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TSX Venture Exchange Daily Bulletins


News provided by

TSX Venture Exchange

Mar 15, 2013, 20:04 ET

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VANCOUVER, March 15, 2013 /CNW/ -

TSX VENTURE COMPANIES:

AMEX EXPLORATION INC. ("AMX")
BULLETIN TYPE: Private Placement- Non-Brokered
BULLETIN DATE: March 15, 2013
TSX Venture Tier 2 Company

TSX Venture Exchange has accepted for filing the documentation with respect to a Non-Brokered Private Placement:

           
Number of Shares:          630,000 flow-through common shares and 2,605,000 common shares
           
Purchase Price:          $0.15 per flow-through common share and $0.10 per common share
           
Warrants:           2,815,000 warrants to purchase 2,815,000 common shares
           
Warrants Exercise Price:           2,500,000 warrants at $0.15 per share during an 18-month period
and 315,000 warrants at $0.25 during an 18-month period
Number of placees:          19 placees
           
Insider / Pro Group Participation:                
                 
Name       Insider = Y /       Number
        Pro Group = P       of shares
                 
Jacques Trottier       Y       250,000
James Coleman       Y       200,000
Pierre Carrier       Y       200,000
André Gagné       Y       200,000
André Shareck       Y       100,000
                 
Finder's fee:                                EMD Financial Inc. received $9,500 in cash and 53,200 non-transferable
warrants, each warrant to purchase one common shares at the exercise
price of $0.15 per share during a 24-month period.
                                 

The Company has confirmed the closing of the above-mentioned Private Placement pursuant to news release dated February 26, 2013.

EXPLORATION AMEX INC. (« AMX »)
TYPE DE BULLETIN : Placement privé sans l'entremise d'un courtier
DATE DU BULLETIN : Le 15 mars 2013
Société du groupe 2 de TSX Croissance

Bourse de croissance TSX a accepté le dépôt de la documentation relativement à un placement privé sans l'entremise d'un courtier :

         
Nombre d'actions :        630 000 actions ordinaires accréditives et 2 605 000 actions
ordinaires
         
Prix :        0,15 $ par action ordinaire accréditive et 0,10 $ par action
ordinaire
         
Bons de souscription :         2 815 000 bons de souscription permettant d'acquérir
2 815 000 actions ordinaires
         
Prix d'exercice des bons :         2 500 000 bons de souscription au prix de 0,15 $ l'action
pendant 18 mois et 315 000 bons de souscription au prix
de 0,25 $ pendant 18 mois
         
Nombre de souscripteurs :          19 souscripteurs
         
Initié / Participation Groupe Pro :                
                 
Nom       Initié = Y /
Groupe Pro = P
      Nombre
d'actions
                 
Jacques Trottier       Y       250 000
James Coleman       Y       200 000
Pierre Carrier       Y       200 000
André Gagné       Y       200 000
André Shareck       Y       100 000
                 
Frais d'intermédiation :                    EMD Financial Inc. a reçu un montant de 9 500 $ en espèces et 53 200
bons de souscriptions non-transférables, chaque bon de souscription
permet de souscrire à une action ordinaire au prix d'exercice de 0,15 $
l'action pendant une période de 24 mois .
                     

La société a confirmé la clôture du placement privé mentionné ci-dessus dans le cadre d'un communiqué de presse daté du 26 février 2013.

__________________________________

AQUA-PURE VENTURES INC. ("AQE")
BULLETIN TYPE: Private Placement-Non-Brokered, Convertible Debenture/s
BULLETIN DATE:  March 15, 2013
TSX Venture Tier 2 Company

TSX Venture Exchange has accepted for filing documentation with respect to a Non-Brokered Private Placement announced December 3, 2012:

         
Convertible Debenture        US$2,150,000.00
         
Conversion Price:        Convertible into 7,166,666 common shares at US$0.30 per share for a three year period.
         
Maturity date:        Three years from date of issue
         
Warrants        2,866,662 detachable warrants that are exercisable into common shares at US$0.40 for a three year period
         
Interest rate:        8 %
         
Number of Placees:        11 placees
         
Finders' Fees:                      Axiom Capital Management Inc. - US$168,000 and 420,000 Warrants that are exercisable into common shares at US$0.40 per share for a three year period.
                       
                      Boenning and Scattergood, Inc.  - US$4,000 and 10,000 Warrants that are exercisable into common shares at US$0.40 per share for a three year period.
                       

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.]

________________________________________

ATLAS FINANCIAL HOLDINGS, INC. ("AFH")
BULLETIN TYPE:  Prospectus-Share Offering
BULLETIN DATE:  March 15, 2013
TSX Venture Tier 1 Company

Further to TSX Venture Exchange Bulletin dated February 21, 2013, the Exchange has been advised that the Brokers have exercised the part of the over-allotment option granted to them in connection with the Short Form Prospectus Offering which closed on February 13, 2013.

           
Brokers:          Canaccord Genuity Corp. and Sandler O'Neill and Partners L.P.
           
          Over-Allotment Option Exercised 451,500 shares
           
Share Price:           $5.85 per share
           

________________________________________

CANADIAN IMPERIAL VENTURE CORP. ("CQV")
BULLETIN TYPE:  Consolidation
BULLETIN DATE:  March 15, 2013
TSX Venture Tier 2 Company

Pursuant to a special resolution passed by shareholders on December 14, 2012, the Company has consolidated its capital on a 10 old for 1 new basis.  The name of the Company has not been changed.

Effective at the opening on Monday, March 18, 2013, the common shares of Canadian Imperial Venture Corp. will commence trading on TSX Venture Exchange on a consolidated basis. The Company is classified as a 'Mineral Exploration/Development' company.

               
Post - Consolidation              
Capitalization:            Unlimited  shares with no par value of which
            51,958,838  shares are issued and outstanding
Escrow            Nil  shares
             
Transfer Agent:          Computershare Trust Company of Canada
Trading Symbol:          CQV  (UNCHANGED)
CUSIP Number:          136076205  (new)
             

________________________________________

DEFIANCE SILVER CORP. ("DEF")
BULLETIN TYPE:  Warrant Term Extension
BULLETIN DATE:  March 15, 2013
TSX Venture Tier 2 Company

         
Private Placement:        
# of Warrants:        572,250
Original Expiry Date of Warrants:        April 17, 2013
New Expiry Date of Warrants:        April 17, 2014
Exercise Price of Warrants:        175,025 at $0.65
        397,225 at $0.30
         

These warrants were issued pursuant to a private placement of 1,144,500 shares with 572,250 share
purchase warrants attached, which was accepted for filing by the Exchange effective May 3, 2012.
397,225 warrants were repriced to $0.30 effective December 4, 2012.

________________________________________

DISANI CAPITAL CORP. ("DSN")
[formerly Healthpricer Interactive Limited ("HPC")]
BULLETIN TYPE:  Name Change and Consolidation
BULLETIN DATE: March 15, 2013 
TSX Venture Tier 2 Company

Pursuant to a resolution passed by shareholders on February 28, 2013, the Company has consolidated its capital on a 30 old for 1 new basis.  The name of the Company has also been changed as follows.

Effective at the opening on Monday, March 18, 2013, the common shares of Disani Capital Corp. will commence trading on TSX Venture Exchange, and the common shares of Healthpricer Interactive Limited will be delisted.  The Company is classified as an 'Other' company.

               
Post - Consolidation              
Capitalization:            Unlimited  shares with no par value of which
            3,257,534  shares are issued and outstanding
Escrow:            nil   
             
Transfer Agent:          Computershare Trust Company of Canada
Trading Symbol:          DSN  (new)
CUSIP Number:          25460B105  (new)
             

________________________________________

ELECTRA GOLD LTD. ("ELT")
BULLETIN TYPE:  Property-Asset or Share Purchase Agreement
BULLETIN DATE:  March 15, 2013
TSX Venture Tier 2 Company

TSX Venture Exchange has accepted for expedited filing a Purchase Agreement dated March 2, 2013 between Electra Gold Ltd. (the "Company") and Marcy Kiesman whereby the Company will acquire a 100% interest in 580 Hectares known as the "3 Monster Property", consisting of ten mineral claims, located near Chibougamau, Quebec. Total consideration consists of $5,000 cash and the issuance of 2,000,000 common shares of the Company.

________________________________________

ENVIRONMENTAL WASTE INTERNATIONAL INC. ("EWS")
BULLETIN TYPE:  Private Placement-Non-Brokered
BULLETIN DATE:  March 15, 2013
TSX Venture Tier 2 Company

TSX Venture Exchange has accepted for filing documentation with respect to a Non-Brokered Private Placement announced January 31, 2013:

         
Number of Shares:        4,425,000 shares
         
Purchase Price:        $0.20 per share
         
Warrants:        2,212,500 share purchase warrants to purchase 2,212,500 shares
         
Warrant Exercise Price:        $0.35 for a two year period
         
Number of Placees:        10 placees
         

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.

For further details, please refer to the Company's news release dated March 14, 2013.

________________________________________

GOLD WORLD RESOURCES INC. ("GDW")
BULLETIN TYPE:  Suspend-Failure to Maintain a Transfer Agent
BULLETIN DATE:  March 15, 2013
TSX Venture Tier 2 Company

Further to the TSX Venture Exchange Bulletin dated March 6, 2013, effective at the opening on Monday, March 18, 2013, trading in the shares of the Company will be suspended, the Company having failed to maintain the services of a transfer agent in accordance with Policy 3.1.

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

________________________________________

HEALTHPRICER INTERACTIVE LIMITED ("HPC")
BULLETIN TYPE:  Private Placement-Non-Brokered
BULLETIN DATE:  March 15, 2013
TSX Venture Tier 2 Company

TSX Venture Exchange has accepted for filing documentation with respect to a Non-Brokered Private Placement announced December 19, 2012:

           
Number of Shares:          4,545,455 subscription receipts
           
Purchase Price:          $0.11 per subscription receipt
           
Conversion:          Each subscription receipt will automatically convert into a unit consisting of
one post-consolidation share and one post-consolidation share purchase
warrant upon the completion of the escrow release conditions, which
include the completion of the proposed consolidation, settlement of
outstanding indebtedness and approval for the creation of a new control
position.
           
Warrants:          4,545,455 share purchase warrants to purchase 4,545,455 post-
consolidation shares
           
Warrant Exercise Price:          $0.15 for a two year period
           
Number of Placees:          4 placees
           
Insider / Pro Group Participation:                
                 
        Insider=Y /        
Name        ProGroup=P        # of Shares
                 
Emprise Capital Corporation        Y        4,090,909
                 

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.

________________________________________

HIGH NORTH RESOURCES LTD. ("HN")
BULLETIN TYPE:  Regional Office Change
BULLETIN DATE:  March 15, 2013
TSX Venture Tier 2 Company

Pursuant to Policy 1.2, TSX Venture Exchange has been advised of, and accepted the change of the Filing and Regional Office from Vancouver to Calgary.

________________________________________

IMMUNOVACCINE INC. ("IMV")
BULLETIN TYPE:  Private Placement-Non-Brokered
BULLETIN DATE:  March 15, 2013
TSX Venture Tier 1 Company

TSX Venture Exchange has accepted for filing documentation with respect to a Non-Brokered Private Placement:

                 
Number of Shares:                4,860,244 common shares
                 
Purchase Price:                $0.33 per common share
                 
Number of Placees:                13 placees
                 
Insider / Pro Group Participation:
               
               
Name       Insider = Y /
Pro Group = P
      Number of
Shares
               
Kelligrew Inc. (Wade Dawe)       Y       454,546
               
Albert Scardino       Y       1,734,850
               
Stephanie Leouzon       Y       151,515
               
William Cochrane       Y       30,303
               
Pro Group Involvement       P       100,000
 [1 Placee]                
               
Finders:                      Simon John Frank Bishop
                       
Finders' Fees:                      47,600 common shares
                       

The Company has confirmed the closing of the above-mentioned Private Placement through a press release dated March 5, 2013.

____________________________________

LOMIKO METALS INC. ("LMR")
BULLETIN TYPE:  Halt
BULLETIN DATE:  March 15, 2013
TSX Venture Tier 2 Company

Effective at 6:14 a.m. PST, March 15, 2013, trading in the shares of the Company was halted at the request of the Company, 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.

________________________________________

LOMIKO METALS INC. ("LMR")
BULLETIN TYPE:  Resume Trading
BULLETIN DATE:  March 15, 2013
TSX Venture Tier 2 Company

Effective at 10:30 a.m., PST, March 15, 2013, shares of the Company resumed trading, an announcement having been made.

________________________________________

MAXIM RESOURCES INC. ("MXM")
BULLETIN TYPE:  Remain Halted
BULLETIN DATE:  March 15, 2013
TSX Venture Tier 2 Company

Further to the TSX Venture Exchange ('TSXV') Bulletin dated March 14, 2013, effective at 1:23 p.m.,

March 14, 2013, trading in the shares of the Company will remain halted pending receipt and review of acceptable documentation regarding the Fundamental Acquisition pursuant to TSXV Listings Policy 5.3.

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.

________________________________________

MINT TECHNOLOGY CORP. ("MIT")
BULLETIN TYPE:  Private Placement- Non-Brokered
BULLETIN DATE:  March 15, 2013
TSX Venture Tier 2 Company

TSX Venture Exchange has accepted for filing documentation with respect to a Non-Brokered Private Placement announced January 21, 2013 and March 15, 2013:

         
Number of Shares:        1,190,476 common shares
         
Purchase Price:        $0.105 per share
         
Warrants:        595,238 share purchase warrants to purchase 595,238 shares
         
Warrant Exercise Price:        $0.15 for a two year period
         
Number of Placees:        1 placee
         

Pursuant to Corporate Finance Policy 4.1, Section 1.11(d), the Company has issued a news release announcing the closing of the private placement and setting out the expiry dates of the hold period(s). 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.

________________________________________

NATAN RESOURCES LTD. ("NRL.P")
BULLETIN TYPE:  Notice - QT Not Completed - Approaching 24 Months of Listing
BULLETIN DATE:  March 15, 2013
TSX Venture Tier 2 Company

The shares of the Company were listed on TSX Venture Exchange on April 15, 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 April 15, 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.

__________________________________________________

PETRICHOR ENERGY INC. ("PTP")
BULLETIN TYPE:  Warrant Term Extension
BULLETIN DATE:  March 15, 2013
TSX Venture Tier 2 Company

TSX Venture Exchange has consented to the extension in the expiry date of the following warrants:

         
# of Warrants:        2,000,000 
Original Expiry Date of Warrants:        April 3, 2013
New Expiry Date of Warrants:        April 3, 2015
Exercise Price of Warrants:        $0.35
         

These warrants were issued pursuant to a private placement of 2,000,000 shares with 2,000,000 share purchase warrants attached, which was announced by the Company on March 17, 2011.

________________________________________

PETRICHOR ENERGY INC. ("PTP")
BULLETIN TYPE:  Warrant Term Extension
BULLETIN DATE:  March 15, 2013
TSX Venture Tier 2 Company

TSX Venture Exchange has consented to the extension in the expiry date of the following warrants:

         
# of Warrants:        4,575,000 
Original Expiry Date of Warrants:        April 8, 2013
New Expiry Date of Warrants:        April 3, 2015
Exercise Price of Warrants:        $0.35
         

These warrants were issued pursuant to a private placement of 2,000,000 shares with 2,000,000 share purchase warrants attached, which was announced by the Company on February 9, 2012.

_____________________________

ROGUE IRON ORE CORP. ("RRS")
BULLETIN TYPE:  Property-Asset or Share Disposition Agreement, Correction
BULLETIN DATE:  March 15, 2013
TSX Venture Tier 2 Company

Further to the TSX Venture Exchange Bulletin dated March 7, 2013, the Bulletin should have read as follows:

TSX Venture Exchange has accepted for filing documentation related to a plan of arrangement dated January 17, 2013 between Rogue Iron Ore Corp. ("Rogue") and Rapier Gold Inc. ("Rapier"). Pursuant to special resolutions passed by the shareholders of Rogue on February 22, 2013, Rogue and Rapier have completed a plan of arrangement under Sections 288 of the Business Corporations Act (British Columbia).  The Plan of Arrangement has been granted court approval on February 26, 2013.

The transaction, by way of an Arrangement under the Act, will result in the spin out of Rapier to the Rogue Shareholders on the basis of one (1) Rapier Share for every four and forty nine one hundredths (4.49) Rogue Shares held on the Share Exchange Record date of February 25, 2013.  Upon the Arrangement becoming effective:

  • Rapier will no longer be a subsidiary of Rogue and the shareholders of Rogue will hold, directly, shares in the capital of Rapier; and
  • Rapier will focus its business primarily on the exploration and development of gold on the Pen Gold Property and Rogue will focus its business primarily on the exploration and development of iron ore on the Radio Hill Property as well as various minerals on its other properties.

Further information on the transaction is available in the Information Circular dated January 18, 2013 on Rogue's SEDAR profile.

________________________________________

SIERRA METALS INC. ("SMT")
BULLETIN TYPE:  Regional Office Change
BULLETIN DATE:  March 15, 2013
TSX Venture Tier 2 Company

Pursuant to Policy 1.2, TSX Venture Exchange has been advised of and has accepted the Company's request to change its regional office from Montréal, Québec to Vancouver, British Columbia.

SIERRA METALS INC. (« SMT »)
TYPE DE BULLETIN : Changement de bureau régional
DATE DU BULLETIN : Le 15 mars 2013
Société du groupe 2 de TSX Croissance

En vertu de la Politique 1.2, Bourse de croissance TSX a été avisée et a accepté la demande de la société pour le changement de son bureau régional de Montréal, Québec à Vancouver, Colombie-Britannique.

________________________________________

SUMMIT INDUSTRIAL INCOME REAL ESTATE INVESTMENT TRUST ("SMU.UN")
BULLETIN TYPE:  Miscellaneous
BULLETIN DATE:  March 15, 2013
TSX Venture Tier 1 Company

The TSX Venture Exchange has accepted for filing Summit Industrial Income REIT's (the "Trust's") Dividend Reinvestment Plan (the "Plan"). The Trust has reserved 1,801,311 Trust Units under the Plan.

The Trust will determine on or before each Distribution record date the amount of equity, if any, that will be made available under the Plan on the Distribution payment date to which such record date relates.

An Eligible Holder may direct that Distributions payable in respect of all or some of the Trust Units held for such Unitholder under the Plan, be applied to the purchase of additional Trust Units. The price of Trust Units purchased with reinvested Distributions will be at a 5% discount to the weighted average closing price of the Trust Units, for the 5 trading days  immediately preceding the date of distribution declared by the Trust.

Eligible holders under the Plan, include registered holders of Trust Units or units of subsidiaries of the Trust, who, on the applicable record date for a distribution, is a Canadian resident for purposes of the Income Tax Act (Canada) and is otherwise eligible to participate in the Plan.

For more information, refer to the Trust's press releases dated March 15, 2013.

________________________________________

TERREX ENERGY INC. ("TER")
BULLETIN TYPE:  Halt
BULLETIN DATE:  March 15, 2013
TSX Venture Tier 2 Company

Effective at 5:55 a.m. PST, March 15, 2013, trading in the shares of the Company was halted at the request of the Company, 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.

________________________________________

URAGOLD BAY RESOURCES INC. ("UBR")
BULLETIN TYPE:  Private Placement-Non-Brokered
BULLETIN DATE:  March 15, 2013
TSX Venture Tier 2 Company

TSX Venture Exchange has accepted for filing documentation with respect to a Non-Brokered Private Placement announced on March 14, 2013:

             
Number of Shares:            1,970,000 common shares
             
Purchase Price:            $0.06 per common share
             
Warrants:            1,970,000 warrants to purchase a maximum of 1,970,000 common shares
             
Warrant Exercise Price:            $0.10 per share for a period of 24 months following the closing of the
Private Placement
             
Number of Placees:            4 placees
             
Insider / Pro Group Participation:                
                 
Name       Insider = Y /        
        Pro Group = P       Number of Shares
                 
3245004 Canada Inc.       Y       1,000,000
                 

The Company has confirmed the closing of the above-mentioned Private Placement by way of a press release.

RESSOURCES DE LA BAIE D'URAGOLD INC. (« UBR »)
TYPE DE BULLETIN : Placement privé sans l'entremise d'un courtier
DATE DU BULLETIN : Le 15 mars 2013
Société du groupe 2 de TSX croissance

Bourse de croissance TSX a accepté le dépôt de la documentation en vertu d'un placement privé sans l'entremise d'un courtier, tel qu'annoncé le 14 mars 2013 :

               
Nombre d'actions :              1 970 000 actions ordinaires
               
Prix :              0,06 $ par action ordinaire
               
Bons de souscription :              1 970 000 bons de souscription permettant de souscrire à 1 970 000 actions ordinaires
               
Prix d'exercice des bons :              0,10 $ par action pour une période de 24 mois suivant la clôture du placement privé
               
Nombre de souscripteurs :              4 souscripteurs
               
Participation des initiés / Groupe Pro :                
                 
Nom       Initié = Y /        
        Groupe Pro = P       Nombre d'actions
                 
3245004 Canada inc.       Y       1 000 000
                 

La société a confirmé la clôture du placement privé précité par voie d'un communiqué de presse.

_________________________________________

VANOIL ENERGY LTD. ("VEL")
BULLETIN TYPE:  Halt
BULLETIN DATE:  March 15, 2013
TSX Venture Tier 2 Company

Effective at 6:25 a.m. PST, March 15, 2013, trading in the shares of the Company was halted at the request of the Company, 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.

________________________________________

VANOIL ENERGY LTD. ("VEL")
BULLETIN TYPE:  Resume Trading
BULLETIN DATE:  March 15, 2013
TSX Venture Tier 2 Company

Effective at 12:00 p.m., PST, March 15, 2013, shares of the Company resumed trading, an announcement having been made.

________________________________________

VICTORY RESOURCES CORPORATION ("VR")
BULLETIN TYPE:  Warrant Term Extension
BULLETIN DATE:  March 15, 2013
TSX Venture Tier 2 Company

TSX Venture Exchange has consented to the extension in the expiry date of the following warrants:

         
Private Placement:        
         
# of Warrants:        2,022,500
Original Expiry Date of Warrants:        March 15, 2013
New Expiry Date of Warrants:        April 29, 2013
Exercise Price of Warrants:        $0.20
Forced Exercise Provision:        If the closing price for the Company's shares is $0.25 or
greater for a period of 10 consecutive trading days, then
the warrant holders will have 30 days to exercise their
warrants; otherwise the warrants will expire on the 31st
day.
         

These warrants were issued pursuant to a private placement of 4,045,000 shares with 2,022,500 share purchase warrants attached, which was accepted for filing by the Exchange effective October 27, 2010.

________________________________________

WPC RESOURCES INC. ("WPQ")
BULLETIN TYPE:  Halt
BULLETIN DATE:  March 15, 2013
TSX Venture Tier 2 Company

Effective at 5:00 a.m. PST, March 15, 2013, trading in the shares of the Company was halted for failure to maintain a Transfer Agent. 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.

________________________________________

ZONTE METALS INC. ("ZON")
BULLETIN TYPE:  Warrant Price Amendment
BULLETIN DATE:  March 15, 2013
TSX Venture Tier 2 Company

TSX Venture Exchange has consented to the reduction in the exercise price of the following Warrants:

         
Number of Warrants:        1,240,020
Expiry Date of Warrants:        November 19, 2013
Original Exercise Price of Warrants:        $0.35
New Exercise Price of Warrants:        $0.18
Accelerated Expiry Provision:        If the closing price of the shares exceeds $0.225 for a
period of 10 consecutive trading days, then the warrant
holders will have 30 days to exercise their warrants.
         

These warrants were issued pursuant to a private placement of a total of 2,480,040 common shares and 796,733 flow-through common shares and 1,240,020 warrants, as approved by the Exchange on December 14, 2011.

ZONTE METALS INC. (« ZON »)
TYPE DE BULLETIN : Modification du prix d'exercice des bons de souscription
DATE DU BULLETIN : Le 15 mars 2013
Société du groupe 2 de TSX Croissance

Bourse de croissance TSX a accepté la diminution au prix d'exercice des bons de souscription (les « bons ») suivants :

         
Nombre de bons :        1 240 020
Date d'échéance des bons :        Le 19 novembre 2013
Prix d'exercice des bons à l'origine :        0,35 $
Nouveau prix d'exercice des bons :        0,18 $
Disposition d'accélération de l'échéance :        Si le cours de clôture des actions de la société est
supérieur à 0,225 $ pour une période de 10 jours de
transaction consécutifs, les détenteurs des bons auront
30 jours pour exercer leurs bons.
         

Ces bons ont été émis en vertu d'un placement privé de 2 480 040 actions ordinaires et de 796 733 actions ordinaires accréditives, ainsi que 1 240 020 bons de souscription tel qu'approuvé par la Bourse en date du 14 décembre 2011.

________________________________________

NEX COMPANY:

MONTREUX CAPITAL CORP. ("MRX.H")
BULLETIN TYPE:  Resume Trading
BULLETIN DATE:  March 15, 2013
NEX Company

Effective at the open on Monday, March 18, 2013, shares of the Company will resume trading, an announcement having been made by the Company on March 14, 2013.

________________________________________  

 

SOURCE: TSX Venture Exchange

Market Information Services at 1-888-873-8392, or email: [email protected]

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