Proceedings

Notice from the
Office of the Secretary
Ontario

Ontario Securities
Commission


20 Queen St. W.
Box 55, Suite 1900
Toronto, ON M5H 3S8
Commission des valeurs mobilières de l'Ontario
FOR IMMEDIATE RELEASE

September 1, 2009


IN THE MATTER OF THE SECURITIES ACT
R.S.O. 1990, c. S.5, AS AMENDED

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IN THE MATTER OF W.J.N. HOLDINGS INC., MSI CANADA INC., 360 DEGREE
FINANCIAL SERVICES INC., DOMINION INVESTMENTS CLUB INC., LEVERAGEPRO
INC., PROSPOREX INVESTMENT CLUB INC., PROSPOREX INVESTMENTS INC.,
PROSPOREX LTD., PROSPOREX INC., NETWORTH FINANCIAL GROUP INC.,
NETWORTH MARKETING SOLUTIONS, DOMINION ROYAL CREDIT UNION,
DOMINION ROYAL FINANCIAL INC., WILTON JOHN NEALE, EZRA DOUSE, ALBERT
JAMES, ELNONIETH “NONI” JAMES, DAVID WHITELY, CARLTON IVANHOE LEWIS,
MARK ANTHONY SCOTT, SEDWICK HILL, TRUDY HUYNH, DORLAN FRANCIS,
VINCENT ARTHUR, CHRISTIAN YEBOAH, AZUCENA GARCIA, and ANGELA CURRY


TORONTO – Following the in camera motion hearing held on August 25, 2009, the Commission issued an Order in the above matter which provides that (a) the Temporary Order of March 24, 2009 is varied so as to delete the exemption permitting Hill to sell mutual funds in accordance with his licence for the purpose of working at Keybase Financial Group Inc.; and (b) the variation ordered herein shall be operative until November 24, 2009, and the March 24, 2009 Temporary Order as varied by this Order is extended to November 24, 2009 at 2:30 p.m. unless otherwise ordered by the Commission.

A copy of the Order dated August 25, 2009 is available at www.osc.gov.on.ca


OFFICE OF THE SECRETARY
JOHN P. STEVENSON
SECRETARY


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