TSX Venture Exchange Daily Bulletins

VANCOUVER, Nov. 20, 2013 /CNW/ -

TSX VENTURE COMPANIES:

BLACK SPARROW CAPITAL CORP. ("BLC.P")
BULLETIN TYPE:  Notice - QT Not Completed - Approaching 24 Months of Listing
BULLETIN DATE:  November 20, 2013
TSX Venture Tier 2 Company

The shares of the Company were listed on TSX Venture Exchange on December 20, 2011.  The Company, which is classified as a Capital Pool Company ('CPC'), is required to complete a Qualifying Transaction ('QT') within 24 months of its date of listing, in accordance with Exchange Policy 2.4.

The records of the Exchange indicate that the Company has not yet completed a QT.  If the Company fails to complete a QT by its 24-month anniversary date of December 20, 2013, the Company's trading status may be changed to a halt or suspension without further notice, in accordance with Exchange Policy 2.4, Section 14.6.

________________________________________

BLF REAL ESTATE INVESTMENT TRUST ("BLF.UN")
BULLETIN TYPE:  Notice of Distribution
BULLETIN DATE:  November 20, 2013
TSX Venture Tier 2 Company

The Issuer has declared the following distribution(s):

Distribution per Trust Unit: 
Payable Date: 
Record Date: 
Ex-Distribution Date: 
                    $0.0308
December 16, 2013
November 30, 2013
November 27, 2013

________________________________________

CALLINEX MINES INC. ("CNX")
BULLETIN TYPE:  Private Placement-Non-Brokered
BULLETIN DATE:  November 20, 2013
TSX Venture Tier 2 Company

TSX Venture Exchange has accepted for filing documentation with respect to a Non-Brokered Private Placement announced November 4, 2013:

Number of Shares:                  526,500 shares
                   
Purchase Price:                  $0.38 per share
                   
Warrants:                  263,250 share purchase warrants to purchase 263,250 shares
                   
Warrant Exercise Price: 
                $0.38 in the first year
$0.45 in the second year
                   
Number of Placees:                  1 placee

Pursuant to Corporate Finance Policy 4.1, Section 1.11(d), the Company must issue a news release announcing the closing of the private placement and setting out the expiry dates of the hold period(s). The Company must also issue a news release if the private placement does not close promptly.  Note that in certain circumstances the Exchange may later extend the expiry date of the warrants, if they are less than the maximum permitted term.

________________________________________

CWC WELL SERVICES CORP. ("CWC")
BULLETIN TYPE:  Declaration of Dividend
BULLETIN DATE:  November 20, 2013
TSX Venture Tier 1 Company

The Issuer has declared the following dividend(s):

Dividend per Common Share: 
Payable Date: 
Record Date: 
Ex-Dividend Date: 
                    $0.01625
January 15, 2014
December 31, 2013
December 27, 2013

________________________________________

EL NINO VENTURES INC. ("ELN")
BULLETIN TYPE:  Consolidation
BULLETIN DATE:  November 20, 2013
TSX Venture Tier 1 Company

Pursuant to a special resolution passed by the shareholders on September 25, 2013, the Company has consolidated its capital on a three (3) old for one (1) new basis.  The name of the Company has not been changed.

Effective at the opening on Monday, November 25, 2013, the shares of El Nino Ventures Inc. will commence trading on TSX Venture Exchange on a consolidated basis. The Company is classified as a 'Base Metal Exploration' company.

Post - Consolidation
Capitalization: 

Escrow: 
               
Unlimited 
30,647,228 
Nil 

shares with no par value of which
shares are issued and outstanding
shares are subject to escrow
                     
Transfer Agent:                  Computershare Investor Services Inc.
Trading Symbol: 
CUSIP Number: 
                ELN 
28335E304 
(new)
(new)

________________________________________

GOLDEN VIRTUE RESOURCES INC. ("GVR")
BULLETIN TYPE:  Remain Halted
BULLETIN DATE:  November 20, 2013
TSX Venture Tier 2 Company

Further to the TSX Venture Exchange ('TSXV') Bulletin dated November 12, 2013, effective at 11:30 a.m. November 20, 2013, trading in the shares of the Company will remain halted pending receipt and review of acceptable documentation regarding a Change of Business and/or a Reverse Take-Over pursuant to TSXV Listings Policy 5.2.  This regulatory halt is imposed by Investment Industry Regulatory Organization of Canada, the Market Regulator of the Exchange, pursuant to the provisions of Section 10.9(1) of the Universal Market Integrity Rules.

________________________________________

MATCH CAPITAL RESOURCES CORPORATION ("MHC.H")
[formerly Match Capital Resources Corporation ("MHC")]
BULLETIN TYPE:  Transfer and New Addition to NEX, Symbol Change
BULLETIN DATE:  November 20, 2013
TSX Venture Tier 2 Company

In accordance with TSX Venture Policy 2.5, the Company has not maintained the requirements for a TSX Venture Tier 2 company.  Therefore, effective at the opening on Thursday, November 21, 2013, the Company's listing will transfer to NEX, the Company's Tier classification will change from Tier 2 to NEX, and the Filing and Service Office will change from Toronto to NEX.

As of November 21, 2013, the Company is subject to restrictions on share issuances and certain types of payments as set out in the NEX policies.

The trading symbol for the Company will change from MHC to MHC.H.  There is no change in the Company's name, no change in its CUSIP number and no consolidation of capital.  The symbol extension differentiates NEX symbols from Tier 1 or Tier 2 symbols within the TSX Venture market.

_______________________________________

MOSAIC CAPITAL CORPORATION ("M")
BULLETIN TYPE:  Declaration of Dividend
BULLETIN DATE:  November 20, 2013
TSX Venture Tier 1 Company

The Issuer has declared the following dividend(s):

Dividend per Common Share: 
Payable Date: 
Record Date: 
Ex-Dividend Date: 
                    $0.02
December 16, 2013
November 29, 2013
November 27, 2013

________________________________________

MOSAIC CAPITAL CORPORATION ("M.PR.A")
BULLETIN TYPE:  Declaration of Dividend
BULLETIN DATE:  November 20, 2013
TSX Venture Tier 1 Company

The Issuer has declared the following dividend(s):

Dividend per Preferred Security: 
Payable Date: 
Record Date: 
Ex-Dividend Date: 
                    $0.0833
December 16, 2013
November 29, 2013
November 27, 2013

________________________________________

NEW ZEALAND ENERGY CORP. ("NZ")
BULLETIN TYPE:  Prospectus-Unit Offering
BULLETIN DATE:  November 20, 2013
TSX Venture Tier 2 Company

Effective November 18, 2013, the Company's Short Form Prospectus dated November 18, 2013 was filed with and accepted by TSX Venture Exchange, and filed with and receipted by the British Columbia Securities Commission, pursuant to the provisions of the British Columbia Securities Act.  The receipt also evidences that the Ontario Securities Commission has issued a receipt for the prospectus.

The Prospectus has been filed under the Multilateral Instrument 11-102 Passport System in Alberta, Saskatchewan and Nova Scotia.  A receipt for the prospectus is deemed to be issued by the regulator in each of those jurisdictions, if the conditions of the Instrument have been satisfied.

TSX Venture Exchange has been advised that closing occurred in tranches between September 30, 2013 and October 25, 2013, for gross proceeds of $16,138,436.82.

Offering:            48,904,354 units.  Each unit consisting of one common share and one half share purchase warrant.
             
Unit Price:            $0.33 per unit
             
Warrants:            24,452,177 share purchase warrants to purchase 24,452,177 shares
             
Warrant Exercise Price:            $0.45 for a one year period
             
Agents' Warrants:            3,045,849 non-transferable warrants exercisable to purchase one share at $0.33 per share for 12 months from October 28, 2013.

________________________________________

PARK LAWN CORPORATION ("PLC")
BULLETIN TYPE:  Declaration of Dividend
BULLETIN DATE:  November 20, 2013
TSX Venture Tier 1 Company

The Issuer has declared the following dividend(s):

Dividend per Common Share: 
Payable Date: 
Record Date: 
Ex-Dividend Date: 
                    $0.038
December 16, 2013
November 30, 2013
November 27, 2013

________________________________________

PATIENT HOME MONITORING CORP. ("PHM")
BULLETIN TYPE:  Halt
BULLETIN DATE:  November 20, 2013
TSX Venture Tier 2 Company

Effective at 6:55 a.m., PST, November 20, 2013, trading in the shares of the Company was halted pending clarification news. This regulatory halt is imposed by Investment Industry Regulatory Organization of Canada, the Market Regulator of the Exchange pursuant to the provisions of Section 10.9(1) of the Universal Market Integrity Rules.

________________________________________

PATIENT HOME MONITORING CORP. ("PHM")
BULLETIN TYPE:  Resume Trading
BULLETIN DATE:  November 20, 2013
TSX Venture Tier 2 Company

Effective at 11:45 a.m., PST, November 20, 2013, shares of the Company resumed trading, an announcement having been made.

________________________________________

PETROGLOBE INC. ("PGB.H")
[formerly PetroGlobe Inc. ("PGB")]
BULLETIN TYPE:  Transfer and New Addition to NEX, Symbol Change, Remain Suspended
BULLETIN DATE:  November 20, 2013
TSX Venture Tier 2 Company

In accordance with TSX Venture Policy 2.5, the Company has not maintained the requirements for a TSX Venture Tier 2 company.  Therefore, effective on Thursday, November 21, 2013, the Company's listing will transfer to NEX, the Company's Tier classification will change from Tier 2 to NEX, and the Filing and Service Office will change from Calgary to NEX.

As of November 21, 2013, the Company is subject to restrictions on share issuances and certain types of payments as set out in the NEX policies.

The trading symbol for the Company will change from PGB to PGB.H.  There is no change in the Company's name, no change in its CUSIP number and no consolidation of capital.  The symbol extension differentiates NEX symbols from Tier 1 or Tier 2 symbols within the TSX Venture market.

Further to the TSX Venture Exchange Bulletin dated August 19, 2013, trading in the Company's securities will remain suspended.

Members are prohibited from trading in the securities of the Company during the period of the suspension or until further notice.

_______________________________________

RED HUT METALS INC. ("ROB")
BULLETIN TYPE:  Warrant Price Amendment, Warrant Term Extension
BULLETIN DATE:  November 20, 2013
TSX Venture Tier 2 Company

TSX Venture Exchange has consented to the reduction in the exercise price and has consented to the extension in the expiry date of the following warrants:

# of Warrants: 
Original Expiry Date of Warrants: 
New Expiry Date of Warrants: 
Original Exercise Price of Warrants: 
New Exercise Price of Warrants: 
                    1,400,000
December 15, 2013
December 15, 2014
$0.10
$0.06

These warrants were issued prior to the Company listing on TSX Venture Exchange.

________________________________________

RENEGADE PETROLEUM LTD. ("RPL")
BULLETIN TYPE:  Declaration of Dividend
BULLETIN DATE:  November 20, 2013
TSX Venture Tier 1 Company

The Issuer has declared the following dividend(s):

Dividend per Share: 
Payable Date: 
Record Date: 
Ex-Dividend Date: 
                    $0.008333
December 16, 2013
November 30, 2013
November 27, 2013

________________________________________

STARLIGHT U.S. MULTI-FAMILY CORE FUND ("UMF.A") ("UMF.U")
BULLETIN TYPE:  Notice of Distribution
BULLETIN DATE:  November 20, 2013
TSX Venture Tier 1 Company

The Issuer has declared the following distribution(s):

Distribution per CI A: 
Payable Date: 
Record Date: 
Ex-Distribution Date: 
                    CDN$0.05663
December 16, 2013
November 29, 2013
November 27, 2013
                       
Distribution per CI U: 
Payable Date: 
Record Date: 
Ex-Distribution Date: 
                    US$0.05636
December 16, 2013
November 29, 2013
November 27, 2013

________________________________________

STRATA-X ENERGY LTD. ("SXE")
BULLETIN TYPE:  Private Placement-Non-Brokered
BULLETIN DATE:  November 20, 2013
TSX Venture Tier 2 Company

TSX Venture Exchange has accepted for filing documentation with respect to a Non-Brokered Private Placement announced October 29, 2013 and closed November 6, 2013:

Number of Shares:        15,872,962 shares
         
Purchase Price:        AUD$0.38 per share
         
Number of Placees:        111 placees
         
Insider / Pro Group Participation:        None
         
Finder's Fee: 









      AUD$191,595 cash payable to Helmsec Global Capital Limited
AUD$170,308 cash payable to BBY Ltd.
301,586 non-transferrable warrants ("Finder Warrants") payable to BBY Nominees Limited
54,663 Finder Warrants payable to KFT Capital Pty Limited
54,663 Finder Warrants payable to Conrad Corporation Pty Limited
22,619 Finder Warrants payable to Rocky Rises Pty Limited
22,619 Finder Warrants payable to GJN Holdings Pty Limited
33,698 Finder Warrants payable to Richard G M Offer
33,698 Finder Warrants payable to Randleson Holdings Limited
19,964 Finder Warrants payable to Peter Stephen Curtis
54,662 Finder Warrants payable to Suping Zhang
        Each Finder Warrant is exercisable for one common share at a price of AUD$0.50 per share for up to 3 years from closing.

________________________________________

VIVIONE BIOSCIENCES INC. ("VBI")
BULLETIN TYPE:  Shares for Bonuses
BULLETIN DATE:  November 20, 2013
TSX Venture Tier 2 Company

TSX Venture Exchange has accepted for filing the Company's proposal to issue 400,000 bonus warrants ("Warrants") to Glenn Smith (the "Lender"), a Non-Arms Length Party, in connection with a two year revolving credit facility (the "Facility") whereby the Company will borrow up to $1,000,000.  Proceeds of the Loan will be used to purchase flow cytometers.  The Warrants are each exercisable for one common share at an exercise price of $0.35 for up to 2 years from date of issuance.

            Shares           Warrants
Glenn Smith              Nil           400,000

________________________________________

WEST MOUNTAIN CAPITAL CORP. ("WMT")
BULLETIN TYPE:  Halt
BULLETIN DATE:  November 20, 2013
TSX Venture Tier 2 Company

Effective at 11:40 a.m., PST, November 20, 2013, trading in the shares of the Company was halted pending news. This regulatory halt is imposed by Investment Industry Regulatory Organization of Canada, the Market Regulator of the Exchange pursuant to the provisions of Section 10.9(1) of the Universal Market Integrity Rules.

________________________________________

NEX COMPANIES:

BAYMOUNT INCORPORATED ("BYM.H")
BULLETIN TYPE:  Listing Maintenance Fees - Resume Trading
BULLETIN DATE:  November 20, 2013
NEX Company

Further to NEX bulletin dated October 24, 2013, effective at the open, Thursday, November 21, 2013, trading in the shares of the Company will resume, the Company having paid their NEX listing maintenance fees.

__________________________

CHINA GOLDCORP LTD. ("CAU.H")
BULLETIN TYPE:  Remain Halted
BULLETIN DATE:  November 20, 2013
NEX Company

Further to the TSX Venture Exchange ('TSXV') Bulletin dated November 15, 2013, effective at 5:00 a.m. November 20, 2013, trading in the shares of the Company will remain halted pending receipt and review of acceptable documentation regarding a Qualifying Transaction pursuant to TSXV Listings Policy 2.4.  This regulatory halt is imposed by Investment Industry Regulatory Organization of Canada, the Market Regulator of the Exchange, pursuant to the provisions of Section 10.9(1) of the Universal Market Integrity Rules.

________________________________________

SOURCE: TSX Venture Exchange

For further information:

Market Information Services at 1-888-873-8392, or email: information@venture.com


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