specified in the Order.

Pursuant to Variation Order 50-2003 commercial fishing is permitted in accordance with the following schedule.

SCHEDULE PART 1

Item - 1. Column 1 Waters - In respect of: (103) Snipe Lake (71-19-W5) Column 2 Gear - Gill net not less than 152 mm mesh Column 3 Open Time - A. In respect of Snipe Lake excluding the following portions: - that portion within 400 m of shore: 08:00 hours February 2, 2004 to 16:00 hours February 5, 2004; 08:00 hours March 1, 2004 to 16:00 hours March 4, 2004 B. In respect of all other waters: Closed. Column 4 Species and Quota - 1) Lake whitefish: 80,000 kg; 2) Walleye: 800 kg; 3) Yellow perch: 900 kg; 4) Northern pike: 2,000 kg; 5) Tullibee: 1 kg; 6) Lake trout: 1 kg

Column 1 Waters - In respect of: (122) Utikuma Lake (79-10-W5) Column 2 Gear - Gill net not Less than 140 mm mesh Column 3 Open Time - 08:00 hours January 19, 2004 to 16:00 hours January 22, 2004; 08:00 hours February 9, 2004 to 16:00 hours February 12, 2004; 08:00 hours March 15, 2004 to 16:00 hours March 18, 2004 Column 4 Species and Quota - 1) Lake whitefish: 100,000 kg; 2) Walleye: 500 kg; 3) Yellow perch: 500 kg; 4) Northern pike: 30,000 kg; 5) Tullibee: 3,000 kg; 6) Lake trout: 1 kg ______

- 813 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

Notice of Variation Order 51-2003

Commercial Fishing Seasons

The close times and quotas set out in Schedule 8 to the Alberta Fishery Regulations in respect of the waters listed in the Schedule to this Notice have been varied by Variation Order 51-2003 by the Director of Fisheries Management in accordance with section 3 of the Alberta Fishery Regulations.

Where fishing with gill nets is permitted during an open season established by the Order, the gill net mesh size has been specified in the Order.

Pursuant to Variation Order 51-2003 commercial fishing is permitted in accordance with the following schedule.

SCHEDULE PART 2

Item - 1. Column 1 Waters - In respect of: (4) Utikuma Lake (79-10-W5) Column 2 Gear - Gill net not less than 140 mm mesh Column 3 Open Time - 08:00 hours January 5, 2004 to 16:00 hours January 10, 2004; 08:00 hours March 23, 2004 to 16:00 hours March 31, 2004 Column 4 Species and Quota - 1) Lake whitefish: 100,000 kg; 2) Walleye: 500 kg; 3) Yellow perch: 500 kg; 4) Northern pike: 30,000 kg; 5) Tullibee: 3,000 kg; 6) Lake trout: 1 kg ______

Notice of Variation Order 52-2003

Commercial Fishing Seasons

The close times and quotas set out in Schedule 8 to the Alberta Fishery Regulations in respect of the waters listed in the Schedule to this Notice have been varied by Variation Order 52-2003 by the Director of Fisheries Management in accordance with section 3 of the Alberta Fishery Regulations.

Where fishing with gill nets is permitted during an open season established by the Order, the gill net mesh size has been specified in the Order.

Pursuant to Variation Order 52-2003 commercial fishing is permitted in accordance with the following schedule.

- 814 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

SCHEDULE PART 1

Item - 1. Column 1 Waters - In respect of: (13) Calling Lake (72-22-W4) Column 2 Gear - Gill net not less than 140 mm mesh Column 3 Open Time - A. In respect of Calling Lake excluding the following portions: -that portion less than less than 50 feet (16.1 m): 08:00 hours January 26, 2004 to 16:00 hours February 2, 2004; 08:00 hours February 20, 2004 to 16:00 hours February 26, 2004 B. In respect of all other waters: Closed. Column 4 Species and Quota - 1) Lake whitefish: 60,000 kg; 2) Walleye: 375 kg; 3) Yellow perch: 1,800 kg; 4) Northern pike: 1,500 kg; 5) Tullibee: 100,000 kg; 6) Lake trout: 1 kg

ADVERTISEMENTS

Irrigation Notice

Enforcement Return

(Irrigation Districts Act)

Raymond Irrigation District

Notice is hereby given that the Trial Co-ordinator, Alberta Justice, has fixed Friday, May 28, 2004 as the day on which, at 9:30 a.m., a Judge will sit at the Courthouse, 320 – 4 Street South, Lethbridge, Alberta T1J 1Z8 for the purpose of confirmation of the 2004 Enforcement Return of the Raymond Irrigation District covering charges and subsequent penalties and GST charges assessed for the year 2002.

Dated at Raymond, Alberta, February 17, 2004.

5-6 Gordon ZoBell, Manager. ______

Western Irrigation District

Notice is hereby given that a Justice of the Court of Queen’s Bench of Alberta has fixed Monday, May 17, 2004 as the day on which, at 10:00 a.m., or so soon thereafter as the application can be heard, the Court will sit in Chambers, at the Court House, 611 – 4 Street S.W., Calgary, Alberta for the purpose of confirmation of the Enforcement Return for the Western Irrigation District covering rates assessed for the year 2002 and prior years.

Dated at Strathmore, Alberta, February 24, 2004.

5-7 James Webber, General Manager.

- 815 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

Notice of Application for Private Bill

Exception to General Rule of Maternal Tort Immunity For Prenatal Wrongful Conduct Act

Notice is hereby given that a petition will be submitted to the Lieutenant Governor and the Legislative Assembly of the Province of Alberta at its next session for the passage of a Bill by Brooklyn Rewega, an infant, by her legal guardian and father Doug Rewega who hereby wish to introduce a retroactive legislative exception to the general rule of maternal tort immunity for prenatal wrongful act so that litigation may be pursued for catastrophic injuries including blindness sustained by Brooklyn Rewega arising from a motor vehicle accident which occurred on December 31, 2000.

Any person whose rights or property are materially affected by the proposed legislation may contact the Legislative Assembly in writing no later than the 15th day following the opening day of session should they wish to make a representation relevant to this application. Correspondence should be addressed to the Office of the Parliamentary Counsel, 800 Legislature Annex, 9718 – 107 Street, Edmonton, Alberta, T5K 1E4. Telephone (780) 422 – 4837. Fax (780) 427 – 0744.

Dated at Edmonton, Alberta, February 24, 2004.

Rosanna M. Saccomani, Biamonte Cairo & Shortreed LLP, 1600, 10025 – 102 A Avenue, Edmonton, AB, T5J 2Z2 (780) 425 – 5800 ______

Northwest Bible College Amendment Act

Notice is hereby given that petitions will be submitted by Northwest Bible College to the Lieutenant Governor and the Legislative Assembly of the Province of Alberta at its current session for the passage of a Bill

That:

1. The Petitioner, the Northwest Bible College, incorporated pursuant to the Northwest Bible College Act, operates a private Christian college dedicated to training men and women to serve in Christian ministry from pastors to teachers to orphanage workers. Graduates serve in Edmonton, across Canada and world-wide;

2. The Board of Directors of the Petitioner, with the ratification of the Alberta District Conference of the Pentecostal Assemblies of Canada, desires to change its name from “Northwest Bible College” to “Vanguard College”; and

3. A private bill amending the Northwest Bible College Act is being sought in order to give effect to the aforementioned change of name.

- 816 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

Any person whose rights or property are materially affected by the proposed legislation may contact the Legislative Assembly in writing no later than the 15th day following the opening day of session, or no later than 15 days following the publication of this notice, should they wish to make a representation relevant to this application. Correspondence should be addressed to the Office of Parliamentary Counsel, 800 Legislature Annex, 9718 – 107 Street, Edmonton, Alberta, T5K 1E4. Telephone (780) 422-4837. Fax (780) 427-0744.

Dated at Edmonton, Alberta, March 2, 2004.

Attn: John D. Toogood, Richards Wood Toogood, Barristers & Solicitors 940, 5555 Calgary Trail, Edmonton, AB, T6H 5P9

Notice of General Meeting

(Companies Act)

Calgary – Quebec City Echange 2000 Exchange

Calgary - Quebec City Echange 2000 Exchange is being voluntarily wound up pursuant to the Companies Act, R.S.A. 2000, c. C-21 as amended. Notice is hereby given that a general meeting of Calgary - Quebec City Echange 2000 Exchange will be held on April 27, 2004, at the office of the Liquidator at 7:00 p.m., at Suite 400, 7220 Fisher Street S.E., Calgary, Alberta ((403) 212-8990) for the purpose of laying before the meeting the account of the winding-up (showing how the winding-up has been conducted and the property of the company has been disposed of) and giving any explanation thereof.

Guy Buchanan, Liquidator. J’Val Steward, Liquidator.

Notice of Certificate of Dissolution

(Business Corporations Act)

Notice is hereby given that a Certificate of Dissolution was issued to Security Paint and Coatings Inc. on January 31, 2004.

Dated at Leduc, Alberta, January 31, 2004.

Donald Peel, Director.

- 817 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

Notice of Certificate of Intent to Dissolve

(Business Corporations Act)

Notice is hereby given that a Certificate of Intent to Dissolve was issued to Clay-Tech Industries Inc. on February 9, 2004.

Dated at Edmonton, Alberta, February 9, 2004.

Pamela Workman, Legal Assistant. ______

Inter Mountain Helecopters Ltd. Has been issued a Certificate of Intent to Dissolve under Section 212 of the Business Corporations Act (Alberta).

The Registered Office of the Corporation is: Eric Harvie Professional Corporation 213 – 111 Banff Avenue PO Box 3220 Banff, AB T1L 1C8

Dated at Banff, Alberta, February 24, 2004.

Eric Harvie, Barrister & Solicitor.

Public Sale of Land

(Municipal Government Act)

City of St. Albert

Notice is hereby given that, under the provisions of the Municipal Government Act, the City of St. Albert will offer for sale, by public auction, in the East Boardroom, Third Floor St. Albert Place, 5 St. Anne Street, St. Alberta, Alberta, on Tuesday, April 27, 2004 at 2:00 p.m. the following lands:

Item Legal Description

1 Plan 8722000;Block 4;Lot 131

2 Plan 7251KS;Block 6; Lot 36

3 Plan 3282TR; Block 7; Lot 37

4 Plan 8122926; Block 33; Lot 22

5 Plan 3795MC; Block 5; Lot 39

6 Plan 7922780; Block 14; Lot 60

- 818 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

Each parcel will be offered for sale subject to a reserve bid and to the reservations and conditions contained in the existing certificate of title.

This land is being offered for sale on an "as is, where is" basis and the City of St. Albert makes no representation and gives no warranty whatsoever as to the adequacy of services, soil conditions, land use districting, building and development conditions, absence or presence of environmental contamination, vacant possession, or the developability of the subject land for any intended use by the purchaser. No bid will be accepted where the bidder attempts to attach conditions precedent to the sale of any parcel. No terms and conditions of sale will be considered other than those specified by the City of St. Albert. The successful bidder shall be required to execute a Sale Agreement in a form and substance acceptable to the City of St. Albert. No further information is available at the auction regarding the lands to be sold.

The City of St. Albert may, after the public auction, become the owner of any parcel of land that is not sold at the public auction.

Terms: 10% deposit and balance payable within 30 days of the date of the Public Auction. G.S.T. will apply to all applicable lands

Redemption may be effected by payment of all arrears of taxes and costs at any time prior to the sale.

Dated at St. Albert, Alberta, March 3, 2004.

Kathy Williams, Director, Assessment and Taxation Services. ______

County of St. Paul No. 19

Notice is hereby given that, under the provisions of the Municipal Government Act, the County of St. Paul No. 19 will offer for sale, by public auction, in the County Office, St. Paul, Alberta, on Tuesday, May 11, 2004 at 1:30 p.m. the following lands:

Pt. of Sec. Twp. Rge. M. Acres Lot Blk. Plan C. of T. Sec.

PNE 21 55 04 4 3.93 962065970

PNE 33 56 05 4 0.50 972004009

PNE 04 57 06 4 2.77 852123018

NW 22 56 07 4 160.00 932332564

SE 23 57 07 4 160.00 862176122

PSE 20 62 10 4 11.00 1 - 0022983 002348277

PNE 36 60 12 4 2.83 74N249

NE 02 62 12 4 158.00 962013578+8

- 819 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

Ashmont Lot Block Plan C. of T.

26 2 1379CL 022435011

Heinsburg Lot Block Plan C. of T.

19 1 4950EO 982219598

19 2 4950EO 952154714

20 & 21 2 4950EO 982220464

Lindbergh Lot Block Plan C. of T.

15 – 17 1 1336EO 772060724

Laurier Lake Lot Block Plan C. of T.

8 1 8021891 932204509

Lower Therien Lot Block Plan C. of T.

28 1 7521646 012166032

29 1 7521646 012166032+1

86 2 7521646 972077027

Upper Mann Lake Lot Block Plan C. of T.

14 1 8023220 982176616

Vicent Lake Lot Block Plan C. of T.

10 2 7922083 002180805

Each parcel will be offered for sale subject to a reserve bid and to the reservations and conditions contained in the existing certificate of title.

- 820 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

This land is being offered for sale on an "as is, where is" basis and the County of St. Paul No. 19 makes no representation and gives no warranty whatsoever as to the adequacy of services, soil conditions, land use districting, building and development conditions, absence or presence of environmental contamination, or the developability of the subject land for any intended use by the purchaser.

The County of St. Paul No. 19 may, after the public auction, become the owner of any parcel of land that is not sold at the public auction.

All Bidders or their Agents must be present at the Public Auction.

Terms: Cash. The above properties may be subject to G.S.T.

Redemption may be effected by payment of all arrears of taxes and costs at any time prior to the sale.

Dated at St. Paul, Alberta, February 10, 2004.

P. Kim Heyman, County Administrator. ______

County of Wetaskiwin No. 10

Notice is hereby given that, under the provisions of the Municipal Government Act, the County of Wetaskiwin No. 10 will offer for sale, by public auction, in the County Office, Wetaskiwin, Alberta, on Tuesday, May 4, 2004 at 9:00 a.m. the following lands:

Roll # C. of T. Plan;Block;Lot Mer. Rge. Twp.Sec. Parcel or Linc Size (Acres)

793.780 752023167 3907 U;Y; 4 23 46 24 NE 1.41

1252.02 032449888 0021328;;1 4 24 47 10 NE 8.45

1418.01 902148592 4 25 45 35 NW 2.00

1444.31 762025623 365 MC;5;9 4 25 46 5 SW

1444.32 762025623 365 MC;5;10 4 25 46 5 SW

1648.01 002207584 9120655;;1 4 25 47 20 SW 17.74

1753.00 872059264 4 26 45 9 NE 160.00

1966.01 942039382 9320847;;1 4 26 46 26 NW 8.90

2592.08 762109851 7620937;1;9 4 27 48 5 SE 0.66

- 821 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

2592.63 832252584 7620937;3;53 4 27 48 5 SE 1.58

2784.16 872026353 8221631;2;16 4 28 48 12 NE 1.20

3466.01 922385888001 5 3 46 18 SE 21.96

3466.02 932307728 5 3 46 18 SE 10.62

3537.00 982023586 5 3 46 36 NW 131.68

4759.07 862163850 1057 HW;1;3 5 7 45 33 NW 0.31

4788.30 982077489 1833 KS;7;21 & 22 5 7 46 4 SE 0.35

4789.53 762149981 6055 HW;2;5 5 7 46 4 SW

4811.01 002084985 5 7 46 10 NW 10.00

4819.00 66Y141 5 7 46 12 NW 159.00

Each parcel will be offered for sale subject to a reserve bid and to the reservations and conditions contained in the existing certificate of title.

The County of Wetaskiwin No. 10 may, after the public auction, become the owner of any parcel of land that is not sold at the public auction.

Terms: 10% cash deposit and balance payable by cash or certified cheque within 48 hours.

Redemption may be effected by payment of all arrears of taxes and costs at any time prior to the date of the sale.

Dated at Wetaskiwin, Alberta, February 20, 2004.

Rod Hawken, Director of Finance. ______

Municipal District of Opportunity No. 17

Notice is hereby given that, under the provisions of the Municipal Government Act, the Municipal District of Opportunity No. 17 will offer for sale, by public auction, in the Municipal Office, Wabasca, Alberta, on Monday, May 17, 2004 at 10:00 a.m. the following lands:

Lot Block Plan C. of T. or Linc

13 832-1796 002 097 472

1 27 802-1530 002 100 715

- 822 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

8 782-3396 002 163 023

62 832-1796 012 096 578

8 6 862-0788 022 322 733

3A 1 022-6335 022 391 513 +1

10A A 892-1623 032 056 712

1 10 792-1853 802 119 469

8 10 792-0484 802 221 718

3 32 802-2049 832 161 782

1 24 792-1557 852 071 974

4 30 812-2581 852 118 449

63 832-1796 852 199 775

54 832-1796 872 096 217

2 29 802-1574 882 049 359

4 2 3280RS 882 190 558

2 8 782-2894 882 307 192

43 832-1796 892 161 935

34 832-1796 892 264 584

4 25 802-1530 902 204 021

9 31 802-2049 912 120 292

4 5 782-2894 922 032 403

5 32 802-2049 922 058 817

7 1 792-1054 922 164 295

84 832-1796 942 031 770

2 1 772-3084 942 110 296

18 832-1796 962 065 218

- 823 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

12 832-1796 962 334 991

9 11 782-2447 972 015 956

4 15 792-2533 972 060 825

44 832-1796 982 071 351

80 832-1796 982 147 497

77 832-1796 982 275 372

91 832-1796 982 275 373

90 832-1796 992 170 171

8 17 992 4463 992 197 956

12 1 862-0788 992 236 903

1 2 862-0788 992 279 262

11 16 952-5212 992 325 577

Each parcel will be offered for sale subject to a reserve bid and to the reservations and conditions contained in the existing certificate of title.

The Municipal District of Opportunity No. 17 may, after the public auction, become the owner of any parcel of land that is not sold at the public auction.

Terms: Cash or certified cheque. A deposit of $100 at the time of the sale (non- refundable); balance including GST within 10 days of the public auction.

Redemption may be effected by payment of all arrears of taxes and costs at any time prior to the sale.

Dated at Wabasca, Alberta, February, 20, 2004.

Sandra MacArthur, Assistant Manager. ______

Municipal District of Rocky View No. 44

Notice is hereby given that, under the provisions of the Municipal Government Act, the Municipal District of Rocky View No. 44 will offer for sale, by public auction, in the Municipal Office, 911 – 32 Avenue N.E., Calgary, Alberta, on Friday, May 7, 2004 at 2:00 p.m. the following lands:

- 824 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

Pt. of Sec. Sec. Twp. Rge. M. C. of T.

SW Exc Plan 12 24 27 04 001076643

SE RY 226 12 24 27 04 001247772

NW E 910’ of W2032’ of N 300’ 24 28 26 04 001266586

Lot Block Plan C. of T.

5 9312198 931299135

- 4 1144 LK 941003081

4 2 9310786 981125218

3 - 0010915 001097950

14,W84.5m - 8610664 021336206

2 1 5351 JK 811041752

- 7 7610137 981274879

- 6 7410320 001151728

- 7 9110926 911131867

1 - 0010240 001032438

- 4 7510008 771137607

Each parcel will be offered for sale subject to a reserve bid and to the reservations and conditions contained in the existing certificate of title.

The Municipal District of Rocky View No. 44 may, after the public auction, become the owner of any parcel of land that is not sold at the public auction.

Terms: Cash or certified cheque. Deposit: 10% of bid at the time of the sale. Balance: 90% of bid within 30 days of receipt by the Municipal District of Rocky View No. 44

G.S.T. applicable as per Federal Statutes.

- 825 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

Redemption may be effected by payment of all arrears of taxes and costs at any time prior to the sale.

Dated at Calgary, Alberta, February 26, 2004.

John Rop, Director of Finance and Systems. ______

Village of Heisler

Notice is hereby given that, under the provisions of the Municipal Government Act, the Village of Heisler will offer for sale, by public auction, in the Municipal Office, 128 Main Street, Heisler, Alberta, on Monday, April 26, 2004 at 10:00 a.m. the following lands:

Lot Block Plan C. of T.

10 4 1810 BQ 0010535253

1 11 8720577 0010615707

2 11 8720577 0010615699

3 11 8720577 0010615681

4 11 8720577 0010615673

5 11 8720577 0010615665

6 11 8720577 0010615658

7 11 8720577 0010615640

8 11 8720577 0010605807

9 11 8720577 0010605815

10 11 8720577 0010605823

14 10 7621690 0014458749

15 10 7621690 0014458757

16 10 7621690 0014458764

Each parcel will be offered for sale subject to a reserve bid and to the reservations and conditions contained in the existing certificate of title.

The Village of Heisler may, after the public auction, become the owner of any parcel of land that is not sold at the public auction.

- 826 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

Terms: Cash or certified cheque.

Redemption may be effected by payment of all arrears of taxes and costs at any time prior to the sale.

Dated at Heisler, Alberta, February 23, 2004.

Connie Martz, Chief Administrative Officer

- 827 -

Alberta Government Services ______Corporate Registry ______Registrar’s Periodical

THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

ALBERTA GOVERNMENT SERVICES

Corporate Registrations, Incorporations, and Continuations

(Business Corporations Act, Cemetery Companies Act, Companies Act, Co-operative Association Act, Credit Union Act, Loan and Trust Corporations Act, Religious Societies’ Land Act, Rural Utilities Act, Societies Act, Partnership Act)

10 FOLD MINISTRIES INC. Named Alberta 1088678 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 11 Registered Corporation Incorporated 2004 FEB 02 Registered Address: SUITE 188, 17008 90 AVENUE, Address: 207 - 9TH AVENUE SW, CALGARY EDMONTON ALBERTA, T5T 1L6. No: ALBERTA, T2P 2L8. No: 2010886782. 2010909519. 1088749 ALBERTA LTD. Numbered Alberta 1075119 ALBERTA INC. Numbered Alberta Corporation Incorporated 2004 FEB 04 Registered Corporation Continued In 2004 FEB 09 Registered Address: 10539 - 138 STREET, EDMONTON Address: 18932-91 AVE., EDMONTON ALBERTA, T5N 2J5. No: 2010887491. ALBERTA, T5T 5V9. No: 2010751192. 1088773 ALBERTA LTD. Numbered Alberta 1083458 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 02 Registered Corporation Incorporated 2004 FEB 02 Registered Address: 203-2 STREET NE, SUNDRE ALBERTA, Address: 9718 - 54 AVENUE, EDMONTON T0M 1X0. No: 2010887731. ALBERTA, T6E 0A9. No: 2010834584. 1088952 ALBERTA LTD. Numbered Alberta 1084763 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 02 Registered Corporation Incorporated 2004 FEB 09 Registered Address: NE 4 - 48 - 13 - W4 No: 2010889521. Address: 1413 - 2ND STREET S.W., CALGARY ALBERTA, T2R 0W7. No: 2010847636. 1089023 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 02 Registered 1084886 ALBERTA LTD. Numbered Alberta Address: 222, 1100 - 8TH AVENUE S.W., Corporation Incorporated 2004 FEB 13 Registered CALGARY ALBERTA, T2P 3T8. No: 2010890230. Address: 158 PANATELLA CIRCLE NW, CALGARY ALBERTA, T3K 5Y2. No: 1089028 ALBERTA LTD. Numbered Alberta 2010848865. Corporation Incorporated 2004 FEB 02 Registered Address: 98 - 3RD AVENUE WEST, 1084944 ALBERTA LTD. Numbered Alberta DRUMHELLER ALBERTA, T0J 0Y0. No: Corporation Incorporated 2004 FEB 10 Registered 2010890289. Address: 948 CANAVERAL CR SW, CALGARY ALBERTA, T2W 1N5. No: 2010849442. 1089088 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 01 Registered 1086173 ALBERTA LTD. Numbered Alberta Address: 525 - 2 STREET SE, MEDICINE HAT Corporation Incorporated 2004 FEB 12 Registered ALBERTA, T1A 0C5. No: 2010890883. Address: 103-14-2 AVE SE, HIGH RIVER ALBERTA, T1V 1G4. No: 2010861736. 1089089 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 01 Registered 1087323 ALBERTA LTD. Numbered Alberta Address: 525 - 2 STREET SE, MEDICINE HAT Corporation Incorporated 2004 FEB 13 Registered ALBERTA, T1A 0C5. No: 2010890891. Address: 64 HALLBROOK PLACE SW, CALGARY ALBERTA, T2V 3H9. No: 1089090 ALBERTA LTD. Numbered Alberta 2010873236. Corporation Incorporated 2004 FEB 01 Registered Address: 525 - 2 STREET SE, MEDICINE HAT 1087324 ALBERTA LTD. Numbered Alberta ALBERTA, T1A 0C5. No: 2010890909. Corporation Incorporated 2004 FEB 13 Registered Address: 158 PANATELLA CIRCLE NW, 1089091 ALBERTA LTD. Numbered Alberta CALGARY ALBERTA, T3K 5Y2. No: Corporation Incorporated 2004 FEB 01 Registered 2010873244. Address: 525 - 2 STREET SE, MEDICINE HAT ALBERTA, T1A 0C5. No: 2010890917. 1088651 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 10 Registered 1089099 ALBERTA LTD. Numbered Alberta Address: 499 - 1ST STREET, SE, MEDICINE HAT Corporation Incorporated 2004 FEB 02 Registered ALBERTA, T1A 0A7. No: 2010886519. Address: 1500, 10665 JASPER AVENUE, EDMONTON ALBERTA, T5J 3S9. No: 2010890990.

- 830 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

1089103 ALBERTA LTD. Numbered Alberta 1089206 ALBERTA CORP. Numbered Alberta Corporation Incorporated 2004 FEB 02 Registered Corporation Incorporated 2004 FEB 02 Registered Address: 576 ABBOTTSFIELD RD. NW, Address: 901, 1107 - 15 AVE SW, CALGARY EDMONTON ALBERTA, T5W 4R3. No: ALBERTA, T2R 0S8. No: 2010892061. 2010891030. 1089207 ALBERTA LTD. Numbered Alberta 1089110 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 02 Registered Corporation Incorporated 2004 FEB 02 Registered Address: #400, 603 - 7 AVENUE S.W., CALGARY Address: #204, 2635 - 37 AVENUE NE, CALGARY ALBERTA, T2P 2T5. No: 2010892079. ALBERTA, T1Y 5Z6. No: 2010891105. 1089209 ALBERTA INC. Numbered Alberta 1089121 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 02 Registered Corporation Incorporated 2004 FEB 02 Registered Address: 8402B 169 STREET, EDMONTON Address: 265, 52349 RANGE ROAD 233, ALBERTA, T5R 2W8. No: 2010892095. SHERWOOD PARK ALBERTA, T8B 1C8. No: 2010891212. 1089218 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 02 Registered 1089128 ALBERTA LTD. Numbered Alberta Address: 2351 7 AVENUE, FORT MACLEOD Corporation Incorporated 2004 FEB 02 Registered ALBERTA, T0L 0Z0. No: 2010892186. Address: 3623 23 ST NW, EDMONTON ALBERTA, T6T 1S1. No: 2010891287. 1089222 ALBERTA INC. Numbered Alberta Corporation Incorporated 2004 FEB 02 Registered 1089136 ALBERTA LTD. Numbered Alberta Address: #204 11430-168 STREET, EDMONTON Corporation Incorporated 2004 FEB 03 Registered ALBERTA, T5M 3T9. No: 2010892228. Address: 2031 SCOTIA PLACE 2, 10060 JASPER AVENUE, EDMONTON ALBERTA, T5J 3R8. No: 1089227 ALBERTA LTD. Numbered Alberta 2010891360. Corporation Incorporated 2004 FEB 03 Registered Address: SW 10-55-3 W3M No: 2010892277. 1089144 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 02 Registered 1089235 ALBERTA INC. Numbered Alberta Address: 3175, 246 STEWART GREEN SW, Corporation Incorporated 2004 FEB 02 Registered CALGARY ALBERTA, T3H 3C8. No: Address: 1412 48 ST NW, EDMONTON 2010891444. ALBERTA, T6L 6H9. No: 2010892350.

1089164 ALBERTA LTD. Numbered Alberta 1089238 ALBERTA INCORPORATED Numbered Corporation Incorporated 2004 FEB 03 Registered Alberta Corporation Incorporated 2004 FEB 02 Address: 149 PIKA PLACE, BANFF ALBERTA, Registered Address: 13 KAYBOB, FOX CREEK T1L 1B4. No: 2010891642. ALBERTA, T0H 1P0. No: 2010892384.

1089171 ALBERTA LTD. Numbered Alberta 1089241 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 02 Registered Corporation Incorporated 2004 FEB 02 Registered Address: 5013 64 AVENUE, PONOKA ALBERTA, Address: 401, 1ST STREET, BLACK DIAMOND T4J 1E2. No: 2010891717. ALBERTA, T0L 0H0. No: 2010892418.

1089181 ALBERTA LTD. Numbered Alberta 1089243 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 02 Registered Corporation Incorporated 2004 FEB 02 Registered Address: 402, 1113 - 37 STREET SW, CALGARY Address: 11901 105 A STREET, GRANDE ALBERTA, T3C 1S5. No: 2010891816. PRAIRIE ALBERTA, T8V 7N3. No: 2010892434.

1089189 ALBERTA INC. Numbered Alberta 1089256 ALBERTA INC. Numbered Alberta Corporation Incorporated 2004 FEB 02 Registered Corporation Incorporated 2004 FEB 03 Registered Address: 56225 RANGE ROAD 35 No: Address: 11 SAGE GATE S.E., MEDICINE HAT 2010891899. ALBERTA, T1B 4H5. No: 2010892566.

1089196 ALBERTA LTD. Numbered Alberta 1089268 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 02 Registered Corporation Incorporated 2004 FEB 02 Registered Address: 2500, 10303 JASPER AVENUE, Address: 152 MICHENER PARK, EDMONTON EDMONTON ALBERTA, T5J 3N6. No: ALBERTA, T6H 4M4. No: 2010892681. 2010891964. 1089275 ALBERTA LTD. Numbered Alberta 1089198 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 02 Registered Corporation Incorporated 2004 FEB 02 Registered Address: #712, 603 - 7 AVENUE S.W., CALGARY Address: 2500, 10303 JASPER AVENUE, ALBERTA, T2P 2T5. No: 2010892756. EDMONTON ALBERTA, T5J 3N6. No: 2010891980.

- 831 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

1089276 ALBERTA LTD. Numbered Alberta 1089333 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 02 Registered Corporation Incorporated 2004 FEB 03 Registered Address: 5229 14A AVE, EDMONTON ALBERTA, Address: #202B - 50TH STREET, EDSON T6L 2A4. No: 2010892764. ALBERTA, T7E 1V1. No: 2010893333.

1089278 ALBERTA LTD. Numbered Alberta 1089334 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 02 Registered Corporation Incorporated 2004 FEB 03 Registered Address: #204, 755 LAKE BONAVISTA DRIVE Address: 2806 37 AVE NW, EDMONTON SE, CALGARY ALBERTA, T2J 0N3. No: ALBERTA, T6T 1N3. No: 2010893341. 2010892780. 1089341 ALBERTA LTD. Numbered Alberta 1089279 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 03 Registered Corporation Incorporated 2004 FEB 02 Registered Address: 206, 9730 - 51 AVENUE, EDMONTON Address: 8922 103 AVE, GRANDE PRAIRIE ALBERTA, T6E 0A6. No: 2010893416. ALBERTA, T8X 1G4. No: 2010892798. 1089353 ALBERTA LTD. Numbered Alberta 1089286 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 03 Registered Corporation Incorporated 2004 FEB 02 Registered Address: 4200, 150 - 6TH AVENUE S.W., Address: 16 WOODGLEN CIRCLE SW, CALGARY ALBERTA, T2P 3Y7. No: 2010893531. CALGARY ALBERTA, T2W 4M8. No: 2010892863. 1089358 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 03 Registered 1089290 ALBERTA LTD. Numbered Alberta Address: 4020 - 17 AVENUE S.E., CALGARY Corporation Incorporated 2004 FEB 02 Registered ALBERTA, T2A 0S7. No: 2010893580. Address: 162 VALLEY GLEN HEIGHTS NW, CALGARY ALBERTA, T3B 5S5. No: 2010892905. 1089359 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 03 Registered 1089294 ALBERTA LTD. Numbered Alberta Address: 7304 - 101 AVENUE, EDMONTON Corporation Incorporated 2004 FEB 02 Registered ALBERTA, T6A 0J2. No: 2010893598. Address: 3 ARBOUR WOOD CLOSE NW, CALGARY ALBERTA, T3G 4A7. No: 1089360 ALBERTA LTD. Numbered Alberta 2010892947. Corporation Incorporated 2004 FEB 03 Registered Address: 145 SMALLWOOD STREET, FORT 1089296 ALBERTA LTD. Numbered Alberta MCMURRAY ALBERTA, T9K 2J7. No: Corporation Incorporated 2004 FEB 03 Registered 2010893606. Address: 4 BIG SPRINGS MEWS, AIRDRIE ALBERTA, T4A 1H3. No: 2010892962. 1089362 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 03 Registered 1089302 ALBERTA LTD. Numbered Alberta Address: 8308 144 AVE NW, EDMONTON Corporation Incorporated 2004 FEB 02 Registered ALBERTA, T5E 2H4. No: 2010893622. Address: 300, 333 - 11 AVENUE SW, CALGARY ALBERTA, T2R 1L9. No: 2010893028. 1089366 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 03 Registered 1089303 ALBERTA LTD. Numbered Alberta Address: BSMT 3927 12 AVE SW, CALGARY Corporation Incorporated 2004 FEB 02 Registered ALBERTA, T3C 0S9. No: 2010893663. Address: 5009 - 48TH STREET, LLOYDMINSTER ALBERTA, T9V 0H7. No: 2010893036. 1089369 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 03 Registered 1089306 ALBERTA LTD. Numbered Alberta Address: 870, 736 - 8 AVENUE SW, CALGARY Corporation Incorporated 2004 FEB 02 Registered ALBERTA, T2P 1H4. No: 2010893697. Address: 2903 151 AVE, EDMONTON ALBERTA, T5Y 2E3. No: 2010893069. 1089385 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 03 Registered 1089312 ALBERTA LTD. Numbered Alberta Address: 102, 5300 - 50 STREET, STONY PLAIN Corporation Incorporated 2004 FEB 06 Registered ALBERTA, T7Z 1T8. No: 2010893853. Address: 219 EDENWOLD DRIVE NW, CALGARY ALBERTA, T3A 3S4. No: 2010893127. 1089386 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 03 Registered 1089313 ALBERTA INC. Numbered Alberta Address: 83 MCNAB PK STREET, BROOKS Corporation Incorporated 2004 FEB 03 Registered ALBERTA, T1R 0K7. No: 2010893861. Address: 48 CHRISTIE PARK HILL SW, CALGARY ALBERTA, T3H 2E8. No: 2010893135. 1089397 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 04 Registered 1089332 ALBERTA LTD. Numbered Alberta Address: 56 PATTERSON RISE SW, CALGARY Corporation Incorporated 2004 FEB 09 Registered ALBERTA, T3H 2E3. No: 2010893978. Address: 226 MARMOT PLACE, BANFF ALBERTA, T1L 1B5. No: 2010893325.

- 832 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

1089401 ALBERTA LTD. Numbered Alberta 1089515 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 06 Registered Corporation Incorporated 2004 FEB 03 Registered Address: 3432 BULYEA CRESCENT NW, Address: 232 DEER RUN CLOSE SE, CALGARY CALGARY ALBERTA, T2L 1N7. No: 2010894018. ALBERTA, T2J 5P6. No: 2010895155.

1089416 ALBERTA LTD. Numbered Alberta 1089528 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 03 Registered Corporation Incorporated 2004 FEB 03 Registered Address: 5920 DALCASTLE DRIVE NW, Address: 244 1830 52 STREET SE, CALGARY CALGARY ALBERTA, T3A 2B3. No: ALBERTA, T2B 2Y5. No: 2010895288. 2010894166. 1089539 ALBERTA LTD. Numbered Alberta 1089417 ALBERTA INC. Numbered Alberta Corporation Incorporated 2004 FEB 03 Registered Corporation Incorporated 2004 FEB 03 Registered Address: 27 DISCOVERY RIDGE GREEN SW, Address: 1200, 1015 - 4TH STREET SW, CALGARY ALBERTA, T3H 4Y4. No: CALGARY, ALBERTA, T2R 1J4. No: 2010894174. 2010895395.

1089421 ALBERTA LTD. Numbered Alberta 1089552 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 03 Registered Corporation Incorporated 2004 FEB 04 Registered Address: 5011 - 51ST AVENUE, WHITECOURT Address: 226, 4935 - 40 AVENUE N.W., ALBERTA, T7S 1P7. No: 2010894216. CALGARY ALBERTA, T3A 2N1. No: 2010895528. 1089427 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 03 Registered 1089559 ALBERTA LTD. Numbered Alberta Address: 13919 DEER RUN BLVD. SE, Corporation Incorporated 2004 FEB 04 Registered CALGARY ALBERTA, T2J 6L3. No: 2010894273. Address: 11, 5125 - 50 AVENUE, VERMILION ALBERTA, T9X 1A8. No: 2010895593. 1089432 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 03 Registered 1089582 ALBERTA LTD. Numbered Alberta Address: #1430, 1122 - 4 STREET S.W., Corporation Incorporated 2004 FEB 04 Registered CALGARY ALBERTA, T2R 1M1. No: Address: #504, 4909 - 49 STREET, RED DEER 2010894323. ALBERTA, T4N 1V1. No: 2010895825.

1089439 ALBERTA LTD. Numbered Alberta 1089594 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 06 Registered Corporation Incorporated 2004 FEB 04 Registered Address: 50 COUNTRY HILLS LINK NW, Address: 84 HARVEST PARK WAY NE, CALGARY ALBERTA, T3K 4W4. No: CALGARY ALBERTA, T3K 4K7. No: 2010894398. 2010895940.

1089445 ALBERTA LTD. Numbered Alberta 1089606 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 03 Registered Corporation Incorporated 2004 FEB 04 Registered Address: 10611 KATERI DRIVE, GRANDE Address: 4020 39A AVENUE CLOSE, PONOKA PRAIRIE ALBERTA, T8W 2N1. No: 2010894455. ALBERTA, T4J 1B1. No: 2010896062.

1089457 ALBERTA LTD. Numbered Alberta 1089613 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 04 Registered Corporation Incorporated 2004 FEB 04 Registered Address: 10013 101 AVENUE, LACRETE Address: 1828A 42 STREET S.E., CALGARY ALBERTA, T0H 2H0. No: 2010894570. ALBERTA, T2B 1E9. No: 2010896138.

1089484 ALBERTA LTD. Numbered Alberta 1089620 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 03 Registered Corporation Incorporated 2004 FEB 04 Registered Address: 1410, 521 - 3RD AVENUE SW, Address: 1100 CANADIAN WESTERN BANK PL, CALGARY ALBERTA, T2P 3T3. No: 2010894844. 10303 JASPER AVENUE, EDMONTON ALBERTA, T5J 3N6. No: 2010896203. 1089486 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 03 Registered 1089623 ALBERTA LTD. Numbered Alberta Address: 100 OLIVER STREET, RED DEER Corporation Incorporated 2004 FEB 04 Registered ALBERTA, T4P 1V7. No: 2010894869. Address: 4701 49 ST, DRAYTON VALLEY ALBERTA, T7A 1J1. No: 2010896237. 1089487 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 03 Registered 1089625 ALBERTA LTD. Numbered Alberta Address: 48 MARION DRIVE, SHERWOOD Corporation Incorporated 2004 FEB 04 Registered PARK ALBERTA, T8A 0M1. No: 2010894877. Address: APT. 1612-605 13 AVENUE S.W., CALGARY ALBERTA, T2R 0K6. No: 1089507 ALBERTA LTD. Numbered Alberta 2010896252. Corporation Incorporated 2004 FEB 03 Registered Address: 204, 755 LAKE BONAVISTA DRIVE SE, CALGARY ALBERTA, T2J 0N3. No: 2010895072.

- 833 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

1089632 ALBERTA LTD. Numbered Alberta 1089751 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 04 Registered Corporation Incorporated 2004 FEB 04 Registered Address: SUITE 840, 840 - 6TH AVENUE S.W., Address: 111 STRADWICK RISE SW, CALGARY CALGARY ALBERTA, T2P 3E5. No: 2010896328. ALBERTA, T3H 1G7. No: 2010897516.

1089634 ALBERTA LTD. Numbered Alberta 1089756 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 04 Registered Corporation Incorporated 2004 FEB 04 Registered Address: #203, 10211-102 AVE., FORT Address: 111 STRADWICK RISE SW, CALGARY SASKATCHEWAN ALBERTA, T8L 1Y7. No: ALBERTA, T3H 1G7. No: 2010897565. 2010896344. 1089763 ALBERTA INC. Numbered Alberta 1089643 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 05 Registered Corporation Incorporated 2004 FEB 04 Registered Address: SW1/4;24;18;26;W4 No: 2010897631. Address: 223 CRYSTALRIDGE RISE, OKOTOKS ALBERTA, T0L 1T8. No: 2010896435. 1089765 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 04 Registered 1089662 ALBERTA LTD. Numbered Alberta Address: 4913 - 48 STREET, RED DEER Corporation Incorporated 2004 FEB 04 Registered ALBERTA, T4N 1S8. No: 2010897656. Address: 428 2ND STREET WEST, BROOKS ALBERTA, T1R 0E9. No: 2010896625. 1089767 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 04 Registered 1089663 ALBERTA LTD. Numbered Alberta Address: #1900, 350 - 7TH AVENUE SW, Corporation Incorporated 2004 FEB 04 Registered CALGARY ALBERTA, T2P 3N9. No: 2010897672. Address: 1500, 736 - 6TH AVENUE S.W., CALGARY ALBERTA, T2P 3T7. No: 2010896633. 1089771 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 04 Registered 1089676 ALBERTA LTD. Numbered Alberta Address: 5120 - 60 ST. CLOSE, LACOMBE Corporation Incorporated 2004 FEB 04 Registered ALBERTA, T4L 1M3. No: 2010897714. Address: 10915-137 AVE. NW, EDMONTON ALBERTA, T5E 1Z2. No: 2010896765. 1089772 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 05 Registered 1089679 ALBERTA LTD. Numbered Alberta Address: 4300 BANKERS HALL WEST, 888 - 3RD Corporation Incorporated 2004 FEB 04 Registered STREET S.W., CALGARY ALBERTA, T2P 5C5. Address: 481 SADDLECREEK WAY NE, No: 2010897722. CALGARY ALBERTA, T3J 4V4. No: 2010896799. 1089782 ALBERTA LTD. Numbered Alberta 1089686 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 04 Registered Corporation Incorporated 2004 FEB 04 Registered Address: 6136 - GATEWAY BOULEVARD, Address: #202, 4825 - 47TH STREET, RED DEER EDMONTON ALBERTA, T6H 2H8. No: ALBERTA, T4N 1R3. No: 2010896864. 2010897821.

1089696 ALBERTA LTD. Numbered Alberta 1089792 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 04 Registered Corporation Incorporated 2004 FEB 05 Registered Address: 5233 - 49 AVENUE, RED DEER Address: SUITE 520, 10655 SOUTHPORT ROAD ALBERTA, T4N 6G5. No: 2010896963. SW, CALGARY ALBERTA, T2W 4Y1. No: 2010897920. 1089712 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 04 Registered 1089799 ALBERTA LTD. Numbered Alberta Address: 11511-114 AVE., EDMONTON Corporation Incorporated 2004 FEB 05 Registered ALBERTA, T5G 0L2. No: 2010897128. Address: 113 CHAPALA CLOSE SE, CALGARY ALBERTA, T2X 2S9. No: 2010897995. 1089724 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 04 Registered 1089813 ALBERTA LTD. Numbered Alberta Address: 38 CRANWELL MANOR S.E., Corporation Incorporated 2004 FEB 05 Registered CALGARY ALBERTA, T3M 1G8. No: Address: 200, 815 - 10TH AVE. S.W., CALGARY 2010897243. ALBERTA, T2R 0B4. No: 2010898134.

1089728 ALBERTA LTD. Numbered Alberta 1089814 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 04 Registered Corporation Incorporated 2004 FEB 05 Registered Address: 4816 - 50 AVENUE, BONNYVILLE Address: 17 SCRIPPS LANDING NW, CALGARY ALBERTA, T9N 2H2. No: 2010897284. ALBERTA, T3L 1V9. No: 2010898142.

1089750 ALBERTA LTD. Numbered Alberta 1089816 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 04 Registered Corporation Incorporated 2004 FEB 05 Registered Address: 4972 - 78A STREET, RED DEER Address: 251 SOMERGLEN WAY SW, CALGARY ALBERTA, T4P 3J8. No: 2010897508. ALBERTA, T2Y 4B3. No: 2010898167.

- 834 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

1089818 ALBERTA LTD. Numbered Alberta 1089891 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 05 Registered Corporation Incorporated 2004 FEB 05 Registered Address: 1009B - 10 AVENUE SE, HIGH RIVER Address: 10630 - 114 STREET, APT 103, ALBERTA, T1V 1L3. No: 2010898183. EDMONTON ALBERTA, T5H 3J9. No: 2010898910. 1089822 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 05 Registered 1089896 ALBERTA LTD. Numbered Alberta Address: 307 - 1 STREET E., COCHRANE Corporation Incorporated 2004 FEB 05 Registered ALBERTA, T4C 1B6. No: 2010898225. Address: 127 HAWKSBROW DRIVE NW, CALGARY ALBERTA, T3G 3C2. No: 1089845 ALBERTA LTD. Numbered Alberta 2010898969. Corporation Incorporated 2004 FEB 05 Registered Address: +15 LEVEL, #230, 510-5TH ST S.W., 1089897 ALBERTA INC. Numbered Alberta CALGARY ALBERTA, T2P 3S2. No: 2010898456. Corporation Incorporated 2004 FEB 05 Registered Address: 310 7004 149 AVE, EDMONTON 1089848 ALBERTA LTD. Numbered Alberta ALBERTA, T5C 2V3. No: 2010898977. Corporation Incorporated 2004 FEB 06 Registered Address: 8535 - 48 AVENUE N.W., CALGARY 1089900 ALBERTA LTD. Numbered Alberta ALBERTA, T3B 2B1. No: 2010898480. Corporation Incorporated 2004 FEB 05 Registered Address: 55 AMHERST CRES., ST. ALBERT 1089851 ALBERTA INC. Numbered Alberta ALBERTA, T8N 2P7. No: 2010899009. Corporation Incorporated 2004 FEB 05 Registered Address: 45 DOVERVILLE WAY SE, CALGARY 1089901 ALBERTA LTD. Numbered Alberta ALBERTA, T2B 2N6. No: 2010898514. Corporation Incorporated 2004 FEB 05 Registered Address: 107 STRICKLAND BAY SW, CALGARY 1089854 ALBERTA LTD. Numbered Alberta ALBERTA, T3H 1T4. No: 2010899017. Corporation Incorporated 2004 FEB 05 Registered Address: 217-14925 111 AVE, EDMONTON 1089902 ALBERTA LTD. Numbered Alberta ALBERTA, T5M 2P6. No: 2010898548. Corporation Incorporated 2004 FEB 05 Registered Address: 265- 13 STREET NORTH, LETHBRIDGE 1089862 ALBERTA LTD. Numbered Alberta ALBERTA, T1H 2R6. No: 2010899025. Corporation Incorporated 2004 FEB 05 Registered Address: 306 CRAWFORD CLOSE, COCHRANE 1089911 ALBERTA LTD. Numbered Alberta ALBERTA, T4C2G6. No: 2010898621. Corporation Incorporated 2004 FEB 05 Registered Address: 5226 - 50 AVENUE, ST. PAUL 1089868 ALBERTA LTD. Numbered Alberta ALBERTA, T0A 3A0. No: 2010899116. Corporation Incorporated 2004 FEB 05 Registered Address: 418, 715 - 5 AVENUE S.W., CALGARY 1089915 ALBERTA LTD. Numbered Alberta ALBERTA, T2P 2X6. No: 2010898688. Corporation Incorporated 2004 FEB 05 Registered Address: 5133 - 49 STREET, ROCKY MOUNTAIN 1089871 ALBERTA LTD. Numbered Alberta HOUSE ALBERTA, T4T 1B8. No: 2010899157. Corporation Incorporated 2004 FEB 06 Registered Address: 900, 521 - 3RD AVENUE S.W., 1089920 ALBERTA LTD. Numbered Alberta CALGARY ALBERTA, T2P 3T3. No: 2010898712. Corporation Incorporated 2004 FEB 05 Registered Address: 10957 124 ST NW, EDMONTON 1089880 ALBERTA LTD. Numbered Alberta ALBERTA, T5M 0H9. No: 2010899207. Corporation Incorporated 2004 FEB 05 Registered Address: 8343 - 33 AVENUE NW, CALGARY 1089922 ALBERTA LTD. Numbered Alberta ALBERTA, T3B 1L5. No: 2010898803. Corporation Incorporated 2004 FEB 05 Registered Address: 7904 GATEWAY BOULEVARD, 1089882 ALBERTA LTD. Numbered Alberta EDMONTON ALBERTA, T6E 6C3. No: Corporation Incorporated 2004 FEB 05 Registered 2010899223. Address: 473, 78TH AVE NE, CALGARY ALBERTA, T2K 5A1. No: 2010898829. 1089928 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 05 Registered 1089886 ALBERTA LTD. Numbered Alberta Address: 818 KLARVATTEN CLOSE NW, Corporation Incorporated 2004 FEB 05 Registered EDMONTON ALBERTA, T5Z 3G6. No: Address: 10325-162 STREET, EDMONTON 2010899280. ALBERTA, T5P 3M1. No: 2010898860. 1089929 ALBERTA LTD. Numbered Alberta 1089889 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 05 Registered Corporation Incorporated 2004 FEB 05 Registered Address: #58056, 12621 - 118 AVENUE, Address: 218 CANOE DRIVE S.W., AIRDRIE EDMONTON ALBERTA, T5R 4Z4. No: ALBERTA, T4B 2N8. No: 2010898894. 2010899298.

- 835 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

1089931 ALBERTA LTD. Numbered Alberta 1089992 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 10 Registered Corporation Incorporated 2004 FEB 05 Registered Address: #2, 5268 MEMORIAL DR NE, Address: 113, 9706 90TH STREET, ALBERTA, T2A 2R1. No: SASKATCHEWAN ALBERTA, T8L 1K6. No: 2010899314. 2010899926.

1089942 ALBERTA LTD. Numbered Alberta 1089995 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 05 Registered Corporation Incorporated 2004 FEB 05 Registered Address: 400, 10525 - 170 STREET, EDMONTON Address: 108 THE BRICK PLAZA, 920 2A AVE ALBERTA, T5P 4W2. No: 2010899421. NORTH, LETHBRIDGE ALBERTA, T1H 0E3. No: 2010899959. 1089957 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 05 Registered 1089998 ALBERTA LTD. Numbered Alberta Address: 400, 10525 - 170 STREET, EDMONTON Corporation Incorporated 2004 FEB 05 Registered ALBERTA, T5P 4W2. No: 2010899579. Address: 108 THE BRICK PLAZA, 920 2A AVE NORTH, LETHBRIDGE ALBERTA, T1H 0E3. No: 1089968 ALBERTA LTD. Numbered Alberta 2010899983. Corporation Incorporated 2004 FEB 05 Registered Address: 108 THE BRICK PLAZA, 920 2A AVE 1090004 ALBERTA LTD. Numbered Alberta NORTH, LETHBRIDGE ALBERTA, T1H 0E3. No: Corporation Incorporated 2004 FEB 05 Registered 2010899686. Address: 310 KINGSWAY GARDEN MALL, EDMONTON ALBERTA, T5G 3A6. No: 1089969 ALBERTA LTD. Numbered Alberta 2010900047. Corporation Incorporated 2004 FEB 05 Registered Address: RR 3, SITE 4, BOX 1, INNISFAIL 1090006 ALBERTA LTD. Numbered Alberta ALBERTA, T4G 1T8. No: 2010899694. Corporation Incorporated 2004 FEB 05 Registered Address: 5124 MARIAN RD NE, CALGARY 1089970 ALBERTA LTD. Numbered Alberta ALBERTA, T2A 2Y2. No: 2010900062. Corporation Incorporated 2004 FEB 05 Registered Address: 11 FOXHAVEN CRESCENT, 1090028 ALBERTA LTD. Numbered Alberta SHERWOOD PARK ALBERTA, Y8A 6B8. No: Corporation Incorporated 2004 FEB 06 Registered 2010899702. Address: 108, 1235 SOUTHVIEW DRIVE SE, MEDICINE HAT ALBERTA, T1B 4K3. No: 1089971 ALBERTA LTD. Numbered Alberta 2010900286. Corporation Incorporated 2004 FEB 05 Registered Address: 200, 5019 50 STREET, LLOYDMINSTER 1090041 ALBERTA LTD. Numbered Alberta ALBERTA, T9V 0L9. No: 2010899710. Corporation Incorporated 2004 FEB 06 Registered Address: 712 HIGHFIELD PLACE, 10010 - 106 1089979 ALBERTA LTD. Numbered Alberta STREET, EDMONTON ALBERTA, T5J 3L8. No: Corporation Incorporated 2004 FEB 06 Registered 2010900419. Address: 311 RANCH RIDGE COURT NW, CALGARY ALBERTA, T3G 1W6. No: 1090046 ALBERTA LTD. Numbered Alberta 2010899793. Corporation Incorporated 2004 FEB 06 Registered Address: #108, 2841 - 109 STREET, EDMONTON 1089980 ALBERTA INC. Numbered Alberta ALBERTA, T6J 6B7. No: 2010900468. Corporation Incorporated 2004 FEB 05 Registered Address: 12846 70 ST NW, EDMONTON 1090052 ALBERTA LTD. Numbered Alberta ALBERTA, T8C 0J8. No: 2010899801. Corporation Incorporated 2004 FEB 06 Registered Address: #108, 2841 - 109 STREET, EDMONTON 1089985 ALBERTA LTD. Numbered Alberta ALBERTA, T6J 6B7. No: 2010900526. Corporation Incorporated 2004 FEB 06 Registered Address: 311 RANCH RIDGE COURT NE, 1090055 ALBERTA LTD. Numbered Alberta CALGARY ALBERTA, T3G 1W6. No: Corporation Incorporated 2004 FEB 06 Registered 2010899850. Address: #200, 2120 - 4 STREET S.W., CALGARY ALBERTA, T2S 1W7. No: 2010900559. 1089986 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 05 Registered 1090067 ALBERTA LTD. Numbered Alberta Address: #1, 3295 DUNMORE DOAD S.E., Corporation Incorporated 2004 FEB 06 Registered MEDICINE HAT ALBERTA, T1B 3R2. No: Address: NW 35 34 27 W4 No: 2010900674. 2010899868. 1090069 ALBERTA LIMITED Numbered Alberta 1089990 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 06 Registered Corporation Incorporated 2004 FEB 05 Registered Address: 2243- 24 STREET SE, MEDICINE HAT Address: 314 3 STREET SOUTH, LETHBRIDGE ALBERTA, T1B 1A8. No: 2010900690. ALBERTA, T1J 1Y9. No: 2010899900.

- 836 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

1090070 ALBERTA LTD. Numbered Alberta 1090136 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 06 Registered Corporation Incorporated 2004 FEB 06 Registered Address: 55 HAMILTON CRT. N.E., MEDICINE Address: 9902 - 97 AVENUE, PEACE RIVER HAT ALBERTA, T1C 1J2. No: 2010900708. ALBERTA, T8S 1H6. No: 2010901367.

1090072 ALBERTA LTD. Numbered Alberta 1090137 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 10 Registered Corporation Incorporated 2004 FEB 06 Registered Address: 268, 1632 14 AVE NW, CALGARY Address: 49 52252 RR 512, SHERWOOD PARK ALBERTA, T2N 1M7. No: 2010900724. ALBERTA, T8E 1B7. No: 2010901375.

1090076 ALBERTA LTD. Numbered Alberta 1090153 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 06 Registered Corporation Incorporated 2004 FEB 06 Registered Address: 4804-51 STREET, FORESTBURG Address: 373 MCKINLAY CRESCENT, FORT ALBERTA, T0B 1N0. No: 2010900765. MCMURRAY ALBERTA, T9K 2N1. No: 2010901532. 1090088 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 06 Registered 1090154 ALBERTA LTD. Numbered Alberta Address: NW-12-54-17W5M No: 2010900880. Corporation Incorporated 2004 FEB 06 Registered Address: 9112 94 AVE., FORT SASKATCHEWAN 1090089 ALBERTA INC. Numbered Alberta ALBERTA, T8L 1B7. No: 2010901540. Corporation Incorporated 2004 FEB 06 Registered Address: 320 CEDARILLE CRES SW, CALGARY 1090156 ALBERTA LTD. Numbered Alberta ALBERTA, T2W 2H7. No: 2010900898. Corporation Incorporated 2004 FEB 06 Registered Address: 146 WOODSTOCK NW, EDMONTON 1090100 ALBERTA LTD. Numbered Alberta ALBERTA, T5T 0H6. No: 2010901565. Corporation Incorporated 2004 FEB 06 Registered Address: 25 RIVERGREEN CRES. S.E., 1090162 ALBERTA LTD. Numbered Alberta CALGARY ALBERTA, T2C 3V5. No: Corporation Incorporated 2004 FEB 06 Registered 2010901003. Address: 428 52 AVE SW, CALGARY ALBERTA, T2V 0A9. No: 2010901623. 1090106 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 06 Registered 1090163 ALBERTA LTD. Numbered Alberta Address: 6767-164 AVE., EDMONTON Corporation Incorporated 2004 FEB 06 Registered ALBERTA, T5Z 3M6. No: 2010901060. Address: 523 DUNLUCE RD., EDMONTON ALBERTA, T5X 4P4. No: 2010901631. 1090110 ALBERTA INC. Numbered Alberta Corporation Incorporated 2004 FEB 06 Registered 1090166 ALBERTA LTD. Numbered Alberta Address: 66 ROSEWOOD DRIVE, SHERWOOD Corporation Incorporated 2004 FEB 06 Registered PARK ALBERTA, T8A 0L9. No: 2010901102. Address: 2445-10180 101 ST NW, EDMONTON ALBERTA, T5J 3S4. No: 2010901664. 1090111 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 06 Registered 1090167 ALBERTA LTD. Numbered Alberta Address: 101, 431 - 1 AVENUE NE, CALGARY Corporation Incorporated 2004 FEB 06 Registered ALBERTA, T2E 0B3. No: 2010901110. Address: 10149 83 AVE # 404, EDMONTON ALBERTA, T6E 2C5. No: 2010901672. 1090118 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 06 Registered 1090171 ALBERTA LTD. Numbered Alberta Address: 3201, 47TH GRIER PLACE NE, Corporation Incorporated 2004 FEB 06 Registered CALGARY ALBERTA, T2K 5X5. No: Address: 11208 - 122 STREET, EDMONTON 2010901185. ALBERTA, T5M 0B7. No: 2010901714.

1090121 ALBERTA LTD. Numbered Alberta 1090180 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 06 Registered Corporation Incorporated 2004 FEB 06 Registered Address: 701 ALEXANDER CRESCENT N.W., Address: 200,815-10TH AVENUE, S.W., CALGARY ALBERTA, T2M 4B8. No: CALGARY ALBERTA, T2R 0B4. No: 2010901805. 2010901219. 1090183 ALBERTA LTD. Numbered Alberta 1090129 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 10 Registered Corporation Incorporated 2004 FEB 06 Registered Address: 1750, 10020-101 A AVENUE, Address: 14143-127 ST., EDMONTON ALBERTA, EDMONTON ALBERTA, T5J 3G2. No: T6V 1E7. No: 2010901292. 2010901839.

1090135 ALBERTA LTD. Numbered Alberta 1090206 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 06 Registered Corporation Incorporated 2004 FEB 06 Registered Address: 4410 - 51 STREET, BEAUMONT Address: #2 - 12706 - 117 AVE, EDMONTON ALBERTA, T4X 1C7. No: 2010901359. ALBERTA, T5M 3H1. No: 2010902068.

- 837 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

1090211 ALBERTA LTD. Numbered Alberta 1090296 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 10 Registered Corporation Incorporated 2004 FEB 09 Registered Address: 200, 9914 MORRISON STREET, FORT Address: 116 BROOKGREEN DR SW, CALGARY MCMURRAY ALBERTA, T9H 4A4. No: ALBERTA, T2W 2T8. No: 2010902969. 2010902118. 1090298 ALBERTA LTD. Numbered Alberta 1090213 ALBERTA LIMITED Numbered Alberta Corporation Incorporated 2004 FEB 09 Registered Corporation Incorporated 2004 FEB 06 Registered Address: #310, 2891 SUNRIDGE WAY N.E., Address: 10 64 3RD ST SE, MEDICINE HAT CALGARY ALBERTA, T1Y 7K7. No: ALBERTA, T1A 0G2. No: 2010902134. 2010902985.

1090218 ALBERTA INC. Numbered Alberta 1090301 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 06 Registered Corporation Incorporated 2004 FEB 09 Registered Address: 907 33A STREET NW, CALGARY Address: 3000, 237 - 4 AVENUE SW, CALGARY ALBERTA, T2N 2X4. No: 2010902183. ALBERTA, T2P 4X7. No: 2010903017.

1090233 ALBERTA LTD. Numbered Alberta 1090304 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 07 Registered Corporation Incorporated 2004 FEB 09 Registered Address: 11433 89 ST NW, EDMONTON Address: 106 PANORAMA HILLS CLOSE NW, ALBERTA, T5B 3T7. No: 2010902332. CALGARY ALBERTA, T3K 5J2. No: 2010903041.

1090236 ALBERTA LTD. Numbered Alberta 1090315 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 07 Registered Corporation Incorporated 2004 FEB 09 Registered Address: 4120 47 AVE, DRAYTON VALLEY Address: #109, 1602-11 AVENUE S.W., ALBERTA, T7A 1E8. No: 2010902365. CALGARY ALBERTA, T3C 0N2. No: 2010903157. 1090240 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 07 Registered 1090316 ALBERTA LTD. Numbered Alberta Address: 160 - 17010 90TH AVENUE, Corporation Incorporated 2004 FEB 09 Registered EDMONTON ALBERTA, T5T 1L6. No: Address: 303-9811 34 AVE NW, EDMONTON 2010902407. ALBERTA, T6E 5X9. No: 2010903165.

1090250 ALBERTA LTD. Numbered Alberta 1090320 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 07 Registered Corporation Incorporated 2004 FEB 09 Registered Address: 11161 66 ST, EDMONTON ALBERTA, Address: SE 14 36 21 W4 No: 2010903207. T5B 1H1. No: 2010902506. 1090335 ALBERTA LTD. Numbered Alberta 1090267 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 09 Registered Corporation Incorporated 2004 FEB 09 Registered Address: 1919-12 AVENUE S.W., CALGARY Address: 3806 ELBOW DRIVE SW, CALGARY ALBERTA, T3C 0R9. No: 2010903355. ALBERTA, T2S 2J8. No: 2010902670. 1090342 ALBERTA LTD. Numbered Alberta 1090269 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 09 Registered Corporation Incorporated 2004 FEB 09 Registered Address: 200, 2882- 11TH STREET NE, Address: 51 ARBOR CRESCENT, ST. ALBERT CALGARY ALBERTA, T2E 7S7. No: 2010903421. ALBERTA, T8N 2T8. No: 2010902696. 1090348 ALBERTA LTD. Numbered Alberta 1090272 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 09 Registered Corporation Incorporated 2004 FEB 09 Registered Address: 1919-12 AVENUE S.W., CALGARY Address: 9931-106 AVENUE, GRANDE PRAIRIE ALBERTA, T3C 0R9. No: 2010903488. ALBERTA, T8V 1J4. No: 2010902720. 1090350 ALBERTA LTD. Numbered Alberta 1090274 ALBERTA INC. Numbered Alberta Corporation Incorporated 2004 FEB 09 Registered Corporation Incorporated 2004 FEB 10 Registered Address: 2720 1 ST NE, CALGARY ALBERTA, Address: 1230, 340 - 12 AVENUE SW, CALGARY T2E 3C4. No: 2010903504. ALBERTA, T2R 1L5. No: 2010902746. 1090352 ALBERTA LTD. Numbered Alberta 1090288 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 09 Registered Corporation Incorporated 2004 FEB 09 Registered Address: 5344 39 STREET CRESENT, INNISFAIL Address: 23 WESTMINSTER PLACE, CALGARY ALBERTA, T4G 1G1. No: 2010903520. ALBERTA, T3C 2S8. No: 2010902886. 1090354 ALBERTA LTD. Numbered Alberta 1090294 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 09 Registered Corporation Incorporated 2004 FEB 09 Registered Address: 3000, 237 - 4 AVENUE SW, CALGARY Address: 4818 - 46 STREET, OLDS ALBERTA, ALBERTA, T2P 4X7. No: 2010903546. T4H 1A3. No: 2010902944.

- 838 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

1090368 ALBERTA LTD. Numbered Alberta 1090440 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 09 Registered Corporation Incorporated 2004 FEB 09 Registered Address: 30 GLENWOOD CRESCENT, STONY Address: 13004-141C AVE., EDMONTON PLAIN ALBERTA, T7Z 1A3. No: 2010903686. ALBERTA, T6V 1R5. No: 2010904403.

1090373 ALBERTA LTD. Numbered Alberta 1090441 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 10 Registered Corporation Incorporated 2004 FEB 09 Registered Address: 3039 OAKMOOR DR SW, CALGARY Address: #1607, 825 - 8TH AVENUE S.W., ALBERTA, T2V 3Z6. No: 2010903736. CALGARY ALBERTA, T2P 2T3. No: 2010904411.

1090374 ALBERTA LTD. Numbered Alberta 1090443 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 09 Registered Corporation Incorporated 2004 FEB 09 Registered Address: NE-33-70-24-W5, VALLEYVIEW Address: 30 SARATOGA CLOSE N.E., CALGARY ALBERTA, T0H 3N0. No: 2010903744. ALBERTA, T3J 6Z9. No: 2010904437.

1090377 ALBERTA LTD. Numbered Alberta 1090444 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 09 Registered Corporation Incorporated 2004 FEB 09 Registered Address: 10402 - 155 STREET, EDMONTON Address: 230 - MT DOUGLAS CIRCLE SE, ALBERTA, T5P 2M3. No: 2010903777. CALGARY ALBERTA, T2Z 3P1. No: 2010904445.

1090378 ALBERTA LTD. Numbered Alberta 1090450 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 09 Registered Corporation Incorporated 2004 FEB 09 Registered Address: 17731 - 103 AVENUE, EDMONTON Address: 2733 - 17A STREET NW, CALGARY ALBERTA, T5S 1N8. No: 2010903785. ALBERTA, T2M 3S9. No: 2010904502.

1090382 ALBERTA LTD. Numbered Alberta 1090453 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 09 Registered Corporation Incorporated 2004 FEB 09 Registered Address: RR 1, 24453 TWP RD 510, BEAUMONT Address: 105 CHAPALA GROVE S.E., CALGARY ALBERTA, T6H 4W6. No: 2010903827. ALBERTA, T2X 3V5. No: 2010904536.

1090389 ALBERTA LTD. Numbered Alberta 1090463 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 09 Registered Corporation Incorporated 2004 FEB 09 Registered Address: 3116 - 41 STREET SW, CALGARY Address: 10263-178 STREET, EDMONTON ALBERTA, T3E 3L1. No: 2010903892. ALBERTA, T5S 1M3. No: 2010904635.

1090394 ALBERTA LTD. Numbered Alberta 1090472 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 09 Registered Corporation Incorporated 2004 FEB 09 Registered Address: 10747-112 STREET, EDMONTON Address: 11528 14A AVENUE, EDMONTON ALBERTA, T5H 3H2. No: 2010903942. ALBERTA, T6J 7B8. No: 2010904726.

1090395 ALBERTA LTD. Numbered Alberta 1090488 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 10 Registered Corporation Incorporated 2004 FEB 09 Registered Address: 612 CORAL SPRINGS BLVD. NE, Address: 8603 104 ST NW, EDMONTON CALGARY ALBERTA, T3J 3W7. No: 2010903959. ALBERTA, T6E 4G6. No: 2010904882.

1090404 ALBERTA LTD. Numbered Alberta 1090489 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 09 Registered Corporation Incorporated 2004 FEB 09 Registered Address: 200, 410 - 6 STREET S.W., CALGARY Address: 5415-49TH AVENUE, ALIX ALBERTA, ALBERTA, T2P 1X2. No: 2010904049. T0C 0B0. No: 2010904890.

1090426 ALBERTA LTD. Numbered Alberta 1090501 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 10 Registered Corporation Incorporated 2004 FEB 09 Registered Address: 23 - 175 MANORA PLACE NE, Address: 353 WESTRIDGE ROAD NW, CALGARY ALBERTA, T2A 5P7. No: 2010904262. EDMONTON ALBERTA, T5T 1C4. No: 2010905012. 1090434 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 09 Registered 1090506 ALBERTA LTD. Numbered Alberta Address: 2500, 10303 JASPER AVENUE, Corporation Incorporated 2004 FEB 10 Registered EDMONTON ALBERTA, T5J 3N6. No: Address: 201, 10836 - 24TH STREET SE, 2010904346. CALGARY ALBERTA, T2Z 4C9. No: 2010905061.

1090437 ALBERTA INCORPORATED Numbered 1090508 ALBERTA LTD. Numbered Alberta Alberta Corporation Incorporated 2004 FEB 09 Corporation Incorporated 2004 FEB 09 Registered Registered Address: 1714A 16 ST NW, CALGARY Address: 323 SIENNA PARK BAY SW, ALBERTA, T2N 3M9. No: 2010904379. CALGARY ALBERTA, T3H 4T1. No: 2010905087.

- 839 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

1090511 ALBERTA LTD. Numbered Alberta 1090623 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 10 Registered Corporation Incorporated 2004 FEB 10 Registered Address: 201, 10836 - 24 STREET SE, CALGARY Address: 28 MAIDSTONE PLACE NE, CALGARY ALBERTA, T2Z 4C9. No: 2010905111. ALBERTA, T2A 4A2. No: 2010906234.

1090514 ALBERTA LTD. Numbered Alberta 1090625 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 10 Registered Corporation Incorporated 2004 FEB 10 Registered Address: 200, 9803-101 AVENUE, GRANDE Address: 2500, 10123 - 99 STREET, EDMONTON PRAIRIE ALBERTA, T8V 0X6. No: 2010905145. ALBERTA, T5J 3H1. No: 2010906259.

1090527 ALBERTA LTD. Numbered Alberta 1090649 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 10 Registered Corporation Incorporated 2004 FEB 10 Registered Address: 11308 LENARD STREET, GRANDE Address: 231 MT SELKIRK CLOSE SE, CACHE ALBERTA, T0E 0Y0. No: 2010905277. CALGARY ALBERTA, T2Z 2P8. No: 2010906499.

1090544 ALBERTA LTD. Numbered Alberta 1090652 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 10 Registered Corporation Incorporated 2004 FEB 10 Registered Address: 1413 - 2ND STREET S.W., CALGARY Address: N 1/2 29 40 28 W4 No: 2010906523. ALBERTA, T2R 0W7. No: 2010905442. 1090654 ALBERTA LIMITED Numbered Alberta 1090546 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 10 Registered Corporation Incorporated 2004 FEB 10 Registered Address: 3 AVE W, 4 STREET N, GLENWOOD Address: #903, 1333 - 8TH STREET S.W., ALBERTA, T0K 2R0. No: 2010906549. CALGARY ALBERTA, T2R 1M6. No: 2010905467. 1090664 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 10 Registered 1090553 ALBERTA LTD. Numbered Alberta Address: 23 CORAL SPRINGS BLVD NE, Corporation Incorporated 2004 FEB 10 Registered CALGARY ALBERTA, T3J 4J1. No: 2010906648. Address: #104, 830 - 8 STREET, CANMORE ALBERTA, T1W 2B7. No: 2010905533. 1090674 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 10 Registered 1090565 ALBERTA LTD. Numbered Alberta Address: 405 CASSILS ROAD WEST, BROOKS Corporation Incorporated 2004 FEB 11 Registered ALBERTA, T1R 0W1. No: 2010906747. Address: 203, 136 - 17 AVENUE NE, CALGARY ALBERTA, T2E 1L6. No: 2010905657. 1090685 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 10 Registered 1090567 ALBERTA LTD. Numbered Alberta Address: NW 20, 64, 19, W4 No: 2010906853. Corporation Incorporated 2004 FEB 10 Registered Address: 1413 - 2 STREET S.W., CALGARY 1090691 ALBERTA LTD. Numbered Alberta ALBERTA, T2R 0W7. No: 2010905673. Corporation Incorporated 2004 FEB 11 Registered Address: 2401 TD TOWER, 10088 102 AVENUE, 1090585 ALBERTA INC. Numbered Alberta EDMONTON ALBERTA, T5J 2Z1. No: Corporation Incorporated 2004 FEB 10 Registered 2010906911. Address: #500, 10150 - 100 STREET, EDMONTON ALBERTA, T5J OP6. No: 2010905855. 1090698 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 10 Registered 1090586 ALBERTA LTD. Numbered Alberta Address: 3535 105B STREET, EDMONTON Corporation Incorporated 2004 FEB 10 Registered ALBERTA, T6J 2K9. No: 2010906986. Address: 2159 BRENNAN CRES, EDMONTON ALBERTA, T5T 6R8. No: 2010905863. 1090718 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 10 Registered 1090597 ALBERTA LTD. Numbered Alberta Address: 10605 - 172 STREET, EDMONTON Corporation Incorporated 2004 FEB 11 Registered ALBERTA, T5S 1P1. No: 2010907182. Address: 16 PROMINANCE VIEW, CALGARY ALBERTA, T3H 3M8. No: 2010905970. 1090720 ALBERTA INC. Numbered Alberta Corporation Incorporated 2004 FEB 10 Registered 1090600 ALBERTA LTD. Numbered Alberta Address: 1200, 700 - 2ND STREET S.W., Corporation Incorporated 2004 FEB 10 Registered CALGARY ALBERTA, T2P 4V5. No: 2010907208. Address: 1741 - 170 STREET SW, EDMONTON ALBERTA, T6W 1A6. No: 2010906002. 1090734 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 10 Registered 1090617 ALBERTA LTD. Numbered Alberta Address: 203, 200 BARCLAY PARADE SW, Corporation Incorporated 2004 FEB 13 Registered CALGARY ALBERTA, T2P 4R5. No: 2010907349. Address: 1600-WEST EDMONTON MALL, EDMONTON ALBERTA, T5T 4M2. No: 2010906176.

- 840 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

1090740 ALBERTA LTD. Numbered Alberta 1090786 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 11 Registered Corporation Incorporated 2004 FEB 11 Registered Address: 9544 163 STREET, EDMONTON Address: C/O WRIGHT LAW OFFICE, 945-37 ALBERTA, T5P 3M7. No: 2010907406. STREET SW, CALGARY ALBERTA, T3C 1S4. No: 2010907869. 1090754 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 10 Registered 1090787 ALBERTA LTD. Numbered Alberta Address: 413, 1333 - 8TH STREET SW, Corporation Incorporated 2004 FEB 11 Registered CALGARY ALBERTA, T2R 1M6. No: Address: 5520 53 AVE, LACOMBE ALBERTA, 2010907547. T4L 1L3. No: 2010907877.

1090756 ALBERTA LTD. Numbered Alberta 1090790 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 10 Registered Corporation Incorporated 2004 FEB 10 Registered Address: 701 ALEXANDER CRESCENT N.W., Address: 2415 ERLTON STREET SW, CALGARY CALGARY ALBERTA, T2M 4B8. No: ALBERTA, T2S 2V9. No: 2010907901. 2010907562. 1090798 ALBERTA LTD. Numbered Alberta 1090757 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 10 Registered Corporation Incorporated 2004 FEB 11 Registered Address: 48 ARBOUR WOOD CLOSE NW, Address: 5204 86 ST NW, EDMONTON CALGARY ALBERTA, T3G 4A8. No: ALBERTA, T6E 5J6. No: 2010907570. 2010907984.

1090769 ALBERTA LTD. Numbered Alberta 1090806 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 10 Registered Corporation Incorporated 2004 FEB 11 Registered Address: #232 6503-51 STREET, COLD LAKE Address: C/O NEIL LAW, 10511 ALBERTA, T9M 1C8. No: 2010907695. SASKATCHEWAN DRIVE, EDMONTON ALBERTA, T6E 4S1. No: 2010908065. 1090770 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 10 Registered 1090840 ALBERTA LTD. Numbered Alberta Address: 701 ALEXANDER CRESCENT N.W., Corporation Incorporated 2004 FEB 11 Registered CALGARY ALBERTA, T2M 4B8. No: Address: C/O CAMERON & HANKINSON P.C. 2010907703. 302, 9811-34 AVENUE, EDMONTON ALBERTA, T6E 5X9. No: 2010908404. 1090772 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 10 Registered 1090846 ALBERTA LTD. Numbered Alberta Address: 378 - 1ST STREET SE, MEDICINE HAT Corporation Incorporated 2004 FEB 11 Registered ALBERTA, T1A 0A6. No: 2010907729. Address: NW 22-56-5 W4 No: 2010908461.

1090773 ALBERTA LTD. Numbered Alberta 1090848 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 10 Registered Corporation Incorporated 2004 FEB 11 Registered Address: 378 - 1ST STREET SE, MEDICINE HAT Address: 20 WOODLAND CRESCENT, SYLVAN ALBERTA, T1A 0A6. No: 2010907737. LAKE ALBERTA, T4S 1L9. No: 2010908487.

1090774 ALBERTA LTD. Numbered Alberta 1090849 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 10 Registered Corporation Incorporated 2004 FEB 11 Registered Address: 378 - 1ST STREET SE, MEDICINE HAT Address: 440, 7220 FISHER STREET SE, ALBERTA, T1A 0A6. No: 2010907745. CALGARY ALBERTA, T2H 2H8. No: 2010908495. 1090775 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 10 Registered 1090850 ALBERTA LTD. Numbered Alberta Address: 378 - 1ST STREET SE, MEDICINE HAT Corporation Incorporated 2004 FEB 11 Registered ALBERTA, T1A 0A6. No: 2010907752. Address: #800, 10310 JASPER AVENUE, EDMONTON ALBERTA, T5J 2W4. No: 1090776 ALBERTA LTD. Numbered Alberta 2010908503. Corporation Incorporated 2004 FEB 10 Registered Address: 378 - 1ST STREET SE, MEDICINE HAT 1090853 ALBERTA LTD. Numbered Alberta ALBERTA, T1A 0A6. No: 2010907760. Corporation Incorporated 2004 FEB 11 Registered Address: 6504 104 STREET, EDMONTON 1090777 ALBERTA LTD. Numbered Alberta ALBERTA, T6H 2L2. No: 2010908537. Corporation Incorporated 2004 FEB 10 Registered Address: 11 27501 TWP RD 374, RED DEER 1090857 ALBERTA LTD. Numbered Alberta ALBERTA, T4S 2B1. No: 2010907778. Corporation Incorporated 2004 FEB 11 Registered Address: 404-10216-124 STREET, EDMONTON 1090780 ALBERTA LTD. Numbered Alberta ALBERTA, T5N 4A3. No: 2010908578. Corporation Incorporated 2004 FEB 10 Registered Address: 22 WESTMOUNT PLACE, CAYLEY ALBERTA, T0L0P0. No: 2010907802.

- 841 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

1090859 ALBERTA LTD. Numbered Alberta 1090901 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 11 Registered Corporation Incorporated 2004 FEB 11 Registered Address: 6008 - 183 STREET, EDMONTON Address: 29 HAMILTON CRES., ST. ALBERT ALBERTA, T6M 1T8. No: 2010908594. ALBERTA, T8N 6R6. No: 2010909014.

1090862 ALBERTA LTD. Numbered Alberta 1090903 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 11 Registered Corporation Incorporated 2004 FEB 11 Registered Address: 404-10216-124 STREET, EDMONTON Address: 158 - 53046 RANGE ROAD 222, ALBERTA, T5N 4A3. No: 2010908628. ARDROSSAN ALBERTA, T8E 2E8. No: 2010909030. 1090865 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 11 Registered 1090908 ALBERTA LTD. Numbered Alberta Address: 8925 - 100 STREET, EDMONTON Corporation Incorporated 2004 FEB 11 Registered ALBERTA, T6E 3Y6. No: 2010908651. Address: NW-23-82-12-W6 No: 2010909089.

1090871 ALBERTA LTD. Numbered Alberta 1090911 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 11 Registered Corporation Incorporated 2004 FEB 11 Registered Address: #600, 12220 STONY PLAIN ROAD, Address: 149 LOS ALAMOS CRES. N.E., EDMONTON ALBERTA, T5N 3Y4. No: CALGARY ALBERTA, T1Y 7E8. No: 2010909113. 2010908719. 1090913 ALBERTA LTD. Numbered Alberta 1090873 ALBERTA INC. Numbered Alberta Corporation Incorporated 2004 FEB 11 Registered Corporation Incorporated 2004 FEB 11 Registered Address: 155 CITADEL GROVE NW, CALGARY Address: 1319 MCALPINE STREET, CARSTAIRS ALBERTA, T3G 4G8. No: 2010909139. ALBERTA, T0M 0N0. No: 2010908735. 1090918 ALBERTA LTD. Numbered Alberta 1090877 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 11 Registered Corporation Incorporated 2004 FEB 11 Registered Address: UNIT #32, 1820 - 14 AVENUE NE, Address: 1400, 10303 JASPER AVENUE, CALGARY ALBERTA, T2E 1G6. No: 2010909188. EDMONTON ALBERTA, T5J 3N6. No: 2010908776. 1090935 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 11 Registered 1090880 ALBERTA LTD. Numbered Alberta Address: 2003 49 AVENUE SW, CALGARY Corporation Incorporated 2004 FEB 11 Registered ALBERTA, T2T 2V5. No: 2010909352. Address: 9749 - 68 AVENUE, EDMONTON ALBERTA, T6E 0R3. No: 2010908800. 1090943 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 11 Registered 1090887 ALBERTA LTD. Numbered Alberta Address: #100, 4918 51 STREET, CAMROSE Corporation Incorporated 2004 FEB 11 Registered ALBERTA, T4V 1S3. No: 2010909436. Address: 10334 - 146 STREET, EDMONTON ALBERTA, T5N 3A2. No: 2010908875. 1090946 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 11 Registered 1090890 ALBERTA LTD. Numbered Alberta Address: 101, 9803 31 AVENUE, EDMONTON Corporation Incorporated 2004 FEB 11 Registered ALBERTA, T6N 1C5. No: 2010909469. Address: A211-1600-90 AVE SW, CALGARY ALBERTA, T2V 5A8. No: 2010908909. 1090950 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 12 Registered 1090897 ALBERTA LTD. Numbered Alberta Address: 214, 9914 MORRISON STREET, FORT Corporation Incorporated 2004 FEB 11 Registered MCMURRAY ALBERTA, T9H 4A4. No: Address: 4406B 49 AVE., SYLVAN LAKE 2010909501. ALBERTA, T4S 1L9. No: 2010908974. 1090957 ALBERTA LTD. Numbered Alberta 1090898 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 11 Registered Corporation Incorporated 2004 FEB 11 Registered Address: 635, 10201 SOUTHPORT ROAD SW, Address: 155 FATHER MERCREDI STREET, CALGARY ALBERTA, T2W 4X9. No: FORT MCMURRAY ALBERTA, T9H 2A6. No: 2010909576. 2010908982. 1090959 ALBERTA LTD. Numbered Alberta 1090899 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 11 Registered Corporation Incorporated 2004 FEB 12 Registered Address: 635, 10201 SOUTHPORT ROAD SW, Address: SE 24 - 48 - 13 No: 2010908990. CALGARY ALBERTA, T2W 4X9. No: 2010909592. 1090900 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 11 Registered 1090960 ALBERTA LTD. Numbered Alberta Address: 410 - 6 STREET SOUTH, LETHBRIDGE Corporation Incorporated 2004 FEB 11 Registered ALBERTA, T1J 2C9. No: 2010909006. Address: 101, 9803 31 AVENUE, EDMONTON ALBERTA, T6N 1C5. No: 2010909600.

- 842 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

1090965 ALBERTA LTD. Numbered Alberta 1091035 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 11 Registered Corporation Incorporated 2004 FEB 11 Registered Address: 9004 - 151 AVENUE, EDMONTON Address: 7203 - 161 AVE, EDMONTON ALBERTA, T5E 2P7. No: 2010909659. ALBERTA, T5Z 3T7. No: 2010910350.

1090967 ALBERTA LTD. Numbered Alberta 1091036 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 11 Registered Corporation Incorporated 2004 FEB 11 Registered Address: 2500, 10303 JASPER AVENUE, Address: 811-3240 66 AVE SW, CALGARY EDMONTON ALBERTA, T5J 3N6. No: ALBERTA, T3E 6M5. No: 2010910368. 2010909675. 1091039 ALBERTA LTD. Numbered Alberta 1090975 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 11 Registered Corporation Incorporated 2004 FEB 11 Registered Address: 320 EDMONTON CITY CENTRE E, Address: 635, 10201 SOUTHPORT ROAD S.W., EDMONTON ALBERTA, T5J 4H5. No: CALGARY ALBERTA, T2W 4X9. No: 2010910392. 2010909758. 1091049 ALBERTA LTD. Numbered Alberta 1090985 ALBERTA INC. Numbered Alberta Corporation Incorporated 2004 FEB 12 Registered Corporation Incorporated 2004 FEB 11 Registered Address: 200, 508 - 24TH AVENUE SW, Address: NW OF 34 5019 WEST OF THE 4TH. No: CALGARY ALBERTA, T2S 0K4. No: 2010910491. 2010909857. 1091051 ALBERTA INC. Numbered Alberta 1090986 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 12 Registered Corporation Incorporated 2004 FEB 12 Registered Address: 15 SANDSTONE CRES, AIRDRIE Address: 13103 BONAVENTURE DR SE, ALBERTA, T4B 1T2. No: 2010910517. CALGARY ALBERTA, T2J 7E9. No: 2010909865. 1091052 ALBERTA LTD. Numbered Alberta 1090992 ALBERTA INC. Numbered Alberta Corporation Incorporated 2004 FEB 13 Registered Corporation Incorporated 2004 FEB 11 Registered Address: 1000, 10035 - 105 STREET, EDMONTON Address: 3400, 350 - 7 AVENUE SW, CALGARY ALBERTA, T5J 3T2. No: 2010910525. ALBERTA, T2P 3N9. No: 2010909923. 1091059 ALBERTA LTD. Numbered Alberta 1090996 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 12 Registered Corporation Incorporated 2004 FEB 11 Registered Address: 9515 94 AVE, WEMBLEY ALBERTA, Address: #600, 12220 STONY PLAIN ROAD, T0H 3S0. No: 2010910590. EDMONTON ALBERTA, T5N 3Y4. No: 2010909964. 1091060 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 12 Registered 1091002 ALBERTA LTD. Numbered Alberta Address: #16, 140 ATHABASCAN AVENUE, Corporation Incorporated 2004 FEB 12 Registered SHERWOOD PARK ALBERTA, T8A 4E3. No: Address: 101, 4836 ROSS STREET, RED DEER 2010910608. ALBERTA, T4N 1X4. No: 2010910020. 1091078 ALBERTA LTD. Numbered Alberta 1091005 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 12 Registered Corporation Incorporated 2004 FEB 11 Registered Address: 600, 4911 - 51 STREET, RED DEER Address: BAY 2, 1247 - 36 AVENUE N.E., ALBERTA, T4N 6V4. No: 2010910780. CALGARY ALBERTA, T2E 6N6. No: 2010910053. 1091088 ALBERTA LTD. Numbered Alberta 1091006 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 12 Registered Corporation Incorporated 2004 FEB 11 Registered Address: 12508 COVENTRY HILLS WAY NE, Address: 2250 SCOTIA 1, 10060 JASPER CALGARY ALBERTA, T3K 4T1. No: 2010910889. AVENUE, EDMONTON ALBERTA, T5J 3R8. No: 2010910061. 1091093 ALBERTA INC. Numbered Alberta Corporation Incorporated 2004 FEB 12 Registered 1091007 ALBERTA LTD. Numbered Alberta Address: 102 LAKE PLACID CLOSE SE, Corporation Incorporated 2004 FEB 11 Registered CALGARY ALBERTA, T2J 4Y8. No: 2010910939. Address: 5204 86 ST NW, EDMONTON ALBERTA, T6E 5J6. No: 2010910079. 1091097 ALBERTA INC. Numbered Alberta Corporation Incorporated 2004 FEB 12 Registered 1091015 ALBERTA LTD. Numbered Alberta Address: 700-10117 JASPER AVE NW, Corporation Incorporated 2004 FEB 11 Registered EDMONTON ALBERTA, T5J 1W8. No: Address: 2250 SCOTIA 1, 10060 JASPER 2010910970. AVENUE, EDMONTON ALBERTA, T5J 3R8. No: 2010910152.

- 843 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

1091105 ALBERTA LTD. Numbered Alberta 1091173 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 12 Registered Corporation Incorporated 2004 FEB 12 Registered Address: 2500, 10303 JASPER AVENUE, Address: 470 ELGIN WAY SE, CALGARY EDMONTON ALBERTA, T5J 3N6. No: ALBERTA, T2Z 3Y6. No: 2010911739. 2010911051. 1091176 ALBERTA LTD. Numbered Alberta 1091109 ALBERTA INC. Numbered Alberta Corporation Incorporated 2004 FEB 12 Registered Corporation Incorporated 2004 FEB 12 Registered Address: 8623 - 149 STREET, EDMONTON Address: 700-10117 JASPER AVE NW, ALBERTA, T5R 1B3. No: 2010911762. EDMONTON ALBERTA, T5J 1W8. No: 2010911093. 1091180 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 12 Registered 1091113 ALBERTA LTD. Numbered Alberta Address: 79 CHICKADEE DR, WHITECOURT Corporation Incorporated 2004 FEB 12 Registered ALBERTA, T7S 1G2. No: 2010911804. Address: 4818 - 46TH STREET, OLDS ALBERTA, T4H 1P7. No: 2010911135. 1091193 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 12 Registered 1091114 ALBERTA LTD. Numbered Alberta Address: 1500, 407 - 2ND STREET S.W., Corporation Incorporated 2004 FEB 12 Registered CALGARY ALBERTA, T2P 2Y3. No: 2010911937. Address: SUITE 103, 10328 81 AVENUE, EDMONTON ALBERTA, T6E 1X2. No: 1091199 ALBERTA LTD. Numbered Alberta 2010911143. Corporation Incorporated 2004 FEB 12 Registered Address: 51 CHAPMAN CIRCLE SE, CALGARY 1091117 ALBERTA LTD. Numbered Alberta ALBERTA, T2X 3T8. No: 2010911994. Corporation Incorporated 2004 FEB 12 Registered Address: SUITE 103, 10328 81 AVENUE, 1091203 ALBERTA CORP. Numbered Alberta EDMONTON ALBERTA, T6E 1X2. No: Corporation Incorporated 2004 FEB 12 Registered 2010911176. Address: 1147-5004 98 AVE., EDMONTON ALBERTA, T6A 0A1. No: 2010912034. 1091124 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 12 Registered 1091205 ALBERTA LTD. Numbered Alberta Address: 7C CASTLE TERRACE NW, Corporation Incorporated 2004 FEB 12 Registered EDMONTON ALBERTA, T5X 2E6. No: Address: 10350 - 122 STREET, #202, EDMONTON 2010911242. ALBERTA, T5N 3W4. No: 2010912059.

1091125 ALBERTA LTD. Numbered Alberta 1091207 ALBERTA INC. Numbered Alberta Corporation Incorporated 2004 FEB 12 Registered Corporation Incorporated 2004 FEB 13 Registered Address: 113 TUSCANY HILLS CLOSE NW, Address: NW-18-29-3-W5 No: 2010912075. CALGARY ALBERTA, T3L 2E6. No: 2010911259. 1091221 ALBERTA LTD. Numbered Alberta 1091130 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 12 Registered Corporation Incorporated 2004 FEB 12 Registered Address: 510 FALCONER PLACE, EDMONTON Address: #5, 201 GRAND BOULEVARD, ALBERTA, T6R 3A1. No: 2010912216. COCHRANE ALBERTA, T4C 2G4. No: 2010911309. 1091226 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 12 Registered 1091144 ALBERTA INC. Numbered Alberta Address: W4-23-49-34-SE No: 2010912265. Corporation Incorporated 2004 FEB 12 Registered Address: 4403A GREENVIEW DRIVE NE, 1091234 ALBERTA LTD. Numbered Alberta CALGARY ALBERTA, T2E 5R3. No: 2010911440. Corporation Incorporated 2004 FEB 12 Registered Address: 531-20A RANGE ROAD 13, STONY 1091147 ALBERTA LTD. Numbered Alberta PLAIN ALBERTA, T7Z 1X2. No: 2010912349. Corporation Incorporated 2004 FEB 12 Registered Address: 940-5555 CALGARY TR, EDMONTON 1091235 ALBERTA LTD. Numbered Alberta ALBERTA, T6H 5P9. No: 2010911473. Corporation Incorporated 2004 FEB 12 Registered Address: 102, 811 MANNING ROAD N.E., 1091151 ALBERTA LTD. Numbered Alberta CALGARY ALBERTA, T2E 7L4. No: 2010912356. Corporation Incorporated 2004 FEB 12 Registered Address: 8623 - 149 STREET, EDMONTON 1091240 ALBERTA INC. Numbered Alberta ALBERTA, T5R 1B3. No: 2010911515. Corporation Incorporated 2004 FEB 12 Registered Address: 2200-10303 JASPER AVE NW, 1091168 ALBERTA LTD. Numbered Alberta EDMONTON ALBERTA, T5J 3N6. No: Corporation Incorporated 2004 FEB 12 Registered 2010912406. Address: 5048 52 STREET, SYLVAN LAKE ALBERTA, T4S 1E4. No: 2010911689.

- 844 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

1091251 ALBERTA LTD. Numbered Alberta 1091323 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 12 Registered Corporation Incorporated 2004 FEB 13 Registered Address: 13723 93 ST NW, EDMONTON Address: 1020, 833 - 4 AVENUE S.W., CALGARY ALBERTA, T5E 5V6. No: 2010912513. ALBERTA, T2P 3T5. No: 2010913230.

1091258 ALBERTA LTD. Numbered Alberta 1091324 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 12 Registered Corporation Incorporated 2004 FEB 13 Registered Address: #B212 - 3RD AVENUE WEST, BROOKS Address: 2600, 10180 - 101 STREET, EDMONTON ALBERTA, T1R 1C1. No: 2010912588. ALBERTA, T5J 3Y2. No: 2010913248.

1091262 ALBERTA LTD. Numbered Alberta 1091325 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 13 Registered Corporation Incorporated 2004 FEB 13 Registered Address: 2531 CHEROKEE DRIVE NW, Address: 41 GLENN HALL CRESCENT, STONY CALGARY ALBERTA, T2L 0X8. No: 2010912620. PLAIN ALBERTA, T7Z 1A9. No: 2010913255.

1091264 ALBERTA LTD. Numbered Alberta 1091327 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 12 Registered Corporation Incorporated 2004 FEB 13 Registered Address: #212 9714 MAIN STREET, FORT Address: 1601, 333 - 11 AVENUE SW, CALGARY MCMURRAY ALBERTA, T9H 1T6. No: ALBERTA, T2R 1L9. No: 2010913271. 2010912646. 1091329 ALBERTA LTD. Numbered Alberta 1091265 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 13 Registered Corporation Incorporated 2004 FEB 12 Registered Address: #101, 5001 - 49 AVENUE, Address: 5615 60 AVENUE, OLDS ALBERTA, BONNYVILLE ALBERTA, T9N 2J3. No: T4H 1K5. No: 2010912653. 2010913297.

1091270 ALBERTA LTD. Numbered Alberta 1091333 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 12 Registered Corporation Incorporated 2004 FEB 13 Registered Address: 11323 ROCKY VALLEY DRIVE NW, Address: 1600, 10025 - 102A AVENUE, CALGARY ALBERTA, T3G 5C4. No: EDMONTON ALBERTA, T5J 2Z2. No: 2010912703. 2010913339.

1091289 ALBERTA LTD. Numbered Alberta 1091337 ALBERTA INC. Numbered Alberta Corporation Incorporated 2004 FEB 12 Registered Corporation Incorporated 2004 FEB 13 Registered Address: 104 BERKLEY WAY NW, CALGARY Address: 700, 10655 SOUTHPORT ROAD S.W., ALBERTA, T3K 1B6. No: 2010912893. CALGARY ALBERTA, T2W 4Y1. No: 2010913370. 1091292 ALBERTA INC. Numbered Alberta Corporation Incorporated 2004 FEB 12 Registered 1091357 ALBERTA LTD. Numbered Alberta Address: 94 HIGHGROVE COURT, SHERWOOD Corporation Incorporated 2004 FEB 13 Registered PARK ALBERTA, T8A 6G7. No: 2010912927. Address: 7 WINDMILL WAY, CALGARY ALBERTA, T3Z 1H5. No: 2010913578. 1091301 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 13 Registered 1091358 ALBERTA LTD. Numbered Alberta Address: 112, 80 CHIPPEWA ROAD, SHERWOOD Corporation Incorporated 2004 FEB 13 Registered PARK ALBERTA, T8A 4W6. No: 2010913016. Address: 26 CHISHOLM CRESCENT N.W., CALGARY ALBERTA, T2L 0Z1. No: 2010913586. 1091303 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 13 Registered 1091361 ALBERTA LTD. Numbered Alberta Address: 112, 80 CHIPPEWA ROAD, SHERWOOD Corporation Incorporated 2004 FEB 13 Registered PARK ALBERTA, T8A 4W6. No: 2010913032. Address: 702 510 21 AVE SW, CALGARY ALBERTA, T2S 0H2. No: 2010913610. 1091309 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 13 Registered 1091363 ALBERTA LTD. Numbered Alberta Address: 200, 555 - 11 AVENUE SW, CALGARY Corporation Incorporated 2004 FEB 13 Registered ALBERTA, T2R 1P6. No: 2010913099. Address: 102, 5300 - 50 STREET, STONY PLAIN ALBERTA, T7Z 1T8. No: 2010913636. 1091311 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 13 Registered 1091371 ALBERTA CORP. Numbered Alberta Address: 200, 555 - 11 AVENUE SW, CALGARY Corporation Incorporated 2004 FEB 13 Registered ALBERTA, T2R 1P6. No: 2010913115. Address: 27 SOMERGLEN CRT SW, CALGARY ALBERTA, T2Y 3V5. No: 2010913719. 1091312 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 13 Registered 1091384 ALBERTA LTD. Numbered Alberta Address: 200, 555 - 11 AVENUE SW, CALGARY Corporation Incorporated 2004 FEB 13 Registered ALBERTA, T2R 1P6. No: 2010913123. Address: 10932 73 AVE NW, EDMONTON ALBERTA, T6G 0C2. No: 2010913842.

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1091386 ALBERTA LTD. Numbered Alberta 1091442 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 13 Registered Corporation Incorporated 2004 FEB 13 Registered Address: 12026-102 AVENUE, EDMONTON Address: C/O RAYMOND F. KUTZ #201, 102-2 ALBERTA, T5K 0R9. No: 2010913867. STREET S.W., SUNDRE ALBERTA, T0M 1X0. No: 2010914428. 1091393 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 13 Registered 1091449 ALBERTA LTD. Numbered Alberta Address: #54, 2106 - 50 STREET SE, CALGARY Corporation Incorporated 2004 FEB 13 Registered ALBERTA, T2B 1M7. No: 2010913933. Address: 11229 21 AVE, BLAIRMORE ALBERTA, T0K 0E0. No: 2010914493. 1091399 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 13 Registered 1091452 ALBERTA LTD. Numbered Alberta Address: P. 9621591, L. 3, B. D No: 2010913990. Corporation Incorporated 2004 FEB 13 Registered Address: 1500, 407 - 2ND STREET S.W., 1091400 ALBERTA INC. Numbered Alberta CALGARY ALBERTA, T2P 2Y3. No: 2010914527. Corporation Incorporated 2004 FEB 13 Registered Address: 700, 10655 SOUTHPORT ROAD S.W., 1091457 ALBERTA LTD. Numbered Alberta CALGARY ALBERTA, T2W 4Y1. No: Corporation Incorporated 2004 FEB 13 Registered 2010914006. Address: SITE 112, COMP 6, RR 1, ALBERTA BEACH ALBERTA, T0E 0A1. No: 2010914576. 1091404 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 13 Registered 1091459 ALBERTA LTD. Numbered Alberta Address: 805 4A STREET NE, CALGARY Corporation Incorporated 2004 FEB 13 Registered ALBERTA, T2E 3W3. No: 2010914048. Address: #220, 3016- 19TH STREET NE, CALGARY ALBERTA, T2E 6Y9. No: 2010914592. 1091409 ALBERTA INC. Numbered Alberta Corporation Incorporated 2004 FEB 13 Registered 1091468 ALBERTA LTD. Numbered Alberta Address: 1200, 700 - 2ND STREET S.W., Corporation Incorporated 2004 FEB 13 Registered CALGARY ALBERTA, T2P 4V5. No: 2010914097. Address: 13535-69 STREET, EDMONTON ALBERTA, T5C 0H7. No: 2010914683. 1091414 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 13 Registered 1091476 ALBERTA INC. Numbered Alberta Address: 1000, 400 - THIRD AVENUE S.W., Corporation Incorporated 2004 FEB 13 Registered CALGARY ALBERTA, T2P 4H2. No: 2010914147. Address: 200, 1131 KENSINGTON ROAD NW, CALGARY ALBERTA, T2N 3P4. No: 2010914766. 1091416 ALBERTA INC. Numbered Alberta Corporation Incorporated 2004 FEB 13 Registered 1091486 ALBERTA LTD. Numbered Alberta Address: 1200, 700 - 2ND STREET S.W., Corporation Incorporated 2004 FEB 13 Registered CALGARY ALBERTA, T2P 4V5. No: 2010914162. Address: 1400, 350 - 7TH AVENUE SW, CALGARY ALBERTA, T2P 3N9. No: 2010914865. 1091417 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 13 Registered 1091494 ALBERTA LTD. Numbered Alberta Address: #204 - 325 MCKINNON TERR. N.E., Corporation Incorporated 2004 FEB 13 Registered CALGARY ALBERTA, T2E 7S4. No: 2010914170. Address: 120, 3636 - 23 STREET NE, CALGARY ALBERTA, T2E 8Z5. No: 2010914949. 1091428 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 13 Registered 1091501 ALBERTA LTD. Numbered Alberta Address: 802 - 743 RAILWAY AVE, CANMORE Corporation Incorporated 2004 FEB 13 Registered ALBERTA, T1W 1P2. No: 2010914287. Address: 1600, 10025 - 102A AVENUE, EDMONTON ALBERTA, T5J 2Z2. No: 1091430 ALBERTA LTD. Numbered Alberta 2010915011. Corporation Incorporated 2004 FEB 13 Registered Address: UNIT 224, 222 BASELINE ROAD, 1091502 ALBERTA LTD. Numbered Alberta SHERWOOD PARK ALBERTA, T8H 1S8. No: Corporation Incorporated 2004 FEB 14 Registered 2010914303. Address: 1600, 10025 - 102A AVENUE, EDMONTON ALBERTA, T5J 2Z2. No: 1091435 ALBERTA INC. Numbered Alberta 2010915029. Corporation Incorporated 2004 FEB 13 Registered Address: 4402 45 AVE, BONNYVILLE ALBERTA, 1091507 ALBERTA LTD. Numbered Alberta T9N 1X2. No: 2010914352. Corporation Incorporated 2004 FEB 13 Registered Address: 16 BERWICK COURT NW, CALGARY 1091437 ALBERTA LTD. Numbered Alberta ALBERTA, T3K 1C7. No: 2010915078. Corporation Incorporated 2004 FEB 13 Registered Address: 250 RIVERSTONE COVE SE, 1091514 ALBERTA LTD. Numbered Alberta CALGARY ALBERTA, T2C 4A5. No: Corporation Incorporated 2004 FEB 13 Registered 2010914378. Address: 4506 150 AVE, EDMONTON ALBERTA, T5Y 2Z9. No: 2010915144.

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1091521 ALBERTA LTD. Numbered Alberta 222 CONCRETE SERVICES LTD. Named Alberta Corporation Incorporated 2004 FEB 13 Registered Corporation Incorporated 2004 FEB 12 Registered Address: 142 SANDARAC DR NW, CALGARY Address: 4605 WESTBROOK ROAD, ALBERTA, T3K 3V2. No: 2010915219. BLACKFALDS ALBERTA, T0M 0J0. No: 2010912323. 1091527 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 14 Registered 24/7 COMPLETE MAINTENANCE AND REPAIR Address: 10665 ROWLAND RD, EDMONTON LTD. Named Alberta Corporation Incorporated 2004 ALBERTA, T6A 3V9. No: 2010915276. FEB 06 Registered Address: 9503-180A STREET, EDMONTON ALBERTA, T5T 2Z4. No: 1091531 ALBERTA LTD. Numbered Alberta 2010900781. Corporation Incorporated 2004 FEB 14 Registered Address: 618 - 94 AVENUE SE, CALGARY 2:40AM LTD. Named Alberta Corporation ALBERTA, T2J 0E9. No: 2010915318. Incorporated 2004 FEB 13 Registered Address: 950 BLACKETT WYND SW, EDMONTON 1091535 ALBERTA CORP. Numbered Alberta ALBERTA, T6W 1B1. No: 2010914014. Corporation Incorporated 2004 FEB 14 Registered Address: 3 - 38138 RANGE ROAD 283, RED 2MDL INC. Named Alberta Corporation DEER COUNTY ALBERTA, T4S 2B4. No: Incorporated 2004 FEB 06 Registered Address: 6 2010915359. CRAIGAVON DRIVE, SHERWOOD PARK ALBERTA, T8A 5B4. No: 2010900682. 1091537 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 14 Registered 332712 B.C. LTD. Other Prov/Territory Corps Address: 9431-76 STREET, EDMONTON Registered 2004 FEB 10 Registered Address: SUITE ALBERTA, T6C 2K7. No: 2010915375. 115, 17420 STONY PLAIN ROAD, EDMONTON ALBERTA, T5S 1K6. No: 2110906167. 1091540 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 14 Registered 3GL TECHNOLOGY SOLUTIONS LTD. Named Address: 17214 57 AVE NW, EDMONTON Alberta Corporation Incorporated 2004 FEB 04 ALBERTA, T6M 1B3. No: 2010915409. Registered Address: 2200, 10155 - 102 STREET, EDMONTON ALBERTA, T5J 4G8. No: 1091541 ALBERTA LTD. Numbered Alberta 2010897060. Corporation Incorporated 2004 FEB 14 Registered Address: 600, 12220 STONY PLAIN ROAD, 4204 INVESTMENTS LTD. Other Prov/Territory EDMONTON ALBERTA, T5N 3Y4. No: Corps Registered 2004 FEB 11 Registered Address: 2010915417. SITE 9 BOX 37 RR 2, SEXSMITH ALBERTA, T0H 3C0. No: 2110910284. 1091544 ALBERTA LTD. Numbered Alberta Corporation Incorporated 2004 FEB 14 Registered 55TC CORPORATION Named Alberta Corporation Address: 303-7407 171 ST NW, EDMONTON Incorporated 2004 FEB 04 Registered Address: 809, ALBERTA, T5T 2R1. No: 2010915441. 123 - 10TH AVENUE SW, CALGARY ALBERTA, T2R 1K8. No: 2010896732. 1590571 ONTARIO INC. Other Prov/Territory Corps Registered 2004 FEB 10 Registered Address: 6 WHEELS TURNING LTD. Named Alberta 204, 755 LAKE BONAVISTA DRIVE SE, Corporation Incorporated 2004 FEB 13 Registered CALGARY ALBERTA, T2J 0N3. No: 2110906654. Address: NE 14 48 4 W4TH No: 2010914931.

161519 CANADA INC. Federal Corporation 609231 B.C. CORP. Other Prov/Territory Corps Registered 2004 FEB 09 Registered Address: 3000, Registered 2004 FEB 04 Registered Address: SUITE 237 - 4TH AVENUE SW, CALGARY ALBERTA, 1500, 407 - 2ND STREET SW, CALGARY T2P 4X7. No: 2110903388. ALBERTA, T2P 2Y3. No: 2110894959.

2 CREEKS ENTERPRISES LTD. Named Alberta 6189377 CANADA INC. Federal Corporation Corporation Incorporated 2004 FEB 04 Registered Registered 2004 FEB 04 Registered Address: 1329 - Address: 213 PEMBINA AVENUE, HINTON 7A ST NW, CALGARY ALBERTA, T2M 3J7. No: ALBERTA, T7V 2B3. No: 2010896682. 2110896699.

2004 CANADIAN MASTERS HOST 8:18 PROPERTIES INC. Named Alberta ORGANIZING COMMITTEE Alberta Society Corporation Incorporated 2004 FEB 02 Registered Incorporated 2004 JAN 30 Registered Address: 326 - Address: 4526, 51 AVENUE, LEDUC ALBERTA, 6 AVENUE NE, CALGARY ALBERTA, T2E 0L9. T9E 5V8. No: 2010887624. No: 5010904471. 9136-2525 QUEBEC INC. Other Prov/Territory Corps Registered 2004 FEB 02 Registered Address: 3000, 700 - 9TH AVENUE SW, CALGARY ALBERTA, T2P 3V4. No: 2110892813.

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A "N" A TRADING INC. Named Alberta ABSOLUTE DATA SOLUTIONS LTD. Named Corporation Incorporated 2004 FEB 05 Registered Alberta Corporation Incorporated 2004 FEB 02 Address: SUITE 520, 10655 SOUTHPORT ROAD Registered Address: 640 SILVERGROVE DR NW, SW, CALGARY ALBERTA, T2W 4Y1. No: CALGARY ALBERTA, T3B 3J7. No: 2010891352. 2010897938. ACCELEWARE INC. Named Alberta Corporation A & M AUTO SALES INC. Named Alberta Incorporated 2004 FEB 05 Registered Address: 4098 Corporation Incorporated 2004 FEB 06 Registered GARRISON BLVD SW, CALGARY ALBERTA, Address: 8219-118 AVE., EDMONTON T2T 6C1. No: 2010898936. ALBERTA, T5B 0S2. No: 2010902225. ACCENT HOME MANAGEMENT CONSULTING A & R RESOURCES LTD. Named Alberta SERVICES INC. Named Alberta Corporation Corporation Incorporated 2004 FEB 02 Registered Incorporated 2004 FEB 03 Registered Address: 104, Address: 9808 - 103A AVENUE NW, EDMONTON 1513- 26TH AVE SW, CALGARY ALBERTA, T2T ALBERTA, T5J 2L4. No: 2010891667. 1C4. No: 2010893366.

A J FINANCIAL GROUP INC. Named Alberta ACCENTURE TECHNOLOGY SOLUTIONS - Corporation Incorporated 2004 FEB 09 Registered CANADA, INC. Other Prov/Territory Corps Address: PLAN 9200S BLOCK 8 LOT 12, 13 No: Registered 2004 FEB 11 Registered Address: 3300, 2010902894. 421 - 7 AVENUE SW, CALGARY ALBERTA, T2P 4K9. No: 2110896194. A-Z INSURANCE FACILITATORS INC. Named Alberta Corporation Incorporated 2004 FEB 04 ACCESS GRANTED TECHNOLOGIES INC. Registered Address: 1325 OSLER STREET, Named Alberta Corporation Incorporated 2004 FEB CARSTAIRS ALBERTA, T0M 0N0. No: 12 Registered Address: 266 MCKENZIE TOWNE 2010895536. LINK S.E., CALGARY ALBERTA, T2Z 4E8. No: 2010912638. A. & S. WINFIELD HOLDINGS LTD. Named Alberta Corporation Incorporated 2004 FEB 09 ACCESS TAXI CORPORATION Named Alberta Registered Address: 218, 6707 ELBOW DRIVE Corporation Incorporated 2004 FEB 06 Registered S.W., CALGARY ALBERTA, T2V 0E4. No: Address: 212 - 9714 MAIN STREET, FORT 2010904247. MCMURRAY ALBERTA, T9H 1T6. No: 2010901516. A. SHAW PSYCHOLOGICAL SERVICES INC. Named Alberta Corporation Incorporated 2004 FEB ACCRETIVE MORTGAGE CORPORATION 12 Registered Address: 14723 MILLRISE HILL Named Alberta Corporation Incorporated 2004 FEB SW, CALGARY ALBERTA, T2Y 2W6. No: 03 Registered Address: #420, 703 - 6 AVENUE 2010910210. S.W., CALGARY ALBERTA, T2P 0T9. No: 2010894646. A. W. GEORGE CONSTRUCTION LTD. Named Alberta Corporation Incorporated 2004 FEB 03 ACCURO MANAGEMENT CORPORATION Registered Address: 132 WALLACE PLACE, Named Alberta Corporation Incorporated 2004 FEB FORT MCMURRAY ALBERTA, T9H 4P9. No: 06 Registered Address: #400, 1111 - 11 AVENUE 2010894141. SW, CALGARY ALBERTA, T2R 0G5. No: 2010900914. A.W.E. - S.M. INC. Named Alberta Corporation Incorporated 2004 FEB 06 Registered Address: 5204 ACTCM INC Named Alberta Corporation 86 ST NW, EDMONTON ALBERTA, T6E 5J6. No: Incorporated 2004 FEB 04 Registered Address: 2812 2010900625. PARKDALE BLVD NW, CALGARY ALBERTA, T2N 3S8. No: 2010895601. A1 ADVANCE AUTO TOWING LTD. Named Alberta Corporation Incorporated 2004 FEB 09 ACTORS ACADEMY INTERNATIONAL INC. Registered Address: 114 SARATOGA CLOSE NE, Named Alberta Corporation Incorporated 2004 FEB CALGARY ALBERTA, T1Y 7A2. No: 03 Registered Address: 1717-17 AVE. SW, 2010904387. CALGARY ALBERTA, T2T 0E6. No: 2010894992.

AAA ALARM SYSTEMS LTD. Federal ADVANCED FRESH CONCEPTS CORP. Foreign Corporation Registered 2004 FEB 11 Registered Corporation Registered 2004 FEB 06 Registered Address: 3700, 400 - 3RD AVENUE S.W., Address: 3000, 400 - 4TH AVENUE SW, CALGARY ALBERTA, T2P 4H2. No: 2110909898. CALGARY ALBERTA, T2P 0J4. No: 2110902018.

ABORIGINAL SOFT ROCK DEVELOPMENT ADVANCED GLOBAL ENERGY SOLUTIONS CORPORATION Federal Corporation Registered INC. Named Alberta Corporation Incorporated 2004 2004 FEB 05 Registered Address: 7417 - 24 ST. SE, FEB 04 Registered Address: 23 MARTIN CLOSE, CALGARY ALBERTA, T2C 0Y7. No: RED DEER ALBERTA, T4N 0G9. No: 2110898745. 2010896534.

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AERO GLIDE RACING INC. Named Alberta ALBERTA SAFEGUARDS FOUNDATION Corporation Incorporated 2004 FEB 06 Registered Alberta Society Incorporated 2004 JAN 30 Address: 1327B - NINTH AVENUE S.E., Registered Address: 1929 3RD AVE, NW, CALGARY ALBERTA, T2G 0T2. No: 2010901326. CALGARY ALBERTA, T2N 0K1. No: 5010909421. AF4 INVESTMENT (FUND 4) LTD. Named Alberta Corporation Incorporated 2004 FEB 12 ALBERTA STEAK SUB INC. Named Alberta Registered Address: 4300, 400 - 3 AVENUE SW, Corporation Incorporated 2004 FEB 02 Registered CALGARY ALBERTA, T2P 4H2. No: 2010911028. Address: 6 - 4740 STANLEY ROAD SW, CALGARY ALBERTA, T2S 2R2. No: 2010891022. AGILE MARINE LTD. Named Alberta Corporation Incorporated 2004 FEB 05 Registered Address: ALEBRAON FUTURES LTD. Named Alberta 7912-71 AVE NW, CALGARY ALBERTA, T3B Corporation Incorporated 2004 FEB 13 Registered 4J3. No: 2010898811. Address: 10432 JASPER AVENUE, EDMONTON ALBERTA, T5J 1Z3. No: 2010914436. AGNI HOMES INC. Named Alberta Corporation Incorporated 2004 FEB 02 Registered Address: 4616 ALLABY WELDING LTD. Named Alberta - 43 AVENUE, EDMONTON ALBERTA, T6L Corporation Incorporated 2004 FEB 05 Registered 6H9. No: 2010891683. Address: 5135-48 STREET, ROCKY MOUNTAIN HOUSE ALBERTA, T4T 1A3. No: 2010898100. AIRALTA HEATING & COOLING LTD. Named Alberta Corporation Incorporated 2004 FEB 12 ALPHA RESEARCH LIMITED Named Alberta Registered Address: #710, 633 6 AVENUE SW, Corporation Incorporated 2004 FEB 05 Registered CALGARY ALBERTA, T2P 2Y5. No: 2010911333. Address: 3100, 324 - 8TH AVENUE S.W., CALGARY ALBERTA, T2P 2Z2. No: 2010897169. AL AZHAR SHRINERS (MOTOR CORPS) SOCIETY Alberta Society Incorporated 2004 FEB ALPINE CARRIERS LTD. Named Alberta 09 Registered Address: P.O. BOX 70038, Corporation Incorporated 2004 FEB 10 Registered BOWNESS POSTAL OUTLET, CALGARY Address: 226 BANCROFT CLOSE NW, ALBERTA, T3B 5K3. No: 5010905544. EDMONTON ALBERTA, T5T 6B5. No: 2010905665. AL'S CONCRETE LTD. Named Alberta Corporation Incorporated 2004 FEB 11 Registered ALPINE MARKETING GROUP INC. Named Address: 401 6 AVENUE, WARNER ALBERTA, Alberta Corporation Incorporated 2004 FEB 02 T0K 2L0. No: 2010909444. Registered Address: #201, 17834 - 106 AVE, EDMONTON ALBERTA, T5S 1V4. No: ALBERTA ASSOCIATION OF IMMIGRANT 2010891873. PROFESSIONALS INFORMATION CENTRE Alberta Society Incorporated 2004 JAN 30 ALTITUDE COMMUNICATIONS INC. Named Registered Address: 1723 40 ST. SE, CALGARY Alberta Corporation Incorporated 2004 FEB 06 ALBERTA, T2A 7Y3. No: 5010893724. Registered Address: 4360 - 33 STREET, EDMONTON ALBERTA, T6T 1B7. No: ALBERTA DIGITAL JUKEBOX LTD. Named 2010900609. Alberta Corporation Incorporated 2004 FEB 12 Registered Address: 322 19 ST SE, CALGARY ALTITUDE SOLUTIONS LTD. Named Alberta ALBERTA, T0L 1T0. No: 2010910962. Corporation Incorporated 2004 FEB 11 Registered Address: #705, 123 - 10 AVENUE SW, CALGARY ALBERTA EQUESTRIAN VAULTING ALBERTA, T2R 1K8. No: 2010910343. ASSOCIATION Alberta Society Incorporated 2004 FEB 03 Registered Address: RR #2, SITE 15, AMBASSADOR RECREATIONAL SERVICES COMP 21, ROCKY MOUNTAIN HOUSE AB LTD. Named Alberta Corporation Incorporated ALBERTA, T4T 2A2. No: 5010913654. 2004 FEB 09 Registered Address: #5, 201 GRAND BOULEVARD, COCHRANE ALBERTA, T4C ALBERTA FAST FREIGHT LTD. Named Alberta 2G4. No: 2010904296. Corporation Incorporated 2004 FEB 02 Registered Address: 21 5816 53 AVE., RED DEER ALBERTA, AMC ENGINEERING INC. Named Alberta T4N 4L5. No: 2010891915. Corporation Incorporated 2004 FEB 05 Registered Address: APT# 101 635 56 AVENUE SW, ALBERTA MODERN PENTATHLON CALGARY ALBERTA, T2V 0G9. No: ASSOCIATION 2003 Alberta Society Incorporated 2010898720. 2004 FEB 11 Registered Address: BOX 661, BRAGG CREEK ALBERTA, T0L 0K0. No: ANGEL SAVANNAH MANAGEMENT LTD. 5010908266. Named Alberta Corporation Incorporated 2004 FEB 11 Registered Address: #903, 1333 - 8TH STREET S.W., CALGARY ALBERTA, T2R 1M6. No: 2010909741.

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ANNA ELLS PROFESSIONAL CORPORATION ATCO I-TEK INC. Federal Corporation Registered Medical Professional Corporation Incorporated 2004 2004 FEB 05 Registered Address: 1400, 909 - 11TH FEB 03 Registered Address: 509, 20TH AVENUE AVENUE SW, CALGARY ALBERTA, T2R 1N6. SW, CALGARY ALBERTA, T2S 0E7. No: No: 2110899511. 2010868186. AURORA SOLUTIONS LTD. Named Alberta ANORAK HOLDINGS LTD. Named Alberta Corporation Incorporated 2004 FEB 02 Registered Corporation Incorporated 2004 FEB 03 Registered Address: 271 HAMPSTEAD WAY N.W., Address: #103 NORMED CENTRE, 50 CALGARY ALBERTA, T3A 6E6. No: 2010891410. BRENTWOOD BLVD, SHERWOOD PARK ALBERTA, T8A 2H4. No: 2010884647. AUTOMATION INTEGRATION SOLUTIONS INC. Named Alberta Corporation Incorporated 2004 ANTI-GRAVITY TRUCKING LTD. Named FEB 02 Registered Address: 4816 - 50 AVENUE, Alberta Corporation Incorporated 2004 FEB 11 BONNYVILLE ALBERTA, T9N 2H2. No: Registered Address: 5-1-32-17-SE No: 2010910186. 2010890172.

APNA COMPUTERS & CONSULTING INC. AVEVA INC. Foreign Corporation Registered 2004 Named Alberta Corporation Incorporated 2004 FEB FEB 13 Registered Address: 1000, 425 - 1ST 10 Registered Address: 1019 - 105 STREET, STREET S.W., CALGARY ALBERTA, T2P 3L8. EDMONTON ALBERTA, T6J 6G1. No: No: 2110913882. 2010905822. AXIS INFORMATION SYSTEMS INC. Named ARC EQUITY MANAGEMENT (FUND 4) LTD. Alberta Corporation Incorporated 2004 FEB 04 Federal Corporation Registered 2004 FEB 13 Registered Address: 13424 135 ST, EDMONTON Registered Address: 3000, 237 - 4 AVENUE SW, ALBERTA, T5L 1Y9. No: 2010896716. CALGARY ALBERTA, T2P 4X7. No: 2110913213. B & C DUSTBUSTERS LTD. Named Alberta ARIRANG ORIENTAL FOODS & IMPORTS LTD. Corporation Incorporated 2004 FEB 11 Registered Named Alberta Corporation Incorporated 2004 FEB Address: 222 MAIN STREET NORTH, AIRDIRE 12 Registered Address: 7743-85 STREET, ALBERTA, T4B 2B8. No: 2010909907. EDMONTON ALBERTA, T6C 3B4. No: 2010910947. B. & MC. ENTERPRISES INC. Named Alberta Corporation Incorporated 2004 FEB 03 Registered ARKAYEL ENTERPRISES LTD. Named Alberta Address: 63 ALDERWOOD CLOSE SE, Corporation Incorporated 2004 FEB 09 Registered CALGARY ALBERTA, T2H 1T4. No: 2010894893. Address: 1413 - 2ND STREET S.W., CALGARY ALBERTA, T2R 0W7. No: 2010845275. B. SCHULTZ INSULATING LTD. Named Alberta Corporation Incorporated 2004 FEB 06 Registered ARTISTIC CABINET INSTALLATIONS LTD. Address: 66 CREEKSIDE WAY, SPRUCE GROVE Named Alberta Corporation Incorporated 2004 FEB ALBERTA, T7X 4A2. No: 2010901680. 03 Registered Address: 17393 108 AVE NW, EDMONTON ALBERTA, T5S 1G2. No: BABY BRATZ INC. Named Alberta Corporation 2010893887. Incorporated 2004 FEB 14 Registered Address: 128 TARAVISTA CR. NE, CALGARY ALBERTA, T3J ASIAN PAGES (403) INC. Named Alberta 4N8. No: 2010915474. Corporation Incorporated 2004 FEB 05 Registered Address: 147 WHITESIDE ROAD NE, CALGARY BACON MECHANICAL PLUMBING AND ALBERTA, T1Y 1Y6. No: 2010899660. HEATING LTD. Named Alberta Corporation Incorporated 2004 FEB 06 Registered Address: 3277 ASIAN PAGES (780) INC. Named Alberta CEDARILLE DR SW, CALGARY ALBERTA, Corporation Incorporated 2004 FEB 05 Registered T2W 2N2. No: 2010902084. Address: 1415 49A ST NW, EDMONTON ALBERTA, T6L 6H6. No: 2010900021. BAD DOG INDUSTRIES LTD. Named Alberta Corporation Incorporated 2004 FEB 11 Registered ASSAM ENTERPRISES INC. Named Alberta Address: 4523 72 ST NW, CALGARY ALBERTA, Corporation Incorporated 2004 FEB 12 Registered T3B 2L3. No: 2010910012. Address: 131 CITADEL MEADOW GROVE NW, CALGARY ALBERTA, T3G 4K8. No: BAUEN CONSULTING LTD. Named Alberta 2010910467. Corporation Incorporated 2004 FEB 04 Registered Address: #1, 5304 - 50TH STREET, LEDUC ASSURE ENERGY, INC. Named Alberta ALBERTA, T9E 6Z6. No: 2010894679. Corporation Continued In 2004 FEB 06 Registered Address: #1900, 350-7TH AVENUE SW, BAZ ENTERPRISES LTD. Named Alberta CALGARY ALBERTA, T2P 3N9. No: 2010901037. Corporation Incorporated 2004 FEB 03 Registered Address: 58, 9703 - 41 AVENUE, EDMONTON ALBERTA, T6E 6M9. No: 2010895502.

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BEAR COUNTRY LTD. Named Alberta BIGNOTE ENTERTAINMENT INC. Federal Corporation Incorporated 2004 FEB 06 Registered Corporation Registered 2004 FEB 04 Registered Address: #75-203 LYNNVIEW ROAD S.E., Address: 87 TUSCANY SPRINGS WAY NW, CALGARY ALBERTA, T2C 2C6. No: 2010901193. CALGARY ALBERTA, T3L 2N4. No: 2110896657.

BEARCAT VENTURES LTD. Named Alberta BIGSTONE ECONOMIC HOLDINGS LTD. Corporation Incorporated 2004 FEB 06 Registered Named Alberta Corporation Incorporated 2004 FEB Address: 5202 52 AVE, DRAYTON VALLEY 13 Registered Address: 1600, 10025 - 102A ALBERTA, T7A 1S2. No: 2010900443. AVENUE, EDMONTON ALBERTA, T5J 2Z2. No: 2010914964. BEAUTIFUL YOU SPA INC. Named Alberta Corporation Incorporated 2004 FEB 13 Registered BLACK BUTTE EXPLORATION LTD. Named Address: 39 EDGEBURN CRESCENT N.W., Alberta Corporation Incorporated 2004 FEB 10 CALGARY ALBERTA, T3A 4J5. No: 2010914246. Registered Address: 2200, 736 - 6TH AVENUE S.W., CALGARY ALBERTA, T2P 3T7. No: BEESLA & SON FINANCIAL SERVICES LTD. 2010895981. Other Prov/Territory Corps Registered 2004 FEB 14 Registered Address: 1600, 205 - 5TH AVENUE BLACK GOLD OILFIELD INSPECTION S.W., CALGARY ALBERTA, T2P 2V7. No: SERVICES LTD. Named Alberta Corporation 2110915259. Incorporated 2004 FEB 11 Registered Address: #1155, 5555 CALGARY TRAIL SOUTH, BEIRAMAR ROCKY RIDGE CORP. Named EDMONTON ALBERTA, T6H 5P9. No: Alberta Corporation Incorporated 2004 FEB 09 2010908297. Registered Address: 3300, 421 7 AVENUE SW, CALGARY ALBERTA, T2P 4K9. No: 2010905285. BLACKPINE CONSTRUCTION LTD. Named Alberta Corporation Incorporated 2004 FEB 11 BELIEVE & RECEIVE INC. Named Alberta Registered Address: 5016 - 40 ST., INNISFAIL Corporation Incorporated 2004 FEB 10 Registered ALBERTA, T4G 1H8. No: 2010909022. Address: 315 PINEWIND CLOSE N.E., CALGARY ALBERTA, T1Y 2H5. No: 2010907505. BLINK DESIGN GROUP INC. Named Alberta Corporation Incorporated 2004 FEB 12 Registered BELLSTAR DEVELOPMENTS INC. Named Address: 205-10434 125 ST NW, EDMONTON Alberta Corporation Incorporated 2004 FEB 04 ALBERTA, T5N 1T3. No: 2010912661. Registered Address: 1900, 715 - 5 AVENUE S.W., CALGARY ALBERTA, T2P 2X6. No: 2010895619. BLISS SALON & ESTHETICS INC. Named Alberta Corporation Incorporated 2004 FEB 09 BERT & ERNIES CONSTRUCTION LTD. Named Registered Address: 103 3400 14 STREET NW, Alberta Corporation Incorporated 2004 FEB 02 CALGARY ALBERTA, T2K 1H9. No: Registered Address: 898 ERIN PLACE NW, 2010905236. EDMONTON ALBERTA, T5T 1M6. No: 2010892590. BLUE OCEANS ENTERPRISES LTD. Named Alberta Corporation Incorporated 2004 FEB 10 BETTER IMAGE & WELLNESS CENTRE INC. Registered Address: UNIT 82, 4003 - 98 STREET, Named Alberta Corporation Incorporated 2004 FEB EDMONTON ALBERTA, T6E 6M8. No: 10 Registered Address: 5715 MADIGAN DR. NE, 2010907273. CALGARY ALBERTA, T2A 4P4. No: 2010883078. BLUE RIDGE OUTFITTERS LTD. Other BEVEL EDGE GLASS & MARBLE II INC. Named Prov/Territory Corps Registered 2004 FEB 02 Alberta Corporation Incorporated 2004 FEB 07 Registered Address: P.O. BOX 430, WILDWOOD Registered Address: 127 CANTREE PLACE SW, ALBERTA, T0E 2M0. No: 2110891252. CALGARY ALBERTA, T2W 2K2. No: 2010902522. BLUE SCREEN SYSTEMS INC. Named Alberta Corporation Incorporated 2004 FEB 12 Registered BHAI SAAB WOODWORK LTD. Named Alberta Address: 53 WIMBLETON CRESCENT, ST. Corporation Incorporated 2004 FEB 13 Registered ALBERT ALBERTA, T8N 3X5. No: 2010910327. Address: 71 FALSBY PLACE NE, CALGARY ALBERTA, T3J 1B9. No: 2010915227. BLUE SKIES TANNING INC. Named Alberta Corporation Incorporated 2004 FEB 03 Registered BIG BEAR TECHNOLOGIES INC. Named Alberta Address: 102, 5300 - 50 STREET, STONY PLAIN Corporation Incorporated 2004 FEB 04 Registered ALBERTA, T7Z 1T8. No: 2010894695. Address: 600, 5920 MACLEOD TRAIL S.W., CALGARY ALBERTA, T2H 0K2. No: BMF HOLDINGS LTD. Named Alberta Corporation 2010897151. Incorporated 2004 FEB 04 Registered Address: 25048 BURMA RD, CALGARY ALBERTA, T3R 1B7. No: 2010897201.

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BONANZA INTERNATIONAL LTD. Named BROOKS DAYLIGHTING LIMITED Named Alberta Corporation Incorporated 2004 FEB 12 Alberta Corporation Incorporated 2004 FEB 11 Registered Address: 289 MACEWAN PARK VIEW Registered Address: #4 3326 15 AVE SW, N.W., CALGARY ALBERTA, T3K 4G7. No: MEDICINE HAT ALBERTA, T1B 3W5. No: 2010910236. 2010908883.

BOOKKEEPERS & ACCOUNTANTS INC. Named BROWNRIDGE & COMPANY INSURANCE Alberta Corporation Incorporated 2004 FEB 10 SERVICES INC. Other Prov/Territory Corps Registered Address: 1751 - 66 AVENUE SE, Registered 2004 FEB 06 Registered Address: 1500, CALGARY ALBERTA, T2C 1T2. No: 2010906325. 10180 - 101 STREET, EDMONTON ALBERTA, T5J 4K1. No: 2110901762. BOW VALLEY APPRAISALS INC. Named Alberta Corporation Incorporated 2004 FEB 11 BUFFALO CONSTRUCTION LTD. Named Alberta Registered Address: 2014 COTTONWOOD Corporation Incorporated 2004 FEB 13 Registered CRESCENT SE, CALGARY ALBERTA, T2B 1R1. Address: 104 MACEWAN DRIVE NW, CALGARY No: 2010908917. ALBERTA, T3K 2P7. No: 2010913818.

BOWNESS INVESTMENTS LTD. Named Alberta BULLS-EYE PRINT & PROMO SUPPLY INC. Corporation Incorporated 2004 FEB 13 Registered Named Alberta Corporation Incorporated 2004 FEB Address: 828-105-150 CROWFOOT CRES NW, 02 Registered Address: 13420 - 157 AVENUE CALGARY ALBERTA, T3G 3T2. No: 2010912455. N.W., EDMONTON ALBERTA, T6V 1P6. No: 2010889802. BOX OFFICE TICKET CENTRE LTD. Named Alberta Corporation Incorporated 2004 FEB 09 BURNT OUT WELDING LTD. Named Alberta Registered Address: 74 ARBOUR WOOD CRES. Corporation Incorporated 2004 FEB 06 Registered NW, CALGARY ALBERTA, T3G 4C3. No: Address: #700, 603 - 7TH AVENUE S.W., 2010904205. CALGARY ALBERTA, T2P 2T5. No: 2010900211.

BOXING WITH GOD INC. Named Alberta BUSINESS VISION MARKETING INC. Named Corporation Incorporated 2004 FEB 10 Registered Alberta Corporation Incorporated 2004 FEB 04 Address: 8603-104 STREET, EDMONTON Registered Address: 153 PRESTWICK RISE SE, ALBERTA, T6E 4G6. No: 2010906515. CALGARY ALBERTA, T2Z 3X5. No: 2010895742.

BRAGOR HOLDINGS INC. Named Alberta BUYING TIME INC. Named Alberta Corporation Corporation Incorporated 2004 FEB 13 Registered Incorporated 2004 FEB 10 Registered Address: 300, Address: 4712 - 16TH STREET S.W., CALGARY 10655 SOUTHPORT ROAD S.W., CALGARY ALBERTA, T2T 4J4. No: 2010913354. ALBERTA, T2W 4Y1. No: 2010905517.

BRAIN BASE INC. Named Alberta Corporation BYTE ZONE INC. Named Alberta Corporation Incorporated 2004 FEB 04 Registered Address: 142 Incorporated 2004 FEB 13 Registered Address: 45 BRIDALWOOD MANOR SW, CALGARY TUSCANY RAVINE CRESCENT NW, CALGARY ALBERTA, T2Y 3T5. No: 2010896385. ALBERTA, T3L 2X1. No: 2010911754.

BRANDY P. OULTON PROFESSIONAL C & M CATTLE COMPANY LTD. Named Alberta CORPORATION Legal Professional Corporation Corporation Incorporated 2004 FEB 13 Registered Incorporated 2004 FEB 02 Registered Address: S2, Address: 1305 - 4A STREET S.W., CALGARY MOUNT ROYAL VILLAGE, 880 - 16TH ALBERTA, T2M 3A8. No: 2010912380. AVENUE SW, CALGARY ALBERTA, T2R 1J9. No: 2010892582. C & S SAFETY LTD. Named Alberta Corporation Incorporated 2004 FEB 06 Registered Address: BREEZE WIND ENERGY CORPORATION #201, 93 MCLEOD AVENUE, SPRUCE GROVE Named Alberta Corporation Incorporated 2004 FEB ALBERTA, T7X 2Z9. No: 2010901524. 10 Registered Address: 300, 10655 SOUTHPORT ROAD S.W., CALGARY ALBERTA, T2W 4Y1. C. BETKER OILFIELD SAFETY SERVICES INC. No: 2010905525. Named Alberta Corporation Incorporated 2004 FEB 04 Registered Address: 4807 - 51 STREET, COLD BROADVIEW G.P. LTD. Named Alberta LAKE ALBERTA, T9M 1P2. No: 2010897219. Corporation Incorporated 2004 FEB 12 Registered Address: #1900, 350 - 7TH AVENUE S.W., C. EDWARD FROST PROFESSIONAL CALGARY ALBERTA, T2P 3N9. No: 2010910731. CORPORATION Legal Professional Corporation Incorporated 2004 FEB 02 Registered Address: 801 BROADVIEW REDEV PROPERTIES LTD. Named SCOTIA PLACE, 10060 JASPER AVENUE, Alberta Corporation Incorporated 2004 FEB 12 EDMONTON ALBERTA, T5J 3R8. No: Registered Address: #1900, 350 - 7TH AVENUE 2010892327. S.W., CALGARY ALBERTA, T2P 3N9. No: 2010910624.

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C.J.R. ELECTRIC LTD. Named Alberta Corporation CANADIAN RUSTIC FURNITURE INC. Named Incorporated 2004 FEB 11 Registered Address: 9302 Alberta Corporation Incorporated 2004 FEB 04 152 STREET NW, EDMONTON ALBERTA, T5R Registered Address: 107 ALLANDALE CLOSE SE, 1M9. No: 2010908693. CALGARY ALBERTA, T2H 1W1. No: 2010896666. CAL FREEMAN CONSTRUCTION CORPORATION Named Alberta Corporation CANDEN HOLDINGS LTD. Named Alberta Incorporated 2004 FEB 09 Registered Address: 2014 Corporation Incorporated 2004 FEB 04 Registered COTTONWOOD CRESCENT SE, CALGARY Address: 3400, 150 - 6TH AVENUE SW, ALBERTA, T2B 1R1. No: 2010904130. CALGARY ALBERTA, T2P 3Y7. No: 2010895692.

CALGARY EXTERMINATORS INC. Named CARRO RESOURCES LTD. Named Alberta Alberta Corporation Incorporated 2004 FEB 03 Corporation Incorporated 2004 FEB 13 Registered Registered Address: 300, 10655 SOUTHPORT Address: 3500, 855 - 2 STREET SW, CALGARY ROAD S.W., CALGARY ALBERTA, T2W 4Y1. ALBERTA, T2P 4J8. No: 2010914741. No: 2010839872. CARROLL VENTURES INC. Named Alberta CALGARY RED DEVILS FOOTBALL CLUB Corporation Incorporated 2004 FEB 03 Registered Alberta Society Incorporated 2004 JAN 23 Address: 2819 CENTRE STREET N.W., Registered Address: 201 WESTMINSTER DR. SW, CALGARY ALBERTA, T2E 2V7. No: 2010893176. CALGARY ALBERTA, T3C 2T5. No: 5010902293. CASABLANCA CAPITAL CORP. Named Alberta CALGARY WORKERS' RESOURCE CENTRE Corporation Incorporated 2004 FEB 12 Registered Alberta Society Incorporated 2004 JAN 23 Address: 1250, 639 - 5TH AVENUE S.W., Registered Address: 307, 315 - 10TH AVENUE SE, CALGARY ALBERTA, T2P 0M9. No: CALGARY ALBERTA, T2G 0W2. No: 2010911101. 5010900164. CASH RICH INC. Named Alberta Corporation CALLUSB COMMUNICATIONS.COM INC. Incorporated 2004 FEB 02 Registered Address: 5233 Named Alberta Corporation Incorporated 2004 FEB - 49 AVENUE, RED DEER ALBERTA, T4N 6G5. 13 Registered Address: 1600, 10025 - 102A No: 2010891451. AVENUE, EDMONTON ALBERTA, T5J 2Z2. No: 2010914808. CASPER TRIMMING LTD. Other Prov/Territory Corps Registered 2004 FEB 06 Registered Address: CAMCO DELIVERY SERVICES INC. Named 222 MAIN STREET NORTH, AIRDRIE Alberta Corporation Incorporated 2004 FEB 10 ALBERTA, T4B 2B8. No: 2110896020. Registered Address: 212 - 9714 MAIN STREET, FORT MCMURRAY ALBERTA, T9H 1T6. No: CATALYST COMPUTER SOLUTIONS LTD. 2010907919. Named Alberta Corporation Incorporated 2004 FEB 13 Registered Address: 10229 TUSCANY HILLS CANADA CALLS RECRUITMENT INC. Named WAY NW, CALGARY ALBERTA, T3L 2G4. No: Alberta Corporation Incorporated 2004 FEB 06 2010914618. Registered Address: #200, 10350 - 172 STREET, EDMONTON ALBERTA, T5S 1G9. No: CAUSEWORKS, INC. Other Prov/Territory Corps 2010900773. Registered 2004 FEB 05 Registered Address: 3000, 237 - 4 AVENUE SW, CALGARY ALBERTA, T2P CANADA-WIDE HVAC SERVICES INC. Federal 4X7. No: 2110899362. Corporation Registered 2004 FEB 09 Registered Address: #2100, 700 - 2ND STREET S.W., CBR WELDING LTD. Named Alberta Corporation CALGARY ALBERTA, T2P 2W1. No: Incorporated 2004 FEB 12 Registered Address: 19 2110903875. HILLMAN WAY, SYLVAN LAKE ALBERTA, T4S 1W9. No: 2010911499. CANADIAN FRINGE BANKERS (2004) INC. Named Alberta Corporation Incorporated 2004 FEB CERTUS TECHNOLOGIES INC. Named Alberta 10 Registered Address: 600, 12220 STONY PLAIN Corporation Incorporated 2004 FEB 10 Registered ROAD, EDMONTON ALBERTA, T5N 3Y4. No: Address: 1100 - 205 RIVERFRONT AVENUE SW, 2010907471. CALGARY ALBERTA, T2P 5K4. No: 2010905947.

CANADIAN INSTITUTE OF TRADITIONAL CHARMAR CONSTRUCTION FORCE LTD. CHINESE MEDICINE CORP. Named Alberta Named Alberta Corporation Incorporated 2004 FEB Corporation Incorporated 2004 FEB 12 Registered 09 Registered Address: 9609-98 STREET, Address: 136 17 AVE NE, CALGARY ALBERTA, MORINVILLE ALBERTA, T8R 1H1. No: T2E 1L6. No: 2010911366. 2010904098.

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CHATTERS SALON LOUGHEED LIMITED CIS PRE-CLEARANCE EXPRESS INC. Federal Named Alberta Corporation Incorporated 2004 FEB Corporation Registered 2004 FEB 04 Registered 05 Registered Address: 4TH FLR., 4943 - 50TH Address: UPPER LEVEL 5917 - 1A STREET SW, STREET, RED DEER ALBERTA, T4N 1Y1. No: CALGARY ALBERTA, T2H 0G4. No: 2010898191. 2110891476.

CHEMBRET CONSULTING LTD. Named Alberta CITY OF LONDON INVESTMENT Corporation Incorporated 2004 FEB 09 Registered MANAGEMENT COMPANY LIMITED Foreign Address: 720 COACH BLUFF CRESCENT S.W., Corporation Registered 2004 FEB 12 Registered CALGARY ALBERTA, T3H 1A8. No: Address: 3700, 400 - 3RD AVENUE SW, 2010903405. CALGARY ALBERTA, T2P 4H2. No: 2110912736.

CHEMTEL IMPORTS INC. Named Alberta CIVENCO CIVIL ENGINEERING CONSULTANT Corporation Incorporated 2004 FEB 12 Registered INC. Named Alberta Corporation Incorporated 2004 Address: 3000, 700 - 9TH AVENUE SW, FEB 04 Registered Address: 363 LEE RIDGE CALGARY ALBERTA, T2P 3V4. No: 2010912802. ROAD, EDMONTON ALBERTA, T6K 0N6. No: 2010895635. CHERYL E. CABLE PROFESSIONAL CORPORATION Dental Professional Corporation CK5 MACHINE AND GUNDRILLING INC. Incorporated 2004 FEB 09 Registered Address: Named Alberta Corporation Incorporated 2004 FEB 2500, 10155 - 102 STREET, EDMONTON 06 Registered Address: 1018 BURNS CLOSE NW, ALBERTA, T5J 4G8. No: 2010902993. EDMONTON ALBERTA, T6R 2L2. No: 2010898951. CHET HERIC LTD. Named Alberta Corporation Incorporated 2004 FEB 09 Registered Address: 1- CLASSICAL ELECTRICAL LTD. Named Alberta 2204 A ST NW, CALGARY ALBERTA, T2M 2T7. Corporation Incorporated 2004 FEB 02 Registered No: 2010902803. Address: 13515-124B AVENUE, EDMONTON ALBERTA, T5L 3H8. No: 2010891295. CHINOOK COUNTRY TRAILER SALES LTD. Named Alberta Corporation Incorporated 2004 FEB CLEAR ENVIRONMENTAL SOLUTIONS INC. 06 Registered Address: 1003-4TH AVENUE Named Alberta Corporation Incorporated 2004 FEB SOUTH, LETHBRIDGE ALBERTA, T1J 0P7. No: 05 Registered Address: 1900, 715 - 5 AVENUE 2010862783. S.W., CALGARY ALBERTA, T2P 2X6. No: 2010899405. CHIPEWYAN PRAIRIE FIRST NATION HOUSING SOCIETY Alberta Society Incorporated CLUB 88 BUSINESS NETWORKING OF 2004 JAN 14 Registered Address: GENERAL CALGARY Alberta Society Incorporated 2004 FEB DELIVERY, CHARD ALBERTA, T0P 1G0. No: 06 Registered Address: 418, 715 - 5 AVENUE S.W., 5010901287. CALGARY ALBERTA, T2P 2X6. No: 5010910858.

CHITOSAN CANADA INC. Named Alberta CM THE OUTHOUSE INC. Named Alberta Corporation Incorporated 2004 FEB 06 Registered Corporation Incorporated 2004 FEB 02 Registered Address: 219 SIENNA PARK TERRACE SW, Address: 1200, 1015 - 4TH STREET SW, CALGARY ALBERTA, T3H 4N1. No: CALGARY ALBERTA, T2R 1J4. No: 2010886253. 2010900666. CMA HOLDINGS INCORPORATED / HOLDING CHRIAND CONTRACTING LTD. Named Alberta AMC INCORPORÉE Federal Corporation Corporation Incorporated 2004 FEB 12 Registered Registered 2004 FEB 12 Registered Address: 1000, Address: 8315 - 160 AVE., EDMONTON 400 - 3RD AVENUE SW, CALGARY ALBERTA, ALBERTA, T5Z 3G9. No: 2010908958. T2P 4H2. No: 2110911019.

CHRISTOPHER SCHULTZ CONSULTING INC. COACH CONSULTING 2004 LTD. Named Alberta Named Alberta Corporation Incorporated 2004 FEB Corporation Incorporated 2004 FEB 06 Registered 13 Registered Address: 413, 1333 8TH STREET Address: SW 25-35-1-W5TH No: 2010901599. SW, CALGARY ALBERTA, T2R 1M6. No: 2010914345. COACHMAN DEVELOPMENTS LTD. Named Alberta Corporation Incorporated 2004 FEB 11 CIRCA REPRODUCTIONS INC. Named Alberta Registered Address: 2 DOVER COURT, ST. Corporation Incorporated 2004 FEB 09 Registered ALBERT ALBERTA, T8N 5Y4. No: 2010905798. Address: 46 NEW BRIGHTON CIRCLE S.E., CALGARY ALBERTA, T2Z 4B3. No: 2010903637. COASTAL CORPORATE MANAGEMENT LTD. Other Prov/Territory Corps Registered 2004 FEB 13 Registered Address: 1000, 400 - 3RD AVENUE SW, CALGARY ALBERTA, T2P 4H2. No: 2110913726.

- 854 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

COCHRANE SPORT PHYSICAL THERAPY INC. CORRACTIV INTEGRITY INC. Named Alberta Named Alberta Corporation Incorporated 2004 FEB Corporation Incorporated 2004 FEB 03 Registered 05 Registered Address: 800 GRIFFIN ROAD E., Address: 3000, 700 -9TH AVENUE SW, COCHRANE ALBERTA, T4C 1B2. No: CALGARY ALBERTA, T2P 3V4. No: 2010893788. 2010899967. CORTEZ VENTURES INC. Named Alberta CODENAME TECHNOLOGIES INC. Named Corporation Incorporated 2004 FEB 05 Registered Alberta Corporation Incorporated 2004 FEB 13 Address: 1100 CANADIAN WESTERN BANK PL., Registered Address: 108 QUEENSLAND PLACE 10303 JASPER AVE., EDMONTON ALBERTA, SE, CALGARY ALBERTA, T2J 4G8. No: T5J 3N6. No: 2010894240. 2010913040. COSTCOMPUTER OUTLET INC. Named Alberta COLIN'S CUSTOM MILLWORK AND Corporation Incorporated 2004 FEB 05 Registered CONTRACTING LTD. Named Alberta Corporation Address: 23 CITADEL MEADOW GARDENS NW, Incorporated 2004 FEB 13 Registered Address: 41 CALGARY ALBERTA, T3G 5N6. No: 2115 118 ST, EDMONTON ALBERTA, T5G 5N1. 2010898076. No: 2010912273. COUNTRYSIDE CHOPPING LTD. Named Alberta COMNEX CONSULTING GROUP INC. Named Corporation Incorporated 2004 FEB 03 Registered Alberta Corporation Incorporated 2004 FEB 10 Address: 608 - 3RD AVENUE SOUTH, Registered Address: 251 HILLIARD GREEN NW, LETHBRIDGE ALBERTA, T1J 0H5. No: EDMONTON ALBERTA, T6R 3G5. No: 2010894737. 2010907893. COYOTE COATINGS LTD. Named Alberta COMPLETE AG SERVICES LTD. Named Alberta Corporation Incorporated 2004 FEB 04 Registered Corporation Incorporated 2004 FEB 09 Registered Address: NE 1/4 S.18, T.19. R.34 WEST OF THE Address: 98 - 3RD AVENUE WEST, 4TH MERIDIAN PLAN 9510307 BLOCK 1 No: DRUMHELLER ALBERTA, T0J 0Y0. No: 2010897086. 2010902787. CRAIG DAWSON MACKAY PROFESSIONAL CONDO LINK MANAGEMENT SERVICES LTD. CORPORATION Legal Professional Corporation Named Alberta Corporation Incorporated 2004 FEB Incorporated 2004 FEB 03 Registered Address: 101- 13 Registered Address: 822 CENTRE STREET N, 10119 97A AVE NW, EDMONTON ALBERTA, CALGARY ALBERTA, T2E 8K1. No: 2010909360. T5J 3V5. No: 2010893390.

CONNECTING CANADA, INC. Foreign CRESCENT HEIGHTS PROPERTY CORP. Named Corporation Registered 2004 FEB 10 Registered Alberta Corporation Incorporated 2004 FEB 05 Address: SUITE 1200, 700 - 2ND STREET S.W., Registered Address: 1500, 736 - 6TH AVENUE CALGARY ALBERTA, T2P 4V5. No: 2110907686. S.W., CALGARY ALBERTA, T2P 3T7. No: 2010899272. CONSTANT INVESTMENTS INC. Named Alberta Corporation Incorporated 2004 FEB 03 Registered CRESTA RIDGE DEVELOPMENTS LTD. Named Address: 537 - 7 STREET SOUTH, LETHBRIDGE Alberta Corporation Incorporated 2004 FEB 06 ALBERTA, T1J 2G8. No: 2010893200. Registered Address: 2819 CENTRE STREET NW, CALGARY ALBERTA, T2E 2V7. No: 2010898308. CONSULTING TRAVEL SYSTEMS INC. Named Alberta Corporation Incorporated 2004 FEB 09 CRIMSON LIGHTS CAFE LTD. Named Alberta Registered Address: 85 INVERNESS DRIVE S.E., Corporation Incorporated 2004 FEB 06 Registered CALGARY ALBERTA, T2Z 3K2. No: 2010903603. Address: 8617-158A AVE., EDMONTON ALBERTA, T5Z 3B7. No: 2010900245. CONTACT-WORKS INC. Named Alberta Corporation Incorporated 2004 FEB 04 Registered CROSSCAN LTD. Named Alberta Corporation Address: #104, 830 - 8 STREET, CALGARY Incorporated 2004 FEB 11 Registered Address: 428 ALBERTA, T1W 2B7. No: 2010897532. STRATHFORD BLVD, STRATHMORE ALBERTA, T1P 1S8. No: 2010908214. COOKING LAKE AVIATION MAINTENANCE LTD. Named Alberta Corporation Incorporated 2004 CROSSFIELD CAPITAL CORP. Named Alberta FEB 10 Registered Address: 12026-102 AVENUE, Corporation Incorporated 2004 FEB 12 Registered EDMONTON ALBERTA, T5K 0R9. No: Address: #1000 - 400 - 3RD AVENUE S.W., 2010903454. CALGARY ALBERTA, T2P 4H2. No: 2010910699.

COPPER FISH MEDIA GROUP INC. Named CROSSTOWN TRADES & CONSTRUCTION Alberta Corporation Incorporated 2004 FEB 02 LTD. Named Alberta Corporation Incorporated 2004 Registered Address: 2115 - 80TH AVENUE S.E., FEB 09 Registered Address: 125 COVEHAVEN CALGARY ALBERTA, T2C 1H3. No: VIEW NE, CALGARY ALBERTA, T3K 5S5. No: 2010892889. 2010905186.

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CRYSTAL SCHMALTZ PROFESSIONAL DALE B. SHUDRA PROFESSIONAL CORPORATION Chiropractic Professional CORPORATION Legal Professional Corporation Corporation Incorporated 2004 FEB 05 Registered Incorporated 2004 FEB 04 Registered Address: Address: #1, 3295 DUNMORE ROAD S.E., SUITE S2 MOUNT ROYAL VILLAGE, 880 - MEDICINE HAT ALBERTA, T1B 3R2. No: 16TH AVENUE SW, CALGARY ALBERTA, T2R 2010897557. 1J9. No: 2010895973.

CSW ENTERPRISES LTD. Named Alberta DALE ROMANOWICZ OILFIELD SERVICES Corporation Incorporated 2004 FEB 11 Registered LTD. Named Alberta Corporation Incorporated 2004 Address: 156 DOVELY CRESCENT SE, FEB 03 Registered Address: 1013 5TH AVENUE, CALGARY ALBERTA, T2B 2L1. No: 2010908073. WAINWRIGHT ALBERTA, T9W 1L6. No: 2010895445. CUBAN GOODWILL BASEBALL SOCIETY Alberta Society Incorporated 2004 FEB 05 DALPE PETROLEUM LTD. Named Alberta Registered Address: 4 ESCALLIER PLACE, ST. Corporation Incorporated 2004 FEB 09 Registered ALBERT ALBERTA, T8N 5T1. No: 5010900107. Address: 3700, 400 - 3RD AVENUE S.W., CALGARY ALBERTA, T2P 4H2. No: 2010894000. D & L GENERAL SERVICES INC. Named Alberta Corporation Incorporated 2004 FEB 04 Registered DAOUD PAINTING LTD. Named Alberta Address: 2502 PINE PLAZA, GRANDE CACHE Corporation Incorporated 2004 FEB 04 Registered ALBERTA, T0E 0Y0. No: 2010897433. Address: 1430B- 41 STREET SW, CALGARY ALBERTA, T3C 1X6. No: 2010897102. D. BEATON INSPECTION LTD. Named Alberta Corporation Incorporated 2004 FEB 12 Registered DAVANAT HOLDINGS LTD. Named Alberta Address: #1 608 1ST STREET EAST, COCHRANE Corporation Continued In 2004 FEB 09 Registered ALBERTA, T4C 1B4. No: 2010911705. Address: SUITE 1200, 700 - 2ND STREET S.W., CALGARY ALBERTA, T2P 4V5. No: 2010904650. D.A. MENZIES PROFESSIONAL CORPORATION Chartered Accounting Professional DC ELVERUM ENTERPRISES INC. Named Corporation Incorporated 2004 FEB 03 Registered Alberta Corporation Incorporated 2004 FEB 07 Address: 48 APRIL ROAD, BRAGG CREEK Registered Address: #20, 80 GALBRAITH DR. SW, ALBERTA, T0L 0K0. No: 2010892699. CALGARY ALBERTA, T3E 4Z6. No: 2010902563.

D.A.D.'S CONTRACTING LTD. Named Alberta DDD.IN QUALITY SHOE REPAIR INC. Named Corporation Incorporated 2004 FEB 11 Registered Alberta Corporation Incorporated 2004 FEB 11 Address: SW15, O64, 23, W04 No: 2010907646. Registered Address: 39 LA VALENCIA GARDENS NE, CALGARY ALBERTA, T1Y 6P3. No: D.C.K. ENTERPRISES INC. Named Alberta 2010908727. Corporation Incorporated 2004 FEB 10 Registered Address: 61, 53431 RANGE ROAD 221, DE-KAR WELDING LTD. Named Alberta ARDROSSAN ALBERTA, T8E 2K8. No: Corporation Incorporated 2004 FEB 03 Registered 2010906796. Address: 28 MEADOWVIEW CLOSE, SYLVAN LAKE ALBERTA, T4S 1J2. No: 2010892988. D.N.A. PROPERTY MAINTENANCE LTD. Named Alberta Corporation Incorporated 2004 FEB DEALER EQUITY INC. Other Prov/Territory Corps 02 Registered Address: 60 PENEDO PL SE, Registered 2004 FEB 02 Registered Address: 24 CALGARY ALBERTA, T2A 3N8. No: CATALINA DRIVE, SHERWOOD PARK 2010889794. ALBERTA, T8H 1R2. No: 2110892607.

D.W.T. DESIGN INC. Named Alberta Corporation DEAN'S PIPEFITTING AND FABRICATION Incorporated 2004 FEB 10 Registered Address: 48, LTD. Named Alberta Corporation Incorporated 2004 2323 OAKMOOR DRIVE SW, CALGARY FEB 03 Registered Address: 6505 12 AVENUE, ALBERTA, T2V 4T2. No: 2010907968. EDMONTON ALBERTA, T6L 2E9. No: 2010893424. DAACO DESIGN INC. Named Alberta Corporation Incorporated 2004 FEB 13 Registered Address: 300 DEEPER LIFE BIBLE CHURCH EDMONTON KING STREET, SPRUCE GROVE ALBERTA, Religious Society Incorporated 2004 JAN 26 T7X 3A8. No: 2010912869. Registered Address: BOX 47158 62 CITY CENTRE E, EDMONTON ALBERTA, T5J 4N1. No: DACL DESIGN INC. Named Alberta Corporation 5410901093. Incorporated 2004 FEB 09 Registered Address: 300 KING STREET, EDMONTON ALBERTA, T7X DEER CREEK ADVENTURES INC. Named 3A8. No: 2010897680. Alberta Corporation Incorporated 2004 FEB 04 Registered Address: 5024 - 51 AVENUE, PONOKA ALBERTA, T4J 1R7. No: 2010897029.

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DENCO PIPELINE SERVICES INC. Named DITO I LTD. Named Alberta Corporation Alberta Corporation Incorporated 2004 FEB 13 Incorporated 2004 FEB 06 Registered Address: Registered Address: 119 LYNBROOK PL. S.E., 2900-10180 101 ST, EDMONTON ALBERTA, T5J CALGARY ALBERTA, T2C 1S8. No: 2010913735. 3V5. No: 2010900138.

DEREK PYPER PROFESSIONAL DNA ABANDONMENT & ENVIRONMENTAL CORPORATION Chartered Accounting Professional SERVICES LTD. Named Alberta Corporation Corporation Incorporated 2004 FEB 13 Registered Incorporated 2004 FEB 11 Registered Address: 900, Address: 1500, 736 - 6TH AVENUE S.W., 521 - 3RD AVENUE S.W., CALGARY ALBERTA, CALGARY ALBERTA, T2P 3T7. No: 2010914295. T2P 3T3. No: 2010909667.

DEREK VAN TASSELL PROFESSIONAL DONNA C. PURCELL PROFESSIONAL CORPORATION Legal Professional Corporation CORPORATION Legal Professional Corporation Incorporated 2004 FEB 05 Registered Address: 102, Incorporated 2004 FEB 09 Registered Address: 600, 10126 - 97 AVENUE, GRANDE PRAIRIE 4911 - 51 STREET, RED DEER ALBERTA, T4N ALBERTA, T8V 7X6. No: 2010899041. 6V4. No: 2010900849.

DEVON HOTEL LTD. Named Alberta Corporation DOUG JOHNSTON AGENCIES LTD. Named Incorporated 2004 FEB 03 Registered Address: #1 Alberta Corporation Incorporated 2004 FEB 11 HURON ST., DEVON ALBERTA, T9G 1G4. No: Registered Address: NW-1/4-15-25-28-W4M No: 2010895494. 2010909584.

DEVON P.R. SERVICE LTD. Named Alberta DOUG STEINKE LTD. Other Prov/Territory Corps Corporation Incorporated 2004 FEB 04 Registered Registered 2004 FEB 10 Registered Address: 4500, Address: 40 DUROCHER, ST. ALBERT 855 - 2ND STREET S.W., CALGARY ALBERTA, ALBERTA, T8N 6L9. No: 2010896146. T2P 4K7. No: 2110906340.

DEXTERITY RESOURCES INC. Named Alberta DOUGLAS T. MCCARTNEY PROFESSIONAL Corporation Incorporated 2004 FEB 10 Registered CORPORATION Legal Professional Corporation Address: #204, 9644 - 54 AVENUE, EDMONTON Incorporated 2004 FEB 05 Registered Address: ALBERTA, T6E 5V1. No: 2010908057. SUITE 500, 603 - 7TH AVENUE S.W., CALGARY ALBERTA, T2P 2T5. No: 2010897375. DIALOG ELECTRICAL SERVICES LTD. Named Alberta Corporation Incorporated 2004 FEB 13 DR CONSTRUCTORS & ASSOCIATES LTD. Registered Address: 8325-170 AVE. NW, Named Alberta Corporation Incorporated 2004 FEB EDMONTON ALBERTA, T5Z 3G8. No: 12 Registered Address: 334 - 12 STREET SOUTH, 2010914402. LETHBRIDGE ALBERTA, T1J 2R1. No: 2010912117. DIGITAL FISSION (MEDIA) INC. Named Alberta Corporation Incorporated 2004 FEB 06 Registered DRAPER PUBLISHING INC. Named Alberta Address: SUITE 123, 9650 - 20 AVENUE, Corporation Incorporated 2004 FEB 03 Registered EDMONTON ALBERTA, T6N 1G1. No: Address: 3907 - 22 AVENUE, EDMONTON 2010900476. ALBERTA, T6L 4M1. No: 2010893317.

DIRECT FLOW CONTRACTING LTD. Named DREAM HOME APPRAISAL CORP. Named Alberta Corporation Incorporated 2004 FEB 12 Alberta Corporation Incorporated 2004 FEB 06 Registered Address: 5108 53 ST, DRAYTON Registered Address: 106-4545 45 ST SW, VALLEY ALBERTA, T7A 1S7. No: 2010911168. CALGARY ALBERTA, T3E 3W3. No: 2010901250. DIRECTCASH MANAGEMENT INC. Named Alberta Corporation Incorporated 2004 FEB 03 DYNAMIC I.T. SERVICES INC. Named Alberta Registered Address: 1400, 350 - 7TH AVENUE SW, Corporation Incorporated 2004 FEB 10 Registered CALGARY ALBERTA, T2P 3N9. No: 2010893689. Address: 19 DEERMOSS BAY SE, CALGARY ALBERTA, T2J 6P2. No: 2010906242. DIRTY JOHN'S SERVICE INC. Named Alberta Corporation Incorporated 2004 FEB 13 Registered DYNAMIC INTERNATIONAL FINANCIAL Address: 4834 - 50 STREET, OLDS ALBERTA, CORPORATION Named Alberta Corporation T4H 1E4. No: 2010915094. Incorporated 2004 FEB 02 Registered Address: 11913 36 ST NW, EDMONTON ALBERTA, T5W DITECH.CA LTD. Named Alberta Corporation 2B3. No: 2010892210. Incorporated 2004 FEB 12 Registered Address: 400 7015 MACLEOD TRAIL SW, CALGARY E. A. MYRLAK SERVICES LTD. Named Alberta ALBERTA, T2H 2K6. No: 2010910301. Corporation Incorporated 2004 FEB 10 Registered Address: 9016-161 AVE., EDMONTON ALBERTA, T5Z 3P5. No: 2010889786.

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EAGLE STEEL ALBERTA INC. Named Alberta EMSAM INVESTMENTS INC./LES Corporation Incorporated 2004 FEB 10 Registered INVESTISSEMENTS EMSAM INC. Federal Address: 1018 MURDOCH STREET, Corporation Registered 2004 FEB 09 Registered CROSSFIELD ALBERTA, T0M 0S0. No: Address: 3700, 400 - 3RD AVENUE S.W., 2010905988. CALGARY ALBERTA, T2P 4H2. No: 2110905219.

EAGLE WELL SERVICING CORP. Named Alberta ENCANA MIDSTREAM & MARKETING Corporation Incorporated 2004 FEB 12 Registered (HOLDINGS) INC. Federal Corporation Registered Address: 2600, 10180-101 STREET, EDMONTON 2004 FEB 13 Registered Address: 1800, 855 - 2ND ALBERTA, T5J 3Y2. No: 2010911002. STREET S.W., CALGARY ALBERTA, T2P 2S5. No: 2110914518. EASTERN CORNER TECHNICAL SERVICES LTD. Named Alberta Corporation Incorporated 2004 ENCORE CORING & DRILLING INC. Named FEB 13 Registered Address: 158 COVEHAVEN Alberta Corporation Incorporated 2004 FEB 04 VIEW NE, CALGARY ALBERTA, T3K 5S5. No: Registered Address: 900, 400 - 5TH AVENUE SW, 2010912901. CALGARY ALBERTA, T2P 0L6. No: 2010895817.

EASTERN SLOPES GENERATION CORP. Named ENERGY PLUS MAGNETIC THERAPY LTD. Alberta Corporation Incorporated 2004 FEB 04 Named Alberta Corporation Incorporated 2004 FEB Registered Address: 173 HAMPSHIRE ROAD, 05 Registered Address: RR 1, SITE 2, BOX 13, RED HINTON ALBERTA, T7V 1G9. No: 2010897268. DEER ALBERTA, T4N 5E1. No: 2010891337.

ECHO RIDGE RANCH INC. Named Alberta ENERWEST CONTRACTING LTD. Named Corporation Incorporated 2004 FEB 04 Registered Alberta Corporation Incorporated 2004 FEB 09 Address: 4804 - 42 AVENUE, INNISFAIL Registered Address: 5413 58 STREET, PONOKA ALBERTA, T4G 1T4. No: 2010895429. ALBERTA, T4J 1L5. No: 2010903728.

ECO RENTALS & LEASING LTD. Named Alberta ENHANCED COMMUNICATION SOLUTIONS Corporation Incorporated 2004 FEB 03 Registered INC. Named Alberta Corporation Incorporated 2004 Address: 534, 11012 MACLEOD TRAIL SOUTH, FEB 12 Registered Address: 230 MACALPINE CALGARY ALBERTA, T2J 6A5. No: 2010895221. CRESCENT, FORT MCMURRAY ALBERTA, T9H 4A6. No: 2010911887. ED'S AUTO REPAIR & SALES LTD. Named Alberta Corporation Incorporated 2004 FEB 11 EPHREN CAPITAL CORP. Named Alberta Registered Address: BAY #2, 20 EAST LAKE Corporation Incorporated 2004 FEB 11 Registered GREEN NE, AIRDRIE ALBERTA, T4A 2J2. No: Address: 210, 630 - 4TH AVENUE SW, CALGARY 2010900385. ALBERTA, T2P 0J9. No: 2010909345.

EDMONTON HWARANG TAEKWONDO ERMAK LTD. Named Alberta Corporation SOCIETY Alberta Society Incorporated 2004 FEB Incorporated 2004 FEB 13 Registered Address: 66 10 Registered Address: 300 SADDLEBACK ROAD, CITADEL PEAK CIRCLE NW, CALGARY EDMONTON ALBERTA, T6J 4R7. No: ALBERTA, T3G 4E8. No: 2010905392. 5010913167. ES PROPERTIES LTD. Named Alberta Corporation EDMONTON STRUCTURES 2003 INC. Named Incorporated 2004 FEB 11 Registered Address: Alberta Corporation Incorporated 2004 FEB 13 UNIT 58, 9703 - 41 AVENUE, EDMONTON Registered Address: 1702, 10045-117 STREET, ALBERTA, T6E 6M9. No: 2010908479. EDMONTON ALBERTA, T5K 1W8. No: 2010914626. ESCENTIAL BODY CARE LTD. Named Alberta Corporation Incorporated 2004 FEB 03 Registered ELCO SYSTEMS INC. Other Prov/Territory Corps Address: #1600, 205-5TH AVENUE S.W., Registered 2004 FEB 02 Registered Address: 1500, CALGARY ALBERTA, T2P 2V7. No: 2010895312. 10180 - 101 STREET, EDMONTON ALBERTA, T5J 4K1. No: 2110891229. ESPRESSO IN ALBERTA INC. Named Alberta Corporation Incorporated 2004 FEB 11 Registered ELEMENT ENTERPRISES INC. Named Alberta Address: 698 SOUTH RAILWAY ST SE, Corporation Incorporated 2004 FEB 07 Registered MEDICINE HAT ALBERTA, T1A 2W1. No: Address: 2711 CANMORE RD NW, CALGARY 2010908529. ALBERTA, T2M 4J6. No: 2010897581. ESTATE@HARVEST RIDGE COMMUNITY EMPIRE TEK-SUPPORT LTD. Named Alberta ASSOCIATION Alberta Society Incorporated 2004 Corporation Incorporated 2004 FEB 12 Registered JAN 09 Registered Address: BOX 42 SITE 5 RR2, Address: 107 SILVER SPRINGS RISE NW, STONY PLANE ALBERTA, T7Z 1X2. No: CALGARY ALBERTA, T3B 4A1. No: 5010893146. 2010912695.

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ETERNITY CONTRACTING INC. Named Alberta FELLOWSHIP OF HARROWS CROSS, Corporation Incorporated 2004 FEB 11 Registered HISTORICAL RE-ENACTMENT Alberta Society Address: 228 RUNDLEVILLE PLACE NE, Incorporated 2004 FEB 03 Registered Address: P. O. CALGARY ALBERTA, T1Y 2T3. No: 2010910376. BOX 33, GLEICHEN ALBERTA, T0J 1N0. No: 5010908589. EVERCLEAR SEPARATION TECHNOLOGIES LTD. Named Alberta Corporation Incorporated 2004 FERREY GROUP HOLDINGS LTD. Named FEB 09 Registered Address: 167 NORWICH CR, Alberta Corporation Incorporated 2004 FEB 02 SHERWOOD PARK ALBERTA, T8A 5S1. No: Registered Address: 5202 52 AVE, DRAYTON 2010904981. VALLEY ALBERTA, T7A 1S2. No: 2010892640.

EXCELSIOR BUSINESS MANAGEMENT LTD. FILTERCO SERVICES LTD. Named Alberta Named Alberta Corporation Incorporated 2004 FEB Corporation Incorporated 2004 FEB 04 Registered 12 Registered Address: #700, 603 - 7TH AVENUE Address: 916-2ND AVENUE, BEAVERLODGE S.W., CALGARY ALBERTA, T2P 2T5. No: ALBERTA, T0H 0C0. No: 2010897524. 2010912083. FINANCIAL MANAGEMENT BROKERAGE EXTREME VELOCITY CUSTOM AUTOWORKS INC. Named Alberta Corporation Incorporated 2004 & DETAILING LTD. Named Alberta Corporation FEB 06 Registered Address: 280, 521 - 3 AVENUE Incorporated 2004 FEB 03 Registered Address: 5112 S.W., CALGARY ALBERTA, T2P 3T3. No: - 201 STREET, EDMONTON ALBERTA, T5K 2010900500. 2W1. No: 2010893184. FINANCING FOR SURE CORPORATION Named FACTORY OUTLET TRAILERS INC. Federal Alberta Corporation Incorporated 2004 FEB 12 Corporation Registered 2004 FEB 05 Registered Registered Address: #100, 4918 51 STREET, Address: 320 SHAWCLIFFE CIRCLE SW, CAMROSE ALBERTA, T4V 1S3. No: 2010910715. CALGARY ALBERTA, T2Y 1A4. No: 2110881782. FIRST OCEANS TRADING CORPORATION Named Alberta Corporation Continued In 2004 FEB FAIR SKY RESOURCES INC. Named Alberta 11 Registered Address: 2600, 10180 - 101 STREET, Corporation Incorporated 2004 FEB 10 Registered EDMONTON ALBERTA, T5J 3Y2. No: Address: 900, 521 - 3RD AVENUE S.W., 2010908677. CALGARY ALBERTA, T2P 3T3. No: 2010906739. FLUTTERBY HOLDINGS LTD. Named Alberta FAIR WARNING ENTERTAINMENT INC. Named Corporation Incorporated 2004 FEB 05 Registered Alberta Corporation Incorporated 2004 FEB 03 Address: SUITE 707, 440 - 10816 MACLEOD Registered Address: 410-12841 65 ST., TRAIL S., CALGARY ALBERTA, T2J 5N8. No: EDMONTON ALBERTA, T5A 4N4. No: 2010889893. 2010895379. FOCUSONE GROUP INC. Named Alberta FAIRHOLM INSPECTION SERVICES INC. Corporation Incorporated 2004 FEB 03 Registered Named Alberta Corporation Incorporated 2004 FEB Address: 870, 736 - 8 AVENUE SW, CALGARY 13 Registered Address: 1509 - 44 ST SE, ALBERTA, T2P 1H4. No: 2010893762. CALGARY ALBERTA, T2A 3A3. No: 2010912992. FONDI REALTY & INVESTMENT CORP. Named Alberta Corporation Incorporated 2004 FEB 11 FAIRYTALES PRESENTATION SOCIETY Registered Address: 2500, 10303 JASPER Alberta Society Incorporated 2004 JAN 30 AVENUE, EDMONTON ALBERTA, T5J 3N6. No: Registered Address: J2, 2711 BATTLEFORD AVE, 2010909204. SW, CALGARY ALBERTA, T3E 7L4. No: 5010910759. FOOTHILLS XTREME VOLLEYBALL CLUB Alberta Society Incorporated 2004 FEB 09 FAYAD'S HOLDING LTD. Named Alberta Registered Address: 76 CRYSTALRIDGE CLOSE, Corporation Incorporated 2004 FEB 09 Registered OKOTOKS ALBERTA, T1S 1X6. No: 5010912128. Address: 303, 9006-132 AVE., EDMONTON ALBERTA, T5E 0Y2. No: 2010903702. FOR STARTERS INC. Named Alberta Corporation Incorporated 2004 FEB 13 Registered Address: 731 - FELCOM MANAGEMENT CORP. Other 19 AVE NW, CALGARY ALBERTA, T2M 0Z2. Prov/Territory Corps Registered 2004 FEB 04 No: 2010914600. Registered Address: 1400, 350 - 7 AVENUE S.W., CALGARY ALBERTA, T2P 3N9. No: 2110897077. FORT SASKATCHEWAN ART SOCIETY Alberta Society Incorporated 2004 JAN 22 Registered Address: 9709 85A ST, FORT SASKATCHEWAN ALBERTA, T8L 2Z1. No: 5010897055.

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FORUM EARTHWORKS INC. Named Alberta GDL HOLDINGS INC. Named Alberta Corporation Corporation Incorporated 2004 FEB 02 Registered Incorporated 2004 FEB 02 Registered Address: Address: NE 22 22 03 W5TH No: 2010891568. SUITE 105, 2034 - 19TH AVENUE, DIDSBURY ALBERTA, T0M 0W0. No: 2010891592. FPS NETWORKS INC. Named Alberta Corporation Incorporated 2004 FEB 09 Registered Address: 8356 GEARTECH AUTOMOTIVE INC. Named Alberta 159 AVE, EDMONTON ALBERTA, T5Z 3C8. No: Corporation Incorporated 2004 FEB 06 Registered 2010904288. Address: 7, 519 - 34 AVENUE SE, CALGARY ALBERTA, T2G 1V1. No: 2010900237. FRESH AIR DOME INC. Named Alberta Corporation Incorporated 2004 FEB 12 Registered GEMS ON 17TH INC. Named Alberta Corporation Address: 3100, 324 - 8TH AVENUE S.W., Incorporated 2004 FEB 06 Registered Address: 800- CALGARY ALBERTA, T2P 2Z2. No: 2010911721. 5920 MACLEOD TRAIL SW, CALGARY ALBERTA, T2H 0K2. No: 2010897607. FRONTERAS INVESTMENTS INC. Named Alberta Corporation Incorporated 2004 FEB 09 GENERAL ELECTRIC CANADA Registered Address: 10241 - 123 STREET, INTERNATIONAL INC. Federal Corporation EDMONTON ALBERTA, T5N 1N3. No: Registered 2004 FEB 13 Registered Address: 3300, 2010904494. 421 - 7 AVENUE SW, CALGARY ALBERTA, T2P 4K9. No: 2110913320. FUTURE STONE DESIGNS LTD. Named Alberta Corporation Incorporated 2004 FEB 13 Registered GENKON INC. Named Alberta Corporation Address: 471 RUNDLELAWN WAY NE, Incorporated 2004 FEB 09 Registered Address: 104 CALGARY ALBERTA, T1Y 3J4. No: 2010912521. FERNCLIFF CRES SE, CALGARY ALBERTA, T2H 0U4. No: 2010862916. FUTURETECH INVESTMENT GROUP (CANADA), INC. Federal Corporation Registered GENSOLUTIONS LTD. Named Alberta 2004 FEB 03 Registered Address: 10405 JASPER Corporation Incorporated 2004 FEB 04 Registered AVENUE, SUITE 707-21, EDMONTON Address: 700, 5940 MACLEOD TRAIL S.W., ALBERTA, T5J 3S2. No: 2110893217. CALGARY ALBERTA, T2H 2G4. No: 2010896211. G & A MAINTENANCE LTD. Named Alberta Corporation Incorporated 2004 FEB 06 Registered GHK CLEANING SERVICES LTD. Named Alberta Address: 215, 5112 47TH STREET NE, CALGARY Corporation Incorporated 2004 FEB 04 Registered ALBERTA, T3J 4K3. No: 2010901573. Address: 20 DALHOUSIE ST., ST. ALBERT ALBERTA, T8N 4Y6. No: 2010895809. G & E INSURANCE (2004) LTD. Named Alberta Corporation Incorporated 2004 FEB 03 Registered GLOBAL BREWING COMPANY LTD. Named Address: 300, 10655 SOUTHPORT ROAD S.W., Alberta Corporation Incorporated 2004 FEB 11 CALGARY ALBERTA, T2W4Y1. No: Registered Address: 28 ARBOUR ESTATES 2010893150. GREEN NW, CALGARY ALBERTA, T3G 4R7. No: 2010908511. G & R FOODS INC. Named Alberta Corporation Incorporated 2004 FEB 06 Registered Address: GOLDEN ROCK INVESTORS CORP. Named #100, 10703 - 181 STREET, EDMONTON Alberta Corporation Incorporated 2004 FEB 02 ALBERTA, T5S 1N3. No: 2010899462. Registered Address: 150 CITADEL CREST GREEN N.W., CALGARY ALBERTA, T3G 4W4. No: G.G. MCFARLANE PROFESSIONAL 2010892046. CORPORATION Chartered Accounting Professional Corporation Incorporated 2004 FEB 03 Registered GOOD COMPANY HOME CARE INC. Named Address: 109 SIGNATURE POINT S.W., Alberta Corporation Incorporated 2004 FEB 09 CALGARY ALBERTA, T3H 3B9. No: Registered Address: 114 WHEATLAND TRAIL, 2010892194. STRATHMORE ALBERTA, T1P 1A6. No: 2010844203. GALT DEVELOPMENTS LTD. Named Alberta Corporation Incorporated 2004 FEB 10 Registered GORHAM PROPERTIES LTD. Named Alberta Address: 200, 9914 MORRISON STREET, FORT Corporation Incorporated 2004 FEB 12 Registered MCMURRAY ALBERTA, T9H 4A4. No: Address: 600, 220 - 4 STREET SOUTH, 2010902076. LETHBRIDGE ALBERTA, T1J 4J7. No: 2010912190. GARLAND HOLDINGS (2004) INC. Named Alberta Corporation Incorporated 2004 FEB 11 GP CABS INC Named Alberta Corporation Registered Address: 600, 4911 - 51 STREET, RED Incorporated 2004 FEB 13 Registered Address: 207 DEER ALBERTA, T4N 6V4. No: 2010909527. 10009 101 AVE, GRANDE PRAIRIE ALBERTA, T8V 0X9. No: 2010913198.

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GRANT SALES & ASSOCIATES LTD. Named GSX4 HOLDINGS LTD. Named Alberta Alberta Corporation Incorporated 2004 FEB 05 Corporation Incorporated 2004 FEB 13 Registered Registered Address: 55 SUNLAKE MANOR S.E., Address: 12537 - 21ST AVENUE, BLAIRMORE CALGARY ALBERTA, T2X 3E5. No: 2010899124. ALBERTA, T0K 0E0. No: 2010914832.

GRASSLAND RECLAMATION & OILFIELD GUIDING PROJECTS DESIGN INC. Named SERVICES LTD. Named Alberta Corporation Alberta Corporation Incorporated 2004 FEB 04 Incorporated 2004 FEB 09 Registered Address: NW Registered Address: 2ND FL - 207 - 14 STREET 22-21-18-W4 No: 2010905178. N.W., CALGARY ALBERTA, T2N 1Z6. No: 2010896476. GRAVITY POPE VANCOUVER LTD. Named Alberta Corporation Incorporated 2004 FEB 10 H.W. BAKER LINEN CO. OF CANADA, LTD. Registered Address: 10410 - 81 AVENUE, Other Prov/Territory Corps Registered 2004 FEB 12 EDMONTON ALBERTA, T6E 1X5. No: Registered Address: 2700, 10155-102 STREET, 2010905780. EDMONTON ALBERTA, T5J 4G8. No: 2110911084. GREEN ZONE CONSULTING LTD. Named Alberta Corporation Incorporated 2004 FEB 02 H2O 2 GO LTD. Named Alberta Corporation Registered Address: 7225 99 ST, PEACE RIVER Incorporated 2004 FEB 03 Registered Address: #2 ALBERTA, T8S 1B3. No: 2010892467. 53122 RANGE ROAD 14, STONY PLAIN ALBERTA, T7Z 1X2. No: 2010894315. GREENFIELD BUSINESS VENTURES INC. Named Alberta Corporation Incorporated 2004 FEB HAHN'S OPERATING SERVICES LTD. Named 02 Registered Address: 244 MIDRIDGE CRES. SE, Alberta Corporation Incorporated 2004 FEB 02 CALGARY ALBERTA, T2X 1C6. No: Registered Address: SW 25 - 40 - 27 - W4 No: 2010890966. 2010889075.

GREENVIEW GOLF MEDIA INC. Named Alberta HALKIRK EDUCATION SUPPORT Corporation Incorporated 2004 FEB 11 Registered FOUNDATION Alberta Society Incorporated 2004 Address: 2506 TUDOR GLEN MARKET, ST. JAN 19 Registered Address: PO BOX 129, ALBERT ALBERTA, T8N 3V3. No: 2010907638. HOWARD ST & RAILROAD AVE., HALKIRK ALBERTA, T0C 1M0. No: 5010893195. GREGOV HOLDINGS LTD. Named Alberta Corporation Incorporated 2004 FEB 03 Registered HAMARA INCORPORATED Named Alberta Address: 300, 10566 SOUTHPORT ROAD S.W., Corporation Incorporated 2004 FEB 02 Registered CALGARY ALBERTA, T2W 4Y1. No: Address: 5042-50 AVENUE, VEGREVILLE 2010893242. ALBERTA, T9C 1R2. No: 2010891725.

GREGOV PROPERTIES LTD. Named Alberta HAND HILLS ENERGY LTD. Named Alberta Corporation Incorporated 2004 FEB 03 Registered Corporation Incorporated 2004 FEB 06 Registered Address: 300, 10655 SOUTHPORT ROAD S.W., Address: SE; 16; 31; 16; W4 No: 2010901870. CALGARY ALBERTA, T2W 4Y1. No: 2010893259. HATCH OILFIELD SERVICE LTD. Named Alberta Corporation Incorporated 2004 FEB 11 GRITZ CONSTRUCTION LTD. Named Alberta Registered Address: #600, 9835 - 101 AVENUE, Corporation Incorporated 2004 FEB 03 Registered GRANDE PRAIRIE ALBERTA, T8V 5V4. No: Address: 202B - 50 STREET, EDSON ALBERTA, 2010908172. T7E 1V1. No: 2010893457. HATEKO, INC. Named Alberta Corporation GRIZZLY BEAR PAINTING INC. Named Alberta Incorporated 2004 FEB 02 Registered Address: Corporation Incorporated 2004 FEB 13 Registered #1803, 9903 - 104 STREET, EDMONTON Address: 4824A VARSITY DRIVE NW, ALBERTA, T5K 0E4. No: 2010891311. CALGARY ALBERTA, T3A 1A3. No: 2010912943. HAWK HYDROVAC LTD. Named Alberta Corporation Incorporated 2004 FEB 04 Registered GRIZZLY TRAIL INSULATION LTD. Named Address: 5603 - 62 STREET, TABER ALBERTA, Alberta Corporation Incorporated 2004 FEB 04 T1G 1Y6. No: 2010896971. Registered Address: W5 3 56 22 SE No: 2010896088. HBC HOME BUILDING CONSULTANTS INC. Named Alberta Corporation Incorporated 2004 FEB GSR CONSULTING INC. Named Alberta 13 Registered Address: 323 WILDROSE WAY, Corporation Incorporated 2004 FEB 12 Registered EDMONTON ALBERTA, T6T 1M9. No: Address: #903, 1333 - 8TH STREET SW, 2010911911. CALGARY ALBERTA, T2R 1M6. No: 2010912000.

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HEAD WEST ENERGY INC. Named Alberta HODGSON CONSULTING SERVICES LTD. Corporation Incorporated 2004 FEB 09 Registered Named Alberta Corporation Incorporated 2004 FEB Address: 1102 - 6TH STREET, NISKU ALBERTA, 12 Registered Address: LOT 20, BLOCK 2, PLAN T9E 7N7. No: 2010904734. 8722144 No: 2010910905.

HEART LAKE FIRST NATION HOUSING HOLDEN VENTURES INC. Named Alberta SOCIETY Alberta Society Incorporated 2004 FEB Corporation Incorporated 2004 FEB 03 Registered 03 Registered Address: PO BOX 447, LAC LA Address: 432 TEMPLEBY PLACE NE, CALGARY BICHE ALBERTA, T0A 1C0. No: 5010901436. ALBERTA, T1Y 5H3. No: 2010894661.

HEART WORKS LTD. Named Alberta Corporation HOLT CONTRACT OPERATING LTD. Named Incorporated 2004 FEB 13 Registered Address: 1133 Alberta Corporation Incorporated 2004 FEB 06 CHILD AVE. NE, CALGARY ALBERTA, T2E Registered Address: 5309 NEWSOME 5C6. No: 2010885917. BOULEVARD, BASHAW ALBERTA, T0B 0H0. No: 2010900641. HEARTS 'N ARTS NETWORK INC. Named Alberta Corporation Incorporated 2004 FEB 11 HOMESBYPRIVATESALE.COM INC. Named Registered Address: 400, 10235 - 101 STREET, Alberta Corporation Incorporated 2004 FEB 10 EDMONTON ALBERTA, T5J 3G1. No: Registered Address: 12943 COVENTRY HILLS 2010908115. WAY NE, CALGARY ALBERTA, T3K 5R2. No: 2010901656. HEDLIN/LAUDER COMMUNICATIONS LTD. Named Alberta Corporation Incorporated 2004 FEB HOMETEAM RENOVATIONS INC. Named 02 Registered Address: 300, 333 - 11 AVENUE SW, Alberta Corporation Incorporated 2004 FEB 11 CALGARY ALBERTA, T2R 1L9. No: 2010893010. Registered Address: 312 WHITLOCK WAY NE, CALGARY ALBERTA, T1Y 5C7. No: HEEBNER ENTERPRISES LTD. Other 2010909279. Prov/Territory Corps Registered 2004 FEB 06 Registered Address: 1610, 700 - 4 AVENUE SW, HOPE4 HOLDINGS LTD. Named Alberta CALGARY ALBERTA, T2P 3J4. No: 2110900251. Corporation Incorporated 2004 FEB 03 Registered Address: #300, 14925 - 111 AVENUE, HELI SOURCE INC. Named Alberta Corporation EDMONTON ALBERTA, T5M 2P6. No: Incorporated 2004 FEB 02 Registered Address: 16 2010893911. FIRDALE ROAD, SYLVAN LAKE ALBERTA, T4S 2M6. No: 2010891014. HORSESHOE CANYON RESOURCES LTD. Named Alberta Corporation Incorporated 2004 FEB HIGH CLASS FLOORING INC. Named Alberta 04 Registered Address: 3627 SIERRA MORENA Corporation Incorporated 2004 FEB 04 Registered ROAD S.W., CALGARY ALBERTA, T3H 3A7. Address: 40 FROBISHER BLVD. SE, CALGARY No: 2010897813. ALBERTA, T2H 1G5. No: 2010897763. HOT HOLDINGS INC. Named Alberta Corporation HIGH PEAKS ENTERPRISES LTD. Other Incorporated 2004 FEB 04 Registered Address: 203, Prov/Territory Corps Registered 2004 FEB 09 714 - 5 AVENUE SOUTH, LETHBRIDGE Registered Address: 2700, 10155 - 102 STREET, ALBERTA, T1J 0V1. No: 2010895544. EDMONTON ALBERTA, T5J 4G8. No: 2110902935. HY-LOK FLOW SOLUTIONS INC. Named Alberta Corporation Incorporated 2004 FEB 11 Registered HIGHLAND PETROLEUM EQUIPMENT Address: 2700, 10155-102 STREET, EDMONTON CANADA LTD. Named Alberta Corporation ALBERTA, T5J 4G8. No: 2010908818. Incorporated 2004 FEB 12 Registered Address: 298 ARBOUR GROVE CLOSE NW, CALGARY HYBRID NETWORKS LTD. Named Alberta ALBERTA, T3G 4J3. No: 2010905400. Corporation Incorporated 2004 FEB 02 Registered Address: 15807 101 ST, EDMONTON ALBERTA, HILLS BLACKSMITH INC. Named Alberta T5X 4E6. No: 2010891675. Corporation Incorporated 2004 FEB 03 Registered Address: BLOCK 3, LOT 11 No: 2010844955. I.R. COMMUNICATORS LTD. Named Alberta Corporation Incorporated 2004 FEB 12 Registered HISTORICAL PAINTING & DECORATING LTD. Address: 1008 MIDDLETON DRIVE NE, Named Alberta Corporation Incorporated 2004 FEB CALGARY ALBERTA, T2E 6C1. No: 2010910871. 03 Registered Address: 8815 130 AVE, EDMONTON ALBERTA, T5E 0R8. No: ID RESOURCES LTD. Named Alberta Corporation 2010894109. Incorporated 2004 FEB 06 Registered Address: #600, 9835 - 101 AVENUE, GRANDE PRAIRIE HITECH CABLES LTD. Named Alberta ALBERTA, T8V 5V4. No: 2010900302. Corporation Incorporated 2004 FEB 10 Registered Address: 1212, 3600 BRENNER DRIVE NW, CALGARY ALBERTA, T2L 1Y2. No: 2010898738.

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IH TRADING CORP. Named Alberta Corporation INTEGRO CONSULTING LTD. Named Alberta Incorporated 2004 FEB 11 Registered Address: 800, Corporation Incorporated 2004 FEB 09 Registered 736 - 6TH AVE. S.W., CALGARY ALBERTA, T2P Address: 808 SIERRA MORENA COURT S.W., 3T7. No: 2010910046. CALGARY ALBERTA, T3H 3C6. No: 2010903058. IMAGE MAGIC DESIGNS INC. Named Alberta Corporation Incorporated 2004 FEB 06 Registered INTERNATIONAL BROTHERHOOD OF Address: 74 HERITAGE CRES., STONY PLAIN BOILERMAKERS, IRON SHIP BUILDERS, ALBERTA, T7Z 2J8. No: 2010900492. BLACKSMITHS, FORGERS AND HELPERS, LOCAL LODGE 146, BUILDING AND INDALEX LIMITED Federal Corporation BENEVOLENT SOCIETY Alberta Society Registered 2004 FEB 09 Registered Address: 1000, Incorporated 2004 FEB 03 Registered Address: 400 - 3RD AVENUE SW, CALGARY ALBERTA, 11724-103 AVENUE, EDMONTON ALBERTA, T2P 4H2. No: 2110903412. T5K 0S7. No: 5010897444.

INDUSTRIAL CONTRACTING SERVICES LTD. INTERNATIONAL DIRT DOCTOR Named Alberta Corporation Incorporated 2004 FEB INCORPORATED Named Alberta Corporation 02 Registered Address: 174 PRESTWICK Incorporated 2004 FEB 05 Registered Address: #39 LANDING S.E., CALGARY ALBERTA, T2Z 3S3. GARNET CRESCENT, SHERWOOD PARK No: 2010892715. ALBERTA, T8A 2R7. No: 2010898613.

INDUSTRIAL DESIGNERS SOCIETY OF INTERNATIONAL FRANCHISE SALES INC. AMERICA, ALBERTA Alberta Society Named Alberta Corporation Incorporated 2004 FEB Incorporated 2004 FEB 02 Registered Address: 2120 04 Registered Address: 425 - 78 AVENUE SW, 6TH AVE, NW, CALGARY ALBERTA, T2N 0W7. CALGARY ALBERTA, T2V 5K5. No: No: 5010897352. 2010897664.

INFRAMED THERAPY SYSTEMS LTD. Federal INTERNATIONAL GASKET & PACKING Corporation Registered 2004 FEB 04 Registered CANADA INC. Named Alberta Corporation Address: 15, 6115 - 4 STREET SE, CALGARY Incorporated 2004 FEB 10 Registered Address: 4020 ALBERTA, T2H 2H9. No: 2110895998. 36A AVE NW, EDMONTON ALBERTA, T6L 7B1. No: 2010906887. INN-CREDIBLE RENOVATIONS LTD. Named Alberta Corporation Incorporated 2004 FEB 10 INTMET PRODUCTS INC. Named Alberta Registered Address: 56 OKOTOKS DR, OKOTOKS Corporation Incorporated 2004 FEB 03 Registered ALBERTA, T1S 1E7. No: 2010906689. Address: 3791 21ST STREET, EDMONTON ALBERTA, T6T 1P3. No: 2010893168. INNOVATIVE DESIGNS IN AUTOMATION INC. Named Alberta Corporation Incorporated 2004 FEB INTREGUS DIGITAL INC. Named Alberta 09 Registered Address: 46 PANAMONT SQ NW, Corporation Incorporated 2004 FEB 05 Registered CALGARY ALBERTA, T3K 5T4. No: 2010899843. Address: 5 HAYTHORNE CRESCENT, SHERWOOD PARK ALBERTA, T8A 3Z9. No: INSTALOANS (MB) INC. Named Alberta 2010898852. Corporation Incorporated 2004 FEB 10 Registered Address: 600, 12220 STONY PLAIN ROAD, INTRUST COMMUNICATIONS INC. Named EDMONTON ALBERTA, T5N 3Y4. No: Alberta Corporation Incorporated 2004 FEB 04 2010907612. Registered Address: 14352 92 AVE NW, EDMONTON ALBERTA, T5R 5B2. No: INSTALOANS (ON) INC. Named Alberta 2010895916. Corporation Incorporated 2004 FEB 11 Registered Address: 600, 12220 STONY PLAIN ROAD, INVESCO HOLDINGS LTD. Named Alberta EDMONTON ALBERTA, T5N 3Y4. No: Corporation Incorporated 2004 FEB 12 Registered 2010909220. Address: 400 - 7015 MACLEOD TRAIL SW, CALGARY ALBERTA, T2H 2K6. No: INTEGRA DEVELOPMENTS & 2010910400. CONSTRUCTION TECHNOLOGIES INC. Named Alberta Corporation Incorporated 2004 FEB 12 ISYMETRA CORP. Named Alberta Corporation Registered Address: # 1 NORTH RAILWAY ST, Incorporated 2004 FEB 10 Registered Address: OKOTOKS ALBERTA, T1S 1B2. No: 2010912760. #200, 2120 - 4 STREET S.W., CALGARY ALBERTA, T2S 1W7. No: 2010907299. INTEGRITY INTERIORS & DEVELOPMENTS INC. Named Alberta Corporation Incorporated 2004 J & L RECLAMATION INC. Named Alberta FEB 10 Registered Address: 18 DOUGLAS GLEN Corporation Incorporated 2004 FEB 11 Registered GREEN SE, CALGARY ALBERTA, T2Z 2N1. No: Address: PLAN 3998AC BLK 1 LOT 10 No: 2010906291. 2010908321.

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J & P CLEANING COMPANY LTD. Named JANLYNN INVESTMENTS INC. Named Alberta Alberta Corporation Incorporated 2004 FEB 06 Corporation Incorporated 2004 FEB 02 Registered Registered Address: 68 LOS ALAMOS CRES NE, Address: 2200-10123 99 ST NW, EDMONTON CALGARY ALBERTA, T1Y 7E9. No: 2010900146. ALBERTA, T5J 3H1. No: 2010891923.

J & S C SERVICES INC. Named Alberta JANZEN CASUALS INC. Named Alberta Corporation Incorporated 2004 FEB 10 Registered Corporation Incorporated 2004 FEB 13 Registered Address: 155 EDELWEISS PLACE NW, Address: 120 SILVERTHORN WAY NW, CALGARY ALBERTA, T3A 3R5. No: CALGARY ALBERTA, T3B 4K3. No: 2010905434. 2010911622.

J & U FAMILY FOOD LTD. Named Alberta JASON THOMAS WELDING LTD. Named Alberta Corporation Incorporated 2004 FEB 10 Registered Corporation Incorporated 2004 FEB 02 Registered Address: 233 - 6 AVENUE SW, CALGARY Address: 20 MACDONALD CLOSE NORTH, ALBERTA, T2G 0G4. No: 2010904080. SEDGEWICK ALBERTA, T0B 4C0. No: 2010891329. J-LOR CONTRACTING SERVICES LTD. Named Alberta Corporation Incorporated 2004 FEB 05 JAVA BEAN PUBLISHING CORP. Named Alberta Registered Address: SE 19-42-16-W4TH No: Corporation Incorporated 2004 FEB 10 Registered 2010891162. Address: 3103 - 130 AVENUE, EDMONTON ALBERTA, T5A 3A9. No: 2010907414. J. & W. PEI & ASSOCIATES INC. Named Alberta Corporation Incorporated 2004 FEB 03 Registered JD LYONS CONSULTING LIMITED Named Address: 14608 - 90 AVENUE, EDMONTON Alberta Corporation Incorporated 2004 FEB 06 ALBERTA, T5R 4V3. No: 2010889448. Registered Address: 104 HERDER DRIVE, SYLVAN LAKE ALBERTA, T4S 2K3. No: J. KERR INSPECTIONS LTD. Named Alberta 2010901508. Corporation Incorporated 2004 FEB 10 Registered Address: 4115 MACKENZIE AVENUE, JDI VENTURES, INC. Foreign Corporation DRAYTON VALLEY ALBERTA, T7A 1A8. No: Registered 2004 FEB 03 Registered Address: #2500, 2010905772. 10104 - 103 AVENUE, EDMONTON ALBERTA, T5J 1V3. No: 2110893233. J.A.F. CONSTRUCTION CORPORATION Named Alberta Corporation Incorporated 2004 FEB 10 JDMC CONTRACTING LTD. Named Alberta Registered Address: #600, 5920 MACLEOD TRAIL Corporation Incorporated 2004 FEB 03 Registered S.W., CALGARY ALBERTA, T2H 0K2. No: Address: 6815 - 83 AVENUE, EDMONTON 2010906226. ALBERTA, T6B 0G4. No: 2010892459.

J.C. MACP. HOLDINGS INC. Named Alberta JFA CONTRACTING LTD. Named Alberta Corporation Incorporated 2004 FEB 06 Registered Corporation Incorporated 2004 FEB 10 Registered Address: 109 APPLEMEAD CLOSE SE, Address: 11922 - 78 STREET, EDMONTON CALGARY ALBERTA, T2A 7S7. No: 2010899769. ALBERTA, T5B 2J5. No: 2010906556.

J5 AUTO & RV LTD. Named Alberta Corporation JJ THOMAS HOLDINGS LTD. Named Alberta Incorporated 2004 FEB 13 Registered Address: 103 - Corporation Incorporated 2004 FEB 05 Registered 2ND AVENUE WEST, BROOKS ALBERTA, T1R Address: 1413 - 25 AVENUE NORTH, 1B6. No: 2010914691. LETHBRIDGE ALBERTA, T1H 4N8. No: 2010899439. JAD ENVIRONMENTAL SERVICES INC. Named Alberta Corporation Incorporated 2004 FEB 12 JKO CONSULTING LTD. Named Alberta Registered Address: 7 MARTINGROVE WAY NE, Corporation Incorporated 2004 FEB 06 Registered CALGARY ALBERTA, T3J 2T5. No: 2010910459. Address: 130 26TH AVENUE SW - APARTMENT 3C, CALGARY ALBERTA, T2S 0M1. No: JAHILL HOLDINGS LTD. Named Alberta 2010805592. Corporation Incorporated 2004 FEB 09 Registered Address: 24 CATALINA DRIVE, SHERWOOD JM 5 STAR CLEANING INC. Named Alberta PARK ALBERTA, T8H 1R2. No: 2010902159. Corporation Incorporated 2004 FEB 14 Registered Address: 68, 5400 DALHOUSIE DRIVE NW, JAKKYL CHOPPERS INC. Named Alberta CALGARY ALBERTA, T3A 2B4. No: Corporation Incorporated 2004 FEB 09 Registered 2010915391. Address: 5219 - 50TH STREET, PROVOST ALBERTA, T0B 3S0. No: 2010903173. JOHN J. D'AGNONE PROFESSIONAL CORPORATION Medical Professional Corporation JAM-CAM ENTERPRISES LTD. Named Alberta Incorporated 2004 FEB 13 Registered Address: Corporation Incorporated 2004 FEB 13 Registered 1003-4TH AVENUE SOUTH, LETHBRIDGE Address: 14 CREEK SIDE WAY, SPRUCE GROVE ALBERTA, T1J 0P7. No: 2010902753. ALBERTA, T7X 3Y7. No: 2010913222.

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JON HALEY CONCRETE LTD. Named Alberta KENNROSE HOLDINGS INC. Named Alberta Corporation Incorporated 2004 FEB 02 Registered Corporation Incorporated 2004 FEB 10 Registered Address: 98 WILDROSE DRIVE, SYLVAN LAKE Address: 3400, 150 - 6TH AVENUE SW, ALBERTA, T4S 2L8. No: 2010891493. CALGARY ALBERTA, T2P 3Y7. No: 2010907331.

JSI ACCEPTANCE CORP. Named Alberta KEPPEL CONCRETE & CONSTRUCTION LTD. Corporation Incorporated 2004 FEB 10 Registered Named Alberta Corporation Incorporated 2004 FEB Address: 2200, 10155-102 STREET, EDMONTON 05 Registered Address: 15 VALLEY GLEN ALBERTA, T5J 4G8. No: 2010905459. HEIGHTS NW, CALGARY ALBERTA, T3B 5R2. No: 2010898019. JTH CONSULTING LTD. Named Alberta Corporation Incorporated 2004 FEB 10 Registered KETTLE CREEK CONSULTING INC. Named Address: LOT 26 BLK 2 PLN 7920714 No: Alberta Corporation Incorporated 2004 FEB 04 2010905913. Registered Address: 14812- 1 STREET SE, CALGARY ALBERTA, T2X 1A1. No: JULIA'S MASSAGE LTD. Named Alberta 2010897144. Corporation Incorporated 2004 FEB 03 Registered Address: 1907 37B AVE NW, EDMONTON KEYPORT MARKETING INC. Named Alberta ALBERTA, T6T 1S5. No: 2010894927. Corporation Incorporated 2004 FEB 10 Registered Address: #101, 5001 - 49 AVENUE, JUNGLE'S TANN'IN CO. LTD. Federal BONNYVILLE ALBERTA, T9N 2J3. No: Corporation Registered 2004 FEB 11 Registered 2010907398. Address: 88 PARK PLACE, BROOKS ALBERTA, T1R 1G6. No: 2110895360. KIAFX LTD. Named Alberta Corporation Incorporated 2004 FEB 12 Registered Address: 60 K GRAPHIX GROUP INC. Named Alberta FOXHAVEN COURT, SHERWOOD PARK Corporation Incorporated 2004 FEB 09 Registered ALBERTA, T8A 5X1. No: 2010911481. Address: 4 WESTCOVE PLACE, SPRUCE GROVE ALBERTA, T7X 1V3. No: 2010903348. KICK START SOCCER ACADEMY INC. Named Alberta Corporation Incorporated 2004 FEB 02 KAMA POWER CANADA LTD. Named Alberta Registered Address: 16510 - 85 AVENUE, Corporation Incorporated 2004 FEB 10 Registered EDMONTON ALBERTA, T5R 4A1. No: Address: 9615 111 AVE, EDMONTON ALBERTA, 2010891139. T5G 0A9. No: 2010906267. KID & ME TOYS INC. Named Alberta Corporation KANINE CRUISERS & ME PET & HOME Incorporated 2004 FEB 06 Registered Address: 84 SITTING SERVICES INC. Named Alberta TUSCANY RAVINE TERRACE NW, CALGARY Corporation Incorporated 2004 FEB 09 Registered ALBERTA, T3L 2S8. No: 2010902209. Address: 207 MISTY MORNING DR., CALGARY ALBERTA, T3Z 2Z8. No: 2010902852. KINDERSLEY MANAGEMENT CORPORATION Named Alberta Corporation Incorporated 2004 FEB KARMINA ENTERPRISE CORP. Named Alberta 02 Registered Address: UNIT 127, 6227 - 2ND Corporation Incorporated 2004 FEB 05 Registered STREET S.E., CALGARY ALBERTA, T2H 1J5. Address: 137 SOMERSET PARK SW, CALGARY No: 2010891584. ALBERTA, T2Y 1C5. No: 2010898092. KINGSTREET CAPITAL PARTNERS INC. KEEN ENERGY SOLUTIONS INC. Federal Federal Corporation Registered 2004 FEB 05 Corporation Registered 2004 FEB 09 Registered Registered Address: 4500, 855 - 2ND STREET Address: 3000, 237 - 4TH AVENUE SW, S.W., CALGARY ALBERTA, T2P 4K7. No: CALGARY ALBERTA, T2P 4X7. No: 2110904626. 2110899354.

KEMET INC. Named Alberta Corporation KL WALKER ENTERPRISES INC. Named Alberta Incorporated 2004 FEB 06 Registered Address: 418 Corporation Incorporated 2004 FEB 11 Registered MT SPARROWHAWK PLACE S.E., CALGARY Address: 5038 - 50 AVENUE, VEGREVILLE ALBERTA, T2Z 2G9. No: 2010901144. ALBERTA, T9C 1S1. No: 2010909055.

KEMPER VALVE & FITTINGS CORP. Foreign KLDMEDIC SERVICES INC. Named Alberta Corporation Registered 2004 FEB 04 Registered Corporation Incorporated 2004 FEB 06 Registered Address: 3400, 150 - 6TH AVENUE SW, Address: #110, 6940 FISHER ROAD SE, CALGARY ALBERTA, T2P 3Y7. No: 2110897424. CALGARY ALBERTA, T2H 0W3. No: 2010901078. KEN WALKER CONSULTING CONTRACTING LTD. Named Alberta Corporation Incorporated 2004 FEB 10 Registered Address: SE-27-16-42-W4 No: 2010906697.

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KNUTSON FIRST AID SERVICES (1994) LTD. LEMAC HOLDINGS LTD. Named Alberta Other Prov/Territory Corps Registered 2004 FEB 04 Corporation Incorporated 2004 FEB 13 Registered Registered Address: #108, 9824 - 97 AVENUE, Address: 5135-48 STREET, ROCKY MOUNTAIN GRANDE PRAIRIE ALBERTA, T8V 7K2. No: HOUSE ALBERTA, T4T 1A3. No: 2010914386. 2110895709. LEMON VENTURES INC. Named Alberta KOZAK CONSULTING SERVICES LTD. Named Corporation Incorporated 2004 FEB 04 Registered Alberta Corporation Incorporated 2004 FEB 09 Address: R.R. #2, 31127 TOWNSHIP ROAD 274, Registered Address: 134 DOUGLASVIEW RISE COCHRANE ALBERTA, T4C 1A2. No: S.E., CALGARY ALBERTA, T2Z 2P5. No: 2010896997. 2010904312. LEO MANASTIRLIU CONSULTANT LTD. KRANTEK OVERHEAD CRANCE SERVICE Named Alberta Corporation Incorporated 2004 FEB INC. Named Alberta Corporation Incorporated 2004 02 Registered Address: 9651 80 AVENUE, FEB 03 Registered Address: 55 BRIDLEWOOD EDMONTON ALBERTA, T6C 0V2. No: AVE SW, CALGARY ALBERTA, T2Y 3T1. No: 2010892426. 2010894224. LEON'S PRO CARPET INSTALLATIONS LTD. KRASNIUK ENTERPRISE LTD. Named Alberta Named Alberta Corporation Incorporated 2004 FEB Corporation Incorporated 2004 FEB 03 Registered 12 Registered Address: 2401 RICHMOND RD SW, Address: 3831 115 AVE, EDMONTON ALBERTA, CALGARY ALBERTA, T2T 5E5. No: 2010911465. T5W 0V2. No: 2010894612. LEROY'S WELDING INC. Named Alberta KUJO CONTRACTING INC. Named Alberta Corporation Incorporated 2004 FEB 04 Registered Corporation Incorporated 2004 FEB 06 Registered Address: #48 9703 41 AVE, EDMONTON Address: 5401A - 50 AVENUE, TABER ALBERTA, T6E 6M9. No: 2010896674. ALBERTA, T1G 1V2. No: 2010901821. LIGHTSOME TECHNOLOGIES INC. Named KYLE WALKER TRUCKING LTD. Named Alberta Corporation Incorporated 2004 FEB 04 Alberta Corporation Incorporated 2004 FEB 13 Registered Address: 103B - 5735 DALGETTY Registered Address: #203, 5101 - 48 STREET, DRIVE NW, CALGARY ALBERTA, T3A 2L4. No: LLOYDMINSTER ALBERTA, T9V 0H9. No: 2010895791. 2010913073. LITTLE BO-TIQUE LTD. Named Alberta LA DONNA MOBILE INC. Named Alberta Corporation Incorporated 2004 FEB 02 Registered Corporation Incorporated 2004 FEB 13 Registered Address: #609, 22 SIR WINSTON CHURCHILL Address: 64 HALLBROOK PLACE SW, AVENUE, ST. ALBERT ALBERTA, T8N 1B4. No: CALGARY ALBERTA, T2V 3H9. No: 2010891113. 2010860779. LJV LONG BEACH INVESTMENTS INC. Named LAI MAN MA PROFESSIONAL CORPORATION Alberta Corporation Incorporated 2004 FEB 03 Named Alberta Corporation Incorporated 2004 FEB Registered Address: 9910 - 39 AVENUE, 05 Registered Address: #2170, 10123 - 99 STREET, EDMONTON ALBERTA, T6E 5H8. No: EDMONTON ALBERTA, T5J 3H1. No: 2010894687. 2010869374. LKC - LOSS CONTROL INC. Named Alberta LAKESHORE BUILDERS INC. Named Alberta Corporation Incorporated 2004 FEB 12 Registered Corporation Incorporated 2004 FEB 09 Registered Address: #4 OLD BOOMER ROAD, SYLVAN Address: NW-9-53-4-W5 No: 2010904270. LAKE ALBERTA, T4S 1Y3. No: 2010912331.

LAVENDAR FIELDS INC. Named Alberta LL TRAVEL COMPANY LTD. Named Alberta Corporation Incorporated 2004 FEB 03 Registered Corporation Incorporated 2004 FEB 10 Registered Address: #201, 4990 - 92 AVENUE, EDMONTON Address: #104, 830 - 8 STREET, CANMORE ALBERTA, T6B 2V4. No: 2010894257. ALBERTA, T1W 2B7. No: 2010906812.

LEAF & BEAN COFFEE & TEA LTD. Named LONGBOAT CONSULTING LTD. Named Alberta Alberta Corporation Incorporated 2004 FEB 09 Corporation Incorporated 2004 FEB 05 Registered Registered Address: #1, 5401 - 49TH AVENUE, Address: 348 - 14TH STREET N.W., CALGARY OLDS ALBERTA, T4H 1G3. No: 2010905004. ALBERTA, T2N 1Z7. No: 2010898886.

LEDCOR SYD LIMITED Named Alberta LONGBOW INVESTMENT MANAGEMENT #9 Corporation Incorporated 2004 FEB 07 Registered INC. Named Alberta Corporation Incorporated 2004 Address: 9910 - 39 AVENUE, EDMONTON FEB 03 Registered Address: 701, 421 - 7 AVENUE ALBERTA, T6E 5H8. No: 2010902282. S.W., CALGARY ALBERTA, T2P 4K9. No: 2010894414.

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LONGSON OILFIELD SERVICES LTD. Named MAGNUM CORPUS NUTRITION SOLUTIONS Alberta Corporation Incorporated 2004 FEB 12 LTD. Named Alberta Corporation Incorporated 2004 Registered Address: 916-2ND AVENUE, FEB 04 Registered Address: 2146 - 17TH AVE SW, BEAVERLODGE ALBERTA, T0H 0C0. No: CALGARY ALBERTA, T2T 0G3. No: 2010892491. 2010911853. MAGNUM ENERGY RESOURCES LTD. Other LORETO BAY INVESTMENTS LTD. Named Prov/Territory Corps Registered 2004 FEB 10 Alberta Corporation Incorporated 2004 FEB 12 Registered Address: #203, 5101 - 48 STREET, Registered Address: 200, 630 - 4 AVENUE SW, LLOYDMINSTER ALBERTA, T9V 0H9. No: CALGARY ALBERTA, T2P 0J9. No: 2010910772. 2110907066.

LORETO BAY PROPERTIES LTD. Named Alberta MAHVREK ENTERPRISES LTD. Named Alberta Corporation Incorporated 2004 FEB 12 Registered Corporation Incorporated 2004 FEB 13 Registered Address: 200, 630 - 4 AVENUE SW, CALGARY Address: NE 21 38 6 W5 No: 2010915136. ALBERTA, T2P 0J9. No: 2010910749. MAILMAN X-TRA INC. Named Alberta LOW CARB PANTRY LTD. Named Alberta Corporation Incorporated 2004 FEB 06 Registered Corporation Incorporated 2004 FEB 05 Registered Address: 99 STRATHAVEN HEIGHTS, Address: 145-2515 90TH AVENUE SW, STRATHMORE ALBERTA, T1P 1P3. No: CALGARY ALBERTA, T2V OL8. No: 2010900807. 2010898316. MAK CONSULTING INC. Named Alberta LUSH INTERIORS INC. Named Alberta Corporation Incorporated 2004 FEB 13 Registered Corporation Incorporated 2004 FEB 10 Registered Address: 241, 51052 RANGE ROAD 225, Address: 4647 QUENTIN STREET SW, SHERWOOD PARK ALBERTA, T8C 1H1. No: CALGARY ALBERTA, T2T 6J1. No: 2010906846. 2010913859.

M. HUSSAIN SYNDICATE INC. Named Alberta MARATHON ACCESSIBLE HOUSING Corporation Incorporated 2004 FEB 12 Registered DEVELOPMENTS LTD. Named Alberta Address: 161 TARAWOOD PLACE NE, Corporation Incorporated 2004 FEB 12 Registered CALGARY ALBERTA, T3J 5B4. No: 2010912398. Address: 1602 9 STREET N.W., CALGARY ALBERTA, T2M 3L4. No: 2010912299. M.C.P. WELDING AND FABRICATING LTD. Named Alberta Corporation Incorporated 2004 FEB MARK HEDDEMA OILFIELD CONTRACTING 02 Registered Address: 128 SUNWAPTA DRIVE, LTD. Named Alberta Corporation Incorporated 2004 HINTON ALBERTA, T7V 1G3. No: 2010892285. FEB 12 Registered Address: 4834 - 50 STREET, OLDS ALBERTA, T4H 1E4. No: 2010910707. M.D.R. LAND CONSULTING LTD. Named Alberta Corporation Incorporated 2004 FEB 06 MARK T. EVANS PROFESSIONAL Registered Address: 10056 - 101A AVENUE, CORPORATION Medical Professional Corporation EDMONTON ALBERTA, T5J 0C8. No: Incorporated 2004 FEB 05 Registered Address: 314 2010900740. 3 STREET SOUTH, LETHBRIDGE ALBERTA, T1J 1Y9. No: 2010899645. M3 ENERGY CONSULTING LTD. Named Alberta Corporation Incorporated 2004 FEB 12 Registered MARKEL WOODWORKS INC. Named Alberta Address: 39 CALLING HORSE ESTATES, Corporation Incorporated 2004 FEB 04 Registered CALGARY ALBERTA, T3Z 1H4. No: 2010911812. Address: 8 MARTHAS HAVEN PARADE NE, CALGARY ALBERTA, T3J 3V9. No: 2010896740. MACDONALD ISLAND PARK CORPORATION Non-Profit Private Company Incorporated 2004 FEB MASTER'S TOUCH FINISHING LTD. Named 05 Registered Address: 212, 9714 MAIN STREET, Alberta Corporation Incorporated 2004 FEB 02 FORT MCMURRAY ALBERTA, T9H 1T6. No: Registered Address: #4, 3717 15A ST SW, 5110910725. CALGARY ALBERTA, T2T 4C4. No: 2010891170.

MACK 1 TRUCKING LTD. Named Alberta MATAMAO SENIOR'S CLUB Alberta Society Corporation Incorporated 2004 FEB 03 Registered Incorporated 2004 JAN 29 Registered Address: 201- Address: 108 COSTA MESA CLOSE N.E., 122 BREWSTER DR., HINTON ALBERTA, T7V CALGARY ALBERTA, T1Y 6W9. No: 1B4. No: 5010906278. 2010893432. MATRIX MASONARY & CONSTRUCTION MACLEAN ELECTRICAL SERVICES LTD. CORP. Named Alberta Corporation Incorporated Named Alberta Corporation Incorporated 2004 FEB 2004 FEB 06 Registered Address: 2414 - 1 ST. SW, 13 Registered Address: 25 RIDGEHAVEN CALGARY ALBERTA, T2S 1P6. No: 2010901268. CRESCENT, SHERWOOD PARK ALBERTA, T8A 6H9. No: 2010914568.

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MAY INDUSTRIAL DESIGN CORP. Named MICHAEL WAYNE JOHNSON TOP OFF LTD. Alberta Corporation Incorporated 2004 FEB 04 Named Alberta Corporation Incorporated 2004 FEB Registered Address: 135 SECOND AVENUE 09 Registered Address: 500, 10655 SOUTHPORT NORTH, THREE HILLS ALBERTA, T0M 2A0. ROAD S.W., CALGARY ALBERTA, T2W 4Y1. No: 2010897011. No: 2010901920.

MAZLAW DEVELOPMENTS LTD. Named MIKROBAL AEROSPACE SERVICES INC. Alberta Corporation Incorporated 2004 FEB 05 Named Alberta Corporation Incorporated 2004 FEB Registered Address: 5036 BULYEA ROAD NW, 06 Registered Address: 501, 933 - 17 AVENUE SW, CALGARY ALBERTA, T2L 2H6. No: 2010898357. CALGARY ALBERTA, T2T 5R6. No: 2010898258.

MCKESSON HEALTH SOLUTIONS CANADA MILLS MAINTENANCE LTD. Named Alberta COMPANY Other Prov/Territory Corps Registered Corporation Incorporated 2004 FEB 06 Registered 2004 FEB 11 Registered Address: 3500, 855 - 2 Address: NW27, 065, 22, W4 No: 2010899165. STREET SW, CALGARY ALBERTA, T2P 4J8. No: 2110908049. MILLWOODS COMMUNITY RELIGIOUS ACTIVITIES SOCIETY. Alberta Society MCKESSON INFORMATION SOLUTIONS Incorporated 2004 JAN 19 Registered Address: 8703 CANADA COMPANY Other Prov/Territory Corps 29 AVE, EDMONTON ALBERTA, T6K 2X5. No: Registered 2004 FEB 11 Registered Address: 3500, 5010896099. 855 - 2 STREET SW, CALGARY ALBERTA, T2P 4J8. No: 2110908031. MIMI'S FASHIONS CLOTHING & FLORAL DESIGNS LTD. Named Alberta Corporation MCKESSON MEDICAL IMAGING COMPANY Incorporated 2004 FEB 11 Registered Address: 440 Other Prov/Territory Corps Registered 2004 FEB 11 TEMPLEVALE DRIVE NE, CALGARY Registered Address: 3500, 855 - 2 STREET SW, ALBERTA, T1Y 4V4. No: 2010908248. CALGARY ALBERTA, T2P 4J8. No: 2110908023. MISHA HOLDINGS LTD. Named Alberta MCQUEEN'S CARPENTRY CREATIONS & Corporation Incorporated 2004 FEB 13 Registered RENOVATIONS LTD. Named Alberta Corporation Address: 4808 12 STREET NE, CALGARY Incorporated 2004 FEB 09 Registered Address: 7304 ALBERTA, T2E 4R4. No: 2010914154. 5TH STREET SW, CALGARY ALBERTA, T2V 1B1. No: 2010895296. MISTY MOUNTAIN HOLDINGS LTD. Other Prov/Territory Corps Registered 2004 FEB 09 MEET MAINTENANCE CLEANING LTD. Named Registered Address: 3200, 10180 - 101 STREET, Alberta Corporation Incorporated 2004 FEB 03 EDMONTON ALBERTA, T5J 3W8. No: Registered Address: 3220 60TH ST NE, CALGARY 2110905227. ALBERTA, T1Y 3L3. No: 2010894703. MKHAN TECHNOLOGIES INC. Named Alberta MESA RESOURCES INC. Named Alberta Corporation Incorporated 2004 FEB 02 Registered Corporation Continued In 2004 FEB 09 Registered Address: UPPER LEVEL 5917, 1A STREET SW, Address: 1000 CANTERRA TOWER, 400 THIRD CALGARY ALBERTA, T2H 0G4. No: AVENUE SW, CALGARY ALBERTA, T2P 4H2. 2010887889. No: 2010903595. MMF BUILDING CORP. Named Alberta MI REALTY INC. Named Alberta Corporation Corporation Incorporated 2004 FEB 12 Registered Incorporated 2004 FEB 02 Registered Address: 325, Address: SUITE 1310, 10025 - 102A AVENUE, 302 - 25 STREET S.E., CALGRY ALBERTA, T2A EDMONTON ALBERTA, T5J 2Z2. No: 7H8. No: 2010891204. 2010911986.

MICHAEL A. DAVIS FINANCIAL SERVICES MNL DESIGN & DEVELOPMENT INC. Named LTD. Other Prov/Territory Corps Registered 2004 Alberta Corporation Incorporated 2004 FEB 04 FEB 03 Registered Address: 378 - 1ST STREET SE, Registered Address: 7035 BOW CRESCENT NW, PO BOX 490, MEDICINE HAT ALBERTA, T1A CALGARY ALBERTA, T3B 2C8. No: 2010896856. 7G2. No: 2110893902. MODA & FASHION INC. Named Alberta MICHAEL TRAC PROFESSIONAL Corporation Incorporated 2004 FEB 10 Registered CORPORATION Dental Professional Corporation Address: 135 BONNIE DOON MALL, Incorporated 2004 FEB 02 Registered Address: 51 EDMONTON ALBERTA, T6C 4E3. No: CHAPMAN CIRCLE S.E., CALGARY ALBERTA, 2010907000. T2X 3T8. No: 2010892533. MODEL LAWNS & LANDSCAPING LTD. Named Alberta Corporation Incorporated 2004 FEB 10 Registered Address: 2911 48 STREET NE, CALGARY ALBERTA, T1Y 1H1. No: 2010905509.

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MOIN INTERIORS INC. Named Alberta NATIONAL CREDIT ENFORCEMENT INC. Corporation Incorporated 2004 FEB 05 Registered Named Alberta Corporation Incorporated 2004 FEB Address: 427 23 AVE NW, CALGARY ALBERTA, 04 Registered Address: #400, 10235 - 101 STREET, T2M 1S5. No: 2010898878. EDMONTON ALBERTA, T5J 3G1. No: 2010897383. MORINVILLE PLACE LTD. Named Alberta Corporation Incorporated 2004 FEB 13 Registered NATURAL ENERGY RESOURCES LTD. Named Address: 15720 - 93 STREET, EDMONTON Alberta Corporation Incorporated 2004 FEB 11 ALBERTA, T5Z 3T5. No: 2010907307. Registered Address: 33 HAWTHORNE CRESCENT, ST. ALBERT ALBERTA, T8N 6N5. MOUNTAIN FILMS INC. Other Prov/Territory No: 2010909717. Corps Registered 2004 FEB 13 Registered Address: 1000, 425 - 1ST STREET S.W., CALGARY NAVIGATOR QUALITY MANAGEMENT INC. ALBERTA, T2P 3L8. No: 2110914088. Named Alberta Corporation Incorporated 2004 FEB 11 Registered Address: 65 HIDDEN RANCH MOUNTAIN ROSE FOOD SERVICES LTD. COURT NW, CALGARY ALBERTA, T3A 5W4. Named Alberta Corporation Incorporated 2004 FEB No: 2010909261. 02 Registered Address: 300, 10655 SOUTHPORT ROAD S.W., CALGARY ALBERTA, T2W 4Y1. NCA HOLDINGS LTD. Named Alberta Corporation No: 2010892145. Incorporated 2004 FEB 09 Registered Address: 690, 10020 - 101A AVENUE, EDMONTON ALBERTA, MOUNTAIN VALLEY CONSTRUCTION LTD. T5J 3G2. No: 2010905301. Named Alberta Corporation Incorporated 2004 FEB 09 Registered Address: 13503 116 ST, NCE FLOW-THROUGH MANAGEMENT (2004) EDMONTON ALBERTA, T5E 5J2. No: CORP. Other Prov/Territory Corps Registered 2004 2010893226. FEB 02 Registered Address: 4500, 855 - 2ND STREET S.W., CALGARY ALBERTA, T2P 4K7. MOUNTAINVIEW ACRES LIMITED Named No: 2110892821. Alberta Corporation Incorporated 2004 FEB 10 Registered Address: SE, S2, T20, R1 WEST OF NDI ENGINEERING LTD. Named Alberta THE 5TH No: 2010905426. Corporation Incorporated 2004 FEB 09 Registered Address: 3908 825 8 AVE. S.W., CALGARY MRF 2004 RESOURCE MANAGEMENT ALBERTA, T2P 2T4. No: 2010904684. LIMITED Other Prov/Territory Corps Registered 2004 FEB 12 Registered Address: 3400, 150 - 6TH NEA DESIGNS LTD. Named Alberta Corporation AVENUE SW, CALGARY ALBERTA, T2P 3Y7. Incorporated 2004 FEB 06 Registered Address: 3236 No: 2110911845. KERRYDALE RD SW, CALGARY ALBERTA, T3E 4S6. No: 2010899629. MUSKWA ENVIRONMENTAL SOLUTIONS INC. Named Alberta Corporation Incorporated 2004 NELL INVESTMENTS INC. Named Alberta FEB 12 Registered Address: 10605 - 172 STREET, Corporation Incorporated 2004 FEB 13 Registered EDMONTON ALBERTA, T5S 1P1. No: Address: 210-2635-37 AVE NE, CALGARY 2010911861. ALBERTA, T1Y 5Z6. No: 2010912976.

MWP CONSULTING INC. Named Alberta NEMESIS TECHNOLOGIES CORP. Named Corporation Incorporated 2004 FEB 05 Registered Alberta Corporation Incorporated 2004 FEB 03 Address: SECTION 24 40 24 W4 No: 2010900013. Registered Address: 120 WELLINGTON CRESCENT, SPRUCE GROVE ALBERTA, T7X N.A. SERVICES INC. Named Alberta Corporation 1K6. No: 2010893267. Incorporated 2004 FEB 09 Registered Address: 780- 10150 100 ST NW, EDMONTON ALBERTA, T5J NICHOLS-WILSON HOLDINGS INC. Named 0P6. No: 2010904577. Alberta Corporation Incorporated 2004 FEB 12 Registered Address: #252, 9768 - 170 STREET, NACG HOLDINGS INC. Federal Corporation EDMONTON ALBERTA, T5T 5L4. No: Registered 2004 FEB 05 Registered Address: 1000, 2010912109. 400 - 3RD AVENUE SW, CALGARY ALBERTA, T2P 4H2. No: 2110899412. NICKLE CREEK CAPITAL CORP. Named Alberta Corporation Incorporated 2004 FEB 03 Registered NACIUK LAND SERVICES LTD. Named Alberta Address: 74 SIERRA MORENA GREEN SW, Corporation Incorporated 2004 FEB 10 Registered CALGARY ALBERTA, T3H 3E5. No: 2010894760. Address: 928-16 ST NE, CALGARY ALBERTA, T2E 4S8. No: 2010905418. NICOLE'S OILFIELD CONTRACTING LTD. Named Alberta Corporation Incorporated 2004 FEB 10 Registered Address: 1600, 10025 - 102A AVENUE, EDMONTON ALBERTA, T5J 2Z2. No: 2010907489.

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NINE LIONS INC. Named Alberta Corporation OKOTOKS JUNIOR HIGH SCHOOL OCELOTS Incorporated 2004 FEB 04 Registered Address: 1815 FUNDRAISING SOCIETY Alberta Society 19 AVENUE NW, CALGARY ALBERTA, T2M Incorporated 2004 JAN 23 Registered Address: 1 1B6. No: 2010897870. PACIFIC AVENUE, OKOTOKS ALBERTA, T0L 1T2. No: 5010905494. NORTH AMERICAN ENERGY PARTNERS INC. Federal Corporation Registered 2004 FEB 05 OLAMETER INC. Federal Corporation Registered Registered Address: 1000, 400 - 3RD AVENUE SW, 2004 FEB 12 Registered Address: #4300 BANKERS CALGARY ALBERTA, T2P 4H2. No: 2110899552. HALL WEST, 888 - 3RD STREET S.W., CALGARY ALBERTA, T2P 5C5. No: 2110910664. NORTH PEACE AUTO APPRAISALS LTD. Named Alberta Corporation Incorporated 2004 FEB OLIVUT INVESTMENTS LTD. Other 10 Registered Address: NE 28 80 26 W5 No: Prov/Territory Corps Registered 2004 FEB 05 2010905756. Registered Address: 1200, 700 - 2ND STREET S.W., CALGARY ALBERTA, T2P 4V5. No: NORTH WEST CRANE (G.P.) LTD. Named 2110898679. Alberta Corporation Incorporated 2004 FEB 10 Registered Address: 3200, 10180 - 101 STREET, ON SITE CONTRACTING LTD. Named Alberta EDMONTON ALBERTA, T5J 3W8. No: Corporation Incorporated 2004 FEB 02 Registered 2010906564. Address: 148 ROSE TRAILER COURT, HIGH LEVEL ALBERTA, T0H 1Z0. No: 2010892111. NORTHEASTERN INVESTIGATIONS INCORPORATED Other Prov/Territory Corps OPALDARR PROJECT MANAGEMENT LTD. Registered 2004 FEB 05 Registered Address: M23, Named Alberta Corporation Incorporated 2004 FEB 10060 JASPER AVENUE, EDMONTON 10 Registered Address: 15 DURHAM AVENUE, ALBERTA, T5J 3R8. No: 2110896079. ST. ALBERT ALBERTA, T8N 4W5. No: 2010907679. NORTHERN ELECTRIC CANADA LTD. Named Alberta Corporation Incorporated 2004 FEB 13 OPIFEX DESIGN & FABRICATION INC. Named Registered Address: SECTION 31 TOWNSHIP 22 Alberta Corporation Incorporated 2004 FEB 03 RANGE 3 MERIDIAN W5 No: 2010914584. Registered Address: 5015-47 AVE., EVANSBURG ALBERTA, T0E 0T0. No: 2010887475. NORTHERN LIGHTS SCOUT FOUNDATION Alberta Society Incorporated 2004 JAN 15 OPTIMOR FINANCING INC. Named Alberta Registered Address: 14205-109 AVENUE, Corporation Incorporated 2004 FEB 11 Registered EDMONTON ALBERTA, T5N 2N5. No: Address: 2014 COTTONWOOD CRESCENT SE, 5010894508. CALGARY ALBERTA, T2B 1R1. No: 2010908834.

NORTHWELL ENERGY SERVICES INC. Named ORION RESOURCES INC. Named Alberta Alberta Corporation Incorporated 2004 FEB 12 Corporation Incorporated 2004 FEB 04 Registered Registered Address: 3200, 10180 - 101 STREET, Address: #200, 601 - 17TH AVENUE SW, EDMONTON ALBERTA, T5J 3W8. No: CALGARY ALBERTA, T2Z 0B3. No: 2010895908. 2010910632. OUTAGE MANAGEMENT & INSPECTION INC. NTM TECHNICAL SERVICES INC. Named Named Alberta Corporation Incorporated 2004 FEB Alberta Corporation Incorporated 2004 FEB 10 09 Registered Address: 2700, 10155-102 STREET, Registered Address: 400, 603 - 7 AVENUE S.W., EDMONTON ALBERTA, T5J 4G8. No: CALGARY ALBERTA, T2P 2T5. No: 2010905889. 2010904692.

OASIS DAY SPA LTD. Named Alberta Corporation OUTDOORS UN LTD. Named Alberta Corporation Incorporated 2004 FEB 05 Registered Address: Incorporated 2004 FEB 11 Registered Address: 417 53247-RANGE ROAD 221, ARDROSSAN EVERGREEN STREET, SHERWOOD PARK ALBERTA, T8E 2M7. No: 2010895684. ALBERTA, T8A 1K2. No: 2010908966.

OK HOMES LTD. Named Alberta Corporation P & M JOOSTEN HOLDINGS LTD. Named Incorporated 2004 FEB 05 Registered Address: 7 Alberta Corporation Incorporated 2004 FEB 10 CASTLEBURY RD. NE, CALGARY ALBERTA, Registered Address: 204 517 4 AVENUE SOUTH, T3J 1M3. No: 2010898068. LETHBRIDGE ALBERTA, T1J 0N4. No: 2010905848. OKOTOKS CITIZENS ON PATROL SOCIETY Alberta Society Incorporated 2004 JAN 20 P.I.G. INC. Named Alberta Corporation Incorporated Registered Address: 325 WOODGATE ROAD, 2004 FEB 04 Registered Address: 235 32 AVE NW, OKOTOKS ALBERTA, T1S 2A5. No: 5010908126. CALGARY ALBERTA, T2M 2P8. No: 2010893499.

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P.O.S.H. (PROFESSIONAL ORGANIZERS PEACE COUNTRY FILMS LTD. Named Alberta SHAPING HOMES) INC. Named Alberta Corporation Incorporated 2004 FEB 05 Registered Corporation Incorporated 2004 FEB 10 Registered Address: 10012-101 STREET, PEACE RIVER Address: #38, 51350 RANGE ROAD 224, ALBERTA, T8S 1S2. No: 2010898233. SHERWOOD PARK ALBERTA, T8C 1H3. No: 2010906721. PEAK ELECTRICAL & CONTROL INC. Named Alberta Corporation Incorporated 2004 FEB 04 PALLISER PRODUCTION TESTING LIMITED Registered Address: 4TH FLR., 4943 - 50TH Named Alberta Corporation Incorporated 2004 FEB STREET, RED DEER ALBERTA, T4N 1Y1. No: 10 Registered Address: 51 RIVERSIDE GATE, 2010897235. OKOTOKS ALBERTA, T1S 1B2. No: 2010906036. PEAK SPORT THERAPY INC. Named Alberta PANNAL ASH MUSIC INC. Named Alberta Corporation Incorporated 2004 FEB 02 Registered Corporation Incorporated 2004 FEB 06 Registered Address: 1100 CANADIAN WESTERN BANK PL, Address: 850, 1015 FOURTH STREET SW, 10303 JASPER AVENUE, EDMONTON CALGARY ALBERTA, T2R 1J4. No: 2010899322. ALBERTA, T5J 3N6. No: 2010892293.

PAPER FISH MEDIA MATERIALS INC. Named PEARSON PERSPECTIVES INC. Named Alberta Alberta Corporation Incorporated 2004 FEB 02 Corporation Incorporated 2004 FEB 06 Registered Registered Address: 2115 - 80TH AVENUE S.E., Address: 11 RICE PLACE S.E., MEDICINE HAT CALGARY ALBERTA, T2C 1H3. No: ALBERTA, T1B 3X1. No: 2010901987. 2010892996. PENDULUM CONSTRUCTION CORPORATION PARAGON ATHLETICS INC. Named Alberta Named Alberta Corporation Incorporated 2004 FEB Corporation Incorporated 2004 FEB 11 Registered 13 Registered Address: 25 APPLECREST Address: 11, 5125 - 50 AVENUE, VERMILION CRESCENT SE, CALGARY ALBERTA, T2A 7N7. ALBERTA, T9X 1A8. No: 2010909238. No: 2010912950.

PARALLEL DRAFTING & CONSTRUCTION PETER GARY AITCHISON HOLDINGS INC. LTD. Named Alberta Corporation Incorporated 2004 Named Alberta Corporation Incorporated 2004 FEB FEB 06 Registered Address: #203, 5904A - 50 03 Registered Address: OFFICE 5, 10 STREET, LEDUC ALBERTA, T9E 6J6. No: INDUSTRIAL PLACE, CANMORE ALBERTA, 2010900971. T1W 1Y1. No: 2010894588.

PARKER PUBLISHING INC. Named Alberta PETER JOHNER SWISS CHOCLATIER INC. Corporation Incorporated 2004 FEB 04 Registered Named Alberta Corporation Incorporated 2004 FEB Address: #202, 1921 MAYOR MAGRATH DRIVE 11 Registered Address: 2500, 10155 - 102 STREET, SOUTH, LETHBRIDGE ALBERTA, T1K 2R8. No: EDMONTON ALBERTA, T5J 4G8. No: 2010896948. 2010908198.

PAUL CONNOR WELDING LTD. Named Alberta PETER PAN PAWN INC. Named Alberta Corporation Incorporated 2004 FEB 06 Registered Corporation Incorporated 2004 FEB 06 Registered Address: 5226 - 50 AVENUE, ST. PAUL Address: 8219-118 AVE., EDMONTON ALBERTA, T0A 3A0. No: 2010901896. ALBERTA, T5B 0S2. No: 2010902217.

PAUL MARC ENTERPRISES INC. Named Alberta PETRONCO INC. Named Alberta Corporation Corporation Incorporated 2004 FEB 04 Registered Incorporated 2004 FEB 02 Registered Address: 2911 Address: 10512 WILLOWGREEN DR SE, BURGESS DRIVE N.W., CALGARY ALBERTA, CALGARY ALBERTA, T2J 1P6. No: 2010896583. T2L 1J1. No: 2010892004.

PAVONE ENTERPRISES LTD. Named Alberta PEXY SOFTWARE SOLUTIONS INC. Named Corporation Incorporated 2004 FEB 09 Registered Alberta Corporation Incorporated 2004 FEB 05 Address: 13108 89 ST, EDMONTON ALBERTA, Registered Address: 400, 10525 - 170 STREET, T5E 3K1. No: 2010903496. EDMONTON ALBERTA, T5P 4W2. No: 2010895767. PAZZO PAZZO RESTAURANT INC. Named Alberta Corporation Incorporated 2004 FEB 04 PILON CONSULTING CORP. Named Alberta Registered Address: 9615 99A ST NW, Corporation Incorporated 2004 FEB 10 Registered EDMONTON ALBERTA, T6E 3W9. No: Address: 125 SCANLON HILL NW, CALGARY 2010895569. ALBERTA, T3L 1K9. No: 2010907216.

PB POWER INC. Named Alberta Corporation PIN-TEC REFURBISHING LTD. Named Alberta Incorporated 2004 FEB 03 Registered Address: 57 Corporation Incorporated 2004 FEB 09 Registered HOLLY BURN ROAD SW, CALGARY Address: 1104, 10117 JASPER AVENUE, ALBERTA, T2V 3H2. No: 2010893291. EDMONTON ALBERTA, T5J 1W8. No: 2010905079.

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PLANET CAR WASH INC. Named Alberta PRIMARY SAFETY INC. Named Alberta Corporation Incorporated 2004 FEB 03 Registered Corporation Incorporated 2004 FEB 12 Registered Address: 12922 116 ST, EDMONTON ALBERTA, Address: 37 SPRUCEVIEW CRES, CALMAR T5E 5H4. No: 2010894067. ALBERTA, T0C 0V0. No: 2010911358.

PLATINUM ATM INVESTMENTS INC. Named PRISCILLA BARNES PROFESSIONAL Alberta Corporation Incorporated 2004 FEB 12 CORPORATION Medical Professional Corporation Registered Address: 9808 - 103A AVENUE NW, Incorporated 2004 FEB 05 Registered Address: 220 - EDMONTON ALBERTA, T5J 2L4. No: 39TH AVENUE S.W., CALGARY ALBERTA, T2S 2010910335. 0W5. No: 2010899330.

PLATINUM IMAGE INC. Named Alberta PRIVE FLOOR COVERING INSTALLATIONS Corporation Incorporated 2004 FEB 11 Registered LTD. Named Alberta Corporation Incorporated 2004 Address: 414-604-1 ST SW, CALGARY FEB 13 Registered Address: 692 HIGHLAND ALBERTA, T2P 1M7. No: 2010908164. DRIVE, SHERWOOD PARK ALBERTA, T8A 6L7. No: 2010914451. PLAYTIME JOURNEY INC. Named Alberta Corporation Incorporated 2004 FEB 05 Registered PROGESSIVE FRAMING AND CONSTRUCTION Address: 807, 400 - 4TH AVENUE SOUTH, LTD. Named Alberta Corporation Incorporated 2004 LETHBRIDGE ALBERTA, T1J 4E1. No: FEB 10 Registered Address: 236 TARACOVE 2010898035. PLACE NE, CALGARY ALBERTA, T3J 4T4. No: 2010906150. PODIUM SCHOOL OF SOCCER INC. Named Alberta Corporation Incorporated 2004 FEB 13 PROGRESSIVE FRAMING AND CONSULTING Registered Address: 2834 FALAISE AVE SW, LTD. Named Alberta Corporation Incorporated 2004 CALGARY ALBERTA, T3E 7J2. No: 2010912984. FEB 10 Registered Address: 236 TARACOVE PLACE NE, CALGARY ALBERTA, T3J 4T4. No: POLAR TRAINING & FITNESS INC. Named 2010907513. Alberta Corporation Incorporated 2004 FEB 02 Registered Address: 3811 BRIGHTON DR. NW, PRONGHORN AVIATION (2004) LTD. Named CALGARY ALBERTA, T2L 1G7. No: 2010891279. Alberta Corporation Incorporated 2004 FEB 06 Registered Address: 149 MAPLEWOOD DRIVE, PORTA-BALLISTIC WELDING STRATHMORE ALBERTA, T1P 1E9. No: INCORPORATED Named Alberta Corporation 2010901615. Incorporated 2004 FEB 05 Registered Address: 4610 6 AVE, EDSON ALBERTA, T7E 1C8. No: PROSIM AVIATION INC. Named Alberta 2010898944. Corporation Incorporated 2004 FEB 06 Registered Address: 3200, 10180 - 101 STREET, EDMONT0N PRAIRIE LANDSCAPES INC. Named Alberta ALBERTA, T5J 3W8. No: 2010900435. Corporation Incorporated 2004 FEB 05 Registered Address: 8, 5602 - 4 STREET N.W., CALGARY PRUDEN FORESTRY CONSULTING INC. Named ALBERTA, T2K 1B2. No: 2010898423. Alberta Corporation Incorporated 2004 FEB 04 Registered Address: LOT 13 BLOCK 40 PLAN PRAIRIE MARKETING & ADVERTISING INC. 499NY No: 2010897805. Named Alberta Corporation Incorporated 2004 FEB 13 Registered Address: 19 CRYSTALRIDGE WAY, PYB CONSULTANTS LTD. Named Alberta OKOTOKS ALBERTA, T1S 1P4. No: 2010912752. Corporation Incorporated 2004 FEB 02 Registered Address: 438 SCHOONER LANDING N.W., PREMA SAI WHOLISTIC LIVING INC. Named CALGARY ALBERTA, T3L 1X6. No: 2010891386. Alberta Corporation Incorporated 2004 FEB 02 Registered Address: 144 SHAWINIGAN WAY SW, QGD CONSULTING LTD. Named Alberta CALGARY ALBERTA, T2Y 2X2. No: Corporation Incorporated 2004 FEB 04 Registered 2010892301. Address: 603, 1212 - 14 AVENUE SW, CALGARY ALBERTA, T3C 0V9. No: 2010893952. PRESTWICK INTERNATIONAL CONSULTING INC. Named Alberta Corporation Incorporated 2004 QUALITY MOVE MANAGEMENT (CALGARY) FEB 12 Registered Address: SUITE 1630, 10250 - INC. Named Alberta Corporation Incorporated 2004 101 STREET, EDMONTON ALBERTA, T5J 3P4. FEB 02 Registered Address: 3000, 237 - 4 AVENUE No: 2010911044. SW, CALGARY ALBERTA, T2P 4X7. No: 2010891600. PRETERRA CORP. Named Alberta Corporation Incorporated 2004 FEB 13 Registered Address: QUEST ELECTRIC LTD. Named Alberta 10823 - 134 STREET, EDMONTON ALBERTA, Corporation Incorporated 2004 FEB 10 Registered T5M 1H9. No: 2010914469. Address: 4515 MOORE CRESCENT, RED DEER ALBERTA, T4N 2M1. No: 2010907885.

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QUEST PROJECTS INC. Named Alberta RAND INTERNATIONAL INC. Named Alberta Corporation Incorporated 2004 FEB 04 Registered Corporation Incorporated 2004 FEB 06 Registered Address: 121 MOUNT DOUGLAS CIRCLE SE, Address: #600, 220 - 4 STREET SOUTH, CALGARY ALBERTA, T2Z 3P2. No: 2010896922. LETHBRIDGE ALBERTA, T1J 4J7. No: 2010900864. QUICK APPLICATIONS CANADA, INC. Named Alberta Corporation Incorporated 2004 FEB 05 RAVIDGE ACCESSORIES LTD. Named Alberta Registered Address: 13333 - 89 A STREET, Corporation Incorporated 2004 FEB 12 Registered EDMONTON ALBERTA, T5E 3L2. No: Address: #310, 2891 SUNRIDGE WAY N.E., 2010898449. CALGARY ALBERTA, T1Y 7K7. No: 2010912745. QUID PRO QUO ENTERPRISES INC. Named Alberta Corporation Incorporated 2004 FEB 02 RAYZOR'S EDGE SAFETY SERVICES LTD. Registered Address: 12406 28 AVENUE, Named Alberta Corporation Incorporated 2004 FEB EDMONTON ALBERTA, T6J 4E4. No: 11 Registered Address: 4807 - 51 STREET, COLD 2010891006. LAKE ALBERTA, T9M 1P2. No: 2010909477.

R.G. REALTY LIMITED Named Alberta RCM HOMES LTD. Named Alberta Corporation Corporation Incorporated 2004 FEB 03 Registered Incorporated 2004 FEB 05 Registered Address: 300, Address: 59 KINCORA PARK N.W., CALGARY 10655 SOUTHPORT ROAD S.W., CALGARY ALBERTA, T2R 1L2. No: 2010895163. ALBERTA, T2W 4Y1. No: 2010898084.

RAEL HOLDINGS INC. Named Alberta RE-COL INC. Named Alberta Corporation Corporation Incorporated 2004 FEB 10 Registered Incorporated 2004 FEB 03 Registered Address: 628 Address: 1200, 700 - 2ND STREET S.W., QUEENSLAND DR SE, CALGARY ALBERTA, CALGARY ALBERTA, T2P 4V5. No: 2010907158. T2J 4G7. No: 2010893705.

RAGO MECHANICAL LTD. Named Alberta REAL SOLUTIONS ENGINEERING INC. Named Corporation Incorporated 2004 FEB 13 Registered Alberta Corporation Incorporated 2004 FEB 02 Address: W4-25-54-24 NW, ST. ALBERT Registered Address: 46 WEST EDGE ROAD, ALBERTA, T8N 1M9. No: 2010914782. COCHRANE ALBERTA, T4C 1L1. No: 2010891998. RAHMOHNAS ACCOUNTING SERVICES INC. Named Alberta Corporation Incorporated 2004 FEB REALITY SHIFT INC. Named Alberta Corporation 06 Registered Address: APT 306 8104 - 182 Incorporated 2004 FEB 10 Registered Address: 207, STREET, EDMONTON ALBERTA, T5T 1X3. No: 1410 - 2 STREET SW, CALGARY ALBERTA, 2010901888. T2R 1R1. No: 2010905327.

RAINBOW'S END MUSIC INC. Named Alberta RECOVERY AIR LTD. Named Alberta Corporation Corporation Incorporated 2004 FEB 06 Registered Incorporated 2004 FEB 13 Registered Address: Address: 20 CASTLEPARK RD NE, CALGARY 210,630 - 4TH AVENUE S.W., CALGARY ALBERTA, T3J 1S1. No: 2010899777. ALBERTA, T2P 0J9. No: 2010914444.

RAINDROPP MEDIA INC. Named Alberta RED RHINO DEVELOPMENTS LTD. Named Corporation Incorporated 2004 FEB 09 Registered Alberta Corporation Incorporated 2004 FEB 10 Address: 91 GRANITE RIDGE, CALGARY Registered Address: 1712 - 27 STREET SW, ALBERTA, T3Z 3B4. No: 2010903223. CALGARY ALBERTA, T3C 1L5. No: 2010905483.

RAINMEN IDEAS INC. Federal Corporation REECE ENERGY LTD. Named Alberta Corporation Registered 2004 FEB 04 Registered Address: BXO Incorporated 2004 FEB 11 Registered Address: 420 5143, SPRUCE GROVE ALBERTA, T7X 3A3. No: MACLEOD TRAIL S. E., MEDICINE HAT 2110897796. ALBERTA, T1A 2M9. No: 2010908289.

RAJA 786 ENTERPRISES INC. Named Alberta REGAL ENERGY CORP. Named Alberta Corporation Incorporated 2004 FEB 13 Registered Corporation Continued In 2004 FEB 03 Registered Address: 8831 - 31 AVE, EDMONTON ALBERTA, Address: 2600, 255 - 5TH AVENUE S.W., T6K 3A7. No: 2010914790. CALGARY ALBERTA, T2P 3G6. No: 2010895403.

RAND COMPLIANCE SOLUTIONS LTD. Named REGEHR MANAGEMENT SERVICES Alberta Corporation Incorporated 2004 FEB 09 INCORPORATED Named Alberta Corporation Registered Address: 420 WOODPARK PLACE Incorporated 2004 FEB 11 Registered Address: S.W., CALGARY ALBERTA, T2W 2T5. No: 10982 - 126 STREET, EDMONTON ALBERTA, 2010903983. T5M 0P5. No: 2010907950.

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REIMER CUSTOM FEEDERS INC. Named Alberta RONEX CONSULTING LTD. Named Alberta Corporation Incorporated 2004 FEB 05 Registered Corporation Incorporated 2004 FEB 09 Registered Address: 205 MAIN STREET, THREE HILLS Address: 280, 521 - 3RD AVENUE SW, ALBERTA, T0M 2A0. No: 2010899454. CALGARY ALBERTA, T2P 3T3. No: 2010855274.

REINBOLD PETROLEUM LTD. Named Alberta ROSE & ASSOCIATES CANADA LTD. Named Corporation Incorporated 2004 FEB 02 Registered Alberta Corporation Incorporated 2004 FEB 04 Address: 5107 - 46 STREET, STETTLER Registered Address: 180 ARBOUR GLEN CLOSE ALBERTA, T0C 2L0. No: 2010892202. NW, CALGARY ALBERTA, T3G 3Y8. No: 2010896369. REMARKABLE JANITORIAL SERVICES LTD. Named Alberta Corporation Incorporated 2004 FEB ROSTOLS VENTURES INTERNATIONAL INC. 03 Registered Address: 13911 54 ST, EDMONTON Named Alberta Corporation Incorporated 2004 FEB ALBERTA, T5A 2G3. No: 2010894984. 11 Registered Address: 1101 4944 DALTON DRIVE NW, CALGARY ALBERTA, T3A 2E6. No: REPAIR GIRLS INC. Named Alberta Corporation 2010910426. Incorporated 2004 FEB 10 Registered Address: 529 1 STREET, CANMORE ALBERTA, T1W 3B8. No: ROWLAN'S SPORTS BAR & GRILL LTD. Named 2010907844. Alberta Corporation Incorporated 2004 FEB 12 Registered Address: 203 - 2ND STREET E, RHONDA GORMAN INTEGRATED BROOKS ALBERTA, T1R 0G9. No: 2010910954. MARKETING INC. Named Alberta Corporation Incorporated 2004 FEB 13 Registered Address: 4712 ROYAL OAK MEDICAL CLINIC LTD. Named - 16TH STREET S.W., CALGARY ALBERTA, Alberta Corporation Incorporated 2004 FEB 11 T2T 4J4. No: 2010913263. Registered Address: 1000, 444 - 5 AVENUE S.W., CALGARY ALBERTA, T2P 2T8. No: 2010908610. RIGHT CLICK ON GLICK INC. Named Alberta Corporation Incorporated 2004 FEB 11 Registered ROYAL OAK OPTICAL LTD. Named Alberta Address: #200, 10350 - 172 STREET, EDMONTON Corporation Incorporated 2004 FEB 11 Registered ALBERTA, T5S 1G9. No: 2010909170. Address: 1000, 444 - 5 AVENUE S.W., CALGARY ALBERTA, T2P 2T8. No: 2010908453. RIO PROPERTY MANAGEMENT LTD. Named Alberta Corporation Incorporated 2004 FEB 09 ROYAL OAK PLAZA G.P. INC. Named Alberta Registered Address: 7724 - 155 STREET, Corporation Incorporated 2004 FEB 04 Registered EDMONTODN ALBERTA, T5R 1N8. No: Address: 200, 9803-101 AVENUE, GRANDE 2010898696. PRAIRIE ALBERTA, T8V 0X6. No: 2010894885.

RIZAC ENTERPRISES INC. Named Alberta RTR CONSTRUCTION LTD. Named Alberta Corporation Incorporated 2004 FEB 04 Registered Corporation Incorporated 2004 FEB 10 Registered Address: 107 SHAWBROOKE CRES SW, Address: 420 SILVER POINTE ESTATES, CALGARY ALBERTA, T2Y 3B3. No: GRANDE PRAIRIE ALBERTA, T8V 2Z9. No: 2010863732. 2010907034.

RNTECH LTD. Named Alberta Corporation RUFFTECH ENERGY CONTRACTING INC. Incorporated 2004 FEB 09 Registered Address: 534, Named Alberta Corporation Incorporated 2004 FEB 11012 MACLEOD TRAIL S, CALGARY 05 Registered Address: 233 UPLAND BLVD., ALBERTA, T2J 6A5. No: 2010902829. BROOKS ALBERTA, T1R 0R1. No: 2010899892.

ROADRUNNER RENO'S & REPAIRS INC. Named RURBAN HOMES LTD. Named Alberta Alberta Corporation Incorporated 2004 FEB 13 Corporation Incorporated 2004 FEB 03 Registered Registered Address: 3418 16A AVE, EDMONTON Address: 58, 9703 - 41 AVENUE, EDMONTON ALBERTA, T6L 2N4. No: 2010913206. ALBERTA, T6E 6M9. No: 2010895486.

ROCKET FUEL INC. Named Alberta Corporation RUST ARTWORKS LTD. Named Alberta Incorporated 2004 FEB 04 Registered Address: 103- Corporation Incorporated 2004 FEB 03 Registered 10134 97 AVE, GRANDE PRAIRIE ALBERTA, Address: 3010, 205 - 5TH AVENUE S.W., T8V 7X6. No: 2010896047. CALGARY ALBERTA, T2P 2V7. No: 2010894497.

RON A. HOGGE ARCHITECT CORPORATION S & D REALTY LIMITED Named Alberta Named Alberta Corporation Incorporated 2004 FEB Corporation Incorporated 2004 FEB 05 Registered 05 Registered Address: 301, 105 - 26 AVENUE SW, Address: 900 SCOTIA PLACE 1, 10060 JASPER CALGARY ALBERTA, T2S 0M3. No: AVENUE, EDMONTON ALBERTA, T5J 3R8. No: 2010891048. 2010896161.

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S & J WASTE SERVICES LTD. Named Alberta SARKA ENTERPRISES LTD. Named Alberta Corporation Incorporated 2004 FEB 04 Registered Corporation Incorporated 2004 FEB 11 Registered Address: 105 CHAPALA GROVE S.E., CALGARY Address: 8636 152B AVE, EDMONTON ALBERTA, T2X 3V5. No: 2010894935. ALBERTA, T5E 6H2. No: 2010898415.

S & M FINISHING AND CABINETS LTD. Named SAVOY OFFSHORE LIMITED Named Alberta Alberta Corporation Incorporated 2004 FEB 03 Corporation Incorporated 2004 FEB 04 Registered Registered Address: 10232-158 STREET, Address: 1250, 639 - 5TH AVENUE S.W., EDMONTON ALBERTA, T5P 2Y2. No: CALGARY ALBERTA, T2P 0M9. No: 2010894208. 2010896039.

S MCKINNON ACCOUNTING SERVICES INC. SAWS-ALL CONSTRUCTION LTD. Named Named Alberta Corporation Incorporated 2004 FEB Alberta Corporation Incorporated 2004 FEB 13 09 Registered Address: 10423 111 AVENUE, Registered Address: 878 ERINWOODS DRIVE SE, GRANDE PRAIRIE ALBERTA, T8V 1T9. No: CALGARY ALBERTA, T2B 3C4. No: 2010910582. 2010904973. SCHARNHORST INVESTMENTS LTD. Named S. DONALDA MACBEATH PROFESSIONAL Alberta Corporation Incorporated 2004 FEB 10 CORPORATION Legal Professional Corporation Registered Address: 65 COOPERS CLOSE, Incorporated 2004 FEB 04 Registered Address: 566 AIRDRIE ALBERTA, T4B 2X2. No: 2010906473. SIERRA MORENA PLACE, S.W., CALGARY ALBERTA, T3H 1H7. No: 2010896377. SCHERR INVESTMENTS INC. Named Alberta Corporation Incorporated 2004 FEB 11 Registered S. WELDING 2004 LTD. Named Alberta Address: 4710 - 50 STREET, LEDUC ALBERTA, Corporation Incorporated 2004 FEB 09 Registered T9E 6W2. No: 2010850945. Address: 5401A - 50 AVENUE, TABER ALBERTA, T1G 1V2. No: 2010903330. SCOTT RITCHIE CONTRACTING LTD. Named Alberta Corporation Incorporated 2004 FEB 11 SACCO LAND CORP. Named Alberta Corporation Registered Address: 6222 - 50 AVENUE, Incorporated 2004 FEB 05 Registered Address: 137 BONNYVILLE ALBERTA, T9N 2M1. No: SOMERSET PARK SW, CALGARY ALBERTA, 2010909378. T2Y 1C5. No: 2010898126. SCRATCH BILLIARDS INC. Named Alberta SAGE WATER HAULING LTD. Named Alberta Corporation Incorporated 2004 FEB 03 Registered Corporation Incorporated 2004 FEB 09 Registered Address: 36 COVERDALE ROAD NE, CALGARY Address: 35 SAGEBRUSH ESTATES, BROOKS ALBERTA, T3K 4K1. No: 2010894547. ALBERTA, T1R 1B8. No: 2010878953. SECURE METALS LTD. Named Alberta SAIGON CUISINE LTD. Named Alberta Corporation Incorporated 2004 FEB 02 Registered Corporation Incorporated 2004 FEB 09 Registered Address: 1039 RUTHERFORD PLACE, Address: BUI & COMPANY INC - MAIN FLOOR, EDMONTON ALBERTA, T6H 1J5. No: 10747 - 107 AVENUE, EDMONTON ALBERTA, 2010892012. T5H 0W6. No: 2010905384. SEDGWICK CMS CANADA INC./ Federal SANDHILLS MANUFACTURING LTD. Named Corporation Registered 2004 FEB 03 Registered Alberta Corporation Incorporated 2004 FEB 06 Address: 3400, 150 - 6TH AVENUE SW, Registered Address: 600, 9707 - 110 STREET, CALGARY ALBERTA, T2P 3Y7. No: 2110895022. EDMONTON ALBERTA, T5K 2L9. No: 2010891790. SERGL SAFETY CONSULTING LTD. Named Alberta Corporation Incorporated 2004 FEB 12 SANDSTONE ASSET MANAGEMENT INC. Registered Address: 63 SANDSTONE CRESCENT, Named Alberta Corporation Incorporated 2004 FEB AIRDRIE ALBERTA, T4B 1T3. No: 2010910921. 12 Registered Address: 3100, 324 - 8TH AVENUE S.W., CALGARY ALBERTA, T2P 2Z2. No: SETTER OILFIED CONSULTING LTD. Named 2010912224. Alberta Corporation Incorporated 2004 FEB 02 Registered Address: 55 MIDVALLEY RISE SE, SANG/FROID SALON LIFESTYLE SPA INC. CALGARY ALBERTA, T2X 1J3. No: 2010891469. Named Alberta Corporation Incorporated 2004 FEB 05 Registered Address: 54 MAYFAIR ROAD S.W., SHANNAHAN'S AUTO CENTRE LTD. Named CALGARY ALBERTA, T2V 1Y7. No: Alberta Corporation Incorporated 2004 FEB 10 2010899587. Registered Address: SUITE 301, 8706 FRANKLIN AVENUE, FORT MCMURRAY ALBERTA, T9H SARCEE ASPHALT INC. Named Alberta 2J6. No: 2010900393. Corporation Incorporated 2004 FEB 09 Registered Address: 4505 - 400 THIRD AVENUE S.W., CALGARY ALBERTA, T2P 4H2. No: 2010903256.

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SHARPE STRATEGIC COMMUNICATIONS INC. SLURP'S N' BURP'S GRUB GRILL LTD. Named Named Alberta Corporation Incorporated 2004 FEB Alberta Corporation Incorporated 2004 FEB 05 02 Registered Address: #J302, 500 EAU CLAIRE Registered Address: 16407-90 STREET, AVENUE S.W., CALGARY ALBERTA, T2P 3R8. EDMONTON ALBERTA, T5Z 3K1. No: No: 2010891709. 2010898845.

SHOTZ LIQUOR & BEER STORE LTD. Named SMALLY'S ENTERPRISES LTD. Named Alberta Alberta Corporation Incorporated 2004 FEB 05 Corporation Incorporated 2004 FEB 13 Registered Registered Address: LOT 1, BLOCK 26, PLAN Address: LOT 49, GLR (NW 10; 86; 8; 4) No: 1038CL No: 2010899090. 2010913396.

SIERRA INSTALLATIONS INC. Named Alberta SMILE CREATIONS DENTAL LABORATORY Corporation Incorporated 2004 FEB 12 Registered LTD. Named Alberta Corporation Incorporated 2004 Address: 1-1724 29 AVE SW, CALGARY FEB 04 Registered Address: 102, 5300 - 50 ALBERTA, T2T 1M7. No: 2010911325. STREET, STONY PLAIN ALBERTA, T7Z 1T8. No: 2010896849. SILVER BULLET STEAM & VAC LTD. Named Alberta Corporation Incorporated 2004 FEB 04 SMOKIN FOX CONSULTING INC. Named Registered Address: 5409 57 STREET, PONOKA Alberta Corporation Incorporated 2004 FEB 07 ALBERTA, T4J 1L6. No: 2010897482. Registered Address: W4M, R 26, T 25, S 35, SW No: 2010841860. SILVER ROCK CONSTRUCTION LTD. Named Alberta Corporation Incorporated 2004 FEB 09 SMOKY EMERGENCY RESPONSE TEAM Registered Address: W4-28-24-07-SE No: SOCIETY Alberta Society Incorporated 2004 FEB 2010847768. 06 Registered Address: P.O. BOX 2031, FALHER ALBERTA, T0H 1M0. No: 5010911187. SILVERSTONE RENOVATIONS LTD. Named Alberta Corporation Incorporated 2004 FEB 12 SODE'S CONTRACTING LTD. Named Alberta Registered Address: 41 MILLER AVE, SPRUCE Corporation Incorporated 2004 FEB 02 Registered GROVE ALBERTA, T7X 2N3. No: 2010912372. Address: 4909 52 ST, CONSORT ALBERTA, T0C 1B0. No: 2010889299. SINCARD ENTERPRISES INC. Named Alberta Corporation Incorporated 2004 FEB 05 Registered SOROKE SIDING LTD. Named Alberta Address: 9910 97 AVE, PEACE RIVER ALBERTA, Corporation Incorporated 2004 FEB 12 Registered T8S 1S5. No: 2010898464. Address: 85 COUGARSTONE PL. SW, CALGARY ALBERTA, T3H 4W8. No: 2010912851. SIROIS CONSTRUCTION LTD. Named Alberta Corporation Incorporated 2004 FEB 06 Registered SOUTH SEVEN OILFIELD CONTRACTING LTD. Address: 61-145 EAST RIVER ROAD, HINTON Named Alberta Corporation Incorporated 2004 FEB ALBERTA, T7V 1S4. No: 2010900633. 03 Registered Address: 108, 1235 SOUTHVIEW DRIVE S.E., MEDICINE HAT ALBERTA, T1B SKONTO LTD. Named Alberta Corporation 4K3. No: 2010894604. Incorporated 2004 FEB 13 Registered Address: 16 WOODFIELD CLOSE SW, CALGARY SPECTRUM GROUP OF COMPANIES LIMITED ALBERTA, T2W 3V1. No: 2010912968. Named Alberta Corporation Incorporated 2004 FEB 10 Registered Address: 858, 234 - 5149 COUNTRY SKOOLY CAPITAL CORP. Named Alberta HILLS BLVD. NW, CALGARY ALBERTA, T3A Corporation Incorporated 2004 FEB 06 Registered 5K8. No: 2010906770. Address: 134 WESTCREEK BAY, CHESTERMERE ALBERTA, T1X 1K7. No: SPELTHORNE MANGEMENT GROUP INC. 2010900922. Named Alberta Corporation Incorporated 2004 FEB 05 Registered Address: 1200, 700 - 2ND STREET SKYKITS CORPORATION Named Alberta S.W., CALGARY ALBERTA, T2P 4V5. No: Corporation Incorporated 2004 FEB 06 Registered 2010897599. Address: 525 DOUGLAS GLEN POINT SE, CALGARY ALBERTA, T2Z 3P9. No: 2010900799. SPLASH PRINT AND MEDIA INC. Named Alberta Corporation Incorporated 2004 FEB 10 Registered SLAVE LAKE BOTTLE DEPOT LTD. Named Address: 101A 2323 32 AVE NE, CALGARY Alberta Corporation Incorporated 2004 FEB 11 ALBERTA, T2E 6Z3. No: 2010907992. Registered Address: 43 ABERDALE CR NE, CALGARY ALBERTA, T2A 6T5. No: 2010908131. SPS VENTURES CORP. Named Alberta Corporation Incorporated 2004 FEB 03 Registered SLAVE LAKE HOSPITAL AUXILIARY Address: 4 ARBOUR RIDGE COURT NW, SOCIETY Alberta Society Incorporated 2004 JAN CALGARY ALBERTA, T3G 3V9. No: 26 Registered Address: BOX 1248, SLAVE LAKE 2010894752. ALBERTA, T0G 2A0. No: 5010901493.

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SREIT (AVISTA NO. 6) LTD. Named Alberta STONY PLAIN CENTRAL BAND PARENTS Corporation Incorporated 2004 FEB 02 Registered SOCIETY Alberta Society Incorporated 2004 FEB Address: 2500, 10104 - 103 AVENUE, 09 Registered Address: 5205 - 57 AVE., STONY EDMONTON ALBERTA, T5J 1V3. No: PLAIN ALBERTA, T7Z 1A1. No: 5010912367. 2010892392. STRADER PROMOTIONAL PRODUCTS LTD. SREIT (ROPER LAND) LTD. Named Alberta Named Alberta Corporation Incorporated 2004 FEB Corporation Incorporated 2004 FEB 02 Registered 11 Registered Address: #303, 11230-104 AVENUE, Address: 2500, 10104 - 103 AVENUE, EDMONTON ALBERTA, T5K 2Y8. No: EDMONTON ALBERTA, T5J 1V3. No: 2010910202. 2010892251. STRAIGHT A SALON LTD. Named Alberta STAN MAGIDSON PROFESSIONAL Corporation Incorporated 2004 FEB 09 Registered CORPORATION Legal Professional Corporation Address: 14504-78 ST., EDMONTON ALBERTA, Incorporated 2004 FEB 05 Registered Address: T5C 1H6. No: 2010902951. 1900, 333 - 7 AVENUE SW, CALGARY ALBERTA, T2P 2Z1. No: 2010897300. STRATEGIC PATHWAYS CORPORATION Named Alberta Corporation Incorporated 2004 FEB STAN'S PAINTING LTD. Named Alberta 13 Registered Address: 1601, 333 - 11 AVENUE Corporation Incorporated 2004 FEB 09 Registered SW, CALGARY ALBERTA, T2R 1L9. No: Address: 701 EAST PARKVIEW ESTATES, 2010911390. EDMONTON ALBERTA, T5W 4R1. No: 2010904593. STREAMLINE WELDING LTD. Named Alberta Corporation Incorporated 2004 FEB 12 Registered STARTCONA FALLEN FIRE FIGHTERS Address: 826 - 18 STREET SOUTH, LETHBRIDGE MEMORIAL FOUNDATION Alberta Society ALBERTA, T1J 3G3. No: 2010909394. Incorporated 2004 FEB 02 Registered Address: 1400, 10303 JASPER AVENUE, EDMONTON STYLELINE HOMES LTD. Named Alberta ALBERTA, T5J 3N7. No: 5010895661. Corporation Incorporated 2004 FEB 12 Registered Address: 1504 HIGH COUNTRY DR NW, HIGH STATIC HEATING LTD. Named Alberta RIVER ALBERTA, T1V 1V9. No: 2010912232. Corporation Incorporated 2004 FEB 02 Registered Address: 239 TUSCANY RIDGE VIEW NW, STYLING HAIRGIRL INC. Named Alberta CALGARY ALBERTA, T3L 2J2. No: 2010891741. Corporation Incorporated 2004 FEB 10 Registered Address: 6512 112 STREET, EDMONTON STEADY CALM PRODUCTIONS INC. Named ALBERTA, T6H 4R2. No: 2010903694. Alberta Corporation Incorporated 2004 FEB 02 Registered Address: 13135-63 STREET, SUDANESE-CANADIAN FREINDSHIP SOCIETY EDMONTON ALBERTA, T5A 0W7. No: Alberta Society Incorporated 2004 JAN 22 2010893044. Registered Address: 41-1928 11-AVE S.W., CALGARY ALBERTA, T3C 0N8. No: STEEVES INVESTMENTS INC. Named Alberta 5010902798. Corporation Incorporated 2004 FEB 13 Registered Address: 316, 1167 KENSINGTON CRESCENT SUMMIT MILLWRIGHT SERVICES LTD. Named N.W., CALGARY ALBERTA, T2N 1X7. No: Alberta Corporation Incorporated 2004 FEB 09 2010913669. Registered Address: BOX 790, CARSTAIRS ALBERTA, T0M 0N0. No: 2010904825. STELLAR BUILT HOMES INC. Named Alberta Corporation Incorporated 2004 FEB 07 Registered SUMO JACK'S INCORPORATED Federal Address: 212 - 9714 MAIN STREET, FORT Corporation Registered 2004 FEB 02 Registered MCMURRAY ALBERTA, T9H 1T6. No: Address: 1450, 10405 JASPER AVENUE, 2010902258. EDMONTON ALBERTA, T5J 3N4. No: 2110891690. STEWART SERVICES INC. Named Alberta Corporation Incorporated 2004 FEB 13 Registered SUNNINGDALE GROUP INC. Named Alberta Address: 219-4 ST, BEISEKER ALBERTA, T0M Corporation Incorporated 2004 FEB 09 Registered 0G0. No: 2010913008. Address: 207 WOODSIDE CIRCLE SW, CALGARY ALBERTA, T2W 3K2. No: STILLWATER VENTURES INC. Named Alberta 2010904429. Corporation Incorporated 2004 FEB 02 Registered Address: 9564 OAKLAND ROAD SW, CALGARY SUNNYBROOK PROPERTIES INC. Named ALBERTA, T2V 4C1. No: 2010891832. Alberta Corporation Incorporated 2004 FEB 11 Registered Address: 214, 10836 24TH STREET S.E., CALGARY ALBERTA, T2Z 4C9. No: 2010908099.

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SUNRISE HATCHERY INC. Named Alberta TACTICAL SOLUTIONS CANADA INC. Named Corporation Incorporated 2004 FEB 06 Registered Alberta Corporation Incorporated 2004 FEB 03 Address: 9420-109 STREET, WESTLOCK Registered Address: 10708 BRAESIDE DRIVE ALBERTA, T7P 2R4. No: 2010902050. S.W., CALGARY ALBERTA, T2W 1C1. No: 2010893929. SUNSHOWER CLEANING SERVICES INC. Named Alberta Corporation Incorporated 2004 FEB TAE YANG CANADA LTD. Named Alberta 13 Registered Address: SUITE 19, 9090 - 24 ST SE, Corporation Incorporated 2004 FEB 04 Registered CALGARY ALBERTA, T2C 2H4. No: Address: 87 BEDDINGTON CRES. N.E., 2010914410. CALGARY ALBERTA, T3K 1N4. No: 2010895783. SUPER CONTINENTAL TRAIN COMPANY INC. Named Alberta Corporation Incorporated 2004 FEB TAL-TECH SOLUTIONS INC. Named Alberta 04 Registered Address: #214, 11082 - 156 STREET, Corporation Incorporated 2004 FEB 05 Registered EDMONTON ALBERTA, T5P 4M8. No: Address: 11416 ELBOW DRIVE SW, CALGARY 2010895254. ALBERTA, T2W 2E6. No: 2010900088.

SUPERIOR GLOVE WORKS LIMITED Other TAMARACK COWBOY COLLECTION LTD. Prov/Territory Corps Registered 2004 FEB 06 Named Alberta Corporation Incorporated 2004 FEB Registered Address: 320 EDMONTON CITY 11 Registered Address: 10012-101 STREET, CENTRE E., 10205 101 STREET, EDMONTON PEACE RIVER ALBERTA, T8S 1S2. No: ALBERTA, T5J 4H5. No: 2110900129. 2010908925.

SUVANCO INC. Named Alberta Corporation TAMERLANE CAPITAL INC. Named Alberta Incorporated 2004 FEB 05 Registered Address: C\O Corporation Incorporated 2004 FEB 11 Registered #888 CN TOWER, 10004 - 104 AVENUE, Address: 2500, 635 - 8 AVENUE SW, CALGARY EDMONTON ALBERTA, T5J 0K1. No: ALBERTA, T2P 3M3. No: 2010908081. 2010898241. TANI'S ELECTRICAL SERVICES LTD. Named SWITCH 540 INC. Named Alberta Corporation Alberta Corporation Incorporated 2004 FEB 03 Incorporated 2004 FEB 13 Registered Address: 3902 Registered Address: 4714 27 AVE NW, CENTRE B STREET NW, CALGARY ALBERTA, EDMONTON ALBERTA, T6L 4P9. No: T2K 0W2. No: 2010913552. 2010894653.

SYDNEY PROPERTIES INC. Named Alberta TAO INTERNATIONAL INC. Named Alberta Corporation Incorporated 2004 FEB 13 Registered Corporation Incorporated 2004 FEB 06 Registered Address: 1400, 10303 JASPER AVENUE, Address: 25 RIVERGREEN CRES SE, CALGARY EDMONTON ALBERTA, T5J 3N6. No: ALBERTA, T2C 3V5. No: 2010900369. 2010913347. TASTEBUDS & CO. CAFE LTD. Named Alberta SYSCAL.COM INC. Named Alberta Corporation Corporation Incorporated 2004 FEB 12 Registered Incorporated 2004 FEB 04 Registered Address: 250 Address: 3700, 400 - 3RD AVENUE S.W., COVEWOOD CIRCLE NE, CALGARY CALGARY ALBERTA, T2P 4H2. No: 2010911945. ALBERTA, T3K 5S7. No: 2010896591. TAYTIA INVESTMENTS LTD. Named Alberta T & H HARDWOOD FLOOR LTD. Named Alberta Corporation Incorporated 2004 FEB 03 Registered Corporation Incorporated 2004 FEB 13 Registered Address: 600, 220 - 4 STREET SOUTH, Address: 151 LA VALENCIA GARDENS NE, LETHBRIDGE ALBERTA, T1J 4J7. No: CALGARY ALBERTA, T1Y 6P6. No: 2010914980. 2010893895.

T. MEQUANENT PROFESSIONAL TAZZY KATS (2004) INC. Named Alberta CORPORATION Medical Professional Corporation Corporation Incorporated 2004 FEB 04 Registered Incorporated 2004 FEB 06 Registered Address: Address: 5202 - 52 AVENUE, DRAYTON #108, 9824 - 97 AVENUE, GRANDE PRAIRIE VALLEY ALBERTA, T7A 1S2. No: 2010895734. ALBERTA, T8V 7K2. No: 2010900278. TELETRACK CANADA, INC. Other Prov/Territory T.C.C. ENTERPRISES LTD. Named Alberta Corps Registered 2004 FEB 10 Registered Address: Corporation Incorporated 2004 FEB 05 Registered 3500, 855 - 2 STREET SW, CALGARY Address: 4816 - 50 AVENUE, BONNYVILLE ALBERTA, T2P 4J8. No: 2110905573. ALBERTA, T9N 2H2. No: 2010899603. TEN TREES CONSULTING LTD. Named Alberta T.K. FLOORS LTD. Named Alberta Corporation Corporation Incorporated 2004 FEB 12 Registered Incorporated 2004 FEB 02 Registered Address: 9829 Address: 147 CRANLEIGH GARDEN S.E., 153 STREET, EDMONTON ALBERTA, T5P 2A6. CALGARY ALBERTA, T3M 1C7. No: No: 2010892038. 2010912471.

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THE ALARM STOP INC. Named Alberta THE TACK BOX INC. Named Alberta Corporation Corporation Incorporated 2004 FEB 12 Registered Incorporated 2004 FEB 10 Registered Address: 220, Address: 10038 84 AVE, EDMONTON ALBERTA, 3016- 19TH STREET NE, CALGARY ALBERTA, T6E 2G5. No: 2010910863. T2E 6Y9. No: 2010906218.

THE BLUE FLAME CONSULTING GROUP LTD. THOMAS TILE LTD. Named Alberta Corporation Named Alberta Corporation Incorporated 2004 FEB Incorporated 2004 FEB 09 Registered Address: 600, 03 Registered Address: 7256 KANANASKIS 220 - 4 STREET SOUTH, LETHBRIDGE DRIVE S.W., CALGARY ALBERTA, T2V 2N2. ALBERTA, T1J 4J7. No: 2010903835. No: 2010895114. THOMSEN GROUP INC. Named Alberta THE FINANCIAL MANAGEMENT GROUP OF Corporation Incorporated 2004 FEB 12 Registered COMPANIES INC. Named Alberta Corporation Address: 11724 - 103 AVENUE, EDMONTON Incorporated 2004 FEB 06 Registered Address: 280, ALBERTA, T5K 0S7. No: 2010911796. 521 - 3 AVENUE S.W., CALGARY ALBERTA, T2P 3T3. No: 2010900583. THOMSEN PROPERTIES INC. Named Alberta Corporation Incorporated 2004 FEB 12 Registered THE GEMSTORE LTD. Federal Corporation Address: 11724 - 103 AVENUE, EDMONTON Registered 2004 FEB 06 Registered Address: 770, ALBERTA, T5K 0S7. No: 2010911747. 237 8 AVE SE, CALGARY ALBERTA, T2G 5C3. No: 2110908254. THREE HILLS ARENA COMPLETION SOCIETY Alberta Society Incorporated 2004 JAN 22 THE GRADER GUYS LTD. Named Alberta Registered Address: 205 MAIN STREET, THREE Corporation Incorporated 2004 FEB 06 Registered HILLS ALBERTA, T0M 2A0. No: 5010904257. Address: 8860 - 60 AVENUE, EDMONTON ALBERTA, T6E 6A6. No: 2010899934. THUMBNAIL STUDIOS INC. Named Alberta Corporation Incorporated 2004 FEB 05 Registered THE PANIGAS GROUP OF COMPANIES LTD. Address: 206 23 AVE. NE, CALGARY ALBERTA, Other Prov/Territory Corps Registered 2004 FEB 05 T2E 1V7. No: 2010897854. Registered Address: 2000, 10235 - 101 STREET, EDMONTON ALBERTA, T5J 3G1. No: TIER TWO CAPITAL INC. Named Alberta 2110899396. Corporation Incorporated 2004 FEB 02 Registered Address: 98 - 3RD AVENUE WEST, THE PAX AGENCY IMPORTS AND EXPORTS DRUMHELLER ALBERTA, T0J 0Y0. No: INCORPORATED Named Alberta Corporation 2010889406. Incorporated 2004 FEB 11 Registered Address: 103 20 SUNPARK PLAZA SE, CALGARY ALBERTA, TIERCE DE PICARDIE CONSULTING INC. T2X 3T2. No: 2010909147. Named Alberta Corporation Incorporated 2004 FEB 02 Registered Address: #200, 508-24 AVENUE THE POLISH SENIORS SOCIETY OF S.W., CALGARY ALBERTA, T2S 0K4. No: EDMONTON 2004 Alberta Society Incorporated 2010892319. 2004 FEB 13 Registered Address: 7736 156 ST., EDMONTON ALBERTA, T5R 1X7. No: TILEWORKS INC. Named Alberta Corporation 5010914884. Incorporated 2004 FEB 06 Registered Address: 309 SPRUCE STREET, SPRINGBROOK ALBERTA, THE SARIS GROUP INC. Named Alberta T4S 1V4. No: 2010901300. Corporation Incorporated 2004 FEB 10 Registered Address: C/O 203 200 BARCLAY PARADE SW, TIMBER RIDGE CAPITAL LTD. Named Alberta CALGARY ALBERTA, T2P 4R5. No: 2010907497. Corporation Incorporated 2004 FEB 06 Registered Address: 4500, 855 - 2ND STREET S.W., THE SILVER SCREEN CAFE INC. Named Alberta CALGARY ALBERTA, T2P 4K7. No: 2010901698. Corporation Incorporated 2004 FEB 04 Registered Address: #600, 5920 MACLEOD TRAIL S.W., TINT STYLE INC. Named Alberta Corporation CALGARY ALBERTA, T2H OK2. No: Incorporated 2004 FEB 02 Registered Address: 201 2010896641. ROCKY RIDGE CLOSE NW, CALGARY ALBERTA, T3G 4X2. No: 2010886709. THE SOCIETY OF HEALTHY COCHRANE COALITION Alberta Society Incorporated 2004 TIREBURNERJOE'S DIECAST AND JAN 23 Registered Address: 213 FIRST STREET COLLECTABLES INC. Named Alberta Corporation SW, COCHRANE ALBERTA, T4C 1A6. No: Incorporated 2004 FEB 06 Registered Address: 5010898293. 9239-172 STREET, EDMONTON ALBERTA, T5T 3C3. No: 2010900856. THE ST. BRIGID EDUCATIONAL SOCIETY Alberta Society Incorporated 2004 JAN 09 Registered Address: 730 CITADEL WAY NW, CALGARY ALBERTA, T3G 5S6. No: 5010904703.

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TODD P. DONNELLY PROFESSIONAL TRIDENT RESOURCES CORP. Foreign CORPORATION Dental Professional Corporation Corporation Registered 2004 FEB 09 Registered Incorporated 2004 FEB 05 Registered Address: Address: 3500, 855 - 2 STREET SW, CALGARY #903, 1333 - 8TH STREET S.W., CALGARY ALBERTA, T2P 4J8. No: 2110903180. ALBERTA, T2R 1M6. No: 2010897391. TRILLIUM CAPITAL MORTGAGE CORP. Named TONGUE CREEK TRANSPORT INC. Named Alberta Corporation Incorporated 2004 FEB 05 Alberta Corporation Incorporated 2004 FEB 12 Registered Address: #250 CANOE SQUARE, Registered Address: 124 HIGH RIDGE PL NW, AIRDRIE ALBERTA, T4B 2N6. No: 2010899751. HIGH RIVER ALBERTA, T1V 1X8. No: 2010911556. TRIMOR FINANCIAL GROUP INC. Named Alberta Corporation Incorporated 2004 FEB 09 TOP NOTCH IRONWORKS INC. Named Alberta Registered Address: #1900, 350 - 7TH AVENUE Corporation Incorporated 2004 FEB 06 Registered S.W., CALGARY ALBERTA, T2P 3N9. No: Address: LOT 24 BLOCK 1 PLAN 8221262 SAS 2010902902. RL59 STURGEON COUNTY No: 2010901128. TRIPLE C WELDING LTD. Named Alberta TORNACK OILFIELD SERVICES LTD. Named Corporation Incorporated 2004 FEB 11 Registered Alberta Corporation Incorporated 2004 FEB 03 Address: 102, 10126 - 97 AVENUE, GRANDE Registered Address: 4-4737 49B AVE, LACOMBE PRAIRIE ALBERTA, T8V 7X6. No: 2010908271. ALBERTA, T4L 1K1. No: 2010895205. TRIPLE VIEW ENTERPRISES LTD. Named TOWMAC TRUCKING LTD. Named Alberta Alberta Corporation Incorporated 2004 FEB 12 Corporation Incorporated 2004 FEB 02 Registered Registered Address: 24 APPLECREST CRESCENT Address: 7939 WENTWORTH DRIVE S.W., S.E., CALGARY ALBERTA, T2A 7N7. No: CALGARY ALBERTA, T3H 4P2. No: 2010891527. 2010912554.

TOWNSNOOP.COM INC. Federal Corporation TRITON ENERGY CORP. Named Alberta Registered 2004 FEB 10 Registered Address: 483 Corporation Incorporated 2004 FEB 04 Registered 9TH STREET WEST, P.O. BOX 631, CARDSTON Address: 1400, 350 - 7TH AVENUE SW, ALBERTA, T0K 0K0. No: 2110907090. CALGARY ALBERTA, T2P 3N9. No: 2010897888.

TRAFFIC DETOURS INCORPORATED Named TRUDY CURRY CONSULTING SERVICES INC. Alberta Corporation Incorporated 2004 FEB 12 Named Alberta Corporation Incorporated 2004 FEB Registered Address: 2104 CHILCOTIN RD NW, 10 Registered Address: 213, 1415 17 STREET S.E., CALGARY ALBERTA, T2L 0X1. No: 2010910988. CALGARY ALBERTA, T2G 3V3. No: 2010906754. TRANS BAHJAT INC. Named Alberta Corporation Incorporated 2004 FEB 05 Registered Address: 63 TRY M CONTRACTING LTD. Named Alberta ERIN CREST SE, CALGARY ALBERTA, T2B Corporation Incorporated 2004 FEB 03 Registered 3C8. No: 2010897987. Address: NE - 34 - 41 - 18 No: 2010892897.

TRANSCEND TECHNOLOGY CORP. Named TURLEY ENTERPRISES INCORPORATED Alberta Corporation Incorporated 2004 FEB 10 Federal Corporation Registered 2004 FEB 06 Registered Address: 7855 MARTHA'S HAVEN PK. Registered Address: BOX 32 SITE 9 RR 2, N.E., CALGARY ALBERTA, T3J 4H7. No: TOFIELD ALBERTA, T0B 4J0. No: 2110901333. 2010905905. TWO BROTHERS CONCRETE LTD. Named TREATY SEVEN DISABILITY SERVICES Alberta Corporation Incorporated 2004 FEB 03 SOCIETY Alberta Society Incorporated 2004 JAN Registered Address: 5639 CENTRE STREET N.W., 20 Registered Address: SUITE 300, 6011 1A ST, CALGARY ALBERTA, T2K 0T4. No: 2010895056. SW, CALGARY ALBERTA, T2H 0G5. No: 5010895729. TWO D RANCHES LTD. Named Alberta Corporation Incorporated 2004 FEB 05 Registered TREMOR OILFIELD SERVICES LTD. Named Address: SUITE 105, 2034 - 19TH AVENUE, Alberta Corporation Incorporated 2004 FEB 06 DIDSBURY ALBERTA, T0M 0W0. No: Registered Address: BAG 1227, B 212 - 3 AVENUE 2010898118. WEST, BROOKS ALBERTA, T1R 1C1. No: 2010900229. ULTIMA CUSTOM HOMES INC. Named Alberta Corporation Incorporated 2004 FEB 05 Registered TREVOR KYLE OILFIELD SERVICES LTD. Address: SUITE 307, 4600 CROWCHILD TRAIL Named Alberta Corporation Incorporated 2004 FEB N.W., CALGARY ALBERTA, T3A 2L6. No: 06 Registered Address: 5006 - 50 ST., BARRHEAD 2010898639. ALBERTA, T7N 1A4. No: 2010900112.

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ULTIMATE SECRETARY LTD. Named Alberta VENTURE PRODUCTION TESTING INC. Named Corporation Incorporated 2004 FEB 04 Registered Alberta Corporation Incorporated 2004 FEB 05 Address: 10, 3092 DUNMORE ROAD SE, Registered Address: 5022 - 51 AVENUE, MEDICINE HAT ALBERTA, T1B 2X2. No: WHITECOURT ALBERTA, T7S 1N9. No: 2010897839. 2010898431.

UNDERDOGS INC Named Alberta Corporation VEPCO INC. Named Alberta Corporation Incorporated 2004 FEB 03 Registered Address: 203- Incorporated 2004 FEB 07 Registered Address: 150 333 RIVERFRONT AVENUE SE, CALGARY ARBOUR MEADOWS CLOSE N.W., CALGARY ALBERTA, T2G 5R1. No: 2010895262. ALBERTA, T3G 5J3. No: 2010902589.

UNI-SPEC INSPECTION SERVICES (NOVA) VERTICAL TRANSITION LTD. Named Alberta LIMITED Named Alberta Corporation Continued In Corporation Incorporated 2004 FEB 12 Registered 2004 FEB 03 Registered Address: 2500, 10303 Address: 2824 SIGNAL HILL DRIVE SW, JASPER AVENUE, EDMONTON ALBERTA, T5J CALGARY ALBERTA, T3H 2C8. No: 3N6. No: 2010893747. 2010910574.

UNIQUE DRYWALL LTD. Named Alberta VICKY AUTO SALES LTD. Named Alberta Corporation Incorporated 2004 FEB 11 Registered Corporation Incorporated 2004 FEB 11 Registered Address: 3503 - 60 STREET N.E., CALGARY Address: 4824 - 15 A AVE, EDMONTON ALBERTA, T1Y 3L2. No: 2010909154. ALBERTA, T6L 6H8. No: 2010910384.

UNIVERSAL CANKIDNEYDIRECT VICTORY WEST KOMPRESSION INC. Named CONSULTING LTD. Named Alberta Corporation Alberta Corporation Incorporated 2004 FEB 05 Incorporated 2004 FEB 13 Registered Address: 442 Registered Address: 3 DISCOVERY RIDGE LANE 78 AVE NE, CALGARY ALBERTA, T2K 0S1. No: SW, CALGARY ALBERTA, T3H 4Y3. No: 2010915037. 2010898274.

URBAN BALANCE INC. Named Alberta VIETNAM FOODS LTD. Named Alberta Corporation Incorporated 2004 FEB 11 Registered Corporation Incorporated 2004 FEB 10 Registered Address: 635, 10201 SOUTHPORT ROAD S.W., Address: 4TH FLR., 4943 - 50TH STREET, RED CALGARY ALBERTA, T2W 4X9. No: DEER ALBERTA, T4N 1Y1. No: 2010907240. 2010909287. VIRTUAL BAY CORP. Named Alberta Corporation URBAN EXTERIOR PAINTING LTD. Named Incorporated 2004 FEB 03 Registered Address: # Alberta Corporation Incorporated 2004 FEB 09 295, 2720 12 STREET NE, CALGARY ALBERTA, Registered Address: 215-3818-19 AVE SW, T2E 7N4. No: 2010891378. CALGARY ALBERTA, T3E 6T3. No: 2010844252. VIVID IMAGE STUDIO INC. Named Alberta URBANZOO INC. Named Alberta Corporation Corporation Incorporated 2004 FEB 10 Registered Incorporated 2004 FEB 09 Registered Address: Address: C/O NEIL LAW, 10511 11827 - 11 AVENUE, EDMONTON ALBERTA, SASKATCHEWAN DRIVE, EDMONTON T6J 7C3. No: 2010903769. ALBERTA, T6E 4S1. No: 2010900195.

UTOPIA HAIR STUDIO INC. Named Alberta VOGEY'S PAINTING INC. Named Alberta Corporation Incorporated 2004 FEB 04 Registered Corporation Incorporated 2004 FEB 05 Registered Address: 208, 4808 ROSS STREET, RED DEER Address: SUITE 105, 2034 - 19TH AVENUE, ALBERTA, T4N 1X5. No: 2010896336. DIDSBURY ALBERTA, T0M 0W0. No: 2010898050. V. SILBERNAGEL CONSULTING SERVICES LTD. Named Alberta Corporation Incorporated 2004 VORTEC CONTROLS LTD. Named Alberta FEB 05 Registered Address: 1432 - 9TH STREET Corporation Incorporated 2004 FEB 04 Registered NW, CALGARY ALBERTA, T2M 3L2. No: Address: 4502 47 STREET, GRIMSHAW 2010899504. ALBERTA, T0H 1W0. No: 2010896294.

VALHALLA VILLAGE CORP. Named Alberta W. SHAW FARMS LTD. Named Alberta Corporation Incorporated 2004 FEB 13 Registered Corporation Incorporated 2004 FEB 04 Registered Address: 7403 - 30TH STREET S.E., CALGARY Address: 10316 - 110 STREET, FAIRVIEW ALBERTA, T2C 1N6. No: 2010910640. ALBERTA, T0H 1L0. No: 2010895965.

VANIRE CORP. Named Alberta Corporation W. SPENCE SAMPLE PROFESSIONAL Incorporated 2004 FEB 02 Registered Address: 58, CORPORATION Legal Professional Corporation 9703 - 41 AVENUE, EDMONTON ALBERTA, Incorporated 2004 FEB 04 Registered Address: 701, T6E 6M9. No: 2010890495. 10060 JASPER AVENUE, EDMONTON ALBERTA, T5J 3R8. No: 2010895643.

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W.W.C.R. CORPORATION Named Alberta WESTHAWK ENERGY LTD. Named Alberta Corporation Incorporated 2004 FEB 04 Registered Corporation Incorporated 2004 FEB 03 Registered Address: 4710 - 50 STREET, LEDUC ALBERTA, Address: 500, 600 6TH AVENUE SW, CALGARY T9E 6W2. No: 2010897334. ALBERTA, T2P 0S5. No: 2010895197.

WALDAR INVESTMENTS INC. Named Alberta WESTSIDE FRAMING INC. Named Alberta Corporation Incorporated 2004 FEB 13 Registered Corporation Incorporated 2004 FEB 06 Registered Address: 1500-10180 101 ST NW, EDMONTON Address: 168 SOMERSET CLOSE SW, CALGARY ALBERTA, T5J 4K1. No: 2010913180. ALBERTA, T2Y 3H7. No: 2010864946.

WAPANACAHKES CONSULTING INC. Named WESTVEN ENERGY INC. Named Alberta Alberta Corporation Incorporated 2004 FEB 07 Corporation Incorporated 2004 FEB 02 Registered Registered Address: SW-02-52-26-W4 No: Address: SUITE 420, 703 - 6TH AVENUE S.W., 2010902381. CALGARY ALBERTA, T2P 0T9. No: 2010892269.

WAPITI AUTO SALES LTD. Named Alberta WETASKIWIN 2005 ALBERTA SENIOR GAMES Corporation Incorporated 2004 FEB 02 Registered SOCIETY Alberta Society Incorporated 2004 JAN Address: 108, 9824 - 97 AVENUE, GRANDE 29 Registered Address: 4904 - 51 ST., PRAIRIE ALBERTA, T8V 7K2. No: 2010892541. WETASKIWIN ALBERTA, T9A 1L2. No: 5010891140. WAY LEE ENTERPRISES LTD. Named Alberta Corporation Incorporated 2004 FEB 05 Registered WHITE FROG STUDIO INC. Named Alberta Address: C/O D-R ACCOUNTING (1988) LTD. Corporation Incorporated 2004 FEB 13 Registered 4809 51 AVE, CAMROSE ALBERTA, T4V 0V4. Address: #450, 808 - 4TH AVENUE S.W., No: 2010895882. CALGARY ALBERTA, T2P 3E8. No: 2010912489.

WEATHER VENTURES INC. Named Alberta WHITING FUEL DISTRIBUTORS LTD. Named Corporation Incorporated 2004 FEB 12 Registered Alberta Corporation Incorporated 2004 FEB 04 Address: BUILDING 14, 9977 - 178 STREET, #117, Registered Address: 2250 SCOTIA 1, 10060 EDMONTON ALBERTA, T5T 6J6. No: JASPER AVENUE, EDMONTON ALBERTA, T5J 2010912422. 3R8. No: 2010892772.

WEE FOLK STABLES INC. Named Alberta WHOLISTIC FAMILY LEGACY FOUNDATION Corporation Incorporated 2004 FEB 09 Registered OF CANADA Alberta Society Incorporated 2004 Address: #202, 2 ATHABASCAN AVENUE, FEB 03 Registered Address: 535 3RD ST, SE, SHERWOOD PARK ALBERTA, T8A 4E3. No: MEDICINE HAT ALBERTA, T1A 0H2. No: 2010904544. 5010905924.

WELLNESSAID INC. Named Alberta Corporation WILLI'S COMPLETE AUTO DETAILING LTD. Incorporated 2004 FEB 11 Registered Address: 210, Named Alberta Corporation Incorporated 2004 FEB 2905 UNWIN ROAD NW, CALGARY ALBERTA, 11 Registered Address: #220, 8723 - 82 AVENUE, T2N 4M5. No: 2010906895. EDMONTON ALBERTA, T6C 0Y9. No: 2010908396. WENRO HOLDINGS LTD. Named Alberta Corporation Incorporated 2004 FEB 11 Registered WILLIAM LAYCOCK CONSULTING INC. Address: 211, 8204 - 104 STREET, EDMONTON Named Alberta Corporation Incorporated 2004 FEB ALBERTA, T6E 4E6. No: 2010906572. 10 Registered Address: 1160, 1122 - 4TH STREET S.W., CALGARY ALBERTA, T2R 1M1. No: WENWEN CONSULTING INC. Named Alberta 2010907224. Corporation Incorporated 2004 FEB 09 Registered Address: 25 SOMERSIDE CRES SW, CALGARY WILLOW NATURAL HEALING MIND BODY & ALBERTA, T2Y 4G8. No: 2010905335. SOUL INC. Named Alberta Corporation Incorporated 2004 FEB 11 Registered Address: 102, WEST END EAVESTROUGHING & 1717 - 60 STREET SE, CALGARY ALBERTA, CONSTRUCTION LTD. Named Alberta T2A 7Y7. No: 2010910137. Corporation Incorporated 2004 FEB 12 Registered Address: 5401A - 50 AVENUE, TABER WILQWIP HOLDINGS LTD. Named Alberta ALBERTA, T1G 1V2. No: 2010912794. Corporation Incorporated 2004 FEB 13 Registered Address: #108, 2841 - 109 STREET, EDMONTON WESTCOAST EXTERIORS LTD. Named Alberta ALBERTA, T6J 6B7. No: 2010913974. Corporation Incorporated 2004 FEB 11 Registered Address: 47 SQUAMISH BLVD W, LETHBRIDGE WIN ENERGY CORPORATION Named Alberta ALBERTA, T1K 7J7. No: 2010909790. Corporation Incorporated 2004 FEB 09 Registered Address: 3700, 400 - 3RD AVENUE SW, CALGARY ALBERTA, T2P 4H2. No: 2010902811.

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WIRE ROPE INDUSTRIES DISTRIBUTION LTD. WRIGHT ENVIRONMENTAL SOLUTIONS LTD. Federal Corporation Registered 2004 FEB 09 Named Alberta Corporation Incorporated 2004 FEB Registered Address: 1000, 400 - 3RD AVENUE SW, 10 Registered Address: 10022 - 102 AVENUE, CALGARY ALBERTA, T2P 4H2. No: 2110902687. GRANDE PRAIRIE ALBERTA, T8V 0Z7. No: 2010905681. WISE MORTGAGE INCORPORATED Named Alberta Corporation Incorporated 2004 FEB 03 Y7 CONSULTING LTD. Named Alberta Registered Address: 112 CITADEL HILLS GREEN Corporation Incorporated 2004 FEB 09 Registered NW, CALGARY ALBERTA, T3G 3T6. No: Address: #217, 65 CHIPPEWA ROAD, 2010894836. SHERWOOD PARK ALBERTA, T8A 6J7. No: 2010904783. WL PROJECTS INC. Named Alberta Corporation Incorporated 2004 FEB 02 Registered Address: 303 YELLOWHEAD HEALING ARTS FOUNDATION DIAMOND CRT. SE, CALGARY ALBERTA, T2J Alberta Society Incorporated 2004 FEB 02 7C7. No: 2010889265. Registered Address: E 1/2 SW 9 52 2W6M No: 5010907854. WOK N' GO LTD. Named Alberta Corporation Incorporated 2004 FEB 06 Registered Address: YJ EXCAVATING INC. Named Alberta 14143-127 ST., EDMONTON ALBERTA, T6V Corporation Incorporated 2004 FEB 05 Registered 1E7. No: 2010901342. Address: 146 STRATHRIDGE CL. S.W., CALGARY ALBERTA, T3H 4J3. No: 2010897912. WOLFMAN INTERNATIONAL INC. Named Alberta Corporation Incorporated 2004 FEB 11 YPRES GREEN HOMEOWNERS ASSOCIATION Registered Address: 77 ERIN RIDGE RD SE, Alberta Society Incorporated 2004 JAN 22 CALGARY ALBERTA, T2B 2W2. No: Registered Address: 200 - 815 10 AVE SW, 2010908222. CALGARY ALBERTA, T2R 0B4. No: 5010898772.

WOMEN IN INSURANCE CANCER CRUSADE YUANCHAO CONSULTING LIMITED Named (WICC) SOCIETY OF ALBERTA Alberta Society Alberta Corporation Incorporated 2004 FEB 05 Incorporated 2004 JAN 29 Registered Address: 100- Registered Address: 81 ARBOUR CREST 4124 9TH STREET, CALGARY ALBERTA, T3G TERRACE NW, CALGARY ALBERTA, T3G 4S2. 3C4. No: 5010892106. No: 2010898647.

WOODTECH FRAMING INC. Named Alberta ZEIN INVESTMENT CANADA INC. Named Corporation Incorporated 2004 FEB 11 Registered Alberta Corporation Incorporated 2004 FEB 09 Address: 55 CIMARRON TRAIL, OKOTOKS Registered Address: 107 521A FIRST ST. WEST, ALBERTA, T1S 2E6. No: 2010908701. COCHRANE ALBERTA, T4C 1X8. No: 2010902837. WORLD CULTURE AND EXERCISE ORGANIZATION. Non-Profit Public Company Incorporated 2004 JAN 15 Registered Address: 3117-32 AVENUE, EDMONTON ALBERTA, T6T 1X3. No: 5110894515.

Corporate Name Changes

(Business Corporations Act, Cemetery Companies Act, Companies Act, Co-operative Association Act, Credit Union Act, Loan and Trust Corporations Act, Religious Societies’ Land Act, Rural Utilities Act, Societies Act, Partnership Act)

1018046 ALBERTA LTD. Named Alberta 1034279 ALBERTA LTD. Named Alberta Corporation Incorporated 2002 NOV 20. New Name: Corporation Incorporated 2003 MAR 03. New BLUE DOOR HOLDINGS LTD. Effective Date: Name: TERAIG INVESTMENTS INC. Effective 2004 FEB 13. No: 2010180467. Date: 2004 FEB 13. No: 2010342794.

1029430 ALBERTA LTD. Named Alberta 1036436 ALBERTA LTD. Named Alberta Corporation Incorporated 2003 JAN 31. New Name: Corporation Incorporated 2003 MAR 14. New ALBERTA PARALEGAL SERVICES LTD. Name: DAKOTA DAWN HOLDINGS INC. Effective Date: 2004 FEB 10. No: 2010294300. Effective Date: 2004 FEB 02. No: 2010364368.

- 883 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

1036682 ALBERTA LTD. Named Alberta 1073514 ALBERTA LTD. Named Alberta Corporation Incorporated 2003 MAR 17. New Corporation Incorporated 2003 OCT 28. New Name: Name: INNOVATION PHYSICAL THERAPY BOBCAT OF THE PEACE INC. Effective Date: INC. Effective Date: 2004 FEB 12. No: 2010366827. 2004 FEB 11. No: 2010735146.

1038245 ALBERTA LTD. Named Alberta 1074906 ALBERTA LTD. Named Alberta Corporation Incorporated 2003 MAR 25. New Corporation Incorporated 2003 NOV 05. New Name: Name: W. HAZLETT FARMS LTD. Effective Date: SKILLSET SYSTEMS LTD. Effective Date: 2004 2004 FEB 13. No: 2010382451. FEB 10. No: 2010749063.

1038400 ALBERTA LTD. Named Alberta 1075221 ALBERTA LTD. Named Alberta Corporation Incorporated 2003 MAR 25. New Corporation Incorporated 2003 NOV 06. New Name: Name: SUNSET FIREWORKS LTD. Effective ALBERTA OATS MILLING LTD. Effective Date: Date: 2004 FEB 06. No: 2010384002. 2004 FEB 06. No: 2010752216.

1041208 ALBERTA LTD. Named Alberta 1076557 ALBERTA LTD. Named Alberta Corporation Incorporated 2003 APR 09. New Name: Corporation Incorporated 2003 NOV 14. New Name: ALBERT RUSSELL ENTERPRISES LTD. PFAD ENTERPRISES LTD. Effective Date: 2004 Effective Date: 2004 FEB 05. No: 2010412084. FEB 04. No: 2010765572.

1042240 ALBERTA LTD. Named Alberta 1076565 ALBERTA LTD. Named Alberta Corporation Incorporated 2003 APR 15. New Name: Corporation Incorporated 2003 NOV 14. New Name: RIVER CREST VENTURES INC. Effective Date: ALFRED SORENSEN HOLDINGS LTD. Effective 2004 FEB 02. No: 2010422406. Date: 2004 FEB 13. No: 2010765655.

1043448 ALBERTA LTD. Named Alberta 1077096 ALBERTA LTD. Named Alberta Corporation Incorporated 2003 APR 24. New Name: Corporation Incorporated 2003 NOV 18. New Name: CENTRAL COIL LTD. Effective Date: 2004 FEB GENESIS PROJECT MANAGEMENT & 11. No: 2010434484. CONTRACTING (2004) LTD. Effective Date: 2004 FEB 10. No: 2010770960. 1048072 ALBERTA LTD. Named Alberta Corporation Incorporated 2003 MAY 21. New 1077202 ALBERTA LTD. Named Alberta Name: VAN DEN BERG APIARIES LTD. Effective Corporation Incorporated 2003 NOV 19. New Name: Date: 2004 FEB 11. No: 2010480727. THE AUTOLUBE CENTRE LTD. Effective Date: 2004 FEB 13. No: 2010772024. 1053047 ALBERTA INC. Named Alberta Corporation Incorporated 2003 JUN 19. New Name: 1079280 ALBERTA LTD. Named Alberta BLOOMIN' LOVELY GARDEN DESIGN INC. Corporation Incorporated 2003 DEC 01. New Name: Effective Date: 2004 FEB 02. No: 2010530471. DEK ADVANCED SOLUTIONS LTD. Effective Date: 2004 FEB 04. No: 2010792808. 1057037 ALBERTA LTD. Named Alberta Corporation Incorporated 2003 JUL 15. New Name: 1079984 ALBERTA LTD. Named Alberta CALGARY PARKNWASH INC. Effective Date: Corporation Incorporated 2003 DEC 04. New Name: 2004 FEB 04. No: 2010570378. BIG SKY CAMP CATERING LTD. Effective Date: 2004 FEB 03. No: 2010799845. 1062597 ALBERTA LTD. Named Alberta Corporation Incorporated 2003 AUG 21. New Name: 1080269 ALBERTA LTD. Named Alberta HODGERT & ASSOCIATES LTD. Effective Date: Corporation Incorporated 2003 DEC 08. New Name: 2004 FEB 13. No: 2010625974. VANTAGE FLOORCOVERINGS INC. Effective Date: 2004 FEB 06. No: 2010802698. 1064654 ALBERTA LTD. Named Alberta Corporation Incorporated 2003 SEP 04. New Name: 1081053 ALBERTA LTD. Named Alberta 403TECH SERVICES INC. Effective Date: 2004 Corporation Incorporated 2003 DEC 11. New Name: FEB 09. No: 2010646541. TALKING STICK ENERGY CORPORATION Effective Date: 2004 FEB 05. No: 2010810535. 1070744 ALBERTA LTD. Named Alberta Corporation Incorporated 2003 OCT 15. New Name: 1081792 ALBERTA LTD. Named Alberta INTERGLOBAL FORWARDING INC. Effective Corporation Incorporated 2003 DEC 16. New Name: Date: 2004 FEB 05. No: 2010707442. OGI GROUP CORPORATION Effective Date: 2004 FEB 13. No: 2010817928. 1072367 ALBERTA LTD. Named Alberta Corporation Incorporated 2003 OCT 21. New Name: 1082297 ALBERTA LTD. Named Alberta THE THREE ACQUAINTANCES CORP. Effective Corporation Incorporated 2003 DEC 18. New Name: Date: 2004 FEB 12. No: 2010723670. HOLT GRAINSTOCK ACRES INC. Effective Date: 2004 FEB 02. No: 2010822977.

- 884 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

1082507 ALBERTA LTD. Named Alberta 1089207 ALBERTA LTD. Named Alberta Corporation Incorporated 2003 DEC 30. New Name: Corporation Incorporated 2004 FEB 02. New Name: TUSCANA RISTORANTE LTD. Effective Date: ESBERG CONTRACTING LTD. Effective Date: 2004 FEB 06. No: 2010825079. 2004 FEB 04. No: 2010892079.

1083096 ALBERTA LTD. Named Alberta 1090514 ALBERTA LTD. Named Alberta Corporation Incorporated 2003 DEC 24. New Name: Corporation Incorporated 2004 FEB 10. New Name: ULTRA AEROTEK LTD. Effective Date: 2004 FEB BAIN CONTRACTING LTD. Effective Date: 2004 10. No: 2010830962. FEB 12. No: 2010905145.

1083446 ALBERTA LTD. Named Alberta 1091203 ALBERTA CORP. Numbered Alberta Corporation Incorporated 2003 DEC 29. New Name: Corporation Incorporated 2004 FEB 12. New Name: SUPREME ENERGY INC. Effective Date: 2004 1091203 ALBERTA LTD. Effective Date: 2004 FEB 06. No: 2010834469. FEB 13. No: 2010912034.

1083554 ALBERTA LTD. Named Alberta 115240 ALBERTA LTD. Named Alberta Corporation Incorporated 2003 DEC 30. New Name: Corporation Incorporated 1978 MAR 10. New FULL COVERAGE PAINTING & DECORATING Name: FRANK K. HUI INVESTMENTS INC. LTD. Effective Date: 2004 FEB 12. No: Effective Date: 2004 FEB 13. No: 201152402. 2010835540. 137012 CANADA LIMITED Federal Corporation 1083741 ALBERTA LTD. Legal Professional Registered 1985 FEB 08. New Name: CYGNUS Corporation Incorporated 2004 JAN 01. New Name: SIGN MANAGEMENT INC. Effective Date: 2004 IAN D. BOCK PROFESSIONAL CORPORATION FEB 03. No: 213253545. Effective Date: 2004 FEB 05. No: 2010837413. 2K HOMES INC. Named Alberta Corporation 1083917 ALBERTA LTD. Named Alberta Incorporated 1998 MAY 21. New Name: AKAM Corporation Incorporated 2003 DEC 31. New Name: PRESTIGE HOMES INC. Effective Date: 2004 FEB ESIP HOLDINGS LTD. Effective Date: 2004 FEB 10. No: 207859414. 06. No: 2010839179. 380094 ALBERTA LTD. Named Alberta 1084554 ALBERTA INC. Named Alberta Corporation Incorporated 1988 FEB 26. New Name: Corporation Incorporated 2004 JAN 07. New Name: JOHN LUCKHURST GRAPHIC DESIGN INC. INKJET REFILL LTD. Effective Date: 2004 FEB Effective Date: 2004 FEB 13. No: 203800941. 04. No: 2010845549. 383924 ALBERTA LTD. Named Alberta 1085670 ALBERTA LTD. Named Alberta Corporation Incorporated 1988 MAY 11. New Corporation Incorporated 2004 JAN 13. New Name: Name: HYDRO-VACS UNLIMITED SALES LTD. APEX CAR SHUTTLE & COURIER LTD. Effective Date: 2004 FEB 05. No: 203839246. Effective Date: 2004 FEB 04. No: 2010856702. 695888 ALBERTA LTD. Named Alberta 1086801 ALBERTA LTD. Named Alberta Corporation Incorporated 1996 MAY 21. New Corporation Incorporated 2004 JAN 20. New Name: Name: EYEWEST DEVELOPMENTS LTD. BRONNACKER RESOURCES LTD. Effective Effective Date: 2004 FEB 12. No: 206958886. Date: 2004 FEB 13. No: 2010868012. 711651 ALBERTA LTD. Named Alberta 1087843 ALBERTA LTD. Named Alberta Corporation Incorporated 1996 OCT 02. New Name: Corporation Incorporated 2004 JAN 23. New Name: G-STUDIO INC. Effective Date: 2004 FEB 04. No: TERRA VITA INC. Effective Date: 2004 FEB 10. 207116518. No: 2010878433. 755328 ALBERTA LTD. Named Alberta 1088427 ALBERTA LTD. Named Alberta Corporation Incorporated 1997 SEP 18. New Name: Corporation Incorporated 2004 JAN 28. New Name: SUNSET TOURS AND SAFARIS LTD. Effective A WIZARD'S TOUCH GENERAL Date: 2004 FEB 03. No: 207553280. CONTRACTING LTD. Effective Date: 2004 FEB 09. No: 2010884274. 763862 ALBERTA LTD. Named Alberta Corporation Incorporated 1997 NOV 20. New Name: 1088535 ALBERTA LTD. Named Alberta GIL'S DRILLING SERVICES LTD. Effective Date: Corporation Incorporated 2004 JAN 28. New Name: 2004 FEB 12. No: 207638628. PRIME TIME SIDING LTD. Effective Date: 2004 FEB 12. No: 2010885354. 790475 ALBERTA INC. Named Alberta Corporation Incorporated 1998 JUN 25. New Name: 1088695 ALBERTA LTD. Named Alberta UNDERFOOT FLOORS LTD. Effective Date: 2004 Corporation Incorporated 2004 JAN 29. New Name: FEB 03. No: 207904756. D.A.K. WOODWORKING LTD. Effective Date: 2004 FEB 13. No: 2010886956.

- 885 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

817458 ALBERTA LTD. Named Alberta 993593 ALBERTA LTD. Named Alberta Corporation Incorporated 1999 FEB 04. New Name: Corporation Incorporated 2002 JUN 10. New Name: REFORM ENERGY SERVICES INC. Effective EIGHT BALL MOVING LTD. Effective Date: 2004 Date: 2004 FEB 06. No: 208174581. FEB 11. No: 209935931.

869621 ALBERTA LTD. Named Alberta ABC RECRUITMENT INC. Named Alberta Corporation Incorporated 2000 MAR 14. New Corporation Incorporated 1994 DEC 13. New Name: Name: KOWE CONSULTING LTD. Effective Date: LOVUA EXPLORATION LTD. Effective Date: 2004 FEB 04. No: 208696211. 2004 FEB 02. No: 206357113.

902983 ALBERTA LTD. Legal Professional AL AZHAR LEGION OF HONOR CLUB Alberta Corporation Incorporated 2000 OCT 24. New Name: Society Incorporated 2000 JUN 05. New Name: AL THOMAS N. COTTER PROFESSIONAL AZHAR SHRINERS (LEGION OF HONOR) CORPORATION Effective Date: 2004 FEB 06. No: SOCIETY Effective Date: 2004 JAN 16. No: 209029834. 508848686.

908788 ALBERTA LTD. Named Alberta ALBERTA ARTIFICAL LIMB INC. Named Corporation Amalgamated 2000 DEC 01. New Alberta Corporation Incorporated 2000 MAR 27. Name: COBALT DATA SYSTEMS INC. Effective New Name: ALBERTA ARTIFICIAL LIMB INC. Date: 2004 FEB 13. No: 209087881. Effective Date: 2004 FEB 12. No: 208725408.

910564 ALBERTA LTD. Named Alberta ALL ATLANTIC SEAFOOD INC. Named Alberta Corporation Incorporated 2000 DEC 14. New Name: Corporation Incorporated 2003 MAR 14. New FRONTIER CATERING NORTHERN LTD. Name: ATLANTICATCH INC. Effective Date: Effective Date: 2004 FEB 11. No: 209105642. 2004 FEB 04. No: 2010366249.

953269 ALBERTA LTD. Named Alberta ALTAREX CORP. Named Alberta Corporation Corporation Incorporated 2001 SEP 25. New Name: Amalgamated 1997 MAY 31. New Name: TWIN MARWAYNE RESOURCES LTD. Effective Date: BUTTE ENERGY LTD. Effective Date: 2004 FEB 2004 FEB 12. No: 209532696. 03. No: 207412750.

957292 ALBERTA LTD. Named Alberta APEX GROUP INC. Numbered Alberta Corporation Corporation Incorporated 2001 OCT 22. New Name: Amalgamated 1996 JUL 01. New Name: 701765 SABRE PROPERTIES LTD. Effective Date: 2004 ALBERTA LTD. Effective Date: 2004 FEB 03. No: FEB 09. No: 209572924. 207017658.

960345 ALBERTA LTD. Named Alberta APPLIED HYDROLOGY INTERNATIONAL Corporation Incorporated 2001 NOV 12. New Name: INCORPORATED Named Alberta Corporation PRAIRIE BOYS CAPITAL CORPORATION Incorporated 2003 NOV 17. New Name: APPLIED Effective Date: 2004 FEB 04. No: 209603455. HYDROLOGY INTERNATIONAL CORPORATION Effective Date: 2004 FEB 10. No: 969784 ALBERTA LTD. Legal Professional 2010767164. Corporation Incorporated 2002 JAN 16. New Name: KENNETH B. FLOWERS PROFESSIONAL ARGONAUT ARMAMENT LTD. Named Alberta CORPORATION Effective Date: 2004 FEB 09. No: Corporation Incorporated 2003 AUG 11. New Name: 209697846. THE ECLECTIC WORKS COMPANY LTD. Effective Date: 2004 FEB 05. No: 2010607675. 969788 ALBERTA LTD. Legal Professional Corporation Incorporated 2002 JAN 16. New Name: AZON CANADA, INC. Federal Corporation ANDREW P. BEDFORD PROFESSIONAL Registered 1989 MAR 29. New Name: MONDRIAN CORPORATION Effective Date: 2004 FEB 09. No: CANADA, INC. Effective Date: 2004 FEB 04. No: 209697887. 213999451.

971687 ALBERTA LTD. Named Alberta BINDLOSS COMMUNITY HALL Alberta Society Corporation Incorporated 2002 JAN 29. New Name: Incorporated 1956 SEP 28. New Name: BINDLOSS REACH OUT PRINTING (2004) LTD. Effective COMMUNITY HALL ASSOCIATION Effective Date: 2004 FEB 06. No: 209716877. Date: 2004 FEB 05. No: 500026299.

974227 ALBERTA LTD. Named Alberta BITTERN LAKE LODGE LTD. Named Alberta Corporation Incorporated 2002 FEB 13. New Name: Corporation Incorporated 2000 DEC 29. New Name: L&H COMMERCIAL CONSTRUCTION LTD. BITTERN LAKE HOLDINGS LTD. Effective Date: Effective Date: 2004 FEB 09. No: 209742279. 2004 FEB 12. No: 209126366.

986673 ALBERTA LTD. Named Alberta BJDC CONTRACTING LTD. Numbered Alberta Corporation Incorporated 2002 APR 30. New Name: Corporation Incorporated 2003 MAY 27. New CRANSTON EQUITIES LTD. Effective Date: 2004 Name: 1048857 ALBERTA LTD. Effective Date: FEB 10. No: 209866730. 2004 FEB 03. No: 2010488571.

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BONIYA TRAVEL TRAILER RENTAL'S LTD. COTTAGES TO CASTLES MANAGEMENT & Named Alberta Corporation Incorporated 2002 JUL MAINTENANCE LTD. Named Alberta Corporation 25. New Name: BONYAI HOLDINGS LTD. Incorporated 2002 APR 26. New Name: Effective Date: 2004 FEB 10. No: 2010002661. COTTAGES TO CASTLES PROPERTY MAINTENANCE LTD. Effective Date: 2004 FEB BOW VALLEY GRIZZLY BEAR ALLIANCE 03. No: 209861699. SOCIETY Alberta Society Incorporated 2002 MAR 11. New Name: GRIZZLY BEAR ALLIANCE CP3M ENTERTAINMENT LTD. Named Alberta SOCIETY OF ALBERTA Effective Date: 2004 JAN Corporation Incorporated 2002 FEB 27. New Name: 26. No: 509786141. ON YOUR MARK LTD. Effective Date: 2004 FEB 04. No: 209762822. CALGARY COMMITTEE FOR AWARENESS & ACTION ON PROSTITUTION ISSUES Alberta DEVANI INVESTMENTS LTD. Named Alberta Society Incorporated 2002 JUL 19. New Name: Corporation Incorporated 2002 MAR 07. New COMMUNITY LIFE IMPROVEMENT COUNCIL Name: DEVANI HOMES LTD. Effective Date: Effective Date: 2004 FEB 02. No: 509997557. 2004 FEB 02. No: 209778125.

CALMONT LOGISTICS INC. Named Alberta DISTINCTIVE HOMES BY BEATTIE LTD. Corporation Continued In 1997 MAR 04. New Named Alberta Corporation Amalgamated 1995 Name: HORTON DISTRIBUTION SERVICES DEC 01. New Name: BEATTIE HOMES INC. Effective Date: 2004 FEB 13. No: 207281965. (EDMONTON) LTD. Effective Date: 2004 FEB 04. No: 206755803. CANADA MARITIME AGENCIES LIMITED/AGENCES CANADA MARITIME DOUBLE T TRUCKING LTD. Named Alberta LIMITEE Federal Corporation Registered 1999 APR Corporation Incorporated 1998 AUG 06. New Name: 16. New Name: CP SHIPS (CANADA) AGENCIES TDT-KENT TRUCKING LTD. Effective Date: 2004 LIMITED/AGENCES CP SHIPS (CANADA) FEB 11. No: 207952169. LIMITEE Effective Date: 2004 FEB 11. No: 218271211. EBM INDUSTRIES, INC. LES INDUSTRIES EBM INC. Federal Corporation Registered 1999 DEC 15. CANADIAN CERTIFIED IMPORTERS LTD. New Name: EBM-PAPST INC. Effective Date: 2004 Named Alberta Corporation Incorporated 1987 MAR FEB 11. No: 218581759. 31. New Name: LUCKY SUPERMARKET LTD. Effective Date: 2004 FEB 05. No: 203637111. EBM-PAPST INC. Federal Corporation Registered 1999 DEC 15. New Name: EBM-PAPST CANADA CANADIAN MONEY MART INC. Named Alberta INC. Effective Date: 2004 FEB 11. No: 218581759. Corporation Incorporated 2003 FEB 19. New Name: MONEY MART CANADA INC. Effective Date: ECO SOLVE PRODUCTS INC. Named Alberta 2004 FEB 09. No: 2010323943. Corporation Incorporated 2001 APR 24. New Name: PATHWAY MATS INC. Effective Date: 2004 FEB CENTRAL ALBERTA RADIO LEAGUE Alberta 12. No: 209307669. Society Incorporated 1976 MAR 23. New Name: CENTRAL ALBERTA AMATEUR RADIO CLUB ECOSMART INDUSTRIES INC. Named Alberta Effective Date: 2004 JAN 20. No: 500091558. Corporation Incorporated 1997 MAR 11. New Name: CORNERSTONE COMPOSITES CHARTER COATING SERVICE LTD. Named (CANADA) LTD. Effective Date: 2004 FEB 12. No: Alberta Corporation Incorporated 1981 JAN 13. New 207313008. Name: COATING TECHNOLOGY INTERNATIONAL LTD. Effective Date: 2004 FEB EDMONTON PETERBILT TRUCKS LTD Named 03. No: 202609616. Alberta Corporation Incorporated 1975 DEC 10. New Name: A. FRASER INVESTMENTS INC. CJ SIGNATURE VENTURES LTD. Named Alberta Effective Date: 2004 FEB 05. No: 200856169. Corporation Amalgamated 2003 NOV 30. New Name: CEE JAY VENTURES LTD. Effective Date: ENCO MARKETING COMPANY Other 2004 FEB 11. No: 2010789226. Prov/Territory Corps Registered 2001 MAR 23. New Name: ENCO POWER COMPANY Effective Date: COBALT DATA SYSTEMS LTD. Named Alberta 2004 FEB 11. No: 219258563. Corporation Incorporated 2000 MAR 08. New Name: COBALT BUSINESS SYSTEMS LTD. ENCO RESOURCES INC. Named Alberta Effective Date: 2004 FEB 13. No: 208693721. Corporation Incorporated 1990 JUL 16. New Name: TERCERO RESOURCES INC. Effective Date: 2004 COMPASS ENDEAVOURS INC. Named Alberta FEB 05. No: 204252035. Corporation Incorporated 2004 JAN 16. New Name: AHIMSA CONSULTING LTD. Effective Date: 2004 FEB 03. No: 2010862049.

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ENVOY CANADIAN HEALTH CARE GLENN W. ARNOLD PROFESSIONAL MANAGEMENT LTD. Named Alberta Corporation CORPORATION Named Alberta Corporation Incorporated 2002 MAY 30. New Name: EXUD Incorporated 1995 DEC 07. New Name: DEVELOPMENT CORP. Effective Date: 2004 FEB CHRONOPOLIS INC. Effective Date: 2004 FEB 03. 05. No: 209917905. No: 206774150.

ESBERG CONTRACTING LTD. Named Alberta GMAC LEASECO LIMITED Other Prov/Territory Corporation Incorporated 2004 FEB 02. New Name: Corps Registered 1987 JUL 29. New Name: GMAC ESBJERG CONTRACTING LTD. Effective Date: LEASECO CORPORATION Effective Date: 2004 2004 FEB 09. No: 2010892079. FEB 03. No: 213698715.

FINELINE STATIONERY INC. Numbered Alberta GORDON A. MCLACHLIN PROFESSIONAL Corporation Incorporated 1985 SEP 10. New Name: CORPORATION Numbered Alberta Corporation 335852 ALBERTA LTD. Effective Date: 2004 FEB Incorporated 1995 AUG 16. New Name: 664733 04. No: 203358528. ALBERTA LTD. Effective Date: 2004 FEB 11. No: 206647331. FINESSE FURNISHINGS INC. Named Alberta Corporation Incorporated 1986 JUN 26. New Name: GRAHAM FLAT BOATING AND CAMPING FINESSE HOME LIVING INC. Effective Date: ASSOCIATION Alberta Society Incorporated 1997 2004 FEB 09. No: 203502588. JUL 22. New Name: PEACE RIVER BOATING ASSOCIATION Effective Date: 2004 JAN 30. No: FIRST NATIONS JANITORIAL INC. Named 507476976. Alberta Corporation Incorporated 1998 SEP 24. New Name: CALLMAN DEVELOPMENTS INC. GRAND TRUNK RECREATION COUNCIL ONE Effective Date: 2004 FEB 13. No: 208009548. SOCIETY Alberta Society Incorporated 1991 SEP 26. New Name: EDMONTON AREA COUNCIL FISH CREEK TOOL & EQUIPMENT RENTAL ONE SOCIETY Effective Date: 2004 FEB 10. No: LTD. Numbered Alberta Corporation Incorporated 505058693. 1993 MAR 23. New Name: 560223 ALBERTA LTD. Effective Date: 2004 FEB 11. No: 205602238. H & H PROJECTS INC. Named Alberta Corporation Incorporated 2002 APR 17. New Name: FRED ALEXANDER PROFESSIONAL ASSURED HOME SERVICES INC. Effective Date: CORPORATION Named Alberta Corporation 2004 FEB 05. No: 209843648. Incorporated 1986 DEC 01. New Name: FRED ALEXANDER HOLDINGS INC. Effective Date: HARRY J. NOBLE PROFESSIONAL 2004 FEB 02. No: 203567110. CORPORATION. Numbered Alberta Corporation Incorporated 1980 NOV 12. New Name: 254237 FREIGANG OILFIELD SALE & SERVICES LTD. ALBERTA LTD. Effective Date: 2004 FEB 06. No: Named Alberta Corporation Incorporated 2004 JAN 202542379. 27. New Name: FREIGANG OILFIELD SALES & SERVICES LTD. Effective Date: 2004 FEB 04. No: HEARTLAND CUSTOM HOMES INC. Named 2010883318. Alberta Corporation Incorporated 1999 APR 06. New Name: THOMSEN HOMES INC. Effective FRICK HOLDINGS LTD. Named Alberta Date: 2004 FEB 12. No: 208247387. Corporation Incorporated 1999 MAY 20. New Name: KNOTTYS SALOON LTD. Effective Date: HEXAGON BIOTECHNOLOGY INC. Named 2004 FEB 11. No: 208317362. Alberta Corporation Incorporated 2000 FEB 17. New Name: ORISON BIOTECHNOLOGY INC. G.T.C. HOLDINGS LTD. Named Alberta Effective Date: 2004 FEB 09. No: 208670893. Corporation Incorporated 1980 JUN 26. New Name: GSA CAPITAL ENTERPRISES LTD. Effective HJ PAINTING SERVICES LTD. Named Alberta Date: 2004 FEB 13. No: 202483376. Corporation Incorporated 2003 FEB 13. New Name: LIMITLESS LEATHER CORPORATION Effective GERSAM ENTERPRISES INCORPORATED Date: 2004 FEB 02. No: 2010315287. Named Alberta Corporation Incorporated 2000 SEP 28. New Name: GERFAM ENTERPRISES HOWARD RESEARCH AND INSTRUCTIONAL INCORPORATED Effective Date: 2004 FEB 05. SYSTEMS INC. Named Alberta Corporation No: 208993287. Incorporated 1994 OCT 19. New Name: HOWARD RESEARCH & MANAGEMENT CONSULTING GESKE CONSULTING CORPORATION Named INC. Effective Date: 2004 FEB 02. No: 206290876. Alberta Corporation Amalgamated 2004 FEB 02. New Name: QUALITY DIRECTIONS INC. HYDRO-VAC'S UNLIMITED SALES INC. Effective Date: 2004 FEB 02. No: 2010885818. Numbered Alberta Corporation Incorporated 1998 FEB 12. New Name: 770102 ALBERTA LTD. Effective Date: 2004 FEB 05. No: 207701020.

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INTERNATIONAL HEALTH PARTNERS LAUNDRY BY JAN ETC LTD. Named Alberta (MEDICAL) INC. Numbered Alberta Corporation Corporation Incorporated 2001 DEC 17. New Name: Incorporated 1997 MAR 05. New Name: 730286 MAIDS & COMPANY LTD. Effective Date: 2004 ALBERTA INC. Effective Date: 2004 FEB 02. No: FEB 05. No: 209653591. 207302860. LEAL TECHNICAL DESIGN LTD. Named Alberta JAZZMAN ENTERPRISES INC. Named Alberta Corporation Incorporated 1987 JUL 10. New Name: Corporation Incorporated 2003 JUN 11. New Name: LEAL PROCESS SAFETY MANAGEMENT INC. ALBERTA SOUTH STORAGE INC. Effective Effective Date: 2004 FEB 11. No: 203686902. Date: 2004 FEB 13. No: 2010516256. LEE'S COMMUNITY ASSOCIATION OF JPH RESORT SOLUTIONS INC. Named Alberta EDMONTON Alberta Society Incorporated 2001 Corporation Incorporated 2000 FEB 11. New Name: JUN 12. New Name: LIFE ENRICHMENT FOR ANTIPLANO DESIGNS INC. Effective Date: 2004 THE ELDERLY COMMUNITY ASSOCIATION FEB 10. No: 208661884. OF EDMONTON Effective Date: 2004 FEB 03. No: 509393732. K.C. METER READING INC. Named Alberta Corporation Incorporated 1994 FEB 18. New Name: LEGACY STOVE RESTORATIONS LTD. HEART MOUNTAIN WOODWORKING Numbered Alberta Corporation Incorporated 2003 CREATIONS INC. Effective Date: 2004 FEB 04. AUG 01. New Name: 1059777 ALBERTA LTD. No: 206000010. Effective Date: 2004 FEB 13. No: 2010597777.

KEE TRANSPORT ONTARIO INC. Other LIQUOR TOWN INC. Named Alberta Corporation Prov/Territory Corps Registered 2001 DEC 14. New Incorporated 2000 JAN 06. New Name: LIQUOR Name: KEE MANAGEMENT SOLUTIONS INC. MARKET INC. Effective Date: 2004 FEB 03. No: Effective Date: 2004 FEB 13. No: 219651981. 208606608.

KEENE AGENCY LTD. Named Alberta LOGICMAN INC. Named Alberta Corporation Corporation Incorporated 2003 DEC 17. New Name: Incorporated 1999 MAY 31. New Name: DK AGENCY LTD. Effective Date: 2004 FEB 03. CANADIAN COLLEGE INTERNATIONAL INC. No: 2010812606. Effective Date: 2004 FEB 09. No: 208330019.

KENNETH G. BERGQUIST PROFESSIONAL LOGOSTITCH INC. Named Alberta Corporation CORPORATION Chiropractic Professional Incorporated 1998 MAR 26. New Name: BEAST Corporation Incorporated 1992 JUL 16. New Name: INC. Effective Date: 2004 FEB 09. No: 207786559. BERT G. OPITZ PROFESSIONAL CORPORATION Effective Date: 2004 FEB 13. No: MAINLINE MEDIA LTD. Named Alberta 205353451. Corporation Incorporated 2004 JAN 28. New Name: MAINLINE MEDIA INC. Effective Date: 2004 FEB KITE FANATICS LTD. Named Alberta Corporation 06. No: 2010884043. Incorporated 1989 NOV 09. New Name: TECHNICALLY INCLINED LTD. Effective Date: MANNING'S MAINTENANCE & HOTSHOT 2004 FEB 03. No: 204110340. SERVICES LTD. Named Alberta Corporation Incorporated 2001 FEB 20. New Name: KRYME STYLES INC. Named Alberta Corporation MANNING'S MAINTENANCE LTD. Effective Incorporated 2004 JAN 07. New Name: KRYME Date: 2004 FEB 02. No: 209204320. INDUSTRIES INC. Effective Date: 2004 FEB 04. No: 2010845408. MICHAEL BRUCE MILLER, PROFESSIONAL CORPORATION Numbered Alberta Corporation LA CRYSTALLE PROPERTIES INC. Named Incorporated 1982 DEC 03. New Name: 249836 Alberta Corporation Incorporated 2001 DEC 03. ALBERTA LTD. Effective Date: 2004 FEB 10. No: New Name: CENTRE WEST HOLDINGS LTD. 202498366. Effective Date: 2004 FEB 04. No: 209632660. MISTIX MANAGEMENT INC. Named Alberta LAND N CONSULTING LTD. Named Alberta Corporation Incorporated 2000 APR 26. New Name: Corporation Incorporated 2004 JAN 29. New Name: MODERN DEVELOPMENTS INC. Effective Date: L & N CONSULTING LTD. Effective Date: 2004 2004 FEB 03. No: 208773549. FEB 06. No: 2010886337. MOONDAWG PRODUCTIONS LTD. Named LAUNCHWORKS INC. Federal Corporation Alberta Corporation Incorporated 2004 JAN 19. New Amalgamated 2004 JAN 13. New Name: 180 Name: BIG DADDY ENTERTAINMENT LTD. CONNECT INC. Effective Date: 2004 FEB 02. No: Effective Date: 2004 FEB 12. No: 2010867410. 2110856255. NORTH PEACE RENTAL EQUIPMENT LTD. Named Alberta Corporation Incorporated 1995 SEP 01. New Name: WOODLAND CREE INDUSTRIES LTD. Effective Date: 2004 FEB 04. No: 206668410.

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NORTHERN CONSTRUCTION COMPANY LTD. SCONA ENTERPRISES LTD. Named Alberta Federal Corporation Amalgamated 2003 JUN 19. Corporation Incorporated 1992 MAR 25. New New Name: WASHINGTON GROUP NORTHERN Name: STRATHCONA SANDBLASTING 2004 LTD. Effective Date: 2004 FEB 12. No: LTD. Effective Date: 2004 FEB 12. No: 205236045. 2110532203. SEISTRAC INC. Named Alberta Corporation ONEFOR ENERGY LTD. Named Alberta Incorporated 2002 FEB 25. New Name: DIVESTCO Corporation Incorporated 2004 JAN 23. New Name: SEISTRAC INC. Effective Date: 2004 FEB 09. No: ONEFOUR ENERGY LTD. Effective Date: 2004 209761162. FEB 04. No: 2010876395. SHANE'S WELDING LTD. Named Alberta PAN CARTENTRY LTD. Named Alberta Corporation Incorporated 1987 FEB 12. New Name: Corporation Incorporated 2004 JAN 30. New Name: TOTALLY AWESOME OILFIELD LTD. Effective PAN CARPENTRY LTD. Effective Date: 2004 FEB Date: 2004 FEB 03. No: 203612148. 04. No: 2010843221. SLYFOX DESIGN INC. Named Alberta POPEYES FITNESS SHOP & GYM LTD. Named Corporation Incorporated 1999 SEP 14. New Name: Alberta Corporation Incorporated 1992 MAR 25. SLYFOX MEDIA GROUP, INC. Effective Date: New Name: POPEYES SUPPLEMENTS CANADA 2004 FEB 02. No: 208458513. CORPORATION Effective Date: 2004 FEB 11. No: 205235096. SOLA SPORT LTD. Named Alberta Corporation Incorporated 2002 AUG 20. New Name: POWER CHIEF AUTO BODY LTD. Named STUDENT-BUZZ LTD. Effective Date: 2004 FEB Alberta Corporation Incorporated 1973 DEC 17. 14. No: 2010038202. New Name: JMC COLEMAN ENTERPRISES INC. Effective Date: 2004 FEB 06. No: 200702777. SPEEDY TRUCK WASH LTD. Numbered Alberta Corporation Incorporated 2002 NOV 21. New Name: REACH OUT PRINTING LTD. Numbered Alberta 1018206 ALBERTA LTD. Effective Date: 2004 Corporation Incorporated 1993 AUG 12. New Name: FEB 09. No: 2010182067. 576084 ALBERTA LTD. Effective Date: 2004 FEB 06. No: 205760846. SPIRIT WEST (KENSINGTON) LTD. Named Alberta Corporation Incorporated 2000 SEP 11. New RITZ RESTAURANT LTD. Numbered Alberta Name: OUTDOOR GEAR SWAP LTD. Effective Corporation Incorporated 1995 AUG 29. New Name: Date: 2004 FEB 06. No: 208965343. 666223 ALBERTA LTD. Effective Date: 2004 FEB 11. No: 206662231. SPIRITWOOD FURNITURE MANUFACTURING LTD. Named Alberta Corporation Incorporated 1994 RNL ARCHITECT/CANADA, INC. Foreign NOV 03. New Name: MULTIWOOD INC. Effective Corporation Registered 2003 OCT 24. New Name: Date: 2004 FEB 13. No: 206306326. RICHARD SHIFFER ARCHITECT, INC. Effective Date: 2004 FEB 10. No: 2110729817. SRG FINANCE LTD. Named Alberta Corporation Incorporated 2004 JAN 07. New Name: SRG ROCHE VITAMINS CANADA INC./VITAMINES CAPITAL LTD. Effective Date: 2004 FEB 03. No: ROCHE CANADA INC. Federal Corporation 2010846943. Amalgamated 2004 FEB 12. New Name: DSM NUTRITIONAL PRODUCTS CANADA INC. ST. MARY'S SCHOOL COUNCIL OF Effective Date: 2004 FEB 12. No: 2110910102. LETHBRIDGE ALBERTA Alberta Society Incorporated 1999 FEB 16. New Name: ECOLE ST. RUTH L. BECKER PROFESSIONAL MARY SCHOOL COUNCIL OF LETHBRIDGE CORPORATION Numbered Alberta Corporation Effective Date: 2004 JAN 23. No: 508228103. Incorporated 1978 SEP 14. New Name: 124525 ALBERTA LTD. Effective Date: 2004 FEB 05. No: STEEPS CHAI LTD. Named Alberta Corporation 201245255. Incorporated 2001 FEB 14. New Name: THE CHAI COMPANY INC. Effective Date: 2004 FEB 04. No: SANDVIK TAMROCK CANADA INC. Other 209197946. Prov/Territory Corps Registered 1994 JAN 28. New Name: SANDVIK MINING AND THE GEMSTORE LTD. Numbered Alberta CONSTRUCTION CANADA INC. Effective Date: Corporation Incorporated 2003 MAY 22. New 2004 FEB 05. No: 215969718. Name: 1046969 ALBERTA LTD. Effective Date: 2004 FEB 04. No: 2010469696. SCHREINER TARGET SERVICES CANADA LTD. Federal Corporation Registered 1999 AUG 23. THE GREEN TEAM LANDSCAPING AND New Name: SCHREINER CANADA LTD. MAINTENANCE LIMITED Numbered Alberta Effective Date: 2004 FEB 13. No: 218430783. Corporation Incorporated 2002 JAN 22. New Name: 970662 ALBERTA LTD. Effective Date: 2004 FEB 04. No: 209706621.

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THEFOODOUTLET.COM INC. Named Alberta WATERTOWNE BOTTLING CO. LTD. Federal Corporation Incorporated 2003 SEP 22. New Name: Corporation Registered 1996 MAY 09. New Name: WEBBIZ DEVELOPMENTS, INC. Effective Date: WATERTOWNE INTERNATIONAL INC. 2004 FEB 10. No: 2010675649. Effective Date: 2004 FEB 09. No: 216928101.

THIN EXPRESS CORPORATION Named Alberta WESKAN RUBBER PRODUCTS LTD. Named Corporation Incorporated 1998 AUG 19. New Name: Alberta Corporation Incorporated 1990 FEB 22. New CATALYST REALTIME CORPORATION Name: WESKAN PRODUCTS LTD. Effective Effective Date: 2004 FEB 13. No: 207965898. Date: 2004 FEB 12. No: 204171896.

THYSSEN ELEVATOR LIMITED/ASCENSEURS WEST EDMONTON REALTY ASSOCIATES THYSSEN LIMITEE Federal Corporation LTD. Numbered Alberta Corporation Incorporated Amalgamated 2004 FEB 04. New Name: 1992 FEB 24. New Name: 519635 ALBERTA LTD. THYSSENKRUPP ELEVATOR (CANADA) Effective Date: 2004 FEB 12. No: 205196355. LIMITED/ASCENSEURS THYSSENKRUPP (CANADA) LIMITEE Effective Date: 2004 FEB 04. WESTERN NEWS PRINTERS LTD. Named No: 2110873300. Alberta Corporation Incorporated 2002 SEP 20. New Name: SENTRY PRESS LTD. Effective Date: 2004 TRAMMELL CROW CORPORATE SERVICES FEB 05. No: 2010081772. CANADA, LTD. Federal Corporation Registered 1996 JAN 24. New Name: TRAMMELL CROW WETLANDER LTD. Numbered Alberta SERVICES CANADA, LTD. Effective Date: 2004 Corporation Incorporated 1996 JUL 31. New Name: FEB 03. No: 216822866. 704800 ALBERTA LTD. Effective Date: 2004 FEB 05. No: 207048000. TREDWIN CONSTRUCTION (1987) LTD. Named Alberta Corporation Incorporated 1987 MAR 12. WIC MOBILE TV INC. Federal Corporation New Name: TREDWIN DEVELOPMENTS INC. Registered 2001 JAN 08. New Name: MOBILE Effective Date: 2004 FEB 10. No: 203627567. VIDEO PRODUCTION INC. Effective Date: 2004 FEB 05. No: 219136736. TRIAD SYSTEMS CANADA, LIMITED Federal Corporation Registered 1982 JUL 27. New Name: WILLIAMS ENERGY (CANADA) PIPELINE, ACTIVANT SOLUTIONS CANADA LIMITED INC. Other Prov/Territory Corps Registered 2001 Effective Date: 2004 FEB 05. No: 212879167. JUL 27. New Name: PROVIDENT ENERGY PIPELINE INC. Effective Date: 2004 FEB 03. No: V B D.A.M. SOLUTIONS CANADA INC. Named 219407673. Alberta Corporation Incorporated 2001 SEP 13. New Name: SYSTEMHAC CORP. Effective Date: 2004 WIN ENERGY INC. Named Alberta Corporation FEB 04. No: 209514686. Incorporated 1998 MAY 04. New Name: ODIN CAPITAL INC. Effective Date: 2004 FEB 13. No: VALLYEVIEW ORTHOPEDIC AND SPINE 207837527. PHYSICAL THERAPY CENTRE LTD. Named Alberta Corporation Incorporated 2003 NOV 10. WINTERHAWK ENTERPRISES (BONNYVILLE) New Name: VALLEYVIEW ORTHOPEDIC AND LTD. Named Alberta Corporation Incorporated 1997 SPINE PHYSICAL THERAPY CENTRE LTD. OCT 24. New Name: MOBILE INDUSTRIAL Effective Date: 2004 FEB 13. No: 2010757801. HEALTH SERVICES LTD. Effective Date: 2004 FEB 06. No: 207603028. VENTUREJOE LTD. Named Alberta Corporation Incorporated 2002 JAN 31. New Name: STRATEGY SUMMIT LTD. Effective Date: 2004 FEB 02. No: 209722974.

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Corporations Liable for Dissolution/Strike Off/ Cancellation of Registration

(At expiration from four months from the dates shown pursuant to: Business Corporations Act, Cemetery Companies Act, Companies Act, Societies Act, Partnership Act)

2004 FEB 02. Unless otherwise indicated 2004 FEB 02. Unless otherwise indicated 100% EARTH ALBERTA LTD. 376651 ALBERTA LTD. 101282 CANADA LTD. 376769 ALBERTA LTD. 1014041 ONTARIO LTD. 376852 ALBERTA LTD. 111246 CONSTRUCTION LTD. 393210 ALBERTA LTD. 111418 CANADA LTD. 393468 ALBERTA LTD 116 AVENUE PROPERTY CORP. 394014 ALBERTA LTD. 1208298 ONTARIO INC. 394015 ALBERTA LTD. 126502 CANADA INC. 394103 ALBERTA LTD. 134899 ASSOCIATION OF CANADA 394120 ALBERTA LTD. 171108 CANADA INC. 394165 ALBERTA LTD. 19343 YUKON INC. 394526 ALBERTA LTD. 19354 YUKON INC. 394600 ALBERTA LTD. 19365 YUKON INC. 394620 ALBERTA LTD. 2001 SPORTS CLUB LTD. 394872 ALBERTA LTD. 2002 COMMUNICATION TECHNOLOGIES INC. 394908 ALBERTA LTD. 215875 ALBERTA LTD. 394973 ALBERTA LTD. 22173 ALBERTA LTD. 395432 ALBERTA LTD. 227363 ALBERTA LTD. 3NET CORPORATION 230025 ALBERTA LIMITED 409561 ALBERTA LTD. 24 HOUR SECURITY INC. 412231 ALBERTA LTD. 255532 ALBERTA LTD. 412698 ALBERTA LTD. 277317 ALBERTA LTD. 412781 ALBERTA LTD. 283075 ALBERTA LTD. 412875 ALBERTA LTD. 293507 ALBERTA LTD. 412925 ALBERTA LTD. 293853 ALBERTA LTD. 412931 ALBERTA LTD. 294257 ALBERTA LTD. 412947 ALBERTA LTD. 294378 ALBERTA LTD. 413303 ALBERTA INC. 294589 ALBERTA LTD. 413782 ALBERTA LTD. 294661 ALBERTA LTD. 413825 ALBERTA LTD. 294709 ALBERTA LTD. 427253 ALBERTA LIMITED 305724 ALBERTA LIMITED 459075 B.C. LTD. 306522 ALBERTA LTD. 475590 ALBERTA LTD. 322304 ALBERTA LTD. 475788 ALBERTA LTD. 322759 ALBERTA LTD. 476394 ALBERTA LTD. 322835 ALBERTA LTD. 476662 ALBERTA LTD. 335778 ALBERTA LTD. 477131 ALBERTA LTD. 339577 ALBERTA LTD. 477274 ALBERTA INC. 340404 ALBERTA LTD. 477602 ALBERTA INC. 340771 ALBERTA LTD. 477982 ALBERTA LTD. 340883 ALBERTA LTD. 477984 ALBERTA LTD. 340975 ALBERTA LTD. 478507 ALBERTA LIMITED 341085 ALBERTA LTD. 478508 ALBERTA LIMITED 351915 ALBERTA LTD. 503352 N.B. INC. 355274 ALBERTA LTD. 510221 ALBERTA LTD. 357486 ALBERTA LTD. 510954 ALBERTA LTD. 357913 ALBERTA LTD. 512046 ALBERTA LTD. 358190 ALBERTA LTD. 512053 ALBERTA INC. 358305 ALBERTA LTD. 513011 ALBERTA LTD. 358316 ALBERTA LTD. 513098 ALBERTA LTD. 358453 ALBERTA LTD. 513140 ALBERTA LTD. 373876 ALBERTA LTD. 513294 ALBERTA LTD. 375492 ALBERTA LTD. 513432 ALBERTA LTD.

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513748 ALBERTA LTD. 635151 ALBERTA LTD. 514424 ALBERTA LTD. 635171 ALBERTA LTD. 514645 ALBERTA LTD. 635272 ALBERTA LTD. 53049 ALBERTA LTD. 635321 ALBERTA LTD. 546670 ALBERTA LTD. 635358 ALBERTA LTD. 548230 ALBERTA LTD. 635360 ALBERTA LTD. 548693 ALBERTA LTD. 635481 ALBERTA LTD. 548944 ALBERTA LTD. 635543 ALBERTA LTD. 549029 ALBERTA LTD. 635636 ALBERTA LTD. 549396 ALBERTA INC. 635677 ALBERTA LTD. 549709 ALBERTA LTD. 635729 ALBERTA INC. 550090 ALBERTA LTD. 635957 ALBERTA LTD. 550263 ALBERTA INC. 636010 ALBERTA LTD. 550361 ALBERTA LTD. 636208 ALBERTA LTD. 550529 ALBERTA LTD. 636209 ALBERTA LTD. 550588 ALBERTA INC. 636250 ALBERTA LTD. 589875 ALBERTA LTD. 636467 ALBERTA LTD. 590020 ALBERTA LTD. 636475 ALBERTA INC. 590027 ALBERTA LTD. 636491 ALBERTA LTD. 590105 ALBERTA LTD. 636574 ALBERTA LTD. 590107 ALBERTA LTD. 636850 ALBERTA LTD. 590116 ALBERTA LTD. 637148 ALBERTA LIMITED 590118 ALBERTA LTD. 637303 ALBERTA INC. 590180 ALBERTA LTD. 637449 ALBERTA LTD. 590193 ALBERTA LTD. 637473 ALBERTA LTD. 590266 ALBERTA LTD. 637483 ALBERTA LTD. 590278 ALBERTA LTD. 676729 ALBERTA LTD. 590748 ALBERTA LTD. 676918 ALBERTA LTD. 590841 ALBERTA LTD. 677121 ALBERTA LTD. 590949 ALBERTA LIMITED 677517 ALBERTA LTD. 591360 ALBERTA LTD. 677611 ALBERTA LTD. 591482 ALBERTA LTD. 677614 ALBERTA LTD. 591536 ALBERTA INC. 677730 ALBERTA LTD. 591581 ALBERTA LTD. 677880 ALBERTA LTD. 591589 ALBERTA LTD. 677999 ALBERTA LIMITED 591796 ALBERTA LTD. 678031 ALBERTA LTD. 591822 ALBERTA LTD. 678038 ALBERTA LTD. 592059 ALBERTA LTD. 678067 ALBERTA LTD. 592136 ALBERTA LTD. 678106 ALBERTA LTD. 592318 ALBERTA LTD. 678133 ALBERTA LTD. 592319 ALBERTA LTD. 678310 ALBERTA LTD. 592393 ALBERTA LTD. 678354 ALBERTA LTD. 592414 ALBERTA INC. 679166 ALBERTA CORPORATION 592545 ALBERTA LTD. 679168 ALBERTA CORPORATION 592710 ALBERTA LTD. 679192 ALBERTA INC. 592857 ALBERTA LTD. 679219 ALBERTA LTD. 593250 ALBERTA LTD. 718819 ALBERTA LTD. 593286 ALBERTA LTD. 719319 ALBERTA LTD. 593524 ALBERTA LTD. 719324 ALBERTA LIMITED 593672 ALBERTA LTD. 719383 ALBERTA LTD. 593739 ALBERTA LTD. 719412 ALBERTA LTD. 593754 ALBERTA LTD. 719726 ALBERTA LTD. 593763 ALBERTA LTD. 719747 ALBERTA LTD. 593897 ALBERTA LTD. 719760 ALBERTA LIMITED 593914 ALBERTA LTD. 719814 ALBERTA INC. 594047 ALBERTA LTD. 719876 ALBERTA INC. 594123 ALBERTA INC. 720049 ALBERTA LTD. 634213 ALBERTA LTD. 720072 ALBERTA LTD. 634335 ALBERTA LTD. 720203 ALBERTA LTD. 634636 ALBERTA LTD. 720965 ALBERTA LTD. 634657 ALBERTA LTD. 721084 ALBERTA LTD. 635046 ALBERTA LTD. 721269 ALBERTA INC. 635093 ALBERTA LTD. 721364 ALBERTA LTD. 635094 ALBERTA LTD. 721405 ALBERTA LTD.

- 893 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

721429 ALBERTA LTD. 769000 ALBERTA LTD. 721487 ALBERTA LTD. 769659 ALBERTA LTD. 721541 ALBERTA LTD 769678 ALBERTA LTD. 721567 ALBERTA LTD. 771629 ALBERTA LIMITED 721628 ALBERTA LTD. 776232 ALBERTA INC. 721641 ALBERTA LTD. 808774 ALBERTA LTD. 721676 ALBERTA LTD. 809267 ALBERTA LTD. 721762 ALBERTA LTD. 809288 ALBERTA LTD. 721826 ALBERTA INC. 809413 ALBERTA LTD. 721922 ALBERTA LTD. 809468 ALBERTA LTD. 721924 ALBERTA LTD. 809532 ALBERTA LTD. 721926 ALBERTA LTD. 809569 ALBERTA INC. 722079 ALBERTA LTD. 809721 ALBERTA INC. 722083 ALBERTA LTD. 809724 ALBERTA LTD. 722154 ALBERTA LTD. 809820 ALBERTA LTD. 722174 ALBERTA LTD. 809848 ALBERTA LTD. 722292 ALBERTA LTD. 809946 ALBERTA LTD. 761649 ALBERTA LTD. 810054 ALBERTA LTD. 762272 ALBERTA LTD. 810179 ALBERTA LTD. 762983 ALBERTA LTD. 810473 ALBERTA LTD. 762987 ALBERTA LTD. 810535 ALBERTA LTD. 764022 ALBERTA LIMITED 810647 ALBERTA LTD. 764904 ALBERTA INC. 810718 ALBERTA LTD. 764913 ALBERTA INC. 810801 ALBERTA LTD. 765102 ALBERTA LTD. 810807 ALBERTA LTD. 765146 ALBERTA LTD. 810824 ALBERTA LTD. 765253 ALBERTA LTD. 810830 ALBERTA LTD. 765403 ALBERTA LTD. 810912 ALBERTA LTD. 765453 ALBERTA LTD. 810990 ALBERTA LTD. 765828 ALBERTA LTD. 811018 ALBERTA LTD. 766006 ALBERTA INC. 811198 ALBERTA LTD. 766053 ALBERTA LTD. 811389 ALBERTA LTD. 766063 ALBERTA LTD. 811521 ALBERTA LTD. 766072 ALBERTA INC. 811528 ALBERTA LTD. 766159 ALBERTA LTD. 811559 ALBERTA LTD. 766232 ALBERTA LTD. 811591 ALBERTA LTD. 766337 ALBERTA LTD. 811671 ALBERTA INC 766369 ALBERTA LTD. 811737 ALBERTA LTD. 766389 ALBERTA LTD. 811774 ALBERTA LTD. 766424 ALBERTA LTD. 811802 ALBERTA LTD. 766554 ALBERTA LTD. 811806 ALBERTA LTD. 767322 ALBERTA LTD. 812143 ALBERTA LTD. 767418 ALBERTA LTD. 812151 ALBERTA LTD. 767462 ALBERTA INC. 812238 ALBERTA LTD. 767467 ALBERTA LTD. 812369 ALBERTA LTD. 767478 ALBERTA LTD. 812462 ALBERTA LTD. 767599 ALBERTA LTD. 812512 ALBERTA LTD. 767638 ALBERTA LTD. 812713 ALBERTA LTD. 767746 ALBERTA LTD. 812757 ALBERTA LTD. 767831 ALBERTA LTD. 812775 ALBERTA LTD. 767841 ALBERTA LTD. 812828 ALBERTA LTD. 767858 ALBERTA LTD. 812831 ALBERTA LTD. 767918 ALBERTA INC. 812887 ALBERTA LTD. 768230 ALBERTA LTD. 813000 ALBERTA LTD. 768353 ALBERTA LTD. 856057 ALBERTA LTD. 768359 ALBERTA LTD. 856243 ALBERTA LTD. 768374 ALBERTA LTD. 856244 ALBERTA LTD. 768391 ALBERTA LTD. 856272 ALBERTA LTD. 768425 ALBERTA INC. 856346 ALBERTA INC. 768569 ALBERTA LTD. 856430 ALBERTA LTD. 768778 ALBERTA LTD. 856471 ALBERTA INC. 768885 ALBERTA LTD. 856570 ALBERTA LTD. 768904 ALBERTA LTD. 856573 ALBERTA LTD. 768927 ALBERTA LTD. 856778 ALBERTA LTD.

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856872 ALBERTA LTD. 859715 ALBERTA LTD. 856880 ALBERTA LTD. 859796 ALBERTA LTD. 856929 ALBERTA LTD. 859857 ALBERTA LTD. 856955 ALBERTA LTD. 859898 ALBERTA INC. 856956 ALBERTA LTD. 859926 ALBERTA LTD. 856986 ALBERTA LTD. 859991 ALBERTA LTD. 857014 ALBERTA LTD. 860018 ALBERTA LTD. 857015 ALBERTA LTD. 860253 ALBERTA LTD. 857083 ALBERTA LTD. 860259 ALBERTA LTD. 857110 ALBERTA LTD. 860265 ALBERTA LTD. 857209 ALBERTA LTD. 860303 ALBERTA LTD. 857222 ALBERTA LTD. 860305 ALBERTA LTD. 857284 ALBERTA LTD. 860318 ALBERTA LTD. 857339 ALBERTA INC. 902872 ALBERTA LTD. 857461 ALBERTA LTD. 902881 ALBERTA LTD. 857553 ALBERTA LTD. 908713 ALBERTA LTD. 857574 ALBERTA LTD. 908715 ALBERTA LTD. 857590 ALBERTA LTD. 908772 ALBERTA LTD. 857621 ALBERTA LTD. 908846 ALBERTA LTD. 857624 ALBERTA LTD. 908908 ALBERTA LTD. 857638 ALBERTA LTD. 908958 ALBERTA LTD. 857661 ALBERTA LTD. 909018 ALBERTA LTD. 857706 ALBERTA LTD. 909111 ALBERTA INC. 857711 ALBERTA LTD. 909160 ALBERTA LTD. 857775 ALBERTA LTD. 909262 ALBERTA LTD. 857850 ALBERTA LTD. 909412 ALBERTA LTD. 857868 ALBERTA LTD. 909439 ALBERTA LTD. 857920 ALBERTA LTD. 909532 ALBERTA LTD. 858037 ALBERTA LTD. 909537 ALBERTA INC. 858046 ALBERTA LTD. 909554 ALBERTA LTD 858056 ALBERTA LTD. 909562 ALBERTA LTD. 858093 ALBERTA LTD. 909601 ALBERTA LTD. 858105 ALBERTA LTD. 909678 ALBERTA LTD. 858164 ALBERTA LTD. 909916 ALBERTA LTD. 858166 ALBERTA LTD. 910032 ALBERTA LTD. 858180 ALBERTA LTD. 910065 ALBERTA LTD. 858191 ALBERTA LTD. 910083 ALBERTA LTD. 858271 ALBERTA LTD. 910130 ALBERTA LTD. 858282 ALBERTA LTD. 910259 ALBERTA INCORPORATED 858380 ALBERTA LTD. 910261 ALBERTA LTD. 858448 ALBERTA LTD. 910316 ALBERTA LTD. 858503 ALBERTA INC. 910327 ALBERTA LTD. 858511 ALBERTA LTD. 910333 ALBERTA LTD. 858577 ALBERTA LTD. 910362 ALBERTA LTD. 858583 ALBERTA LTD. 910365 ALBERTA INC. 858593 ALBERTA LTD. 910386 ALBERTA LTD. 858659 ALBERTA LTD. 910405 ALBERTA LTD. 858711 ALBERTA LTD. 910407 ALBERTA LTD. 858728 ALBERTA LTD. 910430 ALBERTA LTD. 858875 ALBERTA LTD. 910489 ALBERTA LTD. 858892 ALBERTA LTD. 910497 ALBERTA LTD. 858987 ALBERTA LTD. 910519 ALBERTA LTD. 859125 ALBERTA LTD. 910523 ALBERTA LTD. 859161 ALBERTA LTD. 910553 ALBERTA LTD. 859246 ALBERTA LTD. 910634 ALBERTA LTD. 859267 ALBERTA LTD. 910669 ALBERTA LTD. 859274 ALBERTA LTD. 910769 ALBERTA LTD. 859298 ALBERTA LTD. 910892 ALBERTA LTD. 859380 ALBERTA LTD. 910922 ALBERTA LTD. 859424 ALBERTA LTD. 911 HOLDINGS INC. 859457 ALBERTA LTD. 911013 ALBERTA LTD. 859511 ALBERTA LTD. 911044 ALBERTA LTD. 859609 ALBERTA INC. 911060 ALBERTA LTD. 859684 ALBERTA LIMITED 911157 ALBERTA LIMITED

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911209 ALBERTA LTD. 963704 ALBERTA LTD. 911319 ALBERTA LTD. 963708 ALBERTA LTD. 911404 ALBERTA LTD. 963733 ALBERTA INC. 911423 ALBERTA LTD. 963766 ALBERTA INC. 911448 ALBERTA LTD. 963774 ALBERTA LTD. 911493 ALBERTA LTD. 963779 ALBERTA CORPORATION 911626 ALBERTA INC. 963787 ALBERTA INC. 911687 ALBERTA LTD. 963801 ALBERTA INC. 911691 ALBERTA LTD. 963802 ALBERTA LTD. 911790 ALBERTA LTD. 963805 ALBERTA LTD. 911866 ALBERTA INC. 963813 ALBERTA INC. 911956 ALBERTA LTD. 963822 ALBERTA LTD. 912014 ALBERTA LTD. 963828 ALBERTA LTD. 912040 ALBERTA LTD. 963836 ALBERTA LTD. 912193 ALBERTA LTD. 963842 ALBERTA LTD. 912201 ALBERTA LTD. 963887 ALBERTA LTD. 912207 ALBERTA LTD. 963896 ALBERTA LTD. 912208 ALBERTA LTD. 963897 ALBERTA LTD. 912224 ALBERTA LTD. 963958 ALBERTA LTD. 912226 ALBERTA LTD. 963966 ALBERTA LTD. 912425 ALBERTA LTD. 963981 ALBERTA LTD. 912645 ALBERTA LTD. 963988 ALBERTA LTD. 912652 ALBERTA LTD. 963989 ALBERTA LTD. 912702 ALBERTA LTD. 964013 ALBERTA LTD. 932306 ALBERTA LTD. 964017 ALBERTA LTD. 960125 ALBERTA LTD. 964046 ALBERTA INC. 960126 ALBERTA LTD. 964063 ALBERTA LTD. 961655 ALBERTA LTD. 964101 ALBERTA LTD. 961663 ALBERTA LTD. 964103 ALBERTA LTD. 962073 ALBERTA LTD. 964107 ALBERTA LTD. 963243 ALBERTA LTD. 964108 ALBERTA LTD. 963269 ALBERTA INC. 964135 ALBERTA LTD. 963273 ALBERTA INC. 964138 ALBERTA LTD. 963279 ALBERTA LTD. 964142 ALBERTA LTD. 963300 ALBERTA LTD. 964144 ALBERTA LTD. 963306 ALBERTA LTD. 964170 ALBERTA INC. 963312 ALBERTA LTD. 964182 ALBERTA LTD. 963319 ALBERTA LTD. 964188 ALBERTA LTD. 963329 ALBERTA LTD. 964222 ALBERTA LTD. 963380 ALBERTA INC 964232 ALBERTA LTD. 963385 ALBERTA LTD. 964233 ALBERTA LTD. 963444 ALBERTA INC. 964234 ALBERTA LTD. 963449 ALBERTA LTD. 964247 ALBERTA LTD. 963452 ALBERTA LTD. 964250 ALBERTA LTD. 963453 ALBERTA LTD. 964265 ALBERTA LTD. 963459 ALBERTA LTD. 964266 ALBERTA INC. 963469 ALBERTA LTD. 964301 ALBERTA INC. 963473 ALBERTA LTD. 964338 ALBERTA LTD. 963482 ALBERTA LTD. 964344 ALBERTA LTD. 963491 ALBERTA LIMITED 964364 ALBERTA LTD. 963502 ALBERTA LTD. 964368 ALBERTA LTD. 963511 ALBERTA LTD. 964370 ALBERTA LTD. 963518 ALBERTA INC. 964399 ALBERTA LTD. 963533 ALBERTA LTD. 964417 ALBERTA LTD. 963541 ALBERTA INC. 964477 ALBERTA LTD. 963549 ALBERTA LTD. 964529 ALBERTA LTD. 963562 ALBERTA LTD. 964545 ALBERTA LTD. 963596 ALBERTA LTD. 964546 ALBERTA LTD. 963599 ALBERTA LTD. 964563 ALBERTA LTD. 963621 ALBERTA LTD. 964578 ALBERTA INC. 963627 ALBERTA INC. 964583 ALBERTA LTD. 963662 ALBERTA LTD. 964585 ALBERTA LTD. 963672 ALBERTA LTD. 964670 ALBERTA LTD. 963699 ALBERTA LTD. 964671 ALBERTA LTD.

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964675 ALBERTA LTD. 966031 ALBERTA LTD. 964738 ALBERTA LTD. 966039 ALBERTA LTD. 964743 ALBERTA LTD. 966067 ALBERTA LTD. 964750 ALBERTA LTD. 966070 ALBERTA LTD. 964764 ALBERTA LTD. 966102 ALBERTA LTD. 964789 ALBERTA LTD. 966104 ALBERTA LTD. 964790 ALBERTA LTD. 966137 ALBERTA LTD. 964813 ALBERTA INC. 966140 ALBERTA LTD. 964826 ALBERTA LTD. 966151 ALBERTA LTD. 964894 ALBERTA LTD. 966173 ALBERTA LTD. 964919 ALBERTA LTD. 966181 ALBERTA LTD. 964929 ALBERTA LTD. 966203 ALBERTA LTD. 964933 ALBERTA LTD. 966206 ALBERTA LTD. 964951 ALBERTA LTD. 966216 ALBERTA INC. 964999 ALBERTA INC. 966218 ALBERTA LTD. 965010 ALBERTA LTD. 966228 ALBERTA LTD. 965015 ALBERTA LTD. 966233 ALBERTA LTD. 965062 ALBERTA LTD. 966236 ALBERTA LTD. 965063 ALBERTA INC. 966322 ALBERTA LTD. 965091 ALBERTA LTD. 966454 ALBERTA LTD. 965102 ALBERTA LTD. 966467 ALBERTA LTD. 965132 ALBERTA LTD. 966497 ALBERTA LTD. 965169 ALBERTA LTD. 966539 ALBERTA LTD. 965181 ALBERTA INC. 966562 ALBERTA LTD. 965257 ALBERTA LTD. 966565 ALBERTA LTD. 965273 ALBERTA LTD. 966566 ALBERTA LTD. 965285 ALBERTA LTD. 966568 ALBERTA LTD. 965310 ALBERTA LTD. 966578 ALBERTA LTD. 965367 ALBERTA LTD. 966589 ALBERTA LTD. 965391 ALBERTA INC. 966647 ALBERTA LTD. 965411 ALBERTA LTD. 966671 ALBERTA LTD. 965420 ALBERTA LTD. 966699 ALBERTA LTD. 965432 ALBERTA LTD. 966751 ALBERTA INC. 965437 ALBERTA LTD. 966758 ALBERTA LTD. 965448 ALBERTA LTD. 966799 ALBERTA INC. 965501 ALBERTA LTD. 966841 ALBERTA LTD. 965504 ALBERTA LTD. 966853 ALBERTA LTD. 965514 ALBERTA LTD. 966855 ALBERTA LTD. 965549 ALBERTA LTD. 966856 ALBERTA LTD. 965555 ALBERTA LTD. 966858 ALBERTA LTD. 965557 ALBERTA LTD. 966861 ALBERTA LTD. 965599 ALBERTA LTD. 966862 ALBERTA LTD. 965608 ALBERTA LTD. 966876 ALBERTA LTD. 965614 ALBERTA LTD. 966879 ALBERTA LTD. 965626 ALBERTA INC. 966893 ALBERTA LTD. 965645 ALBERTA LTD. 966915 ALBERTA LTD. 965648 ALBERTA LTD. 967012 ALBERTA LTD. 965676 ALBERTA LTD. 967013 ALBERTA LTD. 965717 ALBERTA LTD. 967035 ALBERTA LTD. 965740 ALBERTA LTD. 967043 ALBERTA INC. 965766 ALBERTA LTD. 967047 ALBERTA LTD. 965788 ALBERTA LTD. 967063 ALBERTA INC. 965846 ALBERTA LTD. 967080 ALBERTA LTD. 965850 ALBERTA LTD. 967091 ALBERTA LTD. 965880 ALBERTA LTD. 967165 ALBERTA INC. 965902 ALBERTA INC. 967216 ALBERTA LTD. 965915 ALBERTA LTD. 967229 ALBERTA LTD. 965917 ALBERTA INC. 967278 ALBERTA LTD. 965928 ALBERTA LTD. A & F HEALTH SUPPLIES LTD 965980 ALBERTA LTD. A A A SIDING LTD. 965998 ALBERTA LTD. A ADVANTAGE FIBER CARE LTD. 966004 ALBERTA LTD. A PLUS PRINTING INC. 966009 ALBERTA LTD. A V S VIDEO & SOUND LTD. 966023 ALBERTA INC. A. ALBERTA R. SCHULZ & ASSOCIATES INC.

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A. D. I. CONSULTANTS LTD. ALBERTA GPS & MAPPING LTD. A. H. OHAB TRUCKING LTD. ALBERTA HOME BUILDERS' ASSOCIATION A.G. HOPPER WELDING LTD. ALBERTA JUSTICE STAFF COLLEGE SOCIAL A.L.U. INC. CLUB A.M.T.A.C. AMATEUR MUAY THAI ALBERTA LOCATORS INC. ASSOCIATION OF CANADA ALBERTA SOCIETY FOR WATER SKI A.V.N. HOLDINGS LTD. CHAMPIONSHIPS A.W.B. BUILDING INSPECTION SERVICE ALBERTA STUDENT TECHNOLOGY AGENCY LTD. ASSOCIATION AARON SHAW CONTRACTING LTD. ALBERTA WATER SAFETY COUNCIL ABB WATER METERS, INC. ALBERTA WOMEN'S FIELD HOCKEY ABBANA WELDING LTD. ASSOCIATION ABORIGINAL HOLISTIC SPORT ALBERTINA INVESTMENTS LTD. DEVELOPMENT SOCIETY ALL SEASON EQUIPMENT RENTALS LTD. ABORIGINAL WOMEN'S HEALTH ALLAN R. JONES PROFESSIONAL ASSOCIATION CORPORATION ABOUT SYSTEMSOLUTIONS INC. ALLARIES GENERAL STORE LTD ABS INTERNATIONAL HOLDINGS LTD. ALLISON-MARSHALL DEVELOPMENT CO ABSOLUTE AUDIO INC. LTD ACADIAN GROUP INC. ALMOND BUILDING MAINTENANCE LTD. ACCELERATED CAPITAL CORPORATION ALPEN SOFTWARE INC. ACTIVEST INCORPORATED ALPHA AND OMEGA SPIRIT FILLED MISSION ADANAC CORPORATE SERVICES LTD. INTERNATIONAL SOCIETY - EDMONTON ADCONCEPT GROUP LTD. CHAPTER ADVANCED CEREC TRAINING SYSTEMS INC. ALPINE IMPORTS LTD. ADVANCED GLOBAL SATELLITE ALTA LOGIC LTD COMMUNICATIONS CORP. ALTA MESA CONSULTING INC. ADVANCED HEAVY EQUIPMENT & SAFETY ALTERNATIVE 2000 HOME CARE SOCIETY TRAINING GROUP INC. ALTRA-CLEAN SERVICE LTD. ADVANCED VIPER PETRO-TECH ALUHENNA INC. INTERNATIONAL INC. ALWAYS WELDING LTD. ADVENTURE ALBERTA LTD. AM ASSEMBLY INC. AEQUITAS PROPERTY ASSESSMENT AM-RAY WORKS LTD. SERVICES INC. AMBASSADOR PRODUCTIONS INC. AFFORDABLE AERO PARTS AND SALVAGE AMISK WESTERN (HOUSING SYSTEMS) INC. INC. AMP ELECTRIC LTD. AG TRANSPORTATION COMPANY INC. ANAS MANAGEMENT INC. AG-RITE CUSTOM SERVICES INC. ANCIENT ROYAL TOURS INC. AGAPE HOLDINGS LTD. ANDERSON WIZARD CONSULTING CORP. AGORA VENTURES INC. ANDREW R. STEWART HOLDINGS LTD. AGRI MULTITRACS INC. ANNELIDA ENTERPRISES INC. AGRO RITE SOLUTIONS INC. AP&A DEVELOPMENT INC. AIRDRIE HARDWARE (1980) LTD. APEX DEVELOPMENTS LTD. AJEX ENTERPRISES LTD. APPELLO DESIGNS INC. AJILON COMMUNICATIONS INC. APPLIED ENERGY SOLUTIONS INC. AJM ENVIRONMENTAL LTD. APPLIED TECHNOLOGIES AND SOLUTIONS AJR DEVELOPMENTS INC. INC. AL - PAWN LTD. APPROPRIATE IT MOBILE SOLUTIONS INC. AL-NAVCO LTD. AQUABATICS CALGARY LTD. ALAIN PATISSERIE LTD. AR-JAY'S CONSTRUCTION EQUIPMENT LTD. ALAN ARSENAULT HOLDINGS LTD. ARACHNIDA TECHNOLOGIES LTD. ALAN TAPPENDEN SERVICES LTD. ARB TRANSPORT INC. ALAVA VENTURES INC. ARCANUM DESIGN INC. ALBERTA ATHLETIC THERAPISTS ARENANET SYSTEMS INC. ASSOCIATION ARGYLL VENTURES LTD. ALBERTA BUSINESS FACULTY FOUNDATION ARISTA PETROLEUM SERVICES CORP. ALBERTA COLLISION AVOIDANCE TRAINING ARKWRIGHT WOODWORKS INC. INC. ARNOTT BROS. RACING LTD. ALBERTA COMMITTEE ON TOLERANCE AND AROUND THE CORNER BUTCHER SHOP LTD. UNDERSTANDING ARROW-WEST EQUIPMENT REPAIRS LTD. ALBERTA CULTURAL EXCHANGE ARTICHOKE DESIGN & COMMUNICATIONS EXPERIENCE SOCIETY LTD. ALBERTA DRAMA FESTIVAL ASSOCIATION ASCENT PROJECTS INC. ALBERTA FOOD EQUIPMENT LIMITED ASHLIN GYMNASTIC CLUB

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ASSASSIN SALES RENTALS & CONSULTING BHP PETROLEUM (TOLO) INC. LTD. BIG CANADA TOURS INC. ASSET INVENTORY RECOVERY SERVICE INC. BIG LAKES LOGGER'S ASSOCIATION ASSOCIATED BABY IMPRESSIONS LTD. BIJEM HOLDINGS LTD. ASSOCIATION OF KANANASKIS AREA BIKEAGE INC. RESIDENTS FOR ECONOMIC AND BILLY BOY FILM CORPORATION ENVIRONMENTAL SUSTAINABILITY (KARES) BIOLIFE21STCENTURY INC. ASSOCIATION OF MINISTRY SUPPORT BIOLOGICS ENVIRONMENTAL CONSULTING SERVICES OF CANADA SERVICES LTD. ASTIN TRUCKING INC. BITMIN CORPORATION ATG ENTERPRISES LTD. BLACK WOLF OILFIELD SERVICES LTD. ATLAS SPECIALITY SUPERMARKET LTD. BLACKBOX STUDIOS INC. ATLAS WIRELINE LIMITED BLACKFEET CONSULTANTS LTD. ATTAR SYSTEMS LTD. BLISS MANAGEMENT CONSULTING INC. AUTHENTIC IMAGES INC. BLUE RIBBON BATHROOMS LTD. AUTOMATION TECHNOLOGY BLUE RIDGE SERVICES INC. INTERNATIONAL LTD. BOB'S HOBBY CENTRE LTD. AUTOMOTIVE & PLUS INC. BOISVERT & CROFT PLUMBING & HEATING AUTUMN SUN WELLNESS CENTRE INC. (1978) LTD. AVALON GLOBAL CAPITAL INC. BONAFIDE AUCTIONEERING CORP. AWARD WINDOWS INC. BONNETT'S HAULING LTD. AYURVED FORMULAS INC. BONNY-CRETE FORMS LTD B.C. CATERER'S LTD. BOTHWELL BROTHERS LTD B.F.W. HOLDINGS LTD. BOURBON STREET-FOOD STUFF & NIGHT B.G. KAPUSIANYK PROFESSIONAL LIFE INC. CORPORATION BOW ISLAND GRAZING ASSOCIATION B.R. LIBIN CAPITAL CORP. TRANSPORTATION INC. BABY'S BEST INC. BOW RIVER TROUTFITTERS INC. BADRY SALES & SERVICE (1976) LTD BOWTRAN LEASING LTD. BALANCE ACCOUNTING SERVICES INC. BOYT HOLDINGS LTD. BAMLET LTD. BPK DESIGN INC. BANCO MANAGEMENT INC. BRADAR INC. BANFF COACH CROSSING (2002) CORP. BRASS TAX & BOOKKEEPING LTD. BANFF GENERAL STORE & CAFE LTD. BRAZEL CONSULTING (1988) LTD. BANNER VENTURES LTD. BRECKA RESOURCES LTD. BANTRY PETROLEUMS LTD. BRENTWOOD LIQUOR STORE LTD. BARRIE LAKE FARMS INC. BRENTWOOD STUCCO LTD. BARRON TRANSPORT LTD. BREWER CONTRACTING LTD. BARRY BERMAN PROFESSIONAL BRI VIC 56 INVESTMENTS LTD. CORPORATION BRIAN BAKER PROFESSIONAL BARRY'S PLUMBING & GASFITTING LTD. CORPORATION BARTEL FINANCIAL GROUP LTD. BRIAN M. ISAAC, PROFESSIONAL BASRA AND HAYTON PROFESSIONAL CORPORATION CORPORATION BRIDGETOWN TECHNOLOGY INC. BAT CONSULTING INCORPORATED BRIGHTAN SYSTEMS LTD. BATAVUS HOLDINGS LTD. BRINGTON HOLDINGS LTD. BATTAGIN STORES CO LTD BRITTCO ENTERPRISES INC. BAY GAS MARKETING INC. BROKERAGE CLEANING CONSORTIUM INC. BCH TRUCKING (LETHBRIDGE) LTD. BROOKLINE CAPITAL LTD. BEAVER CREEK INVESTMENTS LTD. BRYAM AND CHONG DEVELOPMENT INC. BELL VETERINARY SERVICES INC. BRYANT DENTAL HYGIENE INC. BELLA COOLA HOLDINGS INC. BRYZAN INC. BELVEDERE COURT INC. BTF HOLDING (ALBERTA) CORP. BENCHLANDS HOMES INC. BUD'S FINE FOOD INC. BENCHMARK SALES CORPORATION BUENA VISTA (CANADA), INC. BENDVIEW FARMS LTD. BUFFALO TRAILS TEAM ROPING BENEFITS PLANNET INC. ASSOCIATION BERNIE WINTER SEMINARS INC. BUI TECHNOLOGIES INC. BETTER HEALTH MASSAGE THERAPY LTD. BULLDOG SAM 2000 LTD. BHP BILLITON PETROLEUM (ANGOLA 21) BURKE SYSTEMS INC. INC. BURN BOOKS LTD. BHP BILLITON PETROLEUM (ANGOLA 22) BUTLER MANUFACTURING COMPANY INC. C & C INC. BHP PETROLEUM (OTITI) INC. C & R STEAMERS LTD.

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C H PRECISION EQUIPMENT LTD. CANAMERA CAPITAL CORP. C-BYTE INC. CANCRO INC. C-R HOLMES EXTERIORS LTD. CANDO WELDING AND FABRICATION LTD. C. & E. DISTRIBUTORS LTD. CANSINO GAMING EQUIPMENT & C. E. WEBSTER SEISMIC SURVEYS LTD. CONSULTING LTD. C. LOUW MANAGEMENT LTD. CAPITAL STRATEGIES GROUP (CANADA) C.A.W. TRUCKING LTD. INC. C.E.T. MASSAGE LTD. CAPUTO ENTERPRISES LTD. C.G. DOCKEN PROFESSIONAL CORPORATION CAPWEST CAPITAL INC. C.J.R. HAULING LTD. CAPWEST FINANCIAL PARTNERS INC. C.L. SPYKER PROFESSIONAL CORPORATION CARIBOU LAND PROJECTS INC. CADECORP INC. CARLYLE FARMS LIMITED CAIRNS TECHNICAL CONSULTANTS INC. CASARINA INVESTMENTS INC. CALCO GEOLOGICAL AND ENGINEERING CASCADE ENGINEERING LTD. CONSULTANTS LTD. CASTLE REALTY PROPERTY MANAGEMENT CALENO IMAGING, DESIGN, PRODUCTION LTD. AND CONSULTING INC. CATLIN COMPUTER SYSTEMS SUPPORT INC. CALGARY NORTH STAR SHOW BAND CAYMAN HOTEL & GOLF INC. ASSOCIATION CB CORE CONSULTANTS INC. CALGARY PROFESSIONAL ARTS ALLIANCE CCFL MEZZANINE PARTNERS OF CANADA SOCIETY (II) LIMITED CALGARY RACQUET AND ATHLETIC CLUB CE-MEN HOLDINGS LTD. CALGARY TOWMASTERS LTD. CELTIC ENERGY CORP. CALGARYSOLD.COM LTD. CELTICO CONSULTING GROUP INC. CALLINGWOOD - LYMBURN COMMUNITY CELTICO HOLDINGS LTD. LEAGUE CENTENNIAL LITTLE LEAGUE BASEBALL CALMONTON INVESTMENTS LTD. ASSOCIATION CAMCAN EXPLORATION LTD. CENTRAL AGGREGATE COMPANY LTD. CAMILA EAST LTD. CENTRAL ALBERTA CABS LTD. CAMILLE D. KOHUT PROFESSIONAL CENTURIAN CAPITAL CORPORATION LTD. CORPORATION CEREAL FAMILY WORSHIP CENTRE CAMPBELL SALES AND STORAGE LTD CERTIFIED DEVELOPMENTS CORP. CAMPSIE COMMUNITY HALL ASSOCIATION CERTIFIED GOLD STAGE CREW INC. CAN-LO INVESTMENTS LTD. CHALIFOUX CONSTRUCTION LTD. CAN-TRAFFIC SERVICES LTD. CHAMOUN 2 INC. CANA PAINTS INC. CHANNELBPI INC. CANADA AEROMEDICAL REPATRIATION CHARIOT OILFIELD SERVICES INC. SERVICE INC. CHARON HOLDINGS LTD. CANADA HELP WANTED INC. CHAWKI'S PAINTING LTD. CANADA NORTH CAMP INC. CHEREMKA UKRAINIAN DANCING CLUB CANADA WEST BELTING PRODALTA LTD. CHEZ SUD LTD. CANADIAN ACCESS (INVESTMENT AND CHIMERA SYSTEMS GROUP, INC. IMMIGRATION) INC. CHINESE KITCHEN RESTAURANT LTD. CANADIAN AGGREGATE LTD. CHINOOK PHYSICAL THERAPY AND CANADIAN ARABIAN IMPORT & EXPORT WELLNESS CLINIC INC. COMPANY INC. CHOLON MANAGEMENT LTD. CANADIAN DIRECT MARKETING CHU'S & CHEN'S INVESTMENT LTD. ASSOCIATION - CALGARY CHAPTER CITI WEST DEVELOPMENTS (THE ROYAL) CANADIAN ENGLISH ACADEMY INC. LTD. CANADIAN ENVIRONMENTAL MONITORING CITICAPITAL COMMERCIAL INC. CORPORATION/CITICAPITAL CORPORATION CANADIAN MIDGET BASEBALL COMMERCIALE CHAMPIONSHIPS SOCIETY (RED DEER) CITY WIDE SCAFFOLDING LTD. CANADIAN NETWORK & COMPUTER CLAIMTEK INC. SOLUTIONS LTD. CLAREALTA FARMS LTD CANADIAN PEDIATRIC CLINICS CLASS ACT CONSULTING INC. FOUNDATION CLEARWATER COMMUNITY HALL CANADIAN POLISH YOUTH FRIENDSHIP ASSOCIATION SOCIETY OF EDMONTON CLICKS & BITS INC. CANADIAN PUGWASH GROUP CLOVERDALE PAINT INC. CANADIAN ROCKY MOUNTAIN CLUB O2 INC. ADVENTURES, INC. CMC MARKETING CANADA INC. CANADIAN ROOFING INSPECTORS AND CNM HOLDINGS INC. CONSULTING ASSOCIATION COAST TO COAST SURPLUS LTD.

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COGNOSCO CORPORATION D. JONES & SONS LOGGING LTD. COHOON, MURPHY & COMPANY LTD. D. M. RICHARDSON FARMS LTD. COLDWATER HOLDINGS INC. D. PIVERT'S CONSULTING LTD. COLIN SANTORO INSTALATION LTD. D. WAYNE NIKIFORUK PROFESSIONAL COLLAR ENGINEERING LTD. CORPORATION COLLINS & COMPANY, INC. D.A. LYON WELDING LTD. COLOR CRAFT INC. D.C. BANCORP INC. COLORS FOR KIDS INC. D.E.E. PERSONAL PROTECTION SERVICES COMEAU DEVELOPMENTS LTD. LIMITED COMFORCE COMPUTERS AND INFORMATION D.G. PAYNE CONSTRUCTION LTD. SYSTEMS LTD. D.K.CLEANING SERVICES LTD. COMMANCHE DEVELOPMENTS LTD DAHL CO. INTERNATIONAL INC. COMMENTATOR PUBLISHING CO LTD DAN BECK ANG PROFESSIONAL COMMERCIAL CONSTRUCTION CORPORATION MANAGEMENT LTD. DAN LETENDRE MECHANICAL LTD. COMMUNICATION CONSULTING SERVICE DANA HILLS HOLDINGS LTD. ENTERPRISES LTD. DARBY O. FAZACKERLEY PROFESSIONAL COMMUNITY PARTNERSHIP FOR YOUTH CORPORATION SOCIETY DARCY ENERGY CORP. COMTRELL SYSTEMS INC. DARRIN HARTZELL PROFESSIONAL CON BRIO RESOURCES LTD. CORPORATION CONACHER HOLDINGS LTD. DASHMESH SPORTS CLUB CONDOR WELDING INC. DAVENPORT SALES & AUTO SERVICE LTD. CONEXSYS MANAGEMENT INC. DAVID A. ROTH ARCHITECT LTD. CONLEY & ASSOCIATES LTD. DAVID C. CUMMING PROFESSIONAL CONRAD FARMS LTD CORPORATION CONSOLIDATED PETROQUIN RESOURCES DAVID GODDARD PROFESSIONAL LIMITED CORPORATION CONTEC CANADA ENTERPRISES INC. DAVID ROUZAULT MEMORIAL FOUNDATION CONTRACTORS HELPER LIMITED DAVOR DRYWALL AND INTERIOR LTD. COOPER CAMERON LIMITED DC OPERATING SERVICES LTD. COPACABANA SOFTWARE SOLUTIONS LTD. DEADWOOD HOLDINGS LTD. CORNERSTONE ENVIRONMENTAL & LAND DEAN ARA CONSULTING INC. SERVICES LTD. DEBOER & ASSOCIATES LTD. CORPORATE COURIER LTD. DECCA DESIGN INC. COUGAR INDUSTRIES LTD. DECK PETROLEUM CONSULTING LTD. COUGAR SPORTS ALUMNI ASSOCIATION DECORMIC ENTERPRISES INC. COUGAR VENTURES INC. DEEP DESIGNS AND APPAREL INC. COULEE RIDGE INVESTMENTS INC. DEKPRO RELOAD CENTRES INC. COVENANT INSPECTION SERVICES INC. DEKRAMER RENOVATIONS INC. COZART TRUCKING LTD. DELEEUW MECHANICAL LTD. CP BUILDERS INC DELFIN T. FRANCISCO PROFESSIONAL CP PROJECTS INC. CORPORATION CRANE SMART INC. DELTA CAB LTD. CREMONA BAKERY LTD. DELTA DRIVING SCHOOL LTD. CRESCENT WELDING LTD DELTA HELIX INC. CRITTERS CONTRACTING INC. DELTA PACIFIC LOANS INC. CROCKETS TRADING COMPANY INC. DENJO ENTERPRISES LTD. CROWBUSH RESORT COMPANY LTD. 2004 DENMAC MUD CONSULTING SERVICE LTD. FEB 03. DENTAL MANAGEMENT SYSTEMS - DMS CRUICKSHANK HOLDINGS INC. LTD. CRYSTAL COURIER EXPRESS LTD. DENZIL LOBO ARCHITECT LTD. CTS AUTOMOTIVE SERVICES LTD. DERWIN'S WELDING LTD. CULTURAL TRANSITION INSTITUTE INC. DES NEDHE DEVELOPMENT INC. CUMBERLAND SHOES LTD. DEVETTEN PLUMBING LIMITED CURRAN'S GARDEN CENTRE LTD. DEVGRO TRADING LTD. CUTTER RIDGE FARM LTD. DFM INVESTMENTS LTD. CYBERCADD GRAPHICS INC. DH HOSPITALITY LTD. CYBERIAN ANVIL INC. DIAMOND VILLAGE RESTAURANT LTD. D & A ENGINEERING INC. DIAZ & DIAZ GROUP LTD. D & Z ENTERPRISES LTD. DICKINSFIELD CRUSADERS DIXIES D J WELDING LTD DIGGERS BOBCAT SERVICE LTD. D. HYDER FAIR & SQUARE CONSTRUCTION DINO WOMEN'S FIELD HOCKEY ALUMNI LTD. ASSOCIATION

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DION ENTERPRISES INC. EDMONTON PROSTHETIC SERVICES INC. DIRECT WASTE CONTROL CORP. EDMONTON SPORTING DOG CLUB DIVERSA INCORPORATED EDSON-NIPISI OIL & GAS COMPANY LIMITED DIVERSIFIED ACHIEVERS CANADA LTD. ELITE AGENCIES INC. DIXIE CAPITAL CORPORATION ELLIOTT'S CUISINE CATERING & DK2 HOLDINGS LTD. CONSULTING LTD DOC. BROS CONSTRUCTION LTD. EMPIRE TREE & LANDSCAPE SERVICES LTD. DOLLAR DEAL WHOLESALE INC. ENERGY FUTURES INC. DON'S SERVICE (BAWLF) INC. ENERLOC MANUFACTURING INC. DONALD M. CHISHOLM PROFESSIONAL ENGERDAHL EXCAVATING LTD. CORPORATION ENHANCED COMPRESSOR SERVICES LTD. DONNA RESTAURANT LTD. EPAENETUS E.C.I. COMPANY INC. DOOLY'S LETHBRIDGE LTD. EQUAL ELEMENTS COMMUNICATIONS INC. DORSET BAY SOFTWARE LTD. EQUINOX INC. DOT ACCOUNTING & CONSULTING EQUITY CAPITAL SOLUTIONS LTD. SERVICES LTD. EQUITY DEVELOPMENT INC. DOTS CANADA INC. ERIC GROODY PROFESSIONAL DOUBLE S WELDING LTD. CORPORATION DOUGLAS CURRIE PROFESSIONAL ERNIE ERION WELDING LTD. CORPORATION ERS (ALBERTA) LTD. DOWWEST ENER-SOFT INC. ESENCIA SOLUTIONS INC. DR. DIRT TOPSOIL LTD. ESSENTIAL ELEMENTS INC. DRAGONRATTS TECHNOLOGIES GROUPS ESTEPHAN HOLDINGS LTD. INC. ETIQUETTE PROFESSIONALS DRAYTON VALLEY GYMNASTICS CLUB INTERNATIONAL ASSOCIATION DRECO EASTERN EUROPE LTD. ETP ENVIRO TIRE PRODUCTS LTD. DRINK CANADA INC. EURO SPA LTD. DROFFA DESIGN GROUP INC. EUROFINISH TUB & TILE INC. DRUMULLAN ENTERPRISES LTD. EUROPEAN DESIGN & PAINTING LTD. DUMONT HOLDINGS LTD EVANCIO TELECOM SOLUTIONS INC. DUNFAST ENT. LTD. EVERGREEN HUMAN RESOURCE SERVICES DUNORTH RECORDS INC. INC. DUSTY MANAGEMENT SERVICES LTD. EWARD RESTORATIONS INC. DVK ELECTRONIC DESIGN INC. EXACT SEISMIC PROCESSING LTD. DYN3 SALES & MARKETING INC. EXCALIBUR AVIATION LTD. DYNAMIC WEB CONCEPTS LTD. EXCEL INSTALLATIONS LTD. E & C DOYLE HOLDINGS INC. EXCLUSIVE PROPERTY MANAGEMENT E & E CONSTRUCTION INC. (EDMONTON) LTD. E-AUCTIONS CANADA INC. EXPLORAIR AVIATION INC. E. & G. TECHPRO LTD. EXPORT COKING COAL OF ALBERTA LTD E.J.M. SALES & CONSULTING LTD. EXTREME PROPERTY SERVICES LTD. E.L. AUDIO SERVICES INC. F M L DEVELOPMENT CORPORATION E.R. STEAMING LTD. LIMITED EAGLE GROWTH FUND LTD. F-H FINE MECHANIC SERVICE LTD. EAGLE MOUNTAIN ESL INC. F.A. INVESTMENT CORP. EAGLEBAY ENTERPRISES INC. F.R.A. WELDING & FABRICATING LTD. EAGLESTONE LANDSCAPES LTD. FALLEN TIMBER VENTURES LTD. EAST EDGE ENTERPRISES INC. FAR EAST OIL & GAS LTD. EAST SMOKY MINOR HOCKEY ASSOCIATION FARM FRESH ORGANICS HOME DELIVERY EASTALTA MANAGEMENT LTD. LTD. EASTDALE INDUSTRIES LIMITED FEDOR & LEA HOLDINGS LTD. EASTERN MARINE UNDERWRITERS INC. FELINE CHARITABLE FOUNDATION ECCLES CONTRACTING LTD. FELTER CONSTRUCTION LTD. ECONOMY HARDWARE LTD FENGSUN ENTERPRISES CORP. ECOTEMP INTERNATIONAL INC. FEROSHUS*PROVISIONS FOR DANCE ED IMBERY & SONS LTD. CULTURE* LTD. EDCAL OIL LTD. FERRIER COMMUNITY CLUB EDEN LAKE GOLF & COUNTRY CLUB LTD. FERTILITY MANAGEMENT TOOLS INC. EDEN MANAGEMENT LTD. FINISHING EDGE INC. EDEN'S BEST INC. FIRE ON THE MOUNTAIN PRODUCTIONS INC. EDMONTON ABORIGINAL BUSINESS FIRST B & G CONTRACTORS INC. DEVELOPMENT CENTRE FIRST BORN INVESTMENTS LTD. EDMONTON CRIBBING LTD. FIRST CALL CELLULAR (1995) INC. EDMONTON FEDERATION HOCKEY COUNCIL FIRST MERCANTILE MANAGEMENT INC.

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FIRST QUALITY PIZZA 2 FOR 1 LTD. GENTRONIC TECHNOLOGIES INC. FIVE T ALBERTA INVESTMENTS LTD. GEOMETRIX EXPLORATION LTD. FLUSH MEDIA INC. GERALD C. SMITH LTD. FLYING DUTCHMAN OILFIELD GERAS PETROLEUM MANAGEMENT LIMITED MAINTENANCE LTD. GERRY POSTMA CONSULTING CORP. FLYING LIGHT LTD. GET TRAVEL CANADA INC. FN INSTALLATION SERVICES LTD. GH INSTRUMENTATION SERVICES LTD. FOCUS HAIR DESIGN INC. GILDER HOLDINGS LTD FOOTHILLS CONSULTING INC. GILLEY (DONALD R.) ASSOCIATES INC. FOREMOST WHOLESALE LTD GILLIGANS FISH & CHIPS INC. FORT LANDSCAPE CONTRACTORS INC. GILLINGHAM'S CONTRACTING LTD. FORT SASKATCHEWAN ALLIED ARTS GLASS HAPPENS INC. COUNCIL GLASSHOPPER INC. FORTRESS ENTERPRISES INC. GLENN'S LIGHT CONSTRUCTION LTD. FOSTER WHEELER CANADIAN RESOURCES GLENORA HOLDINGS INC. LTD. GLOBAL CMS CANADA INC. FRANK'S SURVEY LTD. GLOBAL DEVELOPMENTS INTERNATIONAL FRED SEYMOUR SCHOOL ASSOCIATION INC. FRENCHY'S CONSULTING INC. GLOBAL HOPE SOCIETY FREQUENCY AVIATION SERVICES LTD GLOBAL SOFTWARE IMPLEMENTERS INC. FRIENDS OF A.C.T. AQUATIC AND GNL EXPLORATION AND SERVICES LTD. RECREATION CENTRE SOCIETY GNU RACING SERVICES LTD. FRIENDS OF HIGH PARK ASSOCIATION GOLBECK & ASSOCIATES INC. FRIENDS OF THE BOREAL FOREST SOCIETY GOLD MEDAL DEVELOPMENTS LIMITED FRIENDS OF THE BOWDEN LIBRARY GOLDEN GOOSE RESOURCES INC. SOCIETY GOLDEN KNIGHT CONSULTING LTD. FRIENDS OF THE SEXUAL ASSAULT CENTRE GOLDLINX INTERNATIONAL INC. OF EDMONTON (SACE) SOCIETY GOLFEXPRESS ENTERPRISE INC. FROMSON HOLDINGS LTD GOODWELL PETROLEUM CORPORATION FT. MCMURRAY PIPE BAND SOCIETY LTD. FUSION TECHNOLOGIES INC. GOOSE LANDING ADULT SOCIETY FUTURES NOW INCORPORATED GORILLA ENTERPRISES LTD. FUTURETECH INVESTMENT CORP. GPR PRODUCTION ACCOUNTING SERVICES G & C INVESTMENTS INC. LTD. G. & G. OBADIA HOLDINGS INC. GRACO HOLDINGS INC. G. B. WATMOUGH HOLDINGS LTD. GRADEN HOLDINGS LTD. G. L. MARKETING INC. GRAFTON-FRASER INC. G. WEHRFRITZ HOLDINGS LTD. GRAND NORTH AMERICAN OLD TIME G.A.R. CONSULTING INC. FIDDLE CHAMPIONSHIP SOCIETY G.B.C. OILFIELD CONSULTING SERVICES GRANSTERS TRUCKING LTD. LTD. GRANT'S CONTRACTING LTD. G.D.A. GYPSUM DRYWALL APPLICATIONS GRASSROOTS SERVICES LTD. INC. GREAT ELEPHANT & RABBIT TRADING G.I.E. ENVIRONMENT TECHNOLOGIES LTD. COMPANY LTD. G.N. FOOT LTD. GREBA ENTERPRISES LTD. G.P. CONTRACTING LTD. GREEN THEME DESIGN LTD. G2 ANCHORS LTD. GREENER PASTURES ENTERPRISES INC. GABERT FARMS LTD. GREENMIST DESIGN INC. GAIA GEOLOGICAL RESEARCH INC. GREG HEARN BILLIARD PRODUCTS INC. GAINEX COMMODITY SALES LTD. GREGORY L. BAKER HOLDINGS LTD. GALACTIC CONSULTING INC. GREYSTORM CORPORATION GAMMA EVENTS INC. GRID ENERGY & MANAGEMENT INC. GANDALF COMPUTER SERVICES LTD. GRIFFIN PROMOTIONAL PRODUCTS INC. GARRICK INVESTMENTS LTD. GRIFFITHS CONSULTING LTD. GARRISON ENERGY LTD. GRYPHON TECHNOLOGIES INC. GARRY B. OLLIS PROFESSIONAL GSI INTERNATIONAL 1991 INC. CORPORATION GT TRAILERS LTD. GARRY MOORE MOVES LTD. GT1 LIMITED GATEC HOLDINGS LTD. GURU HARKRISHAN TRUCKING LTD. GEM SCORP LANDSCAPING LTD. GUY WESTON PROFESSIONAL GEM WESTERN PROJECTS LTD. CORPORATION GENDER ISSUES EDUCATION FOUNDATION H.A.H. JOHOLD INVESTMENTS LTD. GENERATION TOOLS INC. H.T. BERLAND TRUCKING LTD. GENLOR HOLDINGS INC. HADWIN RANCHING LTD.

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HAM CONSULTING & MANAGEMENT INC. I.D.F. CONSULTING LTD. HANDYVIDEO.COM INC. IBOUGHTONLINE.COM INC. HANG SANG ORIENTAL FOOD MARKET LTD. IGAR INTERNATIONAL FINANCE AND HANNA DISCOUNT FOODS LTD. INVESTMENTS INC. HANSON HYDROCARBONS INC. IM DALLALI HOLDINGS INC HANSTAL ENTERPRISES LTD. IMAGE DETAILS LTD. HAR-CALGARY, INC. IMAGES OF DISTINCTION INC. HARD KROME CONSULTING LTD. IMAGINATION MARKET ASSOCIATION OF HARJOT TRUCKING LTD. ALBERTA HARRY L. TAYLOR PETROLEUM AND IMMIGRANT JOB SEARCH & COMMUNITY MINING GEOLOGISTS LTD. ASSISTANCE FOUNDATION HARTLOCK INDUSTRIES LTD. IMPERIAL JEWELLERS LTD. HAWTHORNE CAPITAL CORPORATION INDEPENDENT JUDGMENT ENFORCEMENT HBM HOLDINGS INC. AND RECOVERY SPECIALISTS INC. HEADS-UP QUALITY WELDING & FAB. CO. INDRA OIL & GAS LTD. INC. INDUSTRIAL ELECTRONIC SERVICES LTD. HEART'S AUTO WRECKERS & SERVICE LTD. INFO-EZE INC. HELLENIC SOCIETY OF CALGARY AND INFOCITY, EDMONTON REGION LIMITED DISTRICT INNISFAIL MINOR HOCKEY ASSOCIATION HELPING CIRCLE EMPLOYMENT SERVICES INSIDE-OUT COMMUNICATIONS INC. SOCIETY OF CALGARY INSTILLING GOODNESS & DEVELOPING HERITAGE INTERNATIONAL TRAP AND FUR VIRTUE SOCIETY OF CALGARY FOR COMPANY LTD. BUDDHIST EDUCATION HERO PROPERTIES LTD INSTINCT SYSTEMS MANAGEMENT LTD. HI-FLOW INDUSTRIES INC. INSTITUTE FOR TRANSITION EDUCATORS HI-TECH CONTRACTING LTD. INC. HIGH DEF MOTION PICTURES INC. INSTRUCTIONAL SYSTEMS INCORPORATED HIGH TIME WELDING INC. INTEGRITY ENVIRONMENTAL INC. HIGHVIEW CONSTRUCTION (ALBERTA) LTD. INTER PACIFIC INVESTMENT PROPERTIES HIGHWOOD STABLES LTD. INC. HIMALAYAN HOLDINGS LTD INTERGROUP SECURITY INC. HINES CREEK CURLING CLUB INTERNATIONAL LOGOS FOUNDATION HINTON HEAT HOCKEY CLUB INTERONE MARKETING GROUP LTD. HITS HAIR AND SKIN INC. INVESTORS INTERNATIONAL INC. HOBIE ENTERPRISES LTD. IOLAIRE HOLDINGS LTD. HOMECHECK CANADA INC. IRANIAN CULTURAL SOCIETY-CALGARY HOOT, INC. IRON CIRCLE DEFENSIVE ARTS SOCIETY HOPEWELL PETROLEUM CONSULTING INC. IRVING MECHANICAL LTD. HORSE CREEK HOLDINGS LTD. ISAAC TRUCKING LTD. HOSCOE HOLDINGS LTD ISSUMA OUTFITTERS INC. HOSEHANDLERS INTERNATIONAL INC. ISTRA WOODWORK LTD. HOT CUPS CORP. IVF INTERNATIONAL VESSEL FABRICATION HOTVIBES, INC. INC. HOUSESITTING PLUS INC. IVYBRIDGE DESIGN LTD. HOUSTON AEROSPACE INC. IXANA SYSTEMS INC. HOUSTON ENERGY GROUP (CANADA) LTD. J'S GOURMET CAFE LTD. HOWDEN GROUP CANADA LIMITED/LE J. ED. WESTON INDUSTRIES LTD. GROUPE HOWDEN CANADA LIMITEE J. HERMAN GROUP, INC. HOYER MEDICAL INSTRUMENTS & J. R. POULIN DEVELOPMENTS LTD. EQUIPMENT INC. J. WARNER LOVEN CONSULTING LTD. HRUSKA CONSTRUCTION LTD. J.A.R. GROUP LTD. HT FAY ENTERPRISES INC. J.K. WHITNEY CONTRACTING INC. HUMPHRIES PRINTING INC. J.P. FRENCH & ASSOCIATES LTD. HUNTERWOOD ENGINEERING LTD. J.S. SAUNDERS PROFESSIONAL HUNTINGTON HILLS SCHOOL SOCIETY CORPORATION HWASUNG VALVE INC. J4 ENTERPRISES INC. HY HOLDINGS INC. J7 ENTERPRISES LTD. HYDROCARBON TECHNOLOGIES CANADA, JAA INVESTMENTS LTD. INC. JACKHAMMER CONTRACTING & SERVICES I & R ENTERPRISES INC. LTD. I S M LTD. JAD DISTRIBUTORS LTD. I-DEVELOPMENTS CORPORATION JAKE HOLDINGS LTD. I. TESKE ENTERPRISES LTD. JAMARG HOME REPAIRS LTD. I.C.U. MANAGEMENT RESOURCES INC. JAMES A. LOVE HOLDINGS LTD.

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JAMES CURRIE PROFESSIONAL KEGS 'N' CASKS INC. CORPORATION KELLER VENTURES LTD. JAMES DEAN BLOOMER-REBEL WELDING KELLINGTON DEVELOPMENTS ALBERTA LTD. INC. JAMES H. SIE PROFESSIONAL CORPORATION KELLY OIL TOOLS LTD. JAMES SNETHUN FARM ENTERPRISES LTD. KELSHANE ENTERPRISES INCORPORATED JAMILA PREMJI PROFESSIONAL KEN FLESHER OILFIELD CONSULTING LTD. CORPORATION KENMARK INC. JAN DEC JANITORIAL LTD. KENNETH & CO. LTD. JANE CONSTRUCTION LTD. KENRAE HOMES LTD. JANZEN CONSULTING INC. KENSINGTON FINANCIAL SERVICES LTD. JASBRO TRUCK LEASING INC. KENWELL INDUSTRIES INC. JASGROUP TECHNOLOGIES INC. KEY FINANCIAL SERVICES INC. JASWAL & MINHAS HOLDINGS LTD. KIM LASKIN REALTY INC. JASWIN ENTERPRISES LTD. KIMMEL PROJECT MANAGEMENT LIMITED JAY DEE'S OILFIELD INC. KING'S RESTAURANT (CNP) LTD. JAY-ROD ENTERPRISES LTD. KING, THOMAS & ASSOCIATES LTD. JC'S COMPUTER SOLUTIONS INC. KINGSLEA FINANCIAL CORP. JCSN CONTRACTING LTD. KINNIBURGH IMPLEMENT CO. LTD. JCUBED ENGINEERED SOLUTIONS, INC. KLAD-ALL METALS LTD. JEN-DON ELECTRIC LTD. KLAHANIE CO-OWNERSHIP HOLDING JENNE NIEBOER FARM SUPPLIES LTD. CORPORATION JERNI HOLDINGS LTD. KLIPPERT CONSULTING SERVICES INC. JERRED CONSULTING LTD. KLIPPERT MUSICAL ENTERPRISES LTD. JEWISH FEDERATION OF EDMONTON KLOCWORX INC. JH ANCHOR RANCHO CO. LTD. KM ENGINEERING INC. JIMMY D. EXPRESS INC. KM FRASER & ASSOCIATES LTD JIMMY'S EXCAVATING LTD. KMC CATTLE COMPANY LTD. JJ'S ELECTRICAL ENTERPRISES INC. KRH CONSULTING LTD. JML GRANT HOLDINGS LTD. KROL FAMILY HOLDINGS INC. JOE PAYNE'S TRUCKING & LOADING LTD. KTA CANADA INC. JOHN C. VALENS INVESTMENTS INC. KUSAN LIMITED JOHN H. WONG PROFESSIONAL KUZYK INVESTMENTS LTD. CORPORATION L & S AUTO SALES & REPAIRS LTD. JOHN O'RAY SYSTEMS CONSULTING LTD. L C BURSEY INC. JOHN WILSON SPORTS LTD. L. THYR PROCESS CONSULTING LTD. JOINT VENTURE EXCHANGE LTD. L.B. TRANSPORT, INC. JON S. SCHWAB PROFESSIONAL L.T.R. HOLDINGS LTD. CORPORATION LA FONDATION DES ARTS DE L'ALBERTA JORDAN DYLAN PRODUCTIONS INC. LA-Z T HOLDINGS INC. JORGENSEN WELDING/MECHANICAL LTD. LAKECROFT INVESTMENTS INC. JUGGERNAUT HOLDINGS INC LAMBERT TECHNICAL SERTVICES LTD. JUST OFF WHYTE & 83 INC. LAMBRIDGE CAPITAL GROUP, INC. JUST TOO CLEAN LTD. LANAWAY PETROLEUM LTD. JUSTIN BECKER MEMORIAL SCHOLARSHIP LAND PETROLEUM LTD. FOUNDATION LANDMARK GEOMATICS INC. JV WEALTH MANAGEMENT LTD. LANDMARK MASTER BUILDER INC. K & L ALBERTA COURIER LTD. LANFINE COMMUNITY HALL ASSOCIATION K & M TRUCKING LTD. LAO COMMUNITY CULTURAL SOCIETY OF K-LU INVESTMENTS INC. EDMONTON K.B.O. VENTURES INC. LAWRENCE CUMING REALTY LTD. K.G. SHEARER HOLDINGS LTD. LBT MEMBRANES LTD. K.T.S. EXTERIORS LTD. LDI DESIGNED LEARNING SYSTEMS INC. KAI COMMUNICATIONS, INC. LE CLUB DU BON TEMPS DE ST. ISIDORE KALPRESS LIMITED LED SYSTEMS INC. KANATA PRODUCTIONS INC. LEGACY MULTI MEDIA & DESIGN INC. KANDRILL RESOURCES INC. LEMMCO HOLDINGS LTD KAPSON INC. LEN NOTENBOOM CONSULTING LTD. KAR-DAL ENTERPRISES LTD. LEN'S SHOP BODY & COLLISION (1999) LTD. KASSIM KASSAM & COMPANY LTD. LES PLACEMENTS RIVIERE GATINEAU KAVIK INVESTMENTS LTD. INCORPOREE KAYCEE RESOURCES LTD. LESSARD SYSTEMS CORPORATION KBMC ATHLETES ALUMNI ASSOCIATION LEVLIN HOLDINGS LTD. KEAN'S CONSTRUCTION LTD. LHJ INVESTMENTS INC.

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LIFESPACE SYSTEMS CORPORATION MCCHINA CORPORATION LIFEWORKS CONCIERGE LTD. MCCORD GASKET CORPORATION LIFTING EQUIPMENT LTD. MCCOY'S MOUNTAIN VIEW SPORTS (1994) LINCOLN ENERGY LIMITED LTD. LIQUIDYNE CORP. MCFAM CORPORATION LITTLE HUT PIZZA INC. MCKAY PONTIAC BUICK (1979) LTD. LIUS PERRAM PAN-AM CONSULTING LTD. MCKECHNIE AUTOMOTIVE LTD. LLOYDMINSTER ROWING CLUB MCLEAN EXECUTIVE CONSULTANTS (2001) LOCAL # 777 (LAC LA BICHE) OF THE METIS INC. NATION OF ALBERTA ASSOCIATION MCLEOD PETROLEUM CONSULTING LTD. LOCAL 284 BREWERY WORKERS SOCIETY MCMURRAY SNO-DRIFTERS SNOWMOBILE LOEWEN ENTERPRISES LTD. ASSOCIATION LOONIE STORE NORTH CORP. MCS SERVICES LTD. LORIS REALTY GROUP LTD. MEC OPERATING COMPANY LOST GOLD MINING CORPORATION MECH WELD INDUSTRIES LTD. LOT MONITOR SYSTEMS INC. MECO SYSTEM LTD. LOW COST AUTO SALES LTD. MEDALLION COMMERCIAL SERVICES LTD. LUFTHANSA CARGO AKTIENGESELLSCHAFT MEDICINE HAT & DISTRICT CONVENTION & LURIC ENTERPRISES LIMITED VISITORS BUREAU LYN-COR HAULING LTD. MEDICINE HAT VINTAGE VEHICLES CLUB LYNCH CONTRACTING LTD. MEDICINE TREE MEDICAL SUPPLY LTD. LYNCH RESOURCES LTD. MEGABYTE SOFTWARE INC. LYZA ENTERPRIZES LTD. MEGACY DEVELOPMENTS LTD. M & E DISTRIBUTORS INC. MEKNES HOLDINGS INC. M(UU)D WERKZ CONSULTING LTD. MELAMINE COMPONENT SYSTEMS M. DWYER HOLDINGS LTD. INTERNATIONAL LTD. M.C.S. INVESTMENTS LTD. MELTER HOLDINGS INC. M.C.T. FARMS LTD. MENEX TECHNOLOGIES INCORPORATED MACKILLOP FERTILIZER AND FEED LTD. MENTAL MONKEYS INC. MADACALO INVESTMENTS LTD. MESA ENERGY INC. MADE TO ORDER MARKETING INC. METROPOLITAN INVESTMENT MADISON AVE. BAR & GRILL LTD. CORPORATION MAGIC WORD COMMUNICATIONS LTD. METZ LINE INC. MAGNUS LIMITED MHHS MOHAWK FOOTBALL PARENTS MAHAVIR ENTERPRISES LTD. ASSOCIATION MAINSTREAM MECHANICAL LTD. MICATRON INC. MALIYA HOLDINGS LTD. MICHAEL FLEMING REALTY CORPORATION MANAGEMENT CONSULTING HOUSE LTD. MICHAEL LYNN CONSULTING INC. MANIRA REFINISHING TECHNOLOGIES INC. MICMAC EXCAVATING LTD. MANKO BUSINESS CONSULTING CORP. MIDI VALLEY PRODUCTIONS LTD. MANN HOLDINGS LTD. MIGASALE HOLDINGS LTD. MANNA CAPITAL CORP. MIGHTY JOE'S CONTRACTING INC. MARADEX DIVING LTD. MIKON CONSTRUCTION LTD MARAL VALVES EXPERTS INC. MILL CREEK COLLIERY BAND SOCIETY MARBLE HEIGHTS DEVELOPMENTS LTD. MILL CREEK ELECTRIC LTD MARGIE'S OILFIELD SERVICE LTD. MIRACLE MATE DISTRIBUTION CENTRE INC. MARILL ENTERPRISES LTD. MIRSKRO IMPORT EXPORT LTD. MARINER DEVELOPMENT GROUP INC. MITCHELL ENTERTAINMENT SERVICES LTD. MARITIME PIZZA CORP. MITEK MILLWRIGHT SERVICES LTD. MARKETING & MANAGEMENT OILFIELD MITEY MOE TOOLS INC. EQUIPMENT LTD. MITSUBISHI ELECTRIC SALES CANADA INC. MARQUIS EXPLORATION LTD. 2004 FEB 13. MASTER-LINK MACHINERY LTD. MITZVAH HOLDINGS LTD. MATTEY BROS. (1980) LTD. MOBILE OFFICE INC MAVERICK SIGNSMITH INC. MOEZ A. LAKHANI PROFESSIONAL MAVIDA.COM INC. CORPORATION MAWSON DRUGS LIMITED MOHR VACUUM TRUCK SERVICE LTD. MAX SIGNS INC. MONAHAN MANAGEMENT INC. MAXIM DEVELOPMENT GROUP INC. MONSTER MECHANICAL INC. MAXWELL SHARP MANAGEMENT LTD. MONTGOMERY CONDO MANAGEMENT & MAY VENTURES INC. SALES INC. MAYER, ELDRIDGE AND GEBHART MOON E CONSULTING LTD. CONSULTING SERVICES INC. MOORE MANAGEMENT LTD. MCARNI INDUSTRIAL SERVICES INC. MOPEN SEISMIC CONSULTING INC.

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MORAN MONEY MANAGEMENT SERVICES OKI NAPI EAGLE CLAW SOCIETY LTD. OLAFSON BROTHERS SERVICE LTD MORRAY INVESTMENTS LTD. OLD MUNICH FRANCHISING CORP. MOUNT ROYAL VITAMINS INC. OLEUM ENERGY CORPORATION MOUNTAIN REALTY HINTON INC. OLIN ENTERPRISES LTD. MOUNTAIN SOCIETY FOR CREATIVE OLYMPIA FINANCIAL GROUP INC. ANACHRONISM (1994) ONE SOURCE MARKETING INC. MOUNTAIN VIEW OPTOMETRY INC. ONE STOP PRINTING SERVICES LTD. MP EQUITIES LTD. ONE WORLD TRAVEL LTD. MPB LASERTECH INC. ONLINE TRAVEL & TOURS INC. MRW CLEANING SERVICE LTD. ONTA HOLDINGS LTD. MSL RELAXATION CENTRE LTD. ONYX INVESTMENTS LTD. MUDWORKS INTERNATIONAL INC. OOH LA' LA' SPA LTD. MULLEN CONSULTING LIMITED OOKO INVESTMENTS LTD. MULROONEY CONSULTING INC. OOSTERHOF HOLDINGS LTD. MUNHOLLAND INDUSTRIES INC. OPM HOLDINGS INC. MURTECH DESIGN & DRAFTING LTD. OPTIMAL LIFE GROUP INC. MUTTART INDUSTRIES INC. OPTIONAL DESIGNS INC. MVP PAINTING LTD. ORCHARD PEAR FOOD & CATERING MY DECOR INCORPORATED SERVICES INC. N. O. ANSELL CONSTRUCTION LTD. ORGANIC ROOTS FOOD MARKET LTD. N.E. TING MARKETING AND INVESTMENTS ORMAN PAINTING LTD. LTD. OSKIYA BUSINESS DEVELOPMENT INC. NARLAND PROPERTIES (JOFFRE) LTD. OUTRIGGER INVESTMENTS INC. NARROWS INVESTMENTS LTD. OUTWEST CAPITAL CORPORATION NASHVILLE AUTO SALES LTD. OVER THE BARS CLUB NATHAN P. KERN PROFESSIONAL OVISTECH CORPORATION CORPORATION OWEN MITCHELL ENTERPRISES LTD. NATIVE ART EXPORTS OF CANADA LTD. P & A COLTELLO PARDO INC. NATURAL COMMODITIES INC. P & B INVESTMENT CORPORATION NEANDERTHAL HOLDINGS LTD. P. & D. EXPEDITING INC. NEON CREATIONS BY GARY LTD. P. PIPER CONTRACTING INC. NETCAN INC. P.A. WELDING LTD. NETSS INC. P.B. CONTRACTING & CONSULTING INC. NETTICKERS INC. P.C.S. INVESTMENTS LTD. NEW VISION NUTRITIONALS CO. P.K. FARMS LTD. NEWBROOK PLAYSCHOOL ASSOCIATION P.R.J. CHRISTIE LAND CONSULTING INC. NEXTWAVE CARD CORP. P3 CONSULTING LIMITED NIC-MAC MILL SERVICE LTD PACIFIC ENERGY CONSULTING INC. NIKIFORUK TRUCKING (1985) LTD. PACIFIC LUCKY GROUP INC. NINE IRON FILMS LTD. PACIFIC OCEAN TRANSPORT INC. NOOR AUTO LTD. PAINTED TRAK STABLES LTD. NORCAN LEASING LTD. PALLETCO CANADA INC. NORMAN WEIR PROFESSIONAL PAN PACIFIC MERCANTILE GROUP LTD. CORPORATION PARA-GONE BIOLOGICAL CORPORATION NORTH AMERICA BIG RIG RACING INC. PARADIGM CONSTRUCTION LTD. NORTH SASKATCHEWAN RIVER RIDGE PARADISE RANCH RESORT LTD. RIDING CLUB PARKDALE HOMES & CONSTRUCTION LTD. NORTH STAR SQUARE DANCE CLUB PARKLAND HANDWEAVERS AND SPINNERS NORTHEND AUCTIONS LTD ASSOCIATION NORTHERN ALBERTA SCHUTZHUND PARKLAND REALTY CO LTD ASSOCIATION PARKRIDGE COMMUNITY ASSOCIATION NORTHERN DENE ENTERPRISES LIMITED PARTS-R-US LTD. NORTHERN SIDING PROS LTD. PARWAC OILFIELD SERVICES LTD. NORTHFORK ENTERPRISES LTD. PASCO GROUP INC. NORTHSIDE EAVESTROUGHING LTD. PAST CHIEF RANGERS SOCIETY NORTHSTAR DISTRIBUTION INC. PAT WHITE HOLDINGS LTD. NORTHWOODS REALTY CORPORATION PATRICIA CHAMBERS FOUNDATION NS PAINTING & DECORATING INC. PATRIQUIN FARMS LTD. OAK RIDGE OIL & MINERALS LTD PATTEN CONSULTING LTD. OASIS ALIGNMENT SERVICES PAU HANA CONSULTING INC. LTD./SERVICES D'ALIGNEMENT OASIS LTEE PBM CANADA LTD. OCEAN DIRECT INC. PD INC. OILWATERCUT DATA LOGGING LTD. PEACE AREA COUNSELING AID SOCIETY

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PEACE COUNTRY PLASTICS LTD. PROMOTEX INC. PEBBLES SAND & GRAVEL INC. PROSEARCH PRODUCTIONS LTD. PELLEY BAY SOFTWARE LTD. PROTEUS ENTERPRISES INC. PER KUP INCORPORATED PROVINCIAL CRANES INC. PERADON HOLDINGS LTD. PROVINCIAL SIGN MANAGEMENT LTD. PERFECT CARE CARPET & FURNITURE PSYCHEDELIC TOQUE INC. CLEANING LTD. PUREROCK CONTRACTING LTD. PERFUME INCORPORATED PYRAMUS CONSULTING INC. PERI FORMWORK SYSTEMS INC. QT NAILS & TANNING LTD. PERMA SYSTEMS INC. QUAD PREBUILT HOME SERVICES LTD. PERRY CONCRETE CUTTING INC. QUALITY AUTO SERVICE LTD. PERRY'S PLACE INC. QUALITY FURNACE CLEANERS / QUALITY PERSONAL WATER MANAGEMENT INC. FURNACE SERVICE LTD. PESCO CONTROLS LTD. QUALITY MOBILE HOME MOVING LTD. PETER LEON PHOTOGRAPHY INC. QUEST INSTRUMENTATION SPECIALTIES PETRO-KING CONSULTANT LTD. LTD. PETROREP (CANADA) LTD. 2004 FEB 06. QUICK HOME DELIVERY (CANADA), INC. PHELAN RESOURCES LTD. QUIRING VENTURES LTD. PHIL'S SMALL ENGINE REPAIRS LTD. R & A HARPE HOLDINGS LTD. PHOENIX RISING INVESTMENTS INC. R & E MANAGEMENT CONSULTANTS LTD. PIANOS, GUITARS & MORE LTD. R & H JANITORIAL & BUILDING PICTURE BUTTE CURLING CLUB MAINTENANCE LTD. PIKA MINING INC. R & R HOLDINGS LTD PILLAR HOMES (1991) LTD. R & R TRADING CO. LTD. PINELAND HOLDINGS COMPANY LIMITED R J DEVRIES INC. PINK BEAR AIR LTD. R. CALVERT HOLDINGS LTD. PINNACLE POWER CORPORATION R. GARY DICKSON PROFESSIONAL PIRANGA HOLDINGS LTD. CORPORATION PITCH-IN ALBERTA WASTE MANAGEMENT R. J. PEZZACK WELLSITE CONSULTING LTD. SOCIETY R.C.J. ENTERPRISES INC. PITT-MAR & ASSOCIATES INC. R.D. SOUTH INVESTMENTS LTD. PLAN OF ACTION ACCT. INC. R.H. ELECTRIC LTD. PLANE GOLF INC. RACHAR STEEL INDUSTRIES LTD. PLANET CONNECT LIMITED RADEX SYSTEMS TECHNOLOGY LIMITED PLAYA DEVELOPMENTS LTD RAESON INVESTMENTS LTD PLAYBACK VIDEO PRODUCTIONS INC. RAFTER P4 RANCHES LTD. PLAZA 104 PHYSIOTHERAPY LTD. RAGE ENVIRONMENTAL INC. PLC ELECTRIC LTD. RAGNAROK CONSULTING SERVICES LTD POLLAN TRADE, INC. RAINY DAY LOANS LTD. POLLARD CONSTRUCTION (1988) LTD. RAINY HILLS HISTORICAL SOCIETY POLYBYTE CORP. RAMILUM ENTERPRISES LTD. POTELCO, INC. RAMSANKAR & ASSOCIATES CONSULTANTS POTTS LIVESTOCK LTD. INC. POWDERHOUNDS CLOTHING COMPANY INC. RANCO FUNDING CORP. POWER DEVELOPERS CORP. RANGER HOLDINGS LTD. POWER GENERATION (CADEREYTA) INC. RAVE SERVICES LTD. POWERPLAY SPORTS CANADA INC. RAVEN ROCK CONSULTING INC. PRAIRIE COSTUME SOCIETY RAVENSCAR DESIGN LTD. PRAIRIE PACIFIC TELECOM INC. RAWZZY CONSULTING INC. PRAIRIE ROSE NETWORKING LTD. RCS CONSULTANTS LTD. PRAIRIEVIEW CUSTOM HARVESTING INC. REALTY 49 LTD. PRASILDO ENTERPRISES LTD. REBOUND RUBBER CORP. PRESTIGE REAL ESTATE INVESTMENTS INC. RED DEER NATIVE FRIENDSHIP SOCIETY PRESTON CONSTRUCTION LTD. RED DEER NO HIT CHURCH HOCKEY PRIMARY ENVIRONMENTAL (2000) INC. ASSOCIATION PRIMEKOR LANDSCAPING & DESIGN INC. RED HOUSE FOOD PRODUCTS LTD. PRINCIPAL CAPITAL GLOBAL INVESTORS RED RIVER TRANSPORT INC. LIMITED REDDY'S INTERNATIONAL IMMIGRATION PRO-LINE CADD SERVICES LTD. LTD. PRO-WEST CADD CONSULTING INC. REDFERN FARM SERVICES LTD. PROACTIVE COLLECTIONS INC. REGIS RESOURCES LTD. PROCESS GENESIS ENERGY INC. REMAH OILFIELD SERVICES LTD. PROGRESSIVE ELECTRONIC DESIGNS LTD. RENWICK FINANCIAL CORPORATION LTD. PROMOFAST INC. RESERVOIRTEAM CANADA LIMITED

- 908 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

RESULTS UNLIMITED INC. S.R.O. INTEGRITY & PIPELINE CONSULTING REVELATIONS HOLDINGS INC. INC. REX GRAY WELDING & CONTRACTING LTD S.T.A.D. ENTERPRISES (2000) LTD. REXCORP LTD. S.W. MORRIS & ASSOCIATES LTD. REYNOLDS FARMS LTD. SADDLE LAKE INVESTMENTS LTD. RICHARD ROTH CONSULTING INC. SAGE VALLEY SAND & GRAVEL LTD. RICK REINHART WELDING LTD. SAGUARO ENERGY CORP. RICKS NOVA SCOTIA CO. SALAV SOFTWARE INC. RISEL ENTERPRISES LTD. SALZAH HOLDINGS INC. RITADON INC. SAMBOR ENT. LTD. RIVERSIDE MORTGAGE CORPORATION LTD. SAN MARTINHO LTD. RIVERSIDE RESOURCES LTD. SANDLER SALES INSTITUTE (CANADA) LTD. RIVIERA HOLDINGS LTD. SANDY CREEK TRUCKING LTD. RJM COMPUTING LTD. SANKETA SYSTEMS INC. ROB WEBBER TRUCKING LTD. SAPHIRE ESCORT AGENCY LTD. ROB'S (SEDAN) LIMOUSINE LTD. SARAWARE PLASTICS INCORPORATED ROBERGE JEWELLERY MILLWOODS LTD. SARTORE FOODS ITALIAN MARKET & DELI ROBERT ALLEN IMPORT MOTORS LTD LTD. ROBERT'S OILFIELD MAINTENANCE LTD. SATARA SANDS CORPORATION ROBOEF OIL INC. SAVERS NETWORKS INC. ROBREY VENTURES INC. SAWCHUK ENTERPRISES INC. ROCK A BUY ROCK PRODUCTS INC. SCARLET IBIS CORPORATION ROCKIN' R&D INC. SCHATZ AND YATES CONSTRUCTION LTD ROCKING PS ENTERPRISES LTD. SCKENT LTD. ROCKPILE PLUMBING LTD. SCLERODERMA SOCIETY OF CANADA ROCKWOOD INDUSTRIES INC. SCOTT DALSIN & COMPANY LTD. ROCKY CROSS CONSTRUCTION (NORTH) SCOTT POOLE ARCHITECT LIMITED LTD. SDX SOFTWARE CONSULTING INC. ROCKY MOUNTAIN DATA LTD. SEAN INVESTMENTS LTD. RODERICK STEPHEN SELLERS, INC. SEARS ACCEPTANCE COMPANY INC. 2004 RODNEY PIMM INSURANCE BENEFIT INC. FEB 13. ROGG ENTERPRISES LTD. SECOND CHANCE MINERALS LIMITED ROGUKO SERVICES LTD. SECURUS GLOBAL CORP. ROMAN G. SZUMSKI PROFESSIONAL SEISALTA CONTRACTING (1998) LTD. CORPORATION SEKA RESOURCES LTD. ROMBOUGH & ASSOCIATES INC. SELECT ENTERPRISES INC. ROMQUEST INTERNATIONAL INC. SENTRY DOOR SERVICES INC. RON'S CARPENTRY LTD. SEQUEL CORPORATION RONALD IVES DRILLSITE SUPERVISION LTD. SHADOW HOT SHOT SERVICES LTD. ROOFING INSTITUTE OF ALBERTA SHADOW RIDGE RANCH INC. ROUND O RANCH INC. SHAFTESBURY PLAYGROUND SOCIETY ROWAN WELDING LIMITED SHAKEE'S SPORTS LTD. ROWSWELL WELDING SERVICES LTD. SHANES EXTERIORS LTD. ROXBORO STUDIO LTD. SHARING VISIONS/REVERIES INC. ROYAL CLUB RESORTS INC. SHEAR PARADISE DISTINCTIVE HAIR ROYAL OAK VILLA INC. DESIGN INC. ROYALTY EQUITIES ALBERTA LIMITED SHIPRITE LIMITED RP1 GROUP INC. SHISEIDO (CANADA) INC. 2004 FEB 13. RPH FAMILY RESTAURANTS LEASING LTD. SHOP CANADA INC. RUPERT CONSULTING INC. SILTEX COATINGS CANADA LTD. RUTHERFORD MINERALS INC. SILVER BULLET CONTRACTING LTD. RUTHVEN TRANSMISSION & GENERAL SILVER EAGLE LEASING & RENTALS LTD. SERVICES LTD. SILVER TIP ENTERPRISES LTD. S & E SOLTECH LTD. SILVER WILLOW SIMMENTAL FARMS INC. S & G HOSPITALITY INC. SIM CONSULTING INC. S & J FRESH WATER HAULING (HIGH SIMPLER TECHNOLOGY SERVICES LTD. PRAIRIE) LTD. SIMPLY WIRELESS 3G INC. S & M DELIVERIES LTD. SIMTECH TECHNOLOGIES INC. S & R AUTO SALES INC. SITE SAFETY SERVICES INC. S & T LOGGING & SONS LTD. SKIN KOTE CANADA INC. S&K SNACK SHACK LTD. SKY PROPERTIES LTD. S.A. MILNER ENTERPRISES LTD. SKYCORE DEVELOPMENTS INC. S.E. JOHNSON LTD. SKYREACH CONCRETE LIMITED S.M. CAITHNESS & ASSOCIATES LTD. SLATECRAFT INC.

- 909 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

SMALL BUSINESS ACCOUNTING SERVICES SUNTERRA INVESTMENTS CORP. LTD SUPER INTERNATIONAL INC SMALLBRIDGE INVESTMENTS LTD. SURGICAL SPECIALTIES EDUCATIONAL SMARTECH SOLUTIONS INC. GROUP SNOWLINE SOFTWARE INC. SURPLUS INTERNATIONAL LTD. SNYD'S WELDING INC. SURPLUS UNLIMITED INC. SOLID THOUGHT INC. SVB CONSULTING INC. SOLUTIONS CONSULTING LTD. SWEAT LODGE ENTERPRISES INC. SONA INVESTMENT CO LTD SYLVAN RESOURCES LTD. SOONIYAW ENTERPRISES INC. SYLVAN SOUTHLAND GOLF COURSE & SOUDWAVES CD'S AND TAPES INC. RESORT LTD. SOUTH AM TRADING CORP. SYNCOM CONSULTING INC. SOUTH PEACE ENVIRONMENTAL SYSTEM SOLUTIONS PM INC. ASSOCIATION SYSTEMS DIAGNOSTICS LIMITED SOUTHERN OPERATING SERVICES LTD. T & M QUALITY SERVICES LTD. SOUTHERN TUDOR OILFIELD LTD. T & T HOLDINGS CORP. SOVEREIGN MINING AND EXPLORATION T-BIRD INTERIOR SYSTEMS LTD. LTD. T.K. HOT ROD WELDING LTD. SPA HOLIDAY LTD. TAILORED TECHNOLOGY INC. SPAR CLEAN LIMITED TAKTRONICS LTD SPEC LAB INC. TAMARA ENTERPRISES LTD. SPECIAL RISKS INTERNATIONAL ACCIDENT TAMARACK OILFIELD SERVICES LTD. & HEALTH UNDERWRITING MANAGERS LTD. TAPROOT INDUSTRIES INC. SPENCE PROPERTIES LTD. TARGET VISIONS INC. SPILL-SORB CANADA INC. TATE & LYLE NORTH AMERICAN SUGARS SPLATT INC. LTD./LES SUCRES NORD-AMERICAINS TATE SPRING MEADOW HOMES LTD. ET LYLE LTEE. 2004 FEB 13. SPRINGBANK CREEK INVESTMENTS LTD. TATO INC. SPRINGBANK LANDOWNERS ASSOCIATION TAYLOR GRAY PROFESSIONAL SPRUCE GROVE OPTICAL LTD. CORPORATION SPRUCE GROVE RINGETTE ASSOCIATION TAYLOR'S JEWELLERS AND GOLDSMITHS SQUEEZE HEALTH CONCEPTS CORPORATION LTD. SRI-TECH INCORPORATED TCITS - TRANSITIONS CHRONIC SRO SOLUTIONS INC. ILLNESS/TRANSPLANT SOCIETY ST. ALBERT COMMUNITY LAND TRUST TECHNICAL HEAT TREATMENT LTD. SOCIETY TECHNOQUIP LTD. STACCATO'S SOUP STEW & CHILI BAR LTD. TECNICAD, INC. STACEY LENNIE CONSULTING LTD. TED CUMBERLAND CONSULTING LTD. STANDARD OILFIELD SERVICES LTD. TEEBO MARTIAL ARTS LTD. STANDING BUFFALO INC. TEEN-ED OF MEDICINE HAT DISTRICT STANFORD COMPUTING & DESIGN INC. ASSOCIATION STANLEY H. KING PROFESSIONAL TELEPAC PROPERTIES LTD. CORPORATION TELESCOPE GROUP LTD. STARCOM CANADA LTD. TELEX COMMUNICATIONS LTD. STELLAR MANUFACTURING INC. TEMPRA STEAM SERVICE LTD. STETTLER ELKS HOLDINGS SOCIETY NO 92 TERRACON GEOTECHNIQUE LTD. STEVENS INSURANCE GROUP INC. TERRATRONICS COMPUTER CONSULTING STIMAC EQUIPMENT MAINTENANCE LTD. INC. STINSON ENTERPRISES INC. TERRY DE FREITAS PROFESSIONAL STORMWATCH ENTERPRISES INC. CORPORATION STRATUSPHERE HOLDINGS LTD. TERRY J. LIM PROFESSIONAL CORPORATION STUDENTS CHOICE LTD. TERRY LUKACS AUTOMOTIVE SERVICE SUMMER WINTER INTEGRATED FIELD CENTRE LTD. (AIRFIELD) TECHNOLOGIES ASSOCIATION TEXTWORKS DISPLAYS LTD. SUMMIT IT SOLUTIONS INC. THE ALBERTA ASSOCIATION FOR THE SUN ENVIRONMENTAL CORP. ADVANCEMENT OF COLORED PEOPLE SUNALTA SCHOOL PARENTS SOCIETY THE ALBERTA EQUESTRIAN FEDERATION SUNDAR CORPORATION SOCIETY SUNDIAL SYSTEMS INC. THE AUXILIARY TO THE ALLEN GRAY SUNDRE RENTALS LTD. AUXILIARY HOSPITAL ASSOCIATION SUNLINER DEVELOPMENTS LTD. THE BANFF CAKE COMPANY INC. SUNSET AWNINGS & SIGNS LTD. THE BLACK AMERICAN BLUES HISTORICAL SUNSPACE DEVELOPMENTS INC. SOCIETY OF CANADA SUNSTONE RESOURCES LTD.

- 910 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

THE BRICK FURNITURE WAREHOUSE TREASURY MANAGEMENT ASSOCIATION OF (GRANDVIEW) LTD. CANADA - EDMONTON THE BRINDLE GROUP LTD. TREK PARTS CANADA CO. THE CALGARY BOXING CLUB TREN-DEE HOMES LTD. THE CALGARY STEEL FABRICATORS' TRI CONTINENTAL CAPITAL LTD. ASSOCIATION TRI ED'S HOLDINGS LTD. THE CALMIN GROUP LTD. TRI-ENERGY INC. THE CANADIAN CREUTZFELDT - JAKOB TRI-VENTURE HOLDINGS LTD. DISEASE SOCIETY TRIANGLE STORAGE SYSTEMS INC. THE COTTON CONCEPT GROUP LTD. TRIDENT PROJECTS INC. THE DL GROUP INC. TRIO BIRCH FARM LTD THE EDMONTON ICEMEN FOOTBALL CLUB TRIPLE K MANAGEMENT LTD. THE GENUS GROUP INC. TRITON CONTRACTING LTD. THE GREAT WESTERN FOREST PRODUCTS TRIUMPH FINANCIAL SERVICES INC. COMPANY LIMITED TRIWEST CAPITAL PARTNERS INC. THE GROOMER'S WORKSHOP INC. TRU-WAL INTERIORS (2001) LTD. THE HENGEN CORPORATION TRUCKCO INTERNATIONAL INC. THE INVESTMENT EXCHANGE MORTGAGE TRUFAX ENVIRONMENTAL SERVICES LTD. CORPORATION TRY SONS CONSTRUCTION LTD. THE JENSEN HOLDING CORPORATION TSI TOY SYSTEMS INC. THE LAC CARDINAL RECREATION TSI TRADING INC. ASSOCIATION TSS TECHNICAL SERVICE SOLUTIONS INC. THE LIONS CLUB OF MOSSLEIGH ALTA TUNDRA WIRE ROPE & RIGGING INC. THE MADISON COMPANIES LIMITED TURNING POINT GROUP INC. THE MANNING FOUNDATION TWELVE STONES LTD. THE MORTGAGE STORE INC. TWO-WAY SPECIAL COMMODITIES DIVISION THE MOTHER'S STEAK & RIB HOUSE INC. INC. THE NORTHERN ALBERTA CANINE TY-TAY INVESTMENTS LTD. ASSOCIATION UJAGAR GILL & SONS FRUIT GROWERS INC. THE O'DONNELL MERCANTILE GROUP LTD. UNDERCURRENTS SPORTS LTD. THE ODYSSEY HOUSE FOUNDATION UNIVERSAL EDUCATIONAL INSTITUTE THE ORIGINAL ME. CORPORATION UPPER CRUST CATERERS LTD. THE PONOKA FIGURE SKATING CLUB URC HOSPITALITY GROUP INC. THE PRICE WEB INC. USED FOOD EQUIPMENT AND MORE LTD. THE RAVINES INC. V & W INTERNATIONAL INC. THE VITALITY HUT JUICE 'N BLENDEE BAR V. N. D. CONSTRUCTION LTD. INC. VALLEY NOOK FARMS LTD THE WOOD & DUCK COMPANY LTD. VALLEYCREST ENERGY INC. THERMAX INTERNATIONAL CORP. VALLEYROSE ENTERPRISES INC. THOMAS DENTURE CLINIC LTD. VARSITY MANAGEMENT LTD. THREE TIER TECHNOLOGIES CORPORATION VAUXHALL FIGURE SKATING CLUB THUNDERBOLT PROCESS SERVICES LTD. VENTURA ENERGY INC. TIRE TRAX LTD. VENTURE RENTALS LIMITED TMY TRANSPORT LTD. VERSTRAETE HOLDINGS LTD. TNT ENTERPRISES CORPORATION VICTOR CONTRACTING LTD. TNT PRESTIGE FRAMES LTD. VICTORY PACKAGING, INC. TOAN CONTROLS LTD. VIDAR ENERGY INC. TOBIN PROJECTS LTD. VIETNAM-ASIAN INVESTMENT GROUP INC. TOMAR ENTERPRISES LTD. VIJAY INTERNATIONAL INC. TOP DIGS CORP. VIKING CRANE LTD. TOP DRAWER ENTERPRISES INC. VILNA FIGURE SKATING CLUB TOPMOST INTERNATIONAL TECHNOLOGY VIRTUAL HR INC. INC. VIVID MARKETING CONCEPTS LIMITED TORODE REALTY (EDMONTON) LTD. VPI VIRTUAL PERIMETERS INC. TOSCANO INVESTMENTS LTD. VYEFIELD HOLDINGS LTD. TOTAL VALVE SERVICE LTD. W.M. FARES & ASSOCIATES INCORPORATED TOW-LOW TRAILER INDUSTRIES LTD WABASCA SLED DOG ASSOCIATION TRACKER RESEARCH LTD. WABASCA/DESMARAIS MINOR HOCKEY TRADES AUTOMOTIVE AND WELDING (1994) ASSOCIATION LTD. WADDINGHAM & COMPANY LTD. TRADITIONAL CONSULTING INC. WALCO CONSTRUCTION LTD. TRAFX RESEARCH LTD. WALKING EAGLE INVESTMENTS LTD. TRAIL SEEKERS SNOWMOBILE CLUB STONY WALKING STICK CATTLE COMPANY INC. PLAIN/SPRUCE GROVE & DISTRICT WALLS ALIVE INC.

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WANDSWORTH HOLDINGS INC. WILLIAM G. DOHERTY SPORTS WAREHOUSE ONE LTD. MANAGEMENT INC. WASSEL BORDS CORPORATION WILLIAM HIRTLE PROFESSIONAL WATER FOR WELLNESS INC CORPORATION WATTS UP DOCUMENT SYSTEMS, INC. WILLIE NILLIE BUILDERS LTD. WAVETECH SOUND & LIGHTING (2002) LTD. WILLOW BAY CONSTRUCTION (ALBERTA) WAYCARO CONSULTING SERVICES LTD. LTD. WE SELL 4 YOU CORP. WILLOW BURN ENTERPRISES LTD WEB RESULTS CREATIONS INC. WILSACK & ASSOCIATES INC. WEBGRAPHX MEDIA DESIGN HOUSE WINDCHILL HOLDINGS LTD. INTERNATIONAL LTD. WINDWEST LIMITED WEEPING BIRCH RESOURCES LTD. WINGCO ART PRODUCTIONS INC. WELL SITE SECURITY LTD. WINTA CORPORATION WESAYSO TRUCKING INC. WINTECH CONSULTING LTD. WESCRETE FINISHING LTD. WIRE ROPE INDUSTRIES DISTRIBUTION LTD. WESTCAP FINANCIAL SERVICES INC. 2004 FEB 06. WESTCORP INTERNATIONAL LTD. WISDOM INC. WESTERN BUILDING MAINTENANCE LTD. WISEGUYS COMPUTER SERVICES LTD. WESTERN FARM MARKETING LTD. WIZARD WATER SKI CLUB WESTERN ORANGE DISTRIBUTING LTD. WKS CONSULTING LTD. WESTGLEN TRANSPORTATION CO. LTD. WOLF CONTRACTOR SAND & GRAVEL LTD. WESTLOAD TRANSPORT LTD. WOLFWIND VENTURES INC. WESTMED SERVICES LTD. WOODVILLE INVESTMENTS LTD. WESTWAY LUMBER LTD. WORD N SYSTEMS INC. WESTWINDS CAPITAL CORP. WORK BUSTERS LTD. WET DREAM WATERSCOOTERS INC. WORKERS FOR FREEDOM INCORPOREE WETASKIWIN ACQUIRED BRAIN INJURY WORLD HOPE INTERNATIONAL SOCIETY WORLD MISSIONS FELLOWSHIP WETASKIWIN ALLIED ART AND CRAFT WRIGHT & ASSOCIATES LTD. CENTRE WUR BAK TRUCKING LIMITED WFG SECURITIES OF CANADA INC. WFG X. D. HANGAR LTD. VALEURS MOBILIERES DU CANADA INC. XEMEX CONTRACTING INC. WHISPERS INC. XITO FINANCIAL INC. WHITE OWL SLASHING LTD. YAMATO JAPANESE RESTAURANT LTD. WHITE STAR VENTURES INC. YANCO ENTERPRISES LTD. WHITEFISH LAKE FIRST NATION LOGGING YCOMM INC. LTD. YELLOWBIRD PROPERTIES INC. WHITEFISH LAKE HOLDING LTD. YELLOWHEAD SERVICE CENTRE INC. WILCO ROOFING & SIDING LTD. YELLOWHEAD SIGNS & SPECIALTIES LTD. WILD ROSE MOTOCROSS ASSOCIATION YORKVILLE INSURANCE SERVICES LTD. WILDCAT HILLS RANCHE INC. YOUNGSON CONSTRUCTION SERVICES LTD. WILDEMAN DISTRIBUTORS LTD. YOUR WAY CONSULTING LTD. WILF'S INSPECTION SERVICE LTD. ZEDBIZ LTD. WILLIAM ABELLS (1990) LTD. ZEENA'S DESIGN SERVICES LTD. WILLIAM ALEXANDER VAUGHAN ZENITH TRANSPORT LTD PROFESSIONAL CORPORATION. ZERR TRUCKING LTD. WILLIAM F. LEDE FAMILY FOUNDATION ZKO CONSULTING INC

Corporations Dissolved/Struck Off/Registration Cancelled

(On the dates shown pursuant to: Business Corporations Act, Cemetery Companies Act, Co-operative Associations Act, Credit Union Act, Loan and Trust Corporations Act, Religious Societies’ Land Act, Rural Utilities Act, Societies Act, Partnership Act)

2004 FEB 02. Unless otherwise indicated 2004 FEB 02. Unless otherwise indicated 105647 ALBERTA LTD. 2004 FEB 05. 1075NEWS CORPORATION 2004 FEB 10. 1065477 ALBERTA LTD. 2004 FEB 11. 1088646 ALBERTA LTD. 2004 FEB 14. 1070913 ALBERTA LTD. 2004 FEB 13. 1090389 ALBERTA LTD. 2004 FEB 13.

- 912 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

1090623 ALBERTA LTD. 2004 FEB 11. 538097 ALBERTA LTD. 115227 ALBERTA LTD. 2004 FEB 10. 538600 ALBERTA LIMITED 11TH STREET TECHNOLOGIES INC. 539456 ALBERTA LTD. 122741 HOLDINGS LTD. 539599 ALBERTA LTD. 123661 RESOURCES LTD. 539689 ALBERTA LTD. 17507 ALBERTA LTD. 540097 B.C. LTD. 216291 ALBERTA LTD. 546110 ONTARIO INC. 226468 ALBERTA LTD. 569263 ALBERTA LTD. 2004 FEB 09. 227588 ALBERTA LTD. 575209 ALBERTA LTD. 2551 (ARMY CADET CORPS) ASSOCIATION 575539 ALBERTA LTD. 289162 ALBERTA LTD. 576378 ALBERTA LTD. 292446 ONTARIO LIMITED 576608 ALBERTA LTD. 299316 ALBERTA LIMITED 576773 ALBERTA LTD. 299934 ALBERTA LTD. 576985 ALBERTA INC. 3 - DIMENSIONAL SECURITY SERVICES 577021 ALBERTA INC. INCORPORATED 577482 ALBERTA LTD. 315365 ALBERTA LTD. 578367 ALBERTA LIMITED 315800 ALBERTA LTD. 578463 ALBERTA LTD. 317613 ALBERTA LTD. 580124 ALBERTA LTD. 2004 FEB 04. 317632 ALBERTA LTD. 580298 ALBERTA LTD. 2004 FEB 13. 332998 ALBERTA INC. 2004 FEB 05. 58980 ALBERTA LTD. 333261 ALBERTA LTD. 596565 B. C. LTD. 334108 ALBERTA LTD. 6097570 CANADA INC. 334308 ALBERTA LTD. 614104 B.C. LTD. 3477401 CANADA INC. 620011 ALBERTA LTD. 3488903 ALBERTA LTD. 620213 ALBERTA LIMITED 362575 ALBERTA LTD. 620233 ALBERTA LTD. 3696669 CANADA INC. 620606 ALBERTA LTD. 370581 ALBERTA LTD. 620691 ALBERTA LTD. 370988 ALBERTA LTD. 620717 ALBERTA INC. 383031 B.C. LTD. 621144 ALBERTA INC. 388412 ALBERTA INC. 621149 ALBERTA LTD. 388426 ALBERTA LTD. 621308 ALBERTA LTD. 388547 ALBERTA LTD. 621496 ALBERTA LTD. 388687 ALBERTA LTD. 621746 ALBERTA LTD. 406349 ALBERTA LTD. 622159 ALBERTA LTD. 406567 ALBERTA LTD. 622735 ALBERTA LIMITED 406684 ALBERTA LTD. 622757 ALBERTA LTD. 406926 ALBERTA INC. 622982 ALBERTA LTD. 407008 ALBERTA LTD. 623224 ALBERTA LTD. 407150 ALBERTA LTD. 623231 ALBERTA LTD. 407434 ALBERTA LTD. 644250 ALBERTA LTD. 2004 FEB 11. 407579 ALBERTA LTD. 663265 ALBERTA LTD. 457217 B.C. LTD. 663520 ALBERTA LTD. 464163 ALBERTA INC. 663713 ALBERTA LTD. 464354 ALBERTA INC. 663767 ALBERTA LTD. 464405 ALBERTA LTD. 663842 ALBERTA LTD. 464710 ALBERTA LTD. 664121 ALBERTA LTD. 465298 ALBERTA LTD. 664210 ALBERTA LIMITED 465523 ALBERTA LIMITED 664855 ALBERTA LTD. 467016 ALBERTA INC. 665186 ALBERTA LTD. 5-STAR DRILLING LTD. 665208 ALBERTA LTD. 500375 ALBERTA LTD. 665588 ALBERTA LTD. 501254 ALBERTA LTD. 2004 FEB 04. 665701 ALBERTA LTD. 502273 ALBERTA LTD. 666072 ALBERTA LTD. 502388 ALBERTA LTD. 666090 ALBERTA LTD. 502618 B.C. LTD. 682659 ALBERTA LTD. 2004 FEB 09. 502652 ALBERTA LTD. 68533 ALBERTA LTD. 511712 B.C. INC. 704845 ALBERTA LTD. 519989 ALBERTA LTD. 2004 FEB 03. 705027 ALBERTA LTD. 536756 ALBERTA LTD. 705044 ALBERTA LTD. 537865 ALBERTA LTD. 705152 ALBERTA LTD. 538092 ALBERTA LTD. 705158 ALBERTA LTD. 538093 ALBERTA LTD. 705360 ALBERTA LIMITED

- 913 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

705365 ALBERTA LTD. 795867 ALBERTA LTD. 705373 ALBERTA LTD. 796046 ALBERTA LTD. 705420 ALBERTA LTD. 796418 ALBERTA LTD. 705582 ALBERTA LTD. 796420 ALBERTA LTD. 705589 ALBERTA LTD. 796617 ALBERTA LTD 705695 ALBERTA LTD. 796712 ALBERTA LTD. 705767 ALBERTA LTD. 796758 ALBERTA LTD. 706036 ALBERTA LTD. 796938 ALBERTA LTD. 706096 ALBERTA LTD. 797163 ALBERTA LTD. 706130 ALBERTA LTD. 797197 ALBERTA LTD. 706259 ALBERTA LTD. 797239 ALBERTA LTD. 706260 ALBERTA INC. 797274 ALBERTA LTD. 706351 ALBERTA LTD. 797535 ALBERTA LTD. 706400 ALBERTA LTD. 797652 ALBERTA LTD. 706535 ALBERTA LTD. 797836 ALBERTA LTD. 706891 ALBERTA LTD. 797876 ALBERTA LTD. 707658 ALBERTA LTD. 797900 ALBERTA LTD. 707683 ALBERTA LTD. 798009 ALBERTA INC. 707747 ALBERTA LTD. 807288 ALBERTA LTD. 2004 FEB 05. 707753 ALBERTA LTD. 80799 CANADA LTD./LTEE 707826 ALBERTA LTD. 823947 ALBERTA LTD. 2004 FEB 04. 708021 ALBERTA LTD. 827198 ALBERTA INC. 2004 FEB 05. 74712 ALBERTA LTD. 840722 ALBERTA LTD. 749537 ALBERTA LTD. 840952 ALBERTA LTD. 749744 ALBERTA LTD. 840982 ALBERTA INC. 749923 ALBERTA LTD. 841031 ALBERTA LTD. 749924 ALBERTA LTD. 841167 ALBERTA LTD. 749975 ALBERTA INC. 841307 ALBERTA LTD. 750062 ALBERTA LTD. 841410 ALBERTA LTD. 750274 ALBERTA LTD. 841421 ALBERTA LTD. 750299 ALBERTA LTD. 841448 ALBERTA LTD. 750430 ALBERTA INC. 841456 ALBERTA LTD. 750498 ALBERTA LTD. 841490 ALBERTA INC. 750623 ALBERTA LTD. 841526 ALBERTA LTD. 750627 ALBERTA LTD. 841768 ALBERTA LIMITED 750631 ALBERTA LTD. 841816 ALBERTA LTD 750779 ALBERTA LTD. 842011 ALBERTA LIMITED 750876 ALBERTA LTD. 842072 ALBERTA LTD. 750879 ALBERTA LTD. 842089 ALBERTA LTD. 750906 ALBERTA LTD. 842275 ALBERTA LTD. 751006 ALBERTA LTD. 842309 ALBERTA LTD. 751027 ALBERTA LTD. 842315 ALBERTA INC. 751546 ALBERTA LTD. 842425 ALBERTA LTD. 751968 ALBERTA INC. 842433 ALBERTA LTD. 752020 ALBERTA LTD. 842515 ALBERTA LTD. 752073 ALBERTA LTD. 842608 ALBERTA LTD. 752135 ALBERTA LTD. 842668 ALBERTA LTD. 752140 ALBERTA LTD. 843030 ALBERTA LTD. 752144 ALBERTA LTD. 843056 ALBERTA LTD. 752235 ALBERTA LTD. 843288 ALBERTA LTD. 752557 ALBERTA LTD. 843309 ALBERTA LTD. 752561 ALBERTA INC. 843364 ALBERTA INC. 752581 ALBERTA LTD. 843425 ALBERTA LTD. 752589 ALBERTA LTD. 843468 ALBERTA LTD. 752619 ALBERTA LTD. 843698 ALBERTA LTD. 752776 ALBERTA LTD. 843742 ALBERTA LTD. 756173 ALBERTA LTD. 2004 FEB 09. 843756 ALBERTA LTD. 756282 ALBERTA LTD. 2004 FEB 11. 843772 ALBERTA LTD 795328 ALBERTA LTD. 843811 ALBERTA LTD. 795364 ALBERTA LTD. 843893 ALBERTA LTD. 795401 ALBERTA LTD. 844065 ALBERTA LTD. 795510 ALBERTA LTD. 844133 ALBERTA LTD. 795541 ALBERTA LTD. 867791 ALBERTA LTD. 2004 FEB 03. 795584 ALBERTA INC. 889786 ALBERTA LTD.

- 914 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

891162 ALBERTA LTD. 945990 ALBERTA LTD. 891475 ALBERTA INC. 946086 ALBERTA INC. 891562 ALBERTA LTD. 946087 ALBERTA INC. 891655 ALBERTA LTD 946219 ALBERTA LTD. 891709 ALBERTA LTD. 946228 ALBERTA INC. 891725 ALBERTA LTD. 946233 ALBERTA LTD. 891747 ALBERTA INC. 946240 ALBERTA LTD. 891780 ALBERTA INC. 946242 ALBERTA LTD. 891895 ALBERTA LTD. 946301 ALBERTA LTD. 892146 ALBERTA LTD. 946304 ALBERTA LTD. 892189 ALBERTA INC. 946346 ALBERTA LTD. 892646 ALBERTA LTD. 946352 ALBERTA LTD. 892691 ALBERTA LTD. 946393 ALBERTA INC. 892730 ALBERTA LTD. 946427 ALBERTA LTD. 892983 ALBERTA LTD. 946434 ALBERTA LTD. 893007 ALBERTA LTD. 946446 ALBERTA LTD. 893075 ALBERTA LTD. 946454 ALBERTA INC. 893260 ALBERTA LTD. 946458 ALBERTA LTD. 893280 ALBERTA LTD. 946461 ALBERTA INC. 893413 ALBERTA LTD. 946463 ALBERTA INC. 893430 ALBERTA INC. 946481 ALBERTA LTD. 893570 ALBERTA LTD. 946488 ALBERTA LTD. 893807 ALBERTA LTD. 946522 ALBERTA LTD. 894008 ALBERTA LTD. 946556 ALBERTA INC. 894062 ALBERTA LTD. 946572 ALBERTA LTD. 894103 ALBERTA LTD. 946575 ALBERTA LTD. 894157 ALBERTA LTD. 946603 ALBERTA LTD. 894367 ALBERTA LTD. 946615 ALBERTA LTD. 894482 ALBERTA INC. 946623 ALBERTA LTD. 894528 ALBERTA LTD. 946649 ALBERTA LTD. 894574 ALBERTA LTD. 946651 ALBERTA LTD. 894597 ALBERTA LTD. 946672 ALBERTA LTD. 894637 ALBERTA LTD. 946714 ALBERTA LTD. 894670 ALBERTA LTD. 946754 ALBERTA LTD. 894781 ALBERTA LTD. 946766 ALBERTA LTD. 894958 ALBERTA LTD. 946774 ALBERTA LTD. 895005 ALBERTA LTD. 946877 ALBERTA INC. 895094 ALBERTA INC. 946879 ALBERTA LTD. 895352 ALBERTA LTD. 946922 ALBERTA LTD. 905117 ALBERTA LTD. 2004 FEB 06. 946946 ALBERTA LTD. 911RENTAL INC. 946955 ALBERTA LTD 923150 ALBERTA LTD. 2004 FEB 12. 947004 ALBERTA LTD. 93446 ALBERTA LTD. 947007 ALBERTA LTD. 939482 ALBERTA LTD. 2004 FEB 03. 947018 ALBERTA LTD. 943600 ALBERTA LTD. 947027 ALBERTA LTD. 944092 ALBERTA LTD. 947059 ALBERTA LTD. 944203 ALBERTA LTD. 947070 ALBERTA LTD. 944659 ALBERTA LTD. 947088 ALBERTA LTD. 945552 ALBERTA LTD. 947117 ALBERTA LTD. 945767 ALBERTA LTD. 947130 ALBERTA LTD. 945792 ALBERTA LTD. 947183 ALBERTA LTD. 945793 ALBERTA LTD. 947192 ALBERTA INC. 945854 ALBERTA LTD. 947208 ALBERTA LTD. 945888 ALBERTA LTD. 947242 ALBERTA LTD. 945893 ALBERTA INC. 947255 ALBERTA LTD. 945913 ALBERTA LTD. 947307 ALBERTA LTD. 945919 ALBERTA LTD 947362 ALBERTA LTD. 945921 ALBERTA INC. 947389 ALBERTA LTD. 945940 ALBERTA LTD. 947401 ALBERTA LTD. 945965 ALBERTA LTD. 947433 ALBERTA LTD. 945967 ALBERTA LTD. 947447 ALBERTA LTD. 945974 ALBERTA LIMITED 947459 ALBERTA LTD. 945979 ALBERTA LTD. 947471 ALBERTA LTD. 945981 ALBERTA LTD. 947496 ALBERTA LTD.

- 915 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

947521 ALBERTA LTD 949023 ALBERTA LTD. 947548 ALBERTA LTD. 949036 ALBERTA LTD. 947565 ALBERTA LTD. 949064 ALBERTA INC. 947583 ALBERTA LTD. 949070 ALBERTA LTD. 947623 ALBERTA LTD. 949073 ALBERTA LTD 947696 ALBERTA LTD. 949077 ALBERTA LTD. 947697 ALBERTA LTD. 949083 ALBERTA INC. 947718 ALBERTA LTD. 949084 ALBERTA LTD. 947728 ALBERTA INC. 949087 ALBERTA LTD. 947745 ALBERTA LTD. 949109 ALBERTA LTD. 947772 ALBERTA LTD. 949136 ALBERTA LTD. 947811 ALBERTA LTD. 949207 ALBERTA LTD. 947827 ALBERTA LTD. 949218 ALBERTA INC. 947828 ALBERTA LTD. 949220 ALBERTA LTD. 947892 ALBERTA LTD. 949248 ALBERTA LTD. 947965 ALBERTA LTD. 949256 ALBERTA LTD. 947985 ALBERTA INCORPORATED 949261 ALBERTA LTD 947999 ALBERTA LTD. 949265 ALBERTA LTD. 948016 ALBERTA LTD. 949272 ALBERTA LTD. 948023 ALBERTA LTD. 949274 ALBERTA CORP. 948037 ALBERTA LTD. 949277 ALBERTA LTD. 948040 ALBERTA LTD. 949318 ALBERTA LTD. 948080 ALBERTA INC. 949322 ALBERTA LTD. 948098 ALBERTA LTD. 949373 ALBERTA LTD. 948109 ALBERTA LTD. 949388 ALBERTA LTD. 948141 ALBERTA LTD. 949390 ALBERTA LTD. 948145 ALBERTA LTD. 949409 ALBERTA INC. 948194 ALBERTA LTD. 949420 ALBERTA LTD. 948195 ALBERTA LIMITED 949426 ALBERTA LTD. 948200 ALBERTA LTD. 949440 ALBERTA LTD. 948230 ALBERTA LTD. 949476 ALBERTA LTD. 948233 ALBERTA LTD. 949494 ALBERTA INC. 948234 ALBERTA LTD. 949505 ALBERTA INC. 948292 ALBERTA INC. 949521 ALBERTA INC. 948306 ALBERTA LTD. 949532 ALBERTA LTD. 948318 ALBERTA LTD. 949539 ALBERTA INC. 948326 ALBERTA INC. 949571 ALBERTA LTD. 948362 ALBERTA LTD. 949583 ALBERTA LTD. 948375 ALBERTA INC. 949588 ALBERTA LTD. 948377 ALBERTA INC. 949596 ALBERTA INC. 948383 ALBERTA INC. 949638 ALBERTA LTD. 948402 ALBERTA LTD. 949654 ALBERTA LTD. 948404 ALBERTA LTD. 949686 ALBERTA LTD. 948474 ALBERTA INC. 949700 ALBERTA LTD. 948480 ALBERTA LTD. 949710 ALBERTA LTD. 948486 ALBERTA LTD 949790 ALBERTA LTD. 948530 ALBERTA INC. 949859 ALBERTA LTD. 948531 ALBERTA INC. 949906 ALBERTA LTD. 948552 ALBERTA LTD. 949963 ALBERTA LTD. 948569 ALBERTA LTD. 969499 ALBERTA LTD. 2004 FEB 12. 948610 ALBERTA LTD. 982984 ALBERTA LTD. 2004 FEB 04. 948648 ALBERTA LTD. 985250 ALBERTA LTD. 2004 FEB 09. 948659 ALBERTA LTD. 989268 ALBERTA LTD. 2004 FEB 10. 948700 ALBERTA LTD. A & D EXTERIOR CLEANING AND HAULING 948702 ALBERTA LTD. LIMITED 948712 ALBERTA LTD. A & V INC. 948771 ALBERTA INC. A-ALTA WHOLESALE CONFECTIONARY LTD. 948810 ALBERTA LTD. 2004 FEB 13. 948839 ALBERTA LTD. A. JACURA TRUCKING LTD. 948871 ALBERTA LTD. A.R.M. GLOBAL ENERGY INC. 948918 ALBERTA LTD. AAA CONSULTING INTERNATIONAL INC. 948937 ALBERTA LTD. ABALONE HOLDINGS (1997) LTD. 948955 ALBERTA LTD. ABC CHINESE LEARNING LTD. 948990 ALBERTA LTD. ABERFOYLE SPRINGS LTD.

- 916 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

ABILITY SOCIETY OF ALBERTA ASSISTIVE AMADALA FLOWERS INC. TECHNOLOGY FOR PERSONS WITH AMAR TRANSPORTATION LTD. DISABILITIES AMBERJAZ OILFIELD SERVICES LTD. ABORIGINAL OIL & GAS PIPELINE WORKERS AMBIONCE INC. ASSOCIATION AMERICAN MOTORSPORTS CENTER INC. ACADEMY FINANCIAL PLANNERS & AMERIND INDUSTRIES INC. CONSULTANTS INC. AMSON INDUSTRIES (1994) LTD. ACADEMY INVESTIGATIONS LTD. AMULET INTERNATIONAL CORPORATION ACADIA CONSTRUCTION INC. ANATOMY PRODUCTIONS INC. ACCESS TECHNOLOGIES LTD. ANDERS TECHNO CONSULTING INC. ACUMEN CAPITAL FINANCE PARTNERS ANDERSON HYDRO SERVICES LTD. (USA) LIMITED ANDREWS RESOURCE INVESTMENTS LTD. ADG AUTO INC. ANFAL SALES AND INVESTMENTS LTD. ADIBIAL MANAGEMENT INC. ANNUNCIATION HOCKEY CLUB ADS TO GO INC. ANTONELLA C. TRACHE PROFESSIONAL ADVANCED & NATURAL GLENMORE CORPORATION DENTURE CLINIC LTD. ANTUNES PAINTING & DECORATING LTD. ADVANCED COMPRESSOR & ENGINE CORP. AQUA STEEL SYSTEMS INC. ADVANCED LIMOUSINE SERVICES LTD. AQUAPRO SERVICES INC. AFFORDABLE HOME INSULATORS INC. ARCHIE'S OILFIELD CONTRACTING LTD. AFFORDABLE STUCCO LTD. AREA "E" OILSPILL ASSOCIATION AGGREGATE PRODUCTS INC. ARMITT'S HOLDINGS LIMITED 2004 FEB 10. AGGREGATE SUPPLY LIMITED ART CONTRACTING LTD. AGLAW HOLDINGS LTD. 2004 FEB 04. ART'S MUFFLER LTD. AGRIPOWER EQUIPMENT LTD. ARTEIF PROPERTIES INC. AHMAD'S A&A LANDSCAPING LTD. ARTISTIC HAIR & NAILS SALON INC. AIRBRIDGE SOLUTIONS INC. ATK TECHNOLOGIES INC. AIRMAX HEATING AND COOLING LTD. ATLAS-RAND MARKETING CONSULTANTS AKAL SECURITY INC. INCORPORATED 2004 FEB 01. AKTOR RESOURCES (1997) INC. ATOMIC SYSTEMS LTD. ALBERTA ASSOCIATION OF LANDSCAPE ATTRON CLEANING SERVICES LTD. ARCHITECTS AUBYN ENERGY CORP. ALBERTA ASSOCIATION OF RESPIRATORY AUSNORAM HOLDINGS LIMITED THERAPY MANAGERS AUSTIN RACEWAYS INC. ALBERTA BISON COMPANY LTD. AUTO SELECT INC. ALBERTA BOARD COMPANY LTD. 2004 FEB AUTOBYTEL.CA INC. 04. AUTOMATIC INCORPORATED ALBERTA CHROME & GRINDING (2001) LTD. AVALON WORKS CORP. ALBERTA DRUG HARM REDUCTION AXIS ELECTRONICS & HI-TECH INC. SOCIETY B & H METAL FINISHING LTD. ALBERTA EYECARE B & L WOLFE FARMS LTD. ALBERTA FOOD BROKERS ASSOCIATION B & R FRAMING LTD. ALBERTA PROMOTIONAL PRODUCTS LTD. B.A. BAKER ELECTRIC LTD. ALBERTA PROPANE VEHICLE B.C.K. CONTRACTING SERVICES LTD ADMINISTRATION ORGANIZATION LIMITED B.D.A. HOLDINGS LTD. 2004 FEB 10. B.F.R. GEOPHYSICAL CONSULTANTS, LTD. ALBERTA RECYCLING VENTURES INC. BABIN CONSTRUCTION INC. 2004 FEB 12. ALBERTA SELECT FINE FOODS LTD. BABIUK CORPORATION ALBERTAWIDE ROOFING AND BABY O'S INC. CONTRACTING LTD. BAILEY DEVELOPMENTS LTD ALGA INTERNATIONAL INC. BAKER STREET HOSPITALITY CORPORATION ALH DISTRIBUTORS LTD. BALLSOUT INC. ALHEIT RESOURCES LTD. BANANA BELT HORSE CLUB ALL ABOUT ME INC. BAR-X ENERGY INC. ALL ALASKA THRU VAN, INC. BARBARA BELCH & ASSOCIATES ALLIANCE TECHNOLOGIES INC. INVESTMENT MANAGEMENT LTD. ALLIED INTERIORS AND DESIGN MFG. LTD. BARLEE CONTRACTING LTD. ALLNET SECOM INC. BASELINE HEALTH & SAFETY PROGRAM ALLSTAR HOME INSPECTIONS LTD. MANAGEMENT LTD. ALTA. QC INC. BASK TRANSPORT LTD. ALTAVISTA CLEAR, INC. BDA FABRICATING LTD. 2004 FEB 06. ALTEX DESIGN LTD. BDL BUILDING SERVICES LTD. ALTO VISTA HOMEOWNERS ASSOCIATION BEAR AG SERVICES INC. ALTRA TRADING CORP. BEARCAT INSPECTION INC.

- 917 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

BEAVER DAM CREEK FARRIER INC. C. EDWARD FROST PROFESSIONAL BEAVER DAM PETROLEUMS LTD. 2004 FEB CORPORATION 2004 FEB 13. 03. C.A.K. PLANNING GROUP LIMITED 2004 FEB BECA PROPERTIES LTD. 2004 FEB 06. 10. BEEN TOO LONG TRUCKING LTD. C.H.O.P. HOLDINGS INC. BELLABRUTO INC. C.I.T.A. LTD. BELLVIEW TELECOM INC. C.L.P. HOMES LTD. BELVEDERE INVESTMENTS LIMITED C.M. GILLIS TRUCKING LTD. BEN MORRIS TRUCKING LTD. C.M. MORTGAGE PROFESSIONAL LIMITED BENSON PROPERTIES INC. C.P.K. (CALGARY PIZZA KITCHENS) LTD. BEPA CONSULTING INC. C.W.M. BUILDING PRODUCTS LTD. BERKANA INC. CADESIGN CONSULTING LTD. BETECH INDUSTRIAL SERVICES LTD. CAL'S HOLDINGS LTD. BETTER EARTH PRODUCTS LTD. CAL-CAN INTERNATIONAL LTD. BFR & ASSOCIATES INC. CALAHOO FAMILY YOUTH CLUB BIG COULEE RANCH CO. LTD. CALDWELL AVIATION INTERNATIONAL INC. BIG D HOLDINGS (1995) LTD. CALGAREX LANDSCAPING INC. BIG FOUR HOLDINGS INC. 2004 FEB 03. CALGARY CHINESE EVANGELICAL BIG JIM TRUCKING LTD. MINISTERIAL ASSOCIATION BIG RIVER STAMPEDE ASSOCIATION CALGARY HOME INSPECTIONS INC. BIGHORN ABORIGINAL HISTORICAL CALGARY HUNG FUNG ATHLETIC CLUB SOCIETY CALGARY INTERNATIONAL TRACK CLUB BISWANGER CONSULTING GROUP INC. CALGARY RUNDLE SCHOOL PARENTS BLACK GOLD WRESTLING CLUB ASSOCIATION BLACK JACK TRUCKING INC. CALGARY TRACTOR TRAILER LTD. BLACKGOLD PAVING LTD. CALGARY UNDERWATER RESCUE & BLACKHAWK PAPERS (CALGARY) INC. RECOVERY ASSOCIATION BLAYCO HOLDINGS INC. CALGARY VOLLEYBALL CLUB BLUE LINE CARRIERS LTD. CALIDAD CONSULTING LTD. BLUE PACIFIC INTERNATIONAL LTD. CALIFORNIA TOPS INC. BLUE SAGE ENTERPRISES (EDSON) LTD. CALISTA'S CAREER & BRIDAL WEAR INC BLUE TRAIL FLOWERS & GIFTS LTD CALLS "R" US LTD. 2004 FEB 06. BLUENOSE HOLDINGS LTD CALNEL MARKETING AND SALES INC. BMG HEALTH & SAFETY CONSULTING CAMEO WAY LTD. SERVICES INC. CAMPBELLTOWN BILLIARDS SHOWROOM BMS AUTOMATION SYSTEMS LTD. INC. BOBEN HOLDINGS INC. CAN "DU" RENOVATIONS LTD. BONNYVILLE TRI-TOWN AND DISTRICT CAN-ALTA PACIFIC LIAISON INC. FOSTER PARENT ASSOCIATION CAN-GLOBAL IMMIGRATION MARKETING BOREAL INFORMATION TECHNOLOGY INC. AGENT LTD. BOW FOODS LTD. 2004 FEB 06. CANADA - DOM INC. BOXCAR VENTURES INC. CANADA CARTAGE SYSTEM LIMITED BRANDSMA HOLDINGS LTD. 2004 FEB 06. CANADA FOODEX LTD. BREEZE CAPITAL CORP. CANADIAN ACCESS CORPORATION BRENDAN MANAGEMENT & CONSULTING CANADIAN AUTO-GRAPHIX INC. LTD. CANADIAN CHRISTIAN INLINE LIMITED BRIAN DUNN ENT. LTD. CANADIAN PROFESSIONAL BULLRIDERS CO- BRIAN TELZEROW LTD. OPERATIVE LTD. 2004 FEB 11. BRIAN'S UPHOLSTERY LTD. CANADIAN PROPERTY ASSURANCE BRILLTECH LTD. CORPORATION BRO-KASS WELDING & PIPELINE SERVICES CANADIAN SEPARATION TECHNOLOGY INC. LTD CANADIAN SLOVAK NATIONAL CONGRESS BROOKLAND FARMS INC. OF CANADA BROUGHAM GEOQUEST LTD. CANADIAN SPRINGS WATER COMPANY AB BRU-DON HOLDINGS LTD. LIMITED BTS DEVELOPMENTS LTD. CANADIAN TAIWANESE OVERSEAS BUCAR MOTORS LTD ASSOCIATION BUCK & UP DEALS INC. CANADIAN WATER TESTING & CONSULTING BUFFALO MANUFACTURING CHINA INC. LTD. BYERLY CONSTRUCTION LTD. CANORA BUSINESS SOLUTIONS LTD. 2004 BYTEC DATA INC. 2004 FEB 05. FEB 13. C & C ENTERPRISES (CANADA) LTD. CANTEMUS CANADA INC. C P & S HOLDINGS INC. CANUCKZONE.COM INC. CAPITAL DEVELOPMENTS CORP.

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CARIGNAN BAKER CORPORATION COOLPLAYS CORPORATION CARING ANIMAL RELOCATION EFFORTS COPY CORNER INC (CARE) SOCIETY OF ALBERTA CORKER'S BISTRO LTD. CARPE DIEM PRODUCTIONS INC. CORP AIR INC. 2004 FEB 06. CARRIE THORNBOROUGH PROFESSIONAL CORPORATE MARKETING SERVICE INC. CORPORATION CORPORATE TRAVEL SOLUTIONS INC. CASA HOLDINGS LTD CORRIDOR TRANSPORTATION SYSTEMS CASEY CONSULTANTS LTD. LTD. CATHAY ENERGY INC. COSY GROUP INC. CATLIN CONSTRUCTION LTD. COTTON CAPERS MANUFACTURING LTD. CATTLE BOYS LTD. COUNTY OF BARRHEAD FIREFIGHTERS CBEXEC INC. ASSOCIATION CCTV PRO. LTD. COURTNEY RESOURCES INC. CDF INC. CR EXTERIOR LTD. CELESTIAL DESTINY'S INC. CRAIG'S HOTSHOT LTD. 2004 FEB 01. CENTARIA OIL & GAS LTD. CREDIT BUREAU OF VERNON LTD. CHACH INCORPORATED CREE BURN LAKE ENVIRONMENTAL CHALLENGER DEMOLITION INC. PRESERVATION SOCIETY CHAMPAGNE WELDING LIMITED CRESCENTVIEW ARTISTS' ASSOCIATION CHAOS SPECIAL EFFECTS & CONSTRUCTION CRIBWORKS CORPORATION INC. CRISP MANAGEMENT LTD. 2004 FEB 11. CHASEL LTD. CROFTER'S CRAFT & FABRIC LTD. CHAUFFEURPLAN INSURANCE SERVICES CROSDALE AGENCY LTD. LTD. CSE RESTORATIONS LTD. CHINA TELEHEALTH CORP. CVS ENGINEERING SERVICES LTD CHINESE HOUSE RESTAURANT LTD. CYBERWIZE MARKETING CANADA INC. CHINOIS CUISINE LTD. CYGNET PUBLISHING GROUP INC. CHOICES CAFES INTERNATIONAL INC. CZAPP'S CONSULTING LTD. CHRISDALE ENTERPRISES ALBERTA LTD. CZAR THEATRE GUILD CHRISKELL INVESTMENTS LTD D ZINE CREATIVE LTD CHUNG DO MARTIAL ARTS LTD. D'ARCY'S CONVENIENCE & SARI-SARI STORE CIMTECH INDUSTRIES INC. LTD. CINCAL TRUCKING LTD. D-BOYZ ENT. INC. CITIZEN TRUST COMPANY 2004 FEB 05. D. KIRALY PROFESSIONAL CORPORATION CITY PACKAGING LTD. 2004 FEB 10. D.A.B. DESIGN TECH LTD. CLARUS CAPITAL CORP. D.J. SHERIDAN PROFESSIONAL CLEARWATER SPECIALTY CHEMICALS CORPORATION COMPANY DAEMAC HOLDINGS LTD. CLIO TOOLS.COM LTD. DALE'S TRUCKING LTD. COBURN REAL ESTATE LTD. DALY'S EXCAVATION SERVICES LTD. COCO'S HAIR & BODY COMPANY INC. DAN FORMING LTD. CODERQUEST CONSULTING INC. DANCE AVENUE INC. 2004 FEB 10. CODEWISE CONSULTING CORP. 2004 FEB 05. DANCEWEST PRESENTATIONS ASSOCIATION COMMON SENSE CONSULTING INC. DANCRAFT HOMES LTD. COMMUNITY LOTTERY BOARD #1 SOCIETY DAPT. TECH. INC. COMMUNITY LOTTERY BOARD #25 SOCIETY DARE FOODS LIMITED COMMUNITY LOTTERY BOARD #35 SOCIETY DARLIN' TRUCKING SERVICE LTD. COMPASS CONTRACTING SERVICES LTD. DARREL F. NAVRATIL PROFESSIONAL COMPASS FORESTRY SERVICES LTD. 2004 CORPORATION FEB 06. DAUNEX CORPORATION COMPASSIONATE CARE HEALTH SERVICES DAVID M. SMITH PROFESSIONAL INC. CORPORATION COMPLETE WELDING LTD. DAVID YOUNG & ASSOCIATES CONSULTING COMPUFAX SERVICES LTD. LTD. COMPUTECH ADDS LTD. DAYTONA LAND (AIRDRIE) CORP. CONDOPLUS INC. DBWR CONSULTING INC. CONSCIOUS LEADERSHIP FOR DE VISSER HOLDINGS LTD COMMUNITIES IN CALGARY DECEPTION HOLDINGS LTD. 2004 FEB 10. CONSORT DINING LOUNGE 2001 LTD. DECK-IT-OUT INC. CONSTRUCTION D'EQUERRE INC. DEER IN THE SKY CONSULTING INC. CONSUMER DIRECT DISTRIBUTION LIMITED DEHID MOTORS (2001) LTD. CONTINENTAL TRESS LIMITED DELLON HILL CONSULTANTS LTD. COOL BLUE CONTRACTING INC. DELOUGHERY HOLDINGS LTD. COOL VISIONS INC. DELTA BAY CUSTOM HOMES LTD.

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DEMKO REFRIGERATION & AIR EASYWEBPAGES.NET LTD. CONDITIONING (2000) LTD. ECKWECK VENTURES INC. DENTAURUM CANADA INC. ECLECTIC INVESTMENT COMPANY LTD. DERRYBARD SERVICE STATION LTD. ECOMAG TECHNOLOGIES INC. DESROCHES ENTERPRISES LTD. EDDZ MARKETING INC. DEXTER CONTRACTORS GROUP INC. EDMONTON AND REGION INVESTMENT DHM & ASSOCIATES ENGINEERING LTD. ATTRACTION ASSOCIATION DHM SOFTWARE LTD. EDMONTON CHILD DEVELOPMENT CENTRES DIAMOND JUBILEE MANOR RESIDENTS INC. CLUB 2004 FEB 11. EDSON ACTION FOR LIFE PRO-LIFE SOCIETY DIAMOND MEDIA INC. EDSON TRAIL BISON RANCH LTD. DIEGO BOOTS INC. EDWARD ANTHONY ENTERPRISES LTD. DIGBY CONSULTING INC. 2004 FEB 13. EGAAP.COM LTD. DIGITAL SOFTWORKS INC. EGGEBRECHT ENTERPRISES INC. DIGIWARE INC. EH-HOE VENTURES LTD DIMONT HOLDINGS LTD. EKR REMEDIATION SERVICES INC. DINNER FOR TWO INC. EL ROBLE CONCRETE/CLEANING LTD. DIRECT POTENTIAL DEVELOPMENT GROUP ELECTED ENTERPRISES LTD. INC. ELECTRI-CITY INC. 2004 FEB 06. DIVERTTI DESIGNS LTD. ELITE THERAPEUTIC WHOLISTIC MASSAGE DIWELL PETRO SERVICES LTD. CENTRE LIMITED DIXON ENTERPRISES CORP. ELK CATTLE CO. LTD. DJ3 PIPELINE CONSULTING LTD. EM & AL HOLDINGS LTD. 2004 FEB 06. DOLAN CONSULTING LTD. EMERY'S FINE FOODS LTD. DOLPHIN GROUP SPECIAL EVENTS EMPEROR HOLDINGS INC. COMPANY LTD. EMPRESS EARLY CHILDHOOD SERVICES DOMIGO RESTAURANTS (PONOKA) LTD. SOCIETY DOMINION SALES & MARKETING LTD. END OF THE ROAD TECHNOLOGIES INC. DON BURTON & ASSOCIATES LTD. ENER-PRO CONSULTANTS (1986) INC. DONALD J. C. STEWART MARKETING ENERCON CANADA, LTD. CONSULTANTS LIMITED ENERPLUS PENSION RESOURCE DONLEY BUILDINGS LTD CORPORATION I DONSHERRY INVESTMENTS INC. 2004 FEB 05. ENG MANAGEMENT SERVICES LTD. DOPUDJ RENTALS LTD. ENGINEERED TRACING LTD. DORE RESOURCE CONSULTING LTD. ENS CONSTRUCTION CONSULTING & DOUBLE A WEISSER ENTERPRISES LTD. DESIGN LTD. DP STAR CORP. ENTECO INC. DR. ED O'CONNOR SCHOLARSHIP EPTONIC SYSTEMS INC. ASSOCIATION EQUITY SHUTTLE PROPERTY DR. LUDINGTON TOY CO. INC. DEVELOPMENTS INC. DRAGINDA CONSTRUCTION LTD. ERA COMPUTER SERVICES INC. DRAKE TOWING LTD. ERIC ROSS DEVELOPMENTS LTD. DREAM VACATIONS INC. ERNIE ERION WELDING LTD. 2004 FEB 09. DREAMCARS INCORPORATED ESC FUND MANAGEMENT CO. II (CANADA), DRIVETRAIN SOFTWARE INC. INC. DRUMMOND SIGN SERVICES LTD. ESQUARED INC. DRY CREEK GOOSE CAMP INC. EUCON CONSULTANTS INC. DRYWALL FINISHERS LTD. EUROPA ENTERPRISES INC. DUGAN LAKE INVESTMENTS INC. EVENT HORIZON CORP. DUMONT INSPECTION & CONSULTING LTD. EXLENCE ROOFING LTD. DUNBAR GROUP: MANAGEMENT EXPERT METALS INC. CONSULTANTS INC. F.R.A. SHELTERS INC. DUSKO SERVICES LTD. FACEON SPORTS CORP. E P PETROLEUMS LTD FAIRVIEW DECORATING LTD. E-BOND LTD. FAIRWATER CAPITAL CORPORATION E-ZEE TOUCH TELECOM GROUP CORP. FALLOWS SERVICES INC. 2004 FEB 12. E.D.A. MANAGEMENT LTD. FAMEUS VULCAN INC. 2004 FEB 09. E.L.M. HOLDINGS LTD. FAST OFFICE SUPPORT LTD. EAGLE INVESTIGATIONS INTERNATIONAL FAT MAN'S BELLY LTD. LTD. FEATURE FINISHING LTD. EAST RIDGE ESTATES COMMUNITY FELTHAM'S PENSION FUND INC. ASSOCIATION FERNANDO MORENO MERLO PROFESSIONAL EAST VALLEY TRUCKING LTD. CORPORATION EASY COMMUNICATIONS OF CANADA INC.

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FINE LINE PAINTING SERVICES LTD. 2004 GOURMET BUTCHER & GROCERY HOUSE FEB 13. LTD. FIRE TUB MANUFACTURING INC. GRAND LAKEFRONT RESORT CLUB 111 FIREBIRD ENTERPRISE LTD. GRANDE PRAIRIE PANTHERS LADIES FISHCO SEAFOODS LTD. 2004 FEB 09. HOCKEY CLUB FITZGERALD INFORMATION DESIGN INC. GRATTON'S WELDING LTD. FIVE STAR HEAVY HAUL LTD. GREENPIPE TECHNOLOGIES LTD. FLAGSTAFF RURAL CRIME WATCH ASS'N GREG LUND PRODUCTS LIMITED 2004 JAN 23. GREYCLIFF INVESTMENTS LTD. FLOYD WILD, INC. GRIZZ'S WELDING LTD. FLYING D RANCH LTD. GROUARD STACK LOG HOUSING SOCIETY FOREVER TILE LTD. GRYPHON INDUSTRIES LTD. FORT ASSINIBOINE & DISTRICT LIONS CLUB GTC CORP. FORT MCMURRAY HOTLINE ASSOCIATION GTECH COMBUSTION INC. 2004 JAN 19. GUARDIAN LOCKSMITH & SECURITY LTD. FOUR CORNERS INTERIORS LTD GUARDIAN VAN LINE (QUEBEC) LTD. FOUR WINDS COMMUNICATIONS INC. H & H WITZKE CONSTRUCTION LTD. FPS SOFTWARE INC. H. ENTERPRISES INC. FRIENDS OF CALGARY SPECIAL ATHLETES H.S. KENT REAL ESTATE LTD. SOCIETY H.T.J.S. HOLDINGS LTD. FRIENDS OF MANNA-RELIEF FOUNDATION H1 TRUCKS LTD. FRIENDS OF MIQUELON MEADOWS SOCIETY HAICO ENTERPRISES INC. FUSION INTEGRATIVE DESIGN LTD. HANSEN BEVERAGE COMPANY G & A HAMILTON ENTERPRISES INC. HAPPY RENOVATIONS LTD. GABBRO INDUSTRIES INC. HARMONY RESOURCES LTD GALLEY TRADE CONSORTIUM INC. HARMONY THERAPEUTIC MASSAGE CENTER GAMBO ENVIRONMENTAL CONSULTING LTD. LTD. 2004 FEB 11. HARTWELL HOME INSPECTION LTD. 2004 GARRISON SHOOTING CLUB FEB 11. GARTNER LEE LIMITED HAVEN ENTERPRISES LTD. GAS WORKS LTD. HAWK ROOFING LTD. GASCO MANUFACTURING & MACHINING HAYTER'S ENTERPRISES LTD. 2004 FEB 03. LTD. HEALTHY CITY ASSOCIATION - CALGARY GATEWAY RECREATION VEHICLE SALES HEARTLINE DEVELOPMENTS INC. LTD. HEDGESTONE CORPORATION GATEWAY TICKETING SYSTEMS, INC. HELPCARE SOCIETY FOR INTERNATIONAL GAUTHIER ENTERPRISES LTD. MEDICAL & VOCATIONAL AID GE SANE ENTERPRISES LTD. HEMI ENERGY SERVICES INC. GENERATION CONSTRUCTION CORP. HENDERSON LAKE KINDERGARTEN GENESIS PROJECT MANAGEMENT & SOCIETY CONTRACTING INC. 2004 FEB 10. HENNIG COLOR HARMONY DECORATORS GEORGE HOGG CONTRACTING LTD. LTD. GEORGE STEWART ENTERPRISES LTD. HG HYDROGEN GENERATOR INC. GERALD G. MCKINNEY HUMAN HI-RIDER SALES & BROKERAGE LTD. DEVELOPMENT CONSULTANTS LTD. HIAU WAWA AVIATION LIMITED GERHARD HORN INVESTMENTS LTD. HINTON THE MOVER LIMITED GERON SALES BUILDER INC. HOERICH ONLINE EDUCATION INC. GERRY WILSON REALTY INC. HOFER VENTURES INC. GERRY'S TAXI & LIMOUSINE LTD. HOME-WORK CONTRACTOR REFERRAL LTD. GHL PRODUCTION LTD. 2004 FEB 06. GIBBONS MINOR HOCKEY ASSOCIATION HOMEWORKS CONTRACTING INC. GIFT PLUS LTD. HOSPITALLER ORDER OF SAINT JOHN OF GLEN GRENKIE CONTRACTING LTD. JERUSALEM CASTELLANY OF CALGARY GLENMORE AUTO PARTS (NORTH) LTD. HOUGHTON PLANNING INC. 2004 FEB 13. GLOBAL 3 INC. HOUSE OF LLOYD CANADA LIMITED GLOCKNER HOLDINGS LTD. HOWARD INTERPERSONAL DYNAMICS INC. GMS INVESTMENTS LTD. HP LTD. GOEDICKE AND ASSOCIATES CONSULTING HUA YU CONSTRUCTION CONSULTING LTD. LTD. HUBER ELECTRIC, INC. GOLF EDMONTON FOUNDATION HUMANITY FIRST COUNSELLING INC. GORDON BARR, AUTHOR LIMITED HUSKY BPU OPERATIONS LTD. GOSHAWK INVESTMENTS LTD. HYATT MASONRY INC. GOTHAM CAPITAL CORPORATION HYDRONICS PLUS INC. I-OPEN TECHNOLOGIES INC.

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IAC EDMONTON HOTEL ACQUISITION CORP. JKC VENTURES LTD. ICARUS HEAT EXCHANGER CONSULTANTS JO-JO'S ENTERPRISES LTD LTD. JODI INVESTMENTS LTD. ICEBOX NET MEDIA INC. JOEZ CONTRACTING LTD. IDEA NETWORK CONSULTING INC. JOHN'S GARDENING SERVICE LTD. 2004 FEB IDENTEX CANADA INC. 06. IGM INVESTMENTS LTD. JOHNSTON TECHNOLOGIES CORP. IMAGE PORTAL TECHNOLOGIES (CANADA) JONGO FILMS LTD. INC. JOSHMARC ENTERPRISES LTD. IMATRON CONSULTING INC. JRS INVESTMENTS LTD. IN-SPEC. WELDING INC. JSK INTERIOR SYSTEMS LTD. INDIGO ENERGY INC. JTMM MECHANICAL SERVICES LTD. INFINITY HEARTH PRODUCTS LTD. JUBILEE CULTURAL SOCIETY INFOSPEC INVESTMENTS INC. JUBILEE SPORTS LTD. INKSATION INC. K & D HOLDINGS INC. 2004 FEB 10. INNISFAIL TAXI (2001) LTD. K & F MOTORS LTD 2004 FEB 03. INSIGHT COACHING INC. K & S AUTO SERVICE LTD. INTECURA CONSULTING INC. K & S ROADBUILDERS INC. INTEGRATED COMPUTER AIDED MAPPING K & V SYSTEMS LTD. SYSTEMS INC. K COUNTRY FURNITURE INC. INTEGRATED FINANCIAL SOLUTIONS INC. K.A.C. REAL ESTATE LTD. INTELLIMET INTERNATIONAL LTD. K2 NETWORKZ LTD. INTEMECH ENGINEERING LTD. K5 CONTRACTING LTD. INTER PACIFIC CAPITAL CORPORATION K9 CAPITAL CORPORATION INTERCITY CAPITAL CORPORATION LTD. KAL-LYN ENTERPRISES LTD. INTERPROVINCIAL VENTURE CAPITAL KATHERINE ASSOCIATES INC. CORPORATION KATHRIACHCHIGE SANDYA SATARASINGHE INTRANET COMPUTER SOLUTIONS INC. PROFESSIONAL CORPORATION INVERNESS ENTERPRISES LTD. KC CONNECTIONS INC. INVESTOR RELATIONS CONSULTING INC. KELKUR WEST RENOVATIONS INC. IPA INTER-PROVINCIAL AMUSEMENT KELLCO SERVICES LTD. COMPANY LTD. 2004 JAN 30. KEVIN KRESSE WELDING LTD. IQ 200 INC. KEVLAN DRILLING SERVICES LTD. IXL TECHNOLOGIES INC. KIEL TECHNOLOGIES (NORTH AMERICA) J & H TECHNOLOGY DEVELOPMENT LTD. INCORPORATED J BARK HOLDINGS INC. KLETA INVESTMENTS LIMITED J BARK INC. KLOBERDANZ GROUP LIMITED J. ALLOTT CONSULTING LTD. KNEESHAW'S SPECIALTY FOODS LTD. J. H. MCKENZIE INVESTMENTS LTD. KNIGHTWATCHER TECHNOLOGIES INC. J.A. GIDDEN JR. HOLDINGS LTD. KNOLL VIEW MANAGEMENT LTD. J.M.E. ENTERPRISES INC. KOFFEE'S ON INC. J.R.D. VENTURES LTD. KOMTECH CONSULTING INC. J.W.M. HOLDINGS INC. KPJ HOLDINGS LTD. JACK-O-MATIC (1998) LTD. KPL HOLDINGS INC. 2004 FEB 10. JACLIN TRADING LTD. KRONNA BUILDING SYSTEMS LTD. JAG PETROLEUMS LTD. 2004 FEB 04. L.L. MECHANICAL CONTRACTING LTD. JAMIK HOLDINGS LTD. L.T.D. EXPRESS INC. JANE'S HONEY BEES LTD. LACROIX MANUFACTURING LTD. JASCO VENTURES INC LAKE ISLE LADIES COMMUNITY CLUB JASON NOSEWORTHY CONSTRUCTION INC. LAKES LIQUOR & BEER 2000 LTD. 2004 FEB JAUSONT SPORTS INC. 11. JAWZ RESTRUCTURING CORP. LAKESIDE TECHNOLOGIES INC. JAYAX CONTRACTING LTD. LAMPHOUSE TECHNOLOGIES INC. JAYD REALTY (1990) LTD. LANGDON YOUTH SOCIETY JAYDER HOLDINGS LTD. LANTANA MANAGEMENT INC JAYMAR HAULING (88) LTD. LASTAR RADIO SOCIETY JENINE MANAGEMENT LTD LATIN AMERICAN TRAVEL AND TRADING JENLIN HOLDINGS LTD. 2004 FEB 03. CORPORATION OF ALBERTA LTD. JENSEN-ROGERS FAMILY SOCIETY LATIN IMPORT-EXPORT (LATIMEX) INC. JES-TYN HOLDINGS LTD. LAURIE'S EDUCATION AND RESOURCE JESTA RANCH LTD. NETWORK INC. JETRO WELDING INC. LAV ENTERPRISES LTD. JIMDI HOLDINGS LTD. LBM CONSULTING INC. JIMMY RAY'S SPORTS BAR & LOUNGE LTD. LEASE-LEND INTERNATIONAL LTD.

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LEGEND GAMES INC. MAXIMUM CONSULTING SYSTEMS INC. LENTICULAR PRODUCTIONS LTD. 2004 FEB MAYA MARKETING LTD. 11. MCCLUNIE HOLDINGS INC. LESH CONSTRUCTION LTD. MCKINNON & ASSOCIATES LTD. LETHBRIDGE FIREFIGHTERS CHARITIES MCKINNON STOREY RESOURCES LTD. 2004 ASSOCIATION FEB 13. LETHBRIDGE MINERS LIBRARY MDC TECHNOLOGIES LTD LIBRARY INFORMATION SOFTWARE CORP. MEARFORD CAMP & CATERING INC. LIFE PLUS INTERNATIONAL CANADA INC. MECCA CAFE LTD. LIGHTNING PETROPHYSICAL CONSULTING MECH-TECH SERVICES INC. LTD. MEDICINE HAT SHOTOKAN KARATE CLUB LIGHTNING RIDGE ELK RANCH LTD. MEDICINE TREE PRODUCTIONS INC. LIMIT MANAGEMENT INC. MEGA POWER ALBERTA LTD. LINENS & LACE LTD. MEL'S STRAWBERRY HOUSE INC. LINES & REFLECTIONS SALON LTD. MELTECH CONSTRUCTION LTD. LINGAN SEISMIC SURVEYS INC. MERCHANT IT CORPORATION LINKUS PUBLICATIONS CORP. MERKS FARMS LIMITED LIONHEAD DIRECTIONAL BORING LTD. METIS NATION OF ALBERTA ASSOCIATION LITTLE MUNCHKINS' INDOOR PLAYGROUND LOCAL COUNCIL #3003 EUREKA RIVER LTD. METROKING HOMES (PARKHILL PROSPECT) LOCATION CELLULAIRE MAJI INC. - MAJI LTD. CELLULAR RENTAL INC. MFS CONTRACTING INC. LOKAR CONSULTING CORP. MICHAEL H. BROOKE PROFESSIONAL LONGSHOT DEVELOPMENTS LTD. CORPORATION 2004 FEB 03. LORAN HOLDINGS LTD. MIDNIGHT AUTO INC. LTC GAMES LTD. MIKBET GRADER SERVICES LTD. LUIGGI'S PASTA HOUSE LTD. MILLENNIUM FINANCIAL GROUP INC. LUNA DEL SOL CAFE MED INC. MILLENNIUM INSURANCE & FINANCIAL LYNALLEN FOODS INC. SERVICES INC. LYNWOOD INVESTMENTS CORP. 2004 FEB 06. MILLENNIUM MOMENTS ADVERTISING INC. M E S CONTRACTING LTD. MILLENNIUM REALTY LTD. M R W TRUCKING LTD. MIND MAZE INC. M.D.O. & ASSOCIATES LTD. MIT-CHEL COMP. RENTAL & OPERATING M.U.I. TECHNOLOGIES LTD. INC. M2 MANAGEMENT CONSULTANTS INC. MONARCH ENTERPRISES LTD. MACEDONIAN VENTURES INC. MONCOR CONSULTING LTD. MACEWAN SCHOOL PRESERVATIN SOCIETY MONES & ASSOCIATES INSURANCE MACGLEN INVESTMENTS LIMITED BROKERS (PACIFIC) LTD. MADE 2 CLEAN LTD. MONTAGE MOVING SOUNDS & BILLBOARDS, MADINA VENTURES LTD. 2004 FEB 11. LTD. MAGIC VISION ENTERPRISES INC. MONTANA TRUCKING LTD. MAGNUM OILFIELD SERVICES LTD. MONTEREY QUALITY CHILD CARE LTD MAGOO FINANCIAL INC. MOP'S OILFIELD SERVICE LTD. MAJESTIC PLACE CONDOMINIUMS INC. MORETHOUGHT VENTURES INC. MAKHAY CONSTRUCTION LTD. MORGAN FOODS OF CANADA COMPANY MALOU MACHINING AND MANUFACTURING MORR IS 4U LTD. 2004 FEB 13. LTD. MR. MCGREGOR'S GARDEN NURSERY MANALTA PROPERTIES LTD. SOCIETY MANITOU IN MOTION CORPORATION MUNOZ ENTERPRISES LTD. MANSON & WURNIG, INC. MURCON INSTRUMENTATION LTD. 2004 FEB MAPLE BUILDING SUPPLIES LTD 05. MARBLE-TONE INDUSTRIES LTD MUSTANGS VENTURES LTD. MARBOS CLEANING INC. MYSTIQUE TREASURES LTD. MARIA'S ESTHETIC SALON LTD. N. GORNALL & ASSOCIATES LTD. MARILYN PALMER ARCHITECT LTD. NAHUEL SOLUTIONS INC. MARITIME REALTY INC. NANSHE CONSULTANTS LTD. MARKETPLACE INC. NASBAR PUB & GRUB LTD. MARLEE VENTURES LTD. NAYLOR ENTERPRISES LTD. MARTINSON DESIGNS LTD. NEAU' CRAFT DEVELOPMENT INC. MARUSA FINANCIAL SERVICES LTD. NEKON CONTRACTORS LIMITED MASSAGE PRO OFFICE MANAGEMENT NEW CENTURY TECHNOLOGIES INC. SYSTEM LTD. 2004 FEB 05. NEW DIRECTION CONSULTING LTD. MASTERTON LAND SERVICES LTD. NEW WORLD TRADE & MANAGEMENT CORP. MATRIX LANDSCAPE ARCHITECTURE LTD. NEXUS INVESTMENT CORPORATION

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NGML GLEN LYON ALBERTA LTD. PERSONAL IMPRINTZ INC. NIRVANA MARKETING SOLUTIONS INC. PETALS N' THINGS LTD. NLITEN SOLUTIONS INC. PETROSEIS 90 LTD. NOR-TRAC ENTERPRISES LTD. PH & S MANUFACTURING LTD. NORRAY DEVELOPMENTS INC. PICKLE SOUP CATERING CO. LTD. NORRTECH WELDING LTD. PIGGS R US LTD. NORSK FINANCIAL MANAGEMENT LTD. PILLAR FINANCIAL CORPORATION NORTH CALGARY CHRISTIAN ACADEMY PINIO HOLDINGS INC. FOUNDATION PINNACLE TOWERS CANADA INC./LES NORTH SOUTH AXIS INCORPORATED TOURS PINNACLE CANADA INC. NORTH WESTERN HOME INSPECTIONS INC. PIXALCAL PORTRAITS INC. NORTHERN ALBERTA POST POLIO SUPPORT PLANIT EVENTS INC. GROUP PLATINUM CARGO LTD. NORTHERN ENERGY, INC. PLATINUM FUTURE DEVELOPMENTS NORTHERN OPS INC. CORPORATION NORTHERN VALLEY TRANSPORT LTD. PLATINUM PROGRAMMING LTD. NORTHFIELD MANAGEMENT INC. POINTSWEST VACATIONS INC. NOTTINGHAM GREEN ESTATES INC. POLAR ENTERPRISES LTD. NOVA CONSTRUCTION (1994) LTD. POLARITY PROPERTY MAINTENANCE NRG COMMUNICATIONS INC. SERVICES LTD. O'CARE SERVICES LTD. POPLAR CREEK LIVE MUSIC GUILD OILFIELDDIRECT INC. PORTAGE HOTELS LTD. 2004 FEB 03. OILOFFICE INC. POWERHOUSE SOLUTIONS INC. OKIMASIS (LITTLE CHIEF) SURVEYS INC. PQ FLUID POWER INC. OLEUM ENERGY CORPORATION 2004 FEB 05. PREMIER LEASE & LOAN SERVICES OF OLSON VENTURES LTD. CANADA, INC. OMNIBUS SOLUTIONS INC. PREMISE SOLUTIONS INC. OMR CORP. PREMIUM CONCRETE & PREP INC. OPERATION SHIPSHAPE INC. PREMIUM MOVING SERVICES LTD. ORLANDO BOOKS LTD. PRIMA MANUFACTURING LTD. ORO FILMS INC. PRIMAL COURIER LTD. OTG INTERNATIONAL INC. PRO BULK TRANSFERS LTD. OU'S ARTIFICIAL FLOWERS LTD. PROFESSIONAL BODY FITNESS INC. OUTLOOK VENTURES INC. PROFESSIONAL RESULTS SECRETARIAL OVERSEAS TECHNOLOGY SERVICES INC. SERVICES LTD. OXBOW INVESTMENTS INC. PROFESSIONAL RIVER OUTFITTERS P-KEY HOLDINGS LTD. ASSOCIATION OF ALBERTA P. & E. PROJECTS CO. LTD. PROGESSIVE FRAMING AND CONSTRUCTION P. TURNER CONSULTING INC. LTD. 2004 FEB 10. PACIFIC TIER (US) CORPORATION PROPANE TRAINING INSTITUTE INC. 2004 PAL'S INVESTMENTS LTD. FEB 10. PANDA INVESTMENTS LTD. PROPHESY INTERNATIONAL INC. PANDEMONIUM POWER PRODUCTION LTD. PROSPECT ANALYZERS INC. 2004 FEB 11. PANNING FOR GOLD INC. PROTO TECH DESIGN & FABRICATION LTD. PAPIRNY CONTRACTING LTD. PUMPS ONLY LTD. PARACORP BUSINESS SERVICE LTD. PURANA CHAND EXPRESS LTD. PARK AVENUE FLOORING INC. PURDIE DENTURE CLINIC (1973) LTD 2004 PARKLAND MUSICWORKS LTD. FEB 04. PASSBAND DOWNHOLE COMMUNICATIONS QUILL TRADING INC. INC. QUINTA INTERNATIONAL INC. PAT AUSTIN CONTRACT OPERATORS INC. QWIK PIC PHOTO LABS INC. PATENAUDE EXTERIORS INC. R & F MANAGEMENT SERVICES (2001) LTD. PAULINE LI EDUCATION LTD. R. F. LE POOLE HOLDINGS LTD. 2004 FEB 05. PAVILION BUILDING INSTALLATION R.B.P. LEADERSHIP VENTURES LTD. SYSTEMS LTD R.E.M. HOLDINGS INC. 2004 FEB 11. PDV INC. R.T. TRANSMISSIONS LTD. PEACE COUNTRY TEAM CATTLE PENNING RADIAN RESOURCES LTD. ASSOCIATION RADIOACTIVE TEC INC. PEBBLE CREEK FARMS LTD. RANCHNET LTD. PEER DIAGNOSTICS LTD. RANTECH CONSULTING INCORPORATED PEGASUS ENVIRONMENTAL SERVICES INC. RAVEN WELDING LTD. PENDER CONTRACTING LTD. RAWHIDE RAKE INC. 2004 FEB 06. PENTOS INTERNATIONAL INC. RAYKER CONSTRUCTION LTD. PERFECTION CONCRETE LTD. RCOR CAPITAL INC.

- 924 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

RDC INVESTMENT CORP. SANENT ENTERPRISES INC. REACH OUT TO THE COMMUNITY SASKAL ENTERPRISES LTD. FOUNDATION SCOTIAN RESOURCES INC. REALLY USEFUL TRAVEL GUIDES, INC. SCRUBBERS CLEANING COMPANY LTD. REALTY VISION INC. SECRETS BAR & GRILL LTD. RED DEER AUDIO VISUAL LTD. SECURITY ONLINE INC. REDTAIL HOLDINGS LTD. 2004 FEB 03. SEDGWICK PARTNERS CO. LTD. REDWATER AND AREA PREVENT ALCOHOL SELKE CONTRACTING LTD. 2004 FEB 12. AND RISK RELATED TRAUMA IN YOUTH SENATOR DEVELOPMENTS LTD. (P.A.R.T.Y.) SOCIETY SENSUOUS RHYTHMS INC. REGWAY SYSTEMS INC. SERAFINI FINANCIAL SERVICES INC. REMPLE WEST CARRIERS LTD. SHACKS RENTAL LTD. RENAISSANCE HOLDINGS LTD. SHANGHAI BUILDING MATERIALS CANADA REPHRASE TECHNOLOGIES INC. INC. RESELLER ONESOURCE LTD. SHARPE FREIGHT & HAY SALES LTD. RESELLER ONESOURCE MANAGEMENT LTD. SHAYMARK LTD. RESERVE HOLDINGS INC. SHEEP RIVER TRANSPORT LTD. REVENUE STREAM INVESTMENTS INC. SHEFFIELD HARDWARE LTD REZWORKS INC. SHEN'S HARDWOOD FLOORING LTD. RHINO SYSTEMS INC. SHENANDOAH RESOURCES LTD. RHODES PETROLEUM CORPORATION SHENDI DEVELOPMENT LTD. RICE OUTDOOR MEDIA LTD. SHENEALS CATERING LTD. RICHARD E. WALKER PROFESSIONAL SHERWOOD PARK DOG OBEDIENCE SCHOOL CORPORATION INC. 2004 FEB 06. RIGHT-A-WAY CONTRACTING LTD. SHETLAND DESIGN LTD. RINA MANAGEMENT LTD. SHOWOFF FILM & VIDEO INC. RITTER HOMES INC. SIDDERS ENGINEERING INC. RITUALISTICS BODY MODIFICATIONS INC. SIDING 2000 LTD. RIVER PARK CAFE & DRIVE-IN LTD. SILK ROAD TRADING LTD. RIVER ROCK MUSIC LTD. SILVER EGG POULTRY RANCH INC. RIVER SPRINGS RANCH LTD. SILVER PEAKS TRANSPORTATION INC. RIVERSIDE HOME AND SCHOOL SILVERWING INSTALLATION LTD. ASSOCIATION SILVERWOLF SOFTWARE PRODUCTIONS RML INTERIORS & DESIGN INC. INC. RO-JAN TRUCKING LTD 2004 FEB 09. SIM CON CONSTRUCTION LTD. ROC SOLID INTERIORS INC. SIMPLY IRRESISTIBLE DECOR INC. ROCAD EXPRESS TRUCKING LTD. SIMPLY IRRESISTIBLE INTERIORS INC. 2004 ROCKY MOUNTAIN SAULTEAUX CULTURE FEB 10. AND RECREATION FOUNDATION SIMRICK SYSTEMS INC. ROMAN MARBLE PRODUCTS LTD. SINCERELY YOURS LTD. 2004 FEB 10. ROTOTRON INC. SIR JAMES LOUGHEED PARENT COUNCIL ROXY'S CARPET CLEANING SERVICE LTD. ASSOCIATION ROYAL STAR RESTAURANT LTD. SKATERS CHOICE ROLLERLAND CLUB ROYAL WATERPROOFING LTD. 2004 FEB 04. SKECO HOLDINGS LTD. RT CONSULTING SERVICES INC. SKI & SPORT HOUSE (CALGARY) LTD 2004 RUBI CONSULTING SERVICES LTD. FEB 12. RUNDLESTONE CONTRACTING LTD. SKULLY'S ENTERPRISES (PROVOST) LTD. RY-DAL TRANSPORT LTD. SLEEP SILENCER SYSTEMS LTD. RYDER PAYOU CONTRACTING LTD. SLICK'S CORRAL CLEANING LTD. S.A. WAGG CONSULTING CORP. SMITH CAMPBELL ENTERPRISES LTD. S.L. BARON CONSULTING INC. SMLT PRODUCTION LTD. S.N. WELDING (1999) LTD. 2004 FEB 09. SNP ENTERPRISES INC. SA.KHOA LTD. SO-CALL ENTERPRISES INC. SABA INVESTMENTS LTD. SOCIETY FOR THE PROMOTION OF SABRE REFRIGERATION LTD. FORGIVENESS FOR PEACE AND HEALING SALEM CONSULTING INC. SOCIETY OF FRIENDS OF THE LETHBRIDGE SALT OF THE EARTH YOUTH & FAMILY PUBLIC LIBRARY RANCH SOCIETY SOUTHALTA INDUSTRIES INC. SALTER CONSULTING INC. SOUTHEAST ASIA TRADE INC. SAM POCKETT OILFIELD CONSULTING LTD. SPALDING DEVELOPMENTS LTD. SAMCO HOLDINGS LTD. SPECIALTY TRANSPORT SYSTEMS INC. SANDHU ROAD CARRIER INC. SPEEDPRO SYSTEMS WESTERN CANADA SANDHU TRUCKING LTD. LTD. SANDWORM PRODUCTIONS INC. SPLIT ROCK ENTERPRISES LTD.

- 925 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

SPORT EXCEL PUBLISHING INC. TECHNICAL SUPPORT INC. SPORTS REPLAYS INC. TECHPRO COMMUNICATIONS LTD. SPOT DA MONKEY LTD. TECO ENTERPRISES LTD. SPRUCEPARK BUILDERS INC. TEDA WELDING LTD. SPYRE SOLUTIONS INC. TEENS UNDER FIRE FOUNDATION OF ST. ALBERT LOANS & EXCHANGE LTD. ALBERTA ST. HENRY CHILD DEVELOPMENT SOCIETY TELEPIPE INC. ST. LAWRENCE COURT DEVELOPMENTS TERZA, S.A. DE C.V. LTD. TFG ENTERPRISES INC. ST. PAUL JUNIOR "B" CANADIENS HOCKEY THE ALEXANDER ROTHNEY CROSS CLUB FOUNDATION 2004 JAN 19. STACOM FINANCIAL INC. THE BRICK FURNITURE WAREHOUSE STALLION CRANE SERVICES LTD. (COQUITLAM) LTD. STAR BRIGHT CARE HOMES INC. THE BRICK FURNITURE WAREHOUSE STAR MAGNETIC COMPRESSOR INC. (NORTHVAN) LTD. STARCO PROPERTIES LTD. THE BRICK FURNITURE WAREHOUSE STEELE'S LOG HAULING INC. (SUDBURY) LTD. STEPHEN CAMPBELL DESIGN LTD. THE BRICK FURNITURE WAREHOUSE STERLING DESIGNS INC. (SURREY) LTD. STEVE'S WELDING SERVICES LTD. 2004 FEB THE BRICK FURNITURE WAREHOUSE 05. (VICTORIA) LTD. STIMCOMP TECHNOLOGIES INC. THE CAJUN HUT LTD STIX TRANSPORT LTD. THE DACRO GROUP INC. STORYTELLER MEDIA ASSOCIATION 2004 THE DORSET GROUP INC. FEB 06. THE ENVIRONMENTAL GUY LTD. STRATHCONA INSURANCE GROUP INC. THE FALLEN TIMBER COMMUNITY STRAWBERRY'S INVESTMENTS LTD. ASSOCIATION STRAY DOG TRUCKING INC. THE FIREWATER GROUP LIMITED STREET 110 INC. THE FORT CHILDREN'S PLAY SOCIETY STRIKER INDUSTRIES LTD. 2004 FEB 06. THE GREENHORSE ADVENTURE LTD. STRUCTURE SOLUTIONS INC. THE HARDWOOD DOCTOR INC. STRYKER BERTEC MEDICAL INC. THE HAYNES COMMUNITY SOCIETY STUART BROWN PROFESSIONAL THE INDIAN STORE LTD. CORPORATION THE JASPER CRAFT CENTRE STUART JOHN IGLESIAS PROFESSIONAL THE LANDAR CORPORATION CORPORATION THE LIONS CLUB OF CARSELAND STUDYBUCKS INC. THE LORD FIN 2000 LIMITED SUGARDADDY BAKERY & PASTRY SHOP THE LUTHERAN EVANGELISTIC MOVEMENT LTD. CANADA SUMMIT CRIBBING LTD. THE MEN'S SHOW INC. SUN-WOOD WINDOW & DOORS LTD. THE MEREDITH MICHAEL COMPANY LTD. SUNBANK REALTY INC. THE METIS NATION OF ALBERTA SUNDANCE ENGINEERING LTD. ASSOCIATION LOCAL COUNCIL #55 GUNN SUNLAND FARMS INC. THE MIMM GROUP LTD. SUNSHINE KIDS FAMILY DAY HOMES LTD. THE MOTHER FOUNDATION FOR HEALING SUPER TRUCK INC. THE NETWORK COMPANY, INC. SUPPLEO.COM INC. THE NORTHERN ALBERTA FRIENDS OF SUR-SAV FAMILY PHARMACY LTD. ALPINE SKIING SUSHI BONANZA CO. LTD. THE OKOTOKS RANGE PATROL SWIRL BODY PRODUCTS AND TREATMENTS ASSOCIATION INC. THE PIPELINE LTD. SYLVANA CAPITAL CORP. THE PRESIDENT'S TEAM 2002 INC. SYNDESI CONSULTING INC. THE QUANAH JEANINE MERCREDI SOCIETY T-KAY OILFIELD SERVICE LTD. FOR EATING DISORDERS T. & P. BUSINESS CONSULTING CORP. THE SHOPPING BUDDY INC. TAHRA PAINTING LTD. THE SOCIETY OF COMPASSIONATE FRIENDS TALISMAN DESIGN LTD. (EDMONTON) TANGANYIKA OIL COMPANY LTD. THE URSULINES OF JESUS PROVIDENT TANGENT PETRO-SERVICES LTD. SOCIETY TANTARA INC. THE VETERINARY AID SOCIETY OF TARNASKY CONSTRUCTION LTD. CALGARY TATLOW ENTERPRISES LTD. THERASSAGE CLINIC INC. TAWATINAW VALLEY SKI CLUB THINKINC COMMUNICATIONS LTD. TDI HOLDINGS INC.

- 926 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

THORSBY HIGH SCHOOL ALUMNI W. W. LAWRENCE WELLSITE & FOUNDATION DEVELOPMENTS LTD. THREE FIFTY THREE STUDIOS LTD. W.C. GIDDEN HOLDINGS LTD. TIKI HOLDINGS (CALGARY) LTD W.D.H. INSURANCE SERVICES INC. 2004 FEB TIMS CONTRACT HEATING LIMITED 10. TJ'S 2 FOR 1 PIZZA INC. W.J.B. FRAMING LTD. TJC CONTRACTING LTD. WADE HUNT CONSULTING LTD. TK & C EXCAVATING AND GENERAL WAGNER FOOTBALL PARENTS CONTRACTING LTD. ASSOCIATION TLC RENOVATIONS INC. WAIN-ALTA CONSTRUCTION LTD. TNK HEAVY EQUIPMENT INC. WARREN BROTHERS CONTRACTING INC. TNT SCRAP METAL RECYCLERS LTD. WASKASOO CONSTRUCTION (RED DEER) TOLMEN ENTERPRISES INC. LTD. TOLSMA DAIRY FARMS LTD. WATHEN ENTERPRISES LTD. TOMADA COMPUTERS LTD. WAVE TRUCKING INC. TOMTINA DEVELOPMENTS LTD. WAYNE W.K. WONG INVESTMENTS LTD. TOO EASY WELDING INC. WE SERVICE U INC. TOOR TRUCKING INC. WEBER'S WOODCRAFTS LIMITED TORRY CONSTRUCTION LTD. WELCAP INC. TOTAL SAFETY MANAGEMENT INC. WELL WORKS SOFTWARE SYSTEMS INC. TOUCH OF LIFE CORPORATION WELLNESS PLUS HEALTH & LIFESTYLE TOUCHWOOD CONSULTING LTD. OPTIONS, INC. TOWNSEND INVESTMENT COMPANY WESDEX CONSTRUCTION INC. TRADE AND INVESTMENT TELESIS INC. WEST EDMONTON BEIS MEDRASH SOCIETY TRADEARBED CANADA INC. WEST STURGEON TRANSPORT LTD. TRAINOR & ASSOCIATES INC. WESTBANK INDUSTRIAL SUPPLIES LTD TRANSITUS INC. WESTCAN HOMES LTD. 2004 FEB 05. TREE- MENDOUS INC. WESTERN CANADIAN WHEAT GROWERS TRI-MIRA INC. ASSOCIATION TRIAD TELECOM LTD. WESTERN MOUNTAIN ENTERPRISES INC. TRIBAL NORTH ENTERPRISES LTD. WESTERN WEALTH INC. TRICANADIAN ENTERPRISES LTD. WESTLOCK PHOTOGRAPHY CLUB TRICO OILFIELD SERVICES LTD. 2004 FEB 04. WESTMARK INDUSTRIES (CANADA) INC. TRIFOLIA LIMITED WESTVIEW EQUIPMENT & TOOLS INC. TRILEX SOLUTIONS LTD. WESTVIEW HOUSING SOLUTIONS INC. TRIPLE PINE CONSTRUCTION LTD. WESTWARD HO RESOURCES INC. TROCHU TRAVEL LTD. 2004 FEB 06. WESTWOOD FIBRE LTD. TROIKA CONSULTANTS LTD. WETASKIWIN FLYING CLUB '86 TRONTEC PRINTING HOUSE LTD. WHEATLAND BLASTING (1985) LTD. TRUECOLOR MEDIA CORP. WHEATLAND POWER WASH LTD. TSUU T'INA NATION FOSTER PARENTS WHEEL-AWAY INC. ASSOCIATION WHEELS SERVICE CENTRE INC. TYSTAR CONSULTING INC. WHEELWRIGHT ENTERPRISE LTD. U FIT CORPORATION WHITE HORSE HOLDINGS LTD. UKRAINIAN KOLOMEYKA HERITAGE DANCE WHITE WAVE MARKETING LTD. CLUB WHITE-EZE TRUCK LTD. UMBERTO'S CANTINA RESTAURANT INC. WHITECAP ADVENTURE TOURS LTD. UNIVERSITY DESIGN INC. WHITEHALL BUILDING LIMITED UT ENERGY SERVICES LTD. WHITEHORN RESOURCES LTD. V-4 CATTLE CO. LTD. WHOLELIFE HOUSING LTD. VALIANT PLACE INC. WIL CAMPBELL PRODUCTIONS LTD. VALLEY MODEL AERONAUTICS CLUB WILDCARD INFORMATION SOLUTIONS INC. VALUE CANADA IMPORTS, INC. WILDCAT ENERGY SERVICES INC. VAN GILDER INSURANCE CORPORATION WILDROSE ROCKS INC. VANTAGE REPAIRS LTD. WILLA LITVACK INC. VAUXHALL & DISTRICT EMERGENCY WILLIAM T. BORTY AGENCY LTD. SERVICES SOCIETY WILSON HORSE TRAINING LTD. VBH HOLDINGS INC. WINARA CONSULTING INC. VINCE'S POWER TONGS LTD. 2004 FEB 03. WINDOWS WELLNESS & BEAUTY INC. VIREXX TECHNOLOGIES, INC. WINFIELD COMMUNICATIONS INC. VS INVESTMENTS LTD. WOLFER CATTLE CO. LTD. VSI COMPUTERS LTD. WOODGROVE DEVELOPMENTS INC. W W TRUCKING COMPANY WOODSMITH DISTRIBUTORS LIMITED WORLD OSHAWA INC.

- 927 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

WORLD PLUS TRAVEL & IMMIGRATION YOUNG ARGENTINIAN SOCIETY OF SERVICES LTD. CALGARY WOZ INFORMATION TECHNOLOGIES INC. Z-TECH PETROLEUM SERVICES INC. WRECKER TECH LTD. ZAYCHUK MARKET GARDENS & XL MEDIUM MULTIMEDIA LTD. GREENHOUSES INC. XL NET INTERNATIONAL INC. ZIAD'S HOLDINGS LTD. XYNO FINANCIAL INC. ZOREE PAINTING LTD. YOFI DE BELEN SA LTD.

Corporations Revived/Reinstated/Restored

(Business Corporations Act, Cemetery Companies Act, Co-operative Associations Act, Credit Union Act, Religious Societies’ Land Act, Societies Act)

22218 ALBERTA LTD Numbered Alberta 537865 ALBERTA LTD. Numbered Alberta Corporation Incorporated 1957 DEC 23. Struck-Off Corporation Incorporated 1992 AUG 06. Struck-Off The Alberta Register 2003 JUN 02. Revived 2004 The Alberta Register 2004 FEB 02. Revived 2004 FEB 05. No: 200222180. FEB 07. No: 205378656.

333085 ALBERTA LTD. Numbered Alberta 573459 ALBERTA LTD. Numbered Alberta Corporation Incorporated 1985 JUL 11. Struck-Off Corporation Incorporated 1993 JUL 13. Struck-Off The Alberta Register 2004 JAN 02. Revived 2004 The Alberta Register 2003 JAN 02. Revived 2004 FEB 03. No: 203330857. FEB 05. No: 205734593.

355461 ALBERTA LTD. Numbered Alberta 576773 ALBERTA LTD. Numbered Alberta Corporation Incorporated 1986 NOV 20. Struck-Off Corporation Incorporated 1993 AUG 18. Struck-Off The Alberta Register 2002 MAY 02. Revived 2004 The Alberta Register 2004 FEB 02. Revived 2004 FEB 05. No: 203554613. FEB 10. No: 205767734.

368186 ALBERTA LTD. Numbered Alberta 578367 ALBERTA LIMITED Numbered Alberta Corporation Incorporated 1987 JUN 22. Struck-Off Corporation Incorporated 1993 AUG 31. Struck-Off The Alberta Register 2003 DEC 02. Revived 2004 The Alberta Register 2004 FEB 02. Revived 2004 FEB 04. No: 203681861. FEB 02. No: 205783673.

381916 ALBERTA LTD. Numbered Alberta 615206 ALBERTA INC. Numbered Alberta Corporation Incorporated 1988 APR 08. Struck-Off Corporation Incorporated 1994 JUN 16. Struck-Off The Alberta Register 2003 OCT 02. Revived 2004 The Alberta Register 2003 DEC 02. Revived 2004 FEB 12. No: 203819164. FEB 13. No: 206152068.

384310 ALBERTA LTD. Numbered Alberta 619119 ALBERTA CORP. Numbered Alberta Corporation Incorporated 1988 MAY 18. Struck-Off Corporation Incorporated 1994 JUL 22. Struck-Off The Alberta Register 1999 MAR 13. Revived 2004 The Alberta Register 1999 MAR 13. Revived 2004 FEB 04. No: 203843107. FEB 06. No: 206191199.

384807 ALBERTA LTD. Numbered Alberta 624118 ALBERTA LTD. Numbered Alberta Corporation Incorporated 1988 MAY 30. Struck-Off Corporation Incorporated 1994 SEP 12. Struck-Off The Alberta Register 1992 NOV 01. Revived 2004 The Alberta Register 2003 MAR 02. Revived 2004 FEB 04. No: 203848072. FEB 06. No: 206241184.

398594 ALBERTA LTD. Numbered Alberta 658259 ALBERTA LTD. Numbered Alberta Corporation Incorporated 1989 MAR 01. Struck-Off Corporation Incorporated 1995 JUN 15. Struck-Off The Alberta Register 1999 SEP 02. Revived 2004 The Alberta Register 2003 DEC 02. Revived 2004 FEB 13. No: 203985940. FEB 12. No: 206582595.

410761 ALBERTA LTD. Numbered Alberta 668299 ALBERTA LTD. Numbered Alberta Corporation Incorporated 1989 OCT 30. Struck-Off Corporation Incorporated 1995 SEP 18. Struck-Off The Alberta Register 2003 APR 03. Revived 2004 The Alberta Register 2002 MAR 02. Revived 2004 FEB 12. No: 204107619. FEB 04. No: 206682999.

- 928 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

680229 ALBERTA LTD. Numbered Alberta 893570 ALBERTA LTD. Numbered Alberta Corporation Incorporated 1996 JAN 08. Struck-Off Corporation Incorporated 2000 AUG 18. Struck-Off The Alberta Register 2003 JUL 02. Revived 2004 The Alberta Register 2004 FEB 02. Revived 2004 FEB 02. No: 206802290. FEB 10. No: 208935700.

694219 ALBERTA LTD. Numbered Alberta 895352 ALBERTA LTD. Numbered Alberta Corporation Incorporated 1996 MAY 08. Struck-Off Corporation Incorporated 2000 AUG 31. Struck-Off The Alberta Register 2003 NOV 02. Revived 2004 The Alberta Register 2004 FEB 02. Revived 2004 FEB 05. No: 206942195. FEB 07. No: 208953521.

736396 ALBERTA CORP. Numbered Alberta 908788 ALBERTA LTD. Numbered Alberta Corporation Incorporated 1997 APR 23. Struck-Off Corporation Amalgamated 2000 DEC 01. Struck-Off The Alberta Register 2002 OCT 02. Revived 2004 The Alberta Register 2003 JUN 02. Revived 2004 FEB 04. No: 207363961. FEB 13. No: 209087881.

743606 ALBERTA INC. Numbered Alberta 917360 ALBERTA LTD. Numbered Alberta Corporation Incorporated 1997 JUN 11. Struck-Off Corporation Incorporated 2001 JAN 30. Struck-Off The Alberta Register 2003 DEC 02. Revived 2004 The Alberta Register 2003 JUL 02. Revived 2004 FEB 04. No: 207436064. FEB 03. No: 209173608.

756282 ALBERTA LTD. Numbered Alberta 932207 ALBERTA LTD. Numbered Alberta Corporation Incorporated 1997 SEP 26. Struck-Off Corporation Incorporated 2001 MAY 01. Struck-Off The Alberta Register 2002 MAR 02. Revived 2004 The Alberta Register 2003 NOV 02. Revived 2004 FEB 05. No: 207562828. FEB 04. No: 209322072.

819530 ALBERTA LTD. Numbered Alberta 943716 ALBERTA LTD. Numbered Alberta Corporation Incorporated 1999 FEB 22. Struck-Off Corporation Incorporated 2001 JUL 17. Struck-Off The Alberta Register 2003 AUG 02. Revived 2004 The Alberta Register 2004 JAN 02. Revived 2004 FEB 06. No: 208195305. FEB 09. No: 209437169.

819694 ALBERTA LIMITED Numbered Alberta 943725 ALBERTA LTD. Numbered Alberta Corporation Incorporated 1999 FEB 23. Struck-Off Corporation Incorporated 2001 JUL 17. Struck-Off The Alberta Register 2003 AUG 02. Revived 2004 The Alberta Register 2004 JAN 02. Revived 2004 FEB 02. No: 208196949. FEB 02. No: 209437250.

831604 ALBERTA LTD. Numbered Alberta 943746 ALBERTA LTD. Numbered Alberta Corporation Incorporated 1999 MAY 19. Struck-Off Corporation Incorporated 2001 JUL 17. Struck-Off The Alberta Register 2003 NOV 02. Revived 2004 The Alberta Register 2004 JAN 02. Revived 2004 FEB 10. No: 208316042. FEB 10. No: 209437466.

832450 ALBERTA LTD. Numbered Alberta 945654 ALBERTA LTD. Numbered Alberta Corporation Incorporated 1999 MAY 26. Struck-Off Corporation Incorporated 2001 JUL 31. Struck-Off The Alberta Register 2002 NOV 02. Revived 2004 The Alberta Register 2004 JAN 02. Revived 2004 FEB 09. No: 208324509. FEB 12. No: 209456540.

841816 ALBERTA LTD Numbered Alberta 945888 ALBERTA LTD. Numbered Alberta Corporation Incorporated 1999 AUG 11. Struck-Off Corporation Incorporated 2001 AUG 01. Struck-Off The Alberta Register 2004 FEB 02. Revived 2004 The Alberta Register 2004 FEB 02. Revived 2004 FEB 13. No: 208418160. FEB 05. No: 209458884.

866655 ALBERTA LTD. Numbered Alberta AB TECHNOLOGIES LTD. Named Alberta Corporation Incorporated 2000 FEB 25. Struck-Off Corporation Incorporated 1998 OCT 22. Struck-Off The Alberta Register 2002 JUL 23. Revived 2004 The Alberta Register 2003 APR 03. Revived 2004 FEB 10. No: 208666552. FEB 12. No: 208043364.

871948 ALBERTA LTD. Numbered Alberta ACADIA CONSTRUCTION INC. Named Alberta Corporation Incorporated 2000 MAR 23. Struck-Off Corporation Incorporated 1999 AUG 10. Struck-Off The Alberta Register 2002 SEP 03. Revived 2004 The Alberta Register 2004 FEB 02. Revived 2004 FEB 09. No: 208719484. FEB 09. No: 208416016.

888404 ALBERTA LTD. Numbered Alberta ACAJUTLA RESTAURANT LTD Named Alberta Corporation Incorporated 2000 JUL 11. Struck-Off Corporation Incorporated 1998 JUL 17. Struck-Off The Alberta Register 2004 JAN 02. Revived 2004 The Alberta Register 2004 JAN 02. Revived 2004 FEB 06. No: 208884049. FEB 02. No: 207932161.

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AD BOBCAT & TRUCKING LTD. Named Alberta BOJANGLES RESOURCES LIMITED Named Corporation Incorporated 2000 AUG 29. Struck-Off Alberta Corporation Incorporated 1981 JUL 15. The Alberta Register 2003 FEB 02. Revived 2004 Struck-Off The Alberta Register 2004 JAN 02. FEB 04. No: 208909937. Revived 2004 FEB 12. No: 202718565.

ADVANCEXPRESS INC. Named Alberta BRO-KASS WELDING & PIPELINE SERVICES Corporation Incorporated 2001 JUN 14. Struck-Off LTD Named Alberta Corporation Incorporated 2000 The Alberta Register 2003 DEC 02. Revived 2004 AUG 08. Struck-Off The Alberta Register 2004 FEB FEB 10. No: 209392109. 02. Revived 2004 FEB 10. No: 208918722.

ALBERTA WILDROSE CONTRACTING LTD. BROOKS & DISTRICT FISH AND GAME Named Alberta Corporation Incorporated 1993 AUG ASSOCIATION Alberta Society Incorporated 1984 31. Struck-Off The Alberta Register 1998 OCT 16. MAY 28. Struck-Off The Alberta Register 2003 Revived 2004 FEB 06. No: 205783541. NOV 02. Revived 2004 FEB 10. No: 503118341.

ALL ABOUT ME INC. Named Alberta Corporation BUCK & UP DEALS INC. Named Alberta Incorporated 2001 AUG 03. Struck-Off The Alberta Corporation Incorporated 1994 AUG 26. Struck-Off Register 2004 FEB 02. Revived 2004 FEB 09. No: The Alberta Register 2004 FEB 02. Revived 2004 209464098. FEB 13. No: 206227332.

ANCHOR INVESTIGATIVE GROUP INC. Named C. S. & M. E. MACINTOSH HOLDINGS LTD. Alberta Corporation Incorporated 2001 JUL 09. Named Alberta Corporation Incorporated 1978 JUN Struck-Off The Alberta Register 2004 JAN 02. 15. Struck-Off The Alberta Register 2003 DEC 02. Revived 2004 FEB 06. No: 209426162. Revived 2004 FEB 13. No: 201200680.

ANGELO INVESTMENTS LTD. Named Alberta C.R. REINFORCING COMPANY LTD. Named Corporation Incorporated 2001 APR 02. Struck-Off Alberta Corporation Incorporated 1999 SEP 22. The Alberta Register 2003 OCT 02. Revived 2004 Struck-Off The Alberta Register 2003 MAR 02. FEB 05. No: 209275510. Revived 2004 FEB 09. No: 208469486.

ARC PROSPERITY INVESTMENTS CORP. CANADIAN LIVER FOUNDATION Federal Named Alberta Corporation Incorporated 2000 MAR Corporation Registered 1992 SEP 04. Struck-Off 02. Struck-Off The Alberta Register 2002 SEP 03. The Alberta Register 2003 MAR 05. Reinstated 2004 Revived 2004 FEB 03. No: 208684480. FEB 13. No: 535407035.

ART'S MUFFLER LTD. Named Alberta CANAKA FINANCIAL INC. Named Alberta Corporation Incorporated 1982 AUG 19. Struck-Off Corporation Incorporated 2000 DEC 31. Struck-Off The Alberta Register 2004 FEB 02. Revived 2004 The Alberta Register 2003 JUN 02. Revived 2004 FEB 14. No: 202882346. FEB 04. No: 209092394.

BAR I. J. HOLDINGS LTD. Named Alberta CHIP LAKE HISTORICAL SOCIETY Alberta Corporation Incorporated 1993 MAY 17. Struck-Off Society Incorporated 1982 JUN 01. Struck-Off The The Alberta Register 2003 NOV 02. Revived 2004 Alberta Register 2003 DEC 02. Revived 2004 JAN FEB 13. No: 205672595. 19. No: 502571177.

BARNY'S TRUCKING LTD. Named Alberta CIALTA CORP. Named Alberta Corporation Corporation Incorporated 2000 DEC 05. Struck-Off Incorporated 1989 NOV 17. Struck-Off The Alberta The Alberta Register 2003 JUN 02. Revived 2004 Register 2000 MAY 01. Revived 2004 FEB 12. No: FEB 02. No: 209092691. 204118640.

BARRIER LAKE BICYCLE INC. Named Alberta COMPLETE WELDING LTD. Named Alberta Corporation Incorporated 2001 MAR 02. Struck-Off Corporation Incorporated 1997 AUG 22. Struck-Off The Alberta Register 2003 SEP 02. Revived 2004 The Alberta Register 2004 FEB 02. Revived 2004 FEB 09. No: 209225721. FEB 13. No: 207519802.

BDL BUILDING SERVICES LTD. Named Alberta COUNTERTOP MAN INC. Named Alberta Corporation Incorporated 1982 AUG 10. Struck-Off Corporation Incorporated 2001 JUN 18. Struck-Off The Alberta Register 2004 FEB 02. Revived 2004 The Alberta Register 2003 DEC 02. Revived 2004 FEB 04. No: 202881736. FEB 09. No: 209396449.

BINDLOSS COMMUNITY HALL Alberta Society COURAGE INVESTMENTS LIMITED Named Incorporated 1956 SEP 28. Struck-Off The Alberta Alberta Corporation Amalgamated 1988 JAN 31. Register 1998 OCT 21. Revived 2004 JAN 23. No: Struck-Off The Alberta Register 2003 JUL 02. 500026299. Revived 2004 FEB 03. No: 203782651.

- 930 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

CROWSNEST PASS PISTOL CLUB Alberta FIRST CHOICE FLOWERS LTD. Named Alberta Society Incorporated 1981 JUL 31. Struck-Off The Corporation Incorporated 2000 NOV 03. Struck-Off Alberta Register 2004 JAN 02. Revived 2004 JAN The Alberta Register 2003 MAY 02. Revived 2004 26. No: 502638901. FEB 12. No: 209044742.

D.C. POWER TONGS LTD. Named Alberta FOREMOST AUTOBODY LIMITED Named Corporation Incorporated 2001 JUN 14. Struck-Off Alberta Corporation Incorporated 1994 JAN 04. The Alberta Register 2003 DEC 02. Revived 2004 Struck-Off The Alberta Register 2001 JUL 02. FEB 06. No: 209392299. Revived 2004 FEB 03. No: 205941370.

DAVOR'S MACHINE WORKS LTD. Named FOSSIL INDUSTRIES LTD. Named Alberta Alberta Corporation Incorporated 1994 DEC 06. Corporation Incorporated 2001 JUL 18. Struck-Off Struck-Off The Alberta Register 2003 JUN 02. The Alberta Register 2004 JAN 02. Revived 2004 Revived 2004 FEB 12. No: 206349458. FEB 03. No: 209438308.

DEXTER CONTRACTORS GROUP INC. Named G.M. FITNESS LTD. Named Alberta Corporation Alberta Corporation Incorporated 1998 AUG 03. Incorporated 1990 JUN 05. Struck-Off The Alberta Struck-Off The Alberta Register 2004 FEB 02. Register 2001 DEC 02. Revived 2004 FEB 11. No: Revived 2004 FEB 03. No: 207949058. 204225817.

DISTINCT WOOD FLOORING INC. Named GARY ROBERTS CHILDREN'S FOUNDATION Alberta Corporation Incorporated 2001 JUL 05. Alberta Society Incorporated 1995 NOV 02. Struck- Struck-Off The Alberta Register 2004 JAN 02. Off The Alberta Register 2000 MAY 01. Revived Revived 2004 FEB 11. No: 209422369. 2004 JAN 26. No: 506733096.

DIXON ENTERPRISES CORP. Named Alberta GAZELLE PROPERTY MANAGEMENT INC. Corporation Incorporated 2001 AUG 15. Struck-Off Named Alberta Corporation Incorporated 1991 MAR The Alberta Register 2004 FEB 02. Revived 2004 20. Struck-Off The Alberta Register 2002 SEP 02. FEB 07. No: 209476845. Revived 2004 FEB 04. No: 204872097.

DOPUDJ RENTALS LTD. Named Alberta GHL PRODUCTION LTD. Named Alberta Corporation Incorporated 1999 AUG 09. Struck-Off Corporation Incorporated 2001 AUG 10. Struck-Off The Alberta Register 2004 FEB 02. Revived 2004 The Alberta Register 2004 FEB 02. Revived 2004 FEB 02. No: 208414268. FEB 09. No: 209470533.

E.N.S. CONTRACT SERVICES LTD. Named GREEN GROVE HOLDINGS LTD. Named Alberta Alberta Corporation Incorporated 1999 OCT 06. Corporation Incorporated 1983 MAR 02. Struck-Off Struck-Off The Alberta Register 2002 APR 02. The Alberta Register 2003 SEP 02. Revived 2004 Revived 2004 FEB 11. No: 208488767. FEB 12. No: 202971487.

EARL PETROLEUM RESOURCES LTD. Named H M S FINANCIAL INC. Named Alberta Alberta Corporation Incorporated 1984 FEB 08. Corporation Incorporated 2001 JUL 23. Struck-Off Struck-Off The Alberta Register 2002 AUG 02. The Alberta Register 2004 JAN 02. Revived 2004 Revived 2004 FEB 09. No: 203113881. FEB 06. No: 209403567.

EDEN HERBALS INC. Named Alberta Corporation HEERA HOLDINGS INC. Named Alberta Incorporated 2001 JUL 19. Struck-Off The Alberta Corporation Incorporated 2001 JAN 27. Struck-Off Register 2004 JAN 02. Revived 2004 FEB 06. No: The Alberta Register 2003 JUL 02. Revived 2004 209441674. FEB 11. No: 209169440.

EDMONTON KOREAN FIRST PRESBYTERIAN HELP WHEN IT HURTS INC. Named Alberta CHURCH Religious Society Incorporated 1991 JUL Corporation Incorporated 2001 JUN 01. Struck-Off 22. Struck-Off The Alberta Register 2002 NOV 14. The Alberta Register 2003 DEC 02. Revived 2004 Revived 2004 JAN 22. No: 544950017. FEB 10. No: 209372465.

FATAL EXCEPTIONS INC. Named Alberta HERITAGE HEALTH CARE INC. Named Alberta Corporation Incorporated 2001 JUL 27. Struck-Off Corporation Incorporated 1996 NOV 06. Struck-Off The Alberta Register 2004 JAN 02. Revived 2004 The Alberta Register 2002 MAY 02. Revived 2004 FEB 11. No: 209453562. FEB 11. No: 207154949.

FIJI SANATAN SOCIETY OF ALBERTA Alberta ICELEGENDS.COM INC. Named Alberta Society Incorporated 1983 OCT 12. Struck-Off The Corporation Incorporated 2000 MAY 15. Struck-Off Alberta Register 1996 APR 01. Revived 2004 JAN The Alberta Register 2002 NOV 02. Revived 2004 16. No: 503028581. FEB 13. No: 208780452.

- 931 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

INTELLIGENT AUTOMATION INC. Named LIFESPORT CALGARY LTD. Named Alberta Alberta Corporation Incorporated 2000 NOV 24. Corporation Incorporated 1986 FEB 10. Struck-Off Struck-Off The Alberta Register 2003 MAY 02. The Alberta Register 2003 AUG 02. Revived 2004 Revived 2004 FEB 03. No: 209077783. FEB 04. No: 203437108.

J. & M. BOCCIOLETTI SALES LTD. Federal LONESTAR CONSULTING INC. Named Alberta Corporation Registered 1998 FEB 13. Struck-Off Corporation Incorporated 2001 APR 09. Struck-Off The Alberta Register 2001 JAN 02. Reinstated 2004 The Alberta Register 2003 OCT 02. Revived 2004 FEB 06. No: 217703495. FEB 05. No: 209285337.

J.P. WILKINS SERVICES INC. Named Alberta M & S FOODS LTD. Named Alberta Corporation Corporation Incorporated 1999 OCT 05. Struck-Off Incorporated 1997 JAN 30. Struck-Off The Alberta The Alberta Register 2003 APR 03. Revived 2004 Register 2003 JUL 02. Revived 2004 FEB 10. No: FEB 05. No: 208487371. 207254236.

JALAN OILFIELD CONSULTING SERVICES MAGIC MANUFACTURING INC. Named Alberta LTD. Named Alberta Corporation Incorporated 1990 Corporation Incorporated 2001 JUN 28. Struck-Off MAY 02. Struck-Off The Alberta Register 2002 The Alberta Register 2003 DEC 02. Revived 2004 NOV 02. Revived 2004 FEB 12. No: 204211619. FEB 13. No: 209413129.

JUBILEE SPORTS LTD. Named Alberta MARITIME REALTY INC. Named Alberta Corporation Incorporated 1992 AUG 25. Struck-Off Corporation Incorporated 1976 AUG 30. Struck-Off The Alberta Register 2004 FEB 02. Revived 2004 The Alberta Register 2004 FEB 02. Revived 2004 FEB 11. No: 205394463. FEB 11. No: 200943082.

KATHRYN J.E. DUNDAS PROFESSIONAL MAVERICKS BAR & GRILL (1999) LTD. Named CORPORATION Medical Professional Corporation Alberta Corporation Incorporated 1989 JUN 19. Incorporated 1999 JUL 14. Struck-Off The Alberta Struck-Off The Alberta Register 2002 DEC 02. Register 2004 JAN 02. Revived 2004 FEB 06. No: Revived 2004 FEB 09. No: 204029698. 208384941. MICROWE ELECTRONICS CORP. Other KEEP DATA CONTROL INC. Named Alberta Prov/Territory Corps Registered 1996 JAN 25. Corporation Incorporated 1989 MAR 22. Struck-Off Struck-Off The Alberta Register 2002 JUL 02. The Alberta Register 2003 SEP 02. Revived 2004 Reinstated 2004 FEB 10. No: 216825414. FEB 07. No: 203996327. MIKBET GRADER SERVICES LTD. Named KELKUR WEST RENOVATIONS INC. Named Alberta Corporation Incorporated 1987 AUG 24. Alberta Corporation Incorporated 1998 AUG 26. Struck-Off The Alberta Register 2004 FEB 02. Struck-Off The Alberta Register 2004 FEB 02. Revived 2004 FEB 11. No: 203700745. Revived 2004 FEB 02. No: 207974460. MOTHERS OF MCKAY (M.O.M.) ASSOCIATION KEYHOLE CONSULTING LTD. Named Alberta Alberta Society Incorporated 1996 AUG 02. Struck- Corporation Incorporated 1995 SEP 14. Struck-Off Off The Alberta Register 2002 FEB 02. Revived The Alberta Register 2003 MAR 02. Revived 2004 2004 JAN 26. No: 507044154. FEB 05. No: 206679870. MUSTANGS VENTURES LTD. Named Alberta L. P. HANCHARD FINANCIAL SERVICES INC. Corporation Incorporated 1999 AUG 10. Struck-Off Named Alberta Corporation Incorporated 1976 JUL The Alberta Register 2004 FEB 02. Revived 2004 07. Struck-Off The Alberta Register 2004 JAN 02. FEB 11. No: 208416479. Revived 2004 FEB 02. No: 200924843. ONE MAN AND A LADYBUG LTD. Named L.L. MECHANICAL CONTRACTING LTD. Alberta Corporation Incorporated 2000 MAY 23. Named Alberta Corporation Incorporated 1999 AUG Struck-Off The Alberta Register 2002 NOV 02. 05. Struck-Off The Alberta Register 2004 FEB 02. Revived 2004 FEB 03. No: 208813683. Revived 2004 FEB 07. No: 208411694. OPTX CORP. Other Prov/Territory Corps LATIF CONSULTANT LTD. Named Alberta Registered 1999 JUL 07. Struck-Off The Alberta Corporation Incorporated 2001 JAN 08. Struck-Off Register 2002 JAN 02. Reinstated 2004 FEB 04. No: The Alberta Register 2003 JUL 02. Revived 2004 218378263. FEB 12. No: 209136654. PAL DEVELOPMENT LTD. Named Alberta LEO'S PAINTING & MAINTENANCE SERVICE Corporation Incorporated 1999 OCT 14. Struck-Off LTD. Named Alberta Corporation Incorporated 1996 The Alberta Register 2002 APR 02. Revived 2004 JUN 06. Struck-Off The Alberta Register 2000 DEC FEB 09. No: 208498592. 02. Revived 2004 FEB 06. No: 206987935.

- 932 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

PARAGON INDUSTRIAL SYSTEMS LTD. Named RODNEY D. OSBORNE PROFESSIONAL Alberta Corporation Incorporated 1996 NOV 08. CORPORATION Legal Professional Corporation Struck-Off The Alberta Register 2002 MAY 02. Incorporated 1993 MAR 03. Struck-Off The Alberta Revived 2004 FEB 03. No: 207158650. Register 2001 SEP 04. Revived 2004 FEB 11. No: 205574015. PEBBLE CREEK FARMS LTD. Named Alberta Corporation Amalgamated 2001 AUG 28. Struck- ROHL ENTERPRISES LTD. Other Prov/Territory Off The Alberta Register 2004 FEB 02. Revived Corps Registered 2001 JUN 05. Struck-Off The 2004 FEB 12. No: 209491109. Alberta Register 2003 DEC 02. Reinstated 2004 FEB 11. No: 219376753. PERKAP INVESTMENTS (1994) LTD. Named Alberta Corporation Incorporated 1994 MAY 30. SD'S FLOORINGS LTD. Named Alberta Struck-Off The Alberta Register 2002 NOV 02. Corporation Incorporated 2000 OCT 25. Struck-Off Revived 2004 FEB 06. No: 206128829. The Alberta Register 2003 APR 03. Revived 2004 FEB 06. No: 209032465. PRINTY RUBBER STAMP COMPANY INC. Named Alberta Corporation Incorporated 1989 JUL SECOND & NINTH BUILDING LIMITED Named 07. Struck-Off The Alberta Register 2004 JAN 02. Alberta Corporation Incorporated 1997 AUG 07. Revived 2004 FEB 03. No: 204054266. Struck-Off The Alberta Register 2003 FEB 02. Revived 2004 FEB 03. No: 207500455. PRO-FECTION POWERWASH INC. Named Alberta Corporation Incorporated 2001 MAY 10. SLATE IN DESIGN LTD. Named Alberta Struck-Off The Alberta Register 2003 NOV 02. Corporation Incorporated 2001 FEB 05. Struck-Off Revived 2004 FEB 09. No: 209337831. The Alberta Register 2003 AUG 02. Revived 2004 FEB 09. No: 209183292. PROFESSIONAL ASSOCIATION OF RESIDENTS OF ALBERTA Alberta Society Incorporated 1975 SLIM IMAGE INCORPORATED Named Alberta AUG 18. Struck-Off The Alberta Register 2002 FEB Corporation Incorporated 1986 MAY 29. Struck-Off 02. Revived 2004 JAN 27. No: 500085477. The Alberta Register 2002 NOV 02. Revived 2004 FEB 13. No: 203492418. PROFESSIONAL BUSINESS DATA SYSTEMS INC. Named Alberta Corporation Incorporated 1985 SMLT PRODUCTION LTD. Named Alberta FEB 21. Struck-Off The Alberta Register 2002 AUG Corporation Incorporated 2001 AUG 10. Struck-Off 02. Revived 2004 FEB 13. No: 203258223. The Alberta Register 2004 FEB 02. Revived 2004 FEB 09. No: 209470749. PROGENY MARKETING INNOVATIONS INC. Foreign Corporation Registered 1996 JUN 14. SOCIETE DE PARENTS POUR L'EDUCATION Struck-Off The Alberta Register 2003 DEC 02. FRANCAISE DE RED DEER ET REGION Alberta Reinstated 2004 FEB 12. No: 216985580. Society Incorporated 1997 JAN 20. Struck-Off The Alberta Register 2003 JUL 02. Revived 2004 FEB RANDTECH OILFIELD SERVICES LTD Named 11. No: 507228484. Alberta Corporation Incorporated 2000 SEP 14. Struck-Off The Alberta Register 2003 MAR 02. SOUTHERN ALBERTA INDOOR SPORTS Revived 2004 FEB 10. No: 208969279. ASSOCIATION Alberta Society Incorporated 1991 NOV 25. Struck-Off The Alberta Register 2003 RATTRAY CONSULTING LTD. Named Alberta MAY 02. Revived 2004 JAN 22. No: 505112482. Corporation Incorporated 1991 JUL 08. Struck-Off The Alberta Register 2004 JAN 02. Revived 2004 ST. ALBERT MINOR BASEBALL FEB 10. No: 204995120. ASSOCIATION Alberta Society Incorporated 1977 MAY 27. Struck-Off The Alberta Register 2003 RESCO CANADA, INC. Other Prov/Territory Corps NOV 02. Revived 2004 JAN 23. No: 500102314. Registered 2000 MAY 16. Struck-Off The Alberta Register 2003 NOV 02. Reinstated 2004 FEB 06. SUMMERWIND INC. Named Alberta Corporation No: 218802817. Incorporated 1994 AUG 11. Struck-Off The Alberta Register 2003 FEB 02. Revived 2004 FEB 13. No: RIGON DESIGN LTD. Named Alberta Corporation 206210981. Incorporated 2000 MAR 29. Struck-Off The Alberta Register 2002 SEP 03. Revived 2004 FEB 09. No: SUNSHINE KIDS FAMILY DAY HOMES LTD. 208728634. Named Alberta Corporation Incorporated 2001 AUG 14. Struck-Off The Alberta Register 2004 FEB 02. RITUALISTICS BODY MODIFICATIONS INC. Revived 2004 FEB 05. No: 209473792. Named Alberta Corporation Incorporated 1996 AUG 07. Struck-Off The Alberta Register 2004 FEB 02. SYNOVIA INC. Named Alberta Corporation Revived 2004 FEB 06. No: 207055476. Incorporated 2000 MAY 10. Struck-Off The Alberta Register 2002 NOV 02. Revived 2004 FEB 12. No: 208796987.

- 933 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

TARRAGON CONSULTING INC. Named Alberta UPTOWN DEVELOPMENT CORPORATION Corporation Incorporated 1997 AUG 22. Struck-Off Named Alberta Corporation Incorporated 2001 MAY The Alberta Register 2000 FEB 01. Revived 2004 24. Struck-Off The Alberta Register 2003 NOV 02. FEB 03. No: 207519737. Revived 2004 FEB 05. No: 209357631.

THE BRAGG CREEK ARTISANS SOCIETY VALE ISLE VENTURES LTD. Named Alberta Alberta Society Incorporated 1982 MAY 03. Struck- Corporation Amalgamated 1990 OCT 01. Struck-Off Off The Alberta Register 2003 NOV 02. Revived The Alberta Register 1997 DEC 22. Revived 2004 2004 JAN 19. No: 502850100. FEB 10. No: 204644223.

THE SWAN HILLS GOLF AND COUNTRY WADE HUNT CONSULTING LTD. Named CLUB Alberta Society Incorporated 1985 APR 17. Alberta Corporation Incorporated 1999 AUG 18. Struck-Off The Alberta Register 2003 OCT 02. Struck-Off The Alberta Register 2004 FEB 02. Revived 2004 FEB 12. No: 503244519. Revived 2004 FEB 02. No: 208424994.

TJ & P AGRO SPRAYING LTD. Named Alberta WATSON HOLDINGS LTD. Named Alberta Corporation Amalgamated 2000 NOV 30. Struck- Corporation Incorporated 1999 JUL 12. Struck-Off Off The Alberta Register 2003 MAY 02. Revived The Alberta Register 2004 JAN 02. Revived 2004 2004 FEB 03. No: 209036201. FEB 02. No: 208383380.

TRAPAZA HOLDINGS LTD. Named Alberta WESTCHESTER GROUP INVESTMENTS INC. Corporation Incorporated 1991 FEB 14. Struck-Off Named Alberta Corporation Incorporated 1992 APR The Alberta Register 2002 AUG 02. Revived 2004 08. Struck-Off The Alberta Register 2003 OCT 02. FEB 13. No: 204839872. Revived 2004 FEB 12. No: 205256605.

TSR WELDING SERVICE LTD. Named Alberta WINDY LAND CONSULTING INC. Named Corporation Incorporated 2001 APR 12. Struck-Off Alberta Corporation Incorporated 2000 APR 12. The Alberta Register 2003 OCT 02. Revived 2004 Struck-Off The Alberta Register 2002 OCT 02. FEB 09. No: 209293489. Revived 2004 FEB 05. No: 208748020.

UNBOUND TECHNOLOGIES INC. Named YOGI INC. Named Alberta Corporation Alberta Corporation Incorporated 1998 JUN 22. Incorporated 2000 JUN 22. Struck-Off The Alberta Struck-Off The Alberta Register 2003 DEC 02. Register 2003 DEC 02. Revived 2004 FEB 14. No: Revived 2004 FEB 04. No: 207901141. 208856955.

UNICAN HOLDINGS LTD. Named Alberta ZAHARA HOLDINGS LTD. Named Alberta Corporation Incorporated 1980 JUL 02. Struck-Off Corporation Incorporated 1992 JUL 30. Struck-Off The Alberta Register 2004 JAN 02. Revived 2004 The Alberta Register 2004 JAN 02. Revived 2004 FEB 06. No: 202461752. FEB 03. No: 205372808.

Notices of Amalgamation

(Business Corporations Act, Companies Act, Co-operative Associations Act, Credit Union Act, Loan and Trust Corporations Act, Rural Utilities Act)

Notice is hereby given pursuant to the provisions of Notice is hereby given pursuant to the provisions of section 185 of the Business Corporations Act that section 290 of the Business Corporations Act that SENECA EQUITIES CORP. AJILON CANADA INC. 1045475 ALBERTA LTD. AJILON COMMUNICATIONS INC. were on 2004 FEB 12 amalgamated as one were on 2004 FEB 09 amalgamated as one corporation under the name corporation under the name 1091089 ALBERTA LTD. AJILON CANADA INC. No. 2010910897 No. 2110903115 The registered office of the corporation shall be The registered office of the corporation shall be 1000, 400 - THIRD AVENUE S.W. 1200, 700 - 2ND STREET S.W. CALGARY ALBERTA CALGARY ALBERTA T2P 4H2 T2P 4V5

- 934 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

Notice is hereby given pursuant to the provisions of Notice is hereby given pursuant to the provisions of section 185 of the Business Corporations Act that section 290 of the Business Corporations Act that ARAPAHOE ENERGY CORPORATION CALPINE CANADA NATURAL GAS CRAZY HORSE ENERGY LTD. COMPANY were on 2004 FEB 06 amalgamated as one CALPINE CANADA RESOURCES COMPANY corporation under the name were on 2004 FEB 03 amalgamated as one ARAPAHOE ENERGY CORPORATION corporation under the name No. 2010901177 CALPINE CANADA RESOURCES COMPANY The registered office of the corporation shall be No. 2110884356 1000, 400 THIRD AVENUE S.W. The registered office of the corporation shall be CALGARY ALBERTA 2900, 240 - 4TH AVENUE SW T2P 4H2 CALGARY ALBERTA T2P 4H4 Notice is hereby given pursuant to the provisions of section 290 of the Business Corporations Act that Notice is hereby given pursuant to the provisions of BEAVER FUELS MANAGEMENT LIMITED section 185 of the Business Corporations Act that SHELL INFO CENTRE MANAGEMENT CAPRICE FINANCIAL SERVICES LTD. LIMITED 94812 ALBERTA CORPORATION were on 2004 FEB 07 amalgamated as one V.R. LOEWEN PROFESSIONAL corporation under the name CORPORATION BEAVER FUELS MANAGEMENT LIMITED were on 2004 FEB 06 amalgamated as one No. 2110897416 corporation under the name The registered office of the corporation shall be CAPRICE FINANCIAL SERVICES LTD. 400 4TH AVENUE S.W. No. 2010899470 CALGARY ALBERTA The registered office of the corporation shall be T2P 0J4 10 VARNA PLACE NW CALGARY ALBERTA Notice is hereby given pursuant to the provisions of T3A 0E8 section 185 of the Business Corporations Act that BEST BUDS FLOWER CO. INC. Notice is hereby given pursuant to the provisions of COFFEE TALK INC. section 290 of the Business Corporations Act that were on 2004 FEB 06 amalgamated as one CONSOLIDATED PROPERTIES LTD. corporation under the name 6173039 CANADA LTD. BEST BUDS FLOWER CO. INC. were on 2004 FEB 13 amalgamated as one No. 2010902027 corporation under the name The registered office of the corporation shall be CONSOLIDATED PROPERTIES LTD. 11730 - 104 AVENUE No. 2110913684 EDMONTON ALBERTA The registered office of the corporation shall be T5K 2P3 3700, 400 - 3RD AVENUE SW CALGARY ALBERTA Notice is hereby given pursuant to the provisions of T2P 4H2 section 290 of the Business Corporations Act that BOWES PUBLISHERS LIMITED Notice is hereby given pursuant to the provisions of NORFOLK-OXFORD NEWSPAPER CO. INC. section 290 of the Business Corporations Act that were on 2004 FEB 04 amalgamated as one E3 ENERGY INC. corporation under the name E3 OIL & GAS INC. BOWES PUBLISHERS LIMITED were on 2004 FEB 06 amalgamated as one No. 2110894793 corporation under the name The registered office of the corporation shall be E3 ENERGY INC. 2900-10180 101 ST No. 2110901028 EDMONTON ALBERTA The registered office of the corporation shall be T5J 3V5 1000, 425 - 1ST STREET S.W. CALGARY ALBERTA T2P 3L8

- 935 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

Notice is hereby given pursuant to the provisions of Notice is hereby given pursuant to the provisions of section 290 of the Business Corporations Act that section 185 of the Business Corporations Act that EDI ENVIRONMENTAL DYNAMICS INC. GESKE CONSULTING CORPORATION 660508 B.C. LTD. QUALITY DIRECTIONS GROUP INC. were on 2004 FEB 06 amalgamated as one were on 2004 FEB 02 amalgamated as one corporation under the name corporation under the name EDI ENVIRONMENTAL DYNAMICS INC. GESKE CONSULTING CORPORATION No. 2110898000 No. 2010885818 The registered office of the corporation shall be The registered office of the corporation shall be 2700, 10155-102 STREET #509, 10333 SOUTHPORT ROAD S.W. EDMONTON ALBERTA CALGARY ALBERTA T5J 4G8 T2W 3X6

Notice is hereby given pursuant to the provisions of Notice is hereby given pursuant to the provisions of section 290 of the Business Corporations Act that section 290 of the Business Corporations Act that GBC CANADA INC. HOMBURG CANADA INCORPORATED QUARTET MANUFACTURING COMPANY REVOD VENTURES INCORPORATED (1997) INC. NORGATE HOLDINGS LIMITED were on 2004 FEB 11 amalgamated as one MAHONS OFFICE EXPRESS corporation under the name INCORPORATED GBC CANADA INC. were on 2004 FEB 12 amalgamated as one No. 2110908783 corporation under the name The registered office of the corporation shall be HOMBURG CANADA INCORPORATED 450, 808 - 4TH AVENUE S.W. No. 2110910532 CALGARY ALBERTA The registered office of the corporation shall be T2P 3E8 3700, 400 - 3RD AVENUE S.W. CALGARY ALBERTA Notice is hereby given pursuant to the provisions of T2P 4H2 section 290 of the Business Corporations Act that GE POLYMERLAND CANADA INC. Notice is hereby given pursuant to the provisions of COMMERCIAL PLASTICS (C.P.) INC. section 185 of the Business Corporations Act that were on 2004 FEB 02 amalgamated as one DIABLO POWER PRODUCTS INC. corporation under the name MASTERS AUTO GROUP INC. GE POLYMERLAND CANADA COMPANY were on 2004 FEB 11 amalgamated as one No. 2110891435 corporation under the name The registered office of the corporation shall be LIGHTSPEED INNOVATIONS INC. 3300, 421 - 7 AVENUE SW No. 2010885677 CALGARY ALBERTA The registered office of the corporation shall be T2P 4K9 4421 - 51 AVE RED DEER ALBERTA Notice is hereby given pursuant to the provisions of T4N 4G8 section 290 of the Business Corporations Act that GENERAL ELECTRIC CAPITAL CANADA Notice is hereby given pursuant to the provisions of INC. section 185 of the Business Corporations Act that GE CARD SERVICES CANADA INC. MEDI-MAT LTD. 2762617 CANADA INC. VIDACARE SYSTEMS INC. GE IT SOLUTIONS INC. were on 2004 FEB 09 amalgamated as one GE CAPITAL LEASEHOLDER CANADA INC. corporation under the name GE RAILCAR SERVICES INC. MEDI-MAT LTD. were on 2004 FEB 09 amalgamated as one No. 2010866842 corporation under the name The registered office of the corporation shall be GENERAL ELECTRIC CAPITAL CANADA #300, 14925 - 111 AVENUE INC. EDMONTON ALBERTA No. 2110904600 T5M 2P6 The registered office of the corporation shall be 3300, 421 - 7 AVENUE SW CALGARY ALBERTA T2P 4K9

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Notice is hereby given pursuant to the provisions of Notice is hereby given pursuant to the provisions of section 290 of the Business Corporations Act that section 185 of the Business Corporations Act that ROCHE VITAMINS CANADA 1083282 ALBERTA LTD. INC./VITAMINES ROCHE CANADA INC. The CLAYGROUND CORPORATION 4101260 CANADA INC. were on 2004 FEB 12 amalgamated as one were on 2004 FEB 12 amalgamated as one corporation under the name corporation under the name The CLAYGROUND CORPORATION ROCHE VITAMINS CANADA No. 2010912133 INC./VITAMINES ROCHE CANADA INC. The registered office of the corporation shall be No. 2110910102 300, 10655 SOUTHPORT ROAD S.W. The registered office of the corporation shall be CALGARY ALBERTA 2900-10180 101 ST T2W 4Y1 EDMONTON ALBERTA T5J 3V5 Notice is hereby given pursuant to the provisions of section 185 of the Business Corporations Act that Notice is hereby given pursuant to the provisions of THIMM ENGINEERING INC. section 290 of the Business Corporations Act that H.F. THIMM & ASSOCIATES LTD. SEALED AIR (CANADA) INC. were on 2004 FEB 02 amalgamated as one SEALED AIR (CANADA) CO./CIE corporation under the name were on 2004 FEB 02 amalgamated as one THIMM ENGINEERING INC. corporation under the name No. 2010883664 SEALED AIR (CANADA) CO./CIE The registered office of the corporation shall be No. 2110892656 71 MIDLAKE PLACE S.E. The registered office of the corporation shall be CALGARY ALBERTA #219, 6203 - 28 AVENUE T2X 1J2 EDMONTON ALBERTA T6L 6K3 Notice is hereby given pursuant to the provisions of section 290 of the Business Corporations Act that Notice is hereby given pursuant to the provisions of THYSSEN ELEVATOR LIMITED section 290 of the Business Corporations Act that THYSSEN MONTENAY ELEVATOR INC. TECK COMINCO METALS LTD. HALTON ELEVATOR LTD. 3863654 CANADA INC. CROWN PRECISION ELEVATOR PRODUCTS were on 2004 FEB 04 amalgamated as one LIMITED corporation under the name were on 2004 FEB 04 amalgamated as one TECK COMINCO METALS LTD. corporation under the name No. 2110896178 THYSSEN ELEVATOR The registered office of the corporation shall be LIMITED/ASCENSEURS THYSSEN LIMITEE 2900-10180 101 ST No. 2110873300 EDMONTON ALBERTA The registered office of the corporation shall be T5J 3V5 3500, 855 - 2 STREET SW CALGARY ALBERTA Notice is hereby given pursuant to the provisions of T2P 4J8 section 290 of the Business Corporations Act that The BOYD GROUP INC. Notice is hereby given pursuant to the provisions of The BOYD GROUP (ALTA.) INC. section 290 of the Business Corporations Act that The BOYD GROUP (SASK.) INC. TREALSHIP SERVICES INC./SERVICES were on 2004 FEB 10 amalgamated as one TREALSHIP INC. corporation under the name J. DORICH ENTERPRISES INC./LES The BOYD GROUP INC. ENTREPRISES J. DORICH INC. No. 2110905938 were on 2004 FEB 10 amalgamated as one The registered office of the corporation shall be corporation under the name 2900-10180 101 ST TREALSHIP SERVICES INC. EDMONTON ALBERTA No. 2110905029 T5J 3V5 The registered office of the corporation shall be #4300 BANKERS HALL WEST, 888 - 3RD STREET S.W. CALGARY ALBERTA T2P 5C5

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Notice is hereby given pursuant to the provisions of Notice is hereby given pursuant to the provisions of section 290 of the Business Corporations Act that section 185 of the Business Corporations Act that CANADIAN WASTE SERVICES INC. WEST MALL II DENTAL CENTRE INC. CARTER'S WASTE DISPOSAL LTD. 1081908 ALBERTA LTD. were on 2004 FEB 05 amalgamated as one were on 2004 FEB 11 amalgamated as one corporation under the name corporation under the name WASTE MANAGEMENT OF CANADA WEST MALL II DENTAL CENTRE INC. CORPORATION No. 2010909840 No. 2110899388 The registered office of the corporation shall be The registered office of the corporation shall be 800-10310 JASPER AVE NW 4668 25 ST SE EDMONTON ALBERTA CALGARY ALBERTA T5J 2W4 T2B 3M2

Amendments to Society Objects

The following Societies Amended their objects effective the date indicated:

508745445 903 STRATHMORE ROYAL CANADIAN AIR CADET SQUADRON SPONSORING ASSOCIATION 2004 JAN 28 508848686 AL AZHAR SHRINERS (LEGION OF HONOR) SOCIETY 2004 JAN 16 500069596 ALBERTA DOBERMAN PINSCHER CLUB 2004 JAN 21 507892909 ALBERTA FELLOWSHIP OF EVANGELICAL CHILDRENS WORKERS 2004 JAN 21 505343509 ATHABASCA UNIVERSITY STUDENTS' ASSOCIATION 2004 JAN 23 508889789 BRETON PLOTS SOIL CONSERVATION SOCIETY 2004 JAN 26 505558593 BROOM TREE MINISTRIES EDUCATION SOCIETY 2004 JAN 19 500060272 CALGARY CHORAL SOCIETY 2004 JAN 30 507239598 CALGARY MEN'S CHORUS SOCIETY 2004 JAN 30 507828010 DOWNTOWN ISLAMIC ASSOCIATION 2004 JAN 28 500080049 PIONEER CIRCLE ELK POINT, ALBERTA 2004 JAN 21 503453649 ST. WILLIAM EDUCATIONAL SOCIETY 2004 FEB 09

Special Notices

Section 258

THE REGISTRAR OF CORPORATIONS INTENDS TO CANCEL THE REGISTRATION OF GILBARCO CANADA LIMITED.

THE REGISTRAR OF CORPORATIONS INTENDS TO CANCEL THE REGISTRATION OF DR. DUNCAN ROBERTSON MEDICAL SERVICES INC.

THE REGISTRAR OF CORPORATIONS INTENDS TO CANCEL THE REGISTRATION OF REEDHYCALOG INTERNATIONAL (CANADA) LIMITED.

THE REGISTRAR OF CORPORATIONS INTENDS TO CANCEL THE REGISTRATION OF NEWCREST CAPITAL INC.

THE REGISTRAR OF CORPORATIONS INTENDS TO CANCEL THE REGISTRATION OF TARA LEASING LTD.

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Amended Memorandum of Association

THE REGISTRAR OF CORPORATIONS HAS FILED A CHANGE TO THE MEMORANDUM OF ASSOCIATION OF SHAW TELEVISION BROADCAST FUND. THE CHANGE WAS FILED ON FEB. 10, 2004.

Erratum

THE FOLLOWING NAME WAS INCORRECTLY RECORDED IN CORPORATE REGISTRATIONS, INCORPORATIONS AND CONTINUATIONS SECTION OF THE 2003, MARCH 31 ALBERTA GAZETTE ISSUE ON PAGE 861. THE CORRECT NAME IS:

Name: MARIGOLD CLEANING SERVICES INC. No: 2010341481

THE FOLLOWING NAME WAS INCORRECTLY RECORDED IN CORPORATE REGISTRATIONS, INCORPORATIONS AND CONTINUATIONS SECTION OF THE 2003, OCTOBER 31 ALBERTA GAZETTE ISSUE ON PAGE 2687. THE CORRECT NAME IS:

Name: THERMAL ENERGY SERVICES INC. No: 2010679047

THE FOLLOWING NAME WAS INADVERTENTLY RECORDED IN THE CORPORATE NAME CHANGES SECTION OF THE 2003, JUNE 30 ALBERTA GAZETTE ISSUE ON PAGE 69.

Name: CHEEKY MONKEY NOODLE BAR LTD. No: 219482171

- 939 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

NOTICE TO ADVERTISERS ______

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- 940 - THE ALBERTA GAZETTE, PART I, MARCH 15, 2004

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