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Friday, February 28, 2014 4:26:25 PM
On January 16, 2014, Registrant received a copy of a “ Cease Trade Order ” dated January 15, 2014 issued by the Alberta Securities Commission in Calgary, Canada, advising Registrant that it is a “ reporting issuer ” under the Alberta Securities Act, and that it failed to file periodic reports pursuant to Section 146 of the Act for the quarters ended April 30, 2013 and October 31, 2013, and for the fiscal year ended July 31, 2013. By letter dated January 16, 2014, Registrant advised the Alberta Securities Commission that it does not do business in Canada, has no offices located in Canada, has no officers, directors, consultants or employees in Canada, has not offered or sold any securities in Canada and is not a “ reporting issuer ” in Alberta. No response has been received from the Alberta Securities Commission.
So if the regulator says they have not received a reply who is lying? They claimed the emails and courier were returned as the addresses were not valid. So we have to find out who was lying.
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