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        <title>Orders, Rulings and Decisions</title> 
        <link>http://www.osc.gov.on.ca/</link> 
        <description>This feed contains orders, rulings and decisions issued by the Commission on discretionary relief, cease trade orders, take-over bids, enforcement proceedings and other matters.</description> 
        <language>en-us</language> 
        <pubDate>Fri, 10 Feb 2012 18:03:42EST</pubDate> 
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            <title><![CDATA[Boily, Bernard -- Rule 6.7 of the OSC Rules of Procedure]]></title>
            <link>http://www.osc.gov.on.ca/en/SecuritiesLaw_ord_20120210_224_boily.htm?RSS=ORDEN</link> 
            <description><![CDATA[WHEREAS the Ontario Securities Commission (the "Commission") issued a Notice of Hearing and Staff of the Commission ("Staff") filed a Statement of Allegations in this matter on March 29, 2011 against Bernard Boily (the "Respondent") ...]]></description> 
            <pubDate>Fri, 10 Feb 2012 00:00:00EST</pubDate>
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            <title><![CDATA[Global Energy Group, Ltd. et al. -- s. 127]]></title>
            <link>http://www.osc.gov.on.ca/en/SecuritiesLaw_ord_20120210_2213_global-energy.htm?RSS=ORDEN</link> 
            <description><![CDATA[WHEREAS on June 8, 2010, the Commission issued a Notice of Hearing pursuant to sections 37, 127 and 127.1 of the Securities Act, R.S.O. 1990, c. S.5, as amended (the "Act") accompanied ...]]></description> 
            <pubDate>Fri, 10 Feb 2012 00:00:00EST</pubDate>
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            <title><![CDATA[Mitchell, Bruce Carlos -- ss. 127, 127.1]]></title>
            <link>http://www.osc.gov.on.ca/en/SecuritiesLaw_ord_20120210_228_mitchellbc.htm?RSS=ORDEN</link> 
            <description><![CDATA[WHEREAS on November 22, 2011, the Ontario Securities Commission (the "Commission") issued a Notice of Hearing that it proposed to hold a hearing to consider whether ...]]></description> 
            <pubDate>Fri, 10 Feb 2012 00:00:00EST</pubDate>
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            <title><![CDATA[O'Brien, David M.]]></title>
            <link>http://www.osc.gov.on.ca/en/SecuritiesLaw_ord_20120210_226_obriend.htm?RSS=ORDEN</link> 
            <description><![CDATA[WHEREAS on December 8, 2010, the Secretary of the Ontario Securities Commission (the "Commission") issued a Notice of Hearing, pursuant to sections 37, 127 and 127.1 of the <i>Securities Act</i>, R.S.O. 1990, c. S.5, as amended ...]]></description> 
            <pubDate>Fri, 10 Feb 2012 00:00:00EST</pubDate>
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            <title><![CDATA[Ontario Power Generation Inc.]]></title>
            <link>http://www.osc.gov.on.ca/en/SecuritiesLaw_ord_20120210_212_opg-inc.htm?RSS=ORDEN</link> 
            <description><![CDATA[Headnote - Multilateral Instrument 11-102 Passport System and National Policy 11-203 Process for Exemptive Relief Applications in Multiple Jurisdictions ...]]></description> 
            <pubDate>Fri, 10 Feb 2012 00:00:00EST</pubDate>
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            <title><![CDATA[Cenovus Energy Inc.]]></title>
            <link>http://www.osc.gov.on.ca/en/SecuritiesLaw_ord_20120210_217_cenovus.htm?RSS=ORDEN</link> 
            <description><![CDATA[Headnote - National Policy 11-203 Process for Exemptive Relief Applications in Multiple Jurisdictions -- Filer granted exemption from the prospectus requirement in connection with trades of commercial ...]]></description> 
            <pubDate>Fri, 10 Feb 2012 00:00:00EST</pubDate>
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            <title><![CDATA[Sprott Asset Management LP et al.]]></title>
            <link>http://www.osc.gov.on.ca/en/SecuritiesLaw_ord_20120210_215_sprott.htm?RSS=ORDEN</link> 
            <description><![CDATA[Headnote - National Policy 11-203 Process for Exemptive Relief Decisions in Multiple Jurisdictions -- exemption granted to (i) gold corporate class fund to invest 100% of assets in and underlying gold fund (ii) ...]]></description> 
            <pubDate>Fri, 10 Feb 2012 00:00:00EST</pubDate>
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            <title><![CDATA[Boock, Irwin et al. -- ss. 127, 127.1]]></title>
            <link>http://www.osc.gov.on.ca/en/SecuritiesLaw_ord_20120210_229_boocki.htm?RSS=ORDEN</link> 
            <description><![CDATA[WHEREAS on October 16, 2008, the Ontario Securities Commission (the "Commission") commenced the within proceeding by issuing a Notice of Hearing pursuant to sections 127 and 127.1 of the Securities Act ...]]></description> 
            <pubDate>Fri, 10 Feb 2012 00:00:00EST</pubDate>
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            <title><![CDATA[Morgan Dragon Development Corp, John Cheong, and Herman Tse - Opportunity to be Heard]]></title>
            <link>http://www.osc.gov.on.ca/en/SecuritiesLaw_ord_20120210_oth_morgan-dragon.htm?RSS=ORDEN</link> 
            <description><![CDATA[My decision is that the registrations of Morgan Dragon Development Corp. (Morgan Dragon), John Cheong, and Herman Tse (collectively, the Applicants) are suspended effective January 27, 2012. My decision is based on the ...]]></description> 
            <pubDate>Fri, 10 Feb 2012 00:00:00EST</pubDate>
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            <title><![CDATA[Angus Mining (Namibia) Inc. -- s. 104(2)(c)]]></title>
            <link>http://www.osc.gov.on.ca/en/SecuritiesLaw_ord_20120210_225_angus-mining.htm?RSS=ORDEN</link> 
            <description><![CDATA[Headnote - Multilateral Instrument 11-102 Passport System and National Policy 11-203 Process for Exemptive Relief Applications in Multiple Jurisdictions ...]]></description> 
            <pubDate>Fri, 10 Feb 2012 00:00:00EST</pubDate>
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            <title><![CDATA[Ciccone, Vincent and Medra Corp. -- Rule 6.7 of the OSC Rules of Procedure]]></title>
            <link>http://www.osc.gov.on.ca/en/SecuritiesLaw_ord_20120210_2211_ciccone-medra.htm?RSS=ORDEN</link> 
            <description><![CDATA[WHEREAS on October 3, 2011, the Ontario Securities Commission (the "Commission") issued a Notice of Hearing (the "Notice of Hearing") pursuant to section 127 of the Securities Act ...]]></description> 
            <pubDate>Fri, 10 Feb 2012 00:00:00EST</pubDate>
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            <title><![CDATA[Ameron Oil and Gas Ltd. et al.]]></title>
            <link>http://www.osc.gov.on.ca/en/SecuritiesLaw_ord_20120210_222_ameron-oil.htm?RSS=ORDEN</link> 
            <description><![CDATA[WHEREAS on April 6, 2010, the Ontario Securities Commission (the "Commission") issued a temporary cease trade order pursuant to subsections 127(1) and 127(5) of the Securities Act ...]]></description> 
            <pubDate>Fri, 10 Feb 2012 00:00:00EST</pubDate>
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        <item>
            <title><![CDATA[ING Direct Asset Management Limited and ING Direct Funds Limited]]></title>
            <link>http://www.osc.gov.on.ca/en/SecuritiesLaw_ord_20120210_211_ing-direct.htm?RSS=ORDEN</link> 
            <description><![CDATA[Headnote - National Policy 11-203 Process for Exemptive Relief Applications in Multiple Jurisdictions -- Relief granted from the Securities Act to permit a dealer to send or deliver the Fund Facts ...]]></description> 
            <pubDate>Fri, 10 Feb 2012 00:00:00EST</pubDate>
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        <item>
            <title><![CDATA[Credit Suisse Securities (USA) LLC]]></title>
            <link>http://www.osc.gov.on.ca/en/SecuritiesLaw_ord_20120210_218_credit-suisse.htm?RSS=ORDEN</link> 
            <description><![CDATA[Headnote - Multilateral Instrument 11-102, section 4.7(1) -- Exemption granted from requirement to file Form 31-103 F1 -- U.S. broker/dealer subject to U.S. reporting requirements ...]]></description> 
            <pubDate>Fri, 10 Feb 2012 00:00:00EST</pubDate>
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            <title><![CDATA[Zungui Haixi Corporation -- ss. 127(1), 127(8)]]></title>
            <link>http://www.osc.gov.on.ca/en/SecuritiesLaw_ord_20120210_227_zungui.htm?RSS=ORDEN</link> 
            <description><![CDATA[WHEREAS on September 16, 2011, the Ontario Securities Commission (the "Commission") issued a temporary cease trade order pursuant to subsections 127(1) and 127(5) of the Securities Act ...]]></description> 
            <pubDate>Fri, 10 Feb 2012 00:00:00EST</pubDate>
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            <title><![CDATA[Ciccone Group et al. -- ss. 127(7), 127(8)]]></title>
            <link>http://www.osc.gov.on.ca/en/SecuritiesLaw_ord_20120210_2212_ciccone-group.htm?RSS=ORDEN</link> 
            <description><![CDATA[WHEREAS on April 21, 2010, the Ontario Securities Commission (the "Commission") issued a Temporary Order pursuant to subsections 127(1) and 127(5) of the Securities Act ...]]></description> 
            <pubDate>Fri, 10 Feb 2012 00:00:00EST</pubDate>
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            <title><![CDATA[Third Canadian General Investment Trust Limited]]></title>
            <link>http://www.osc.gov.on.ca/en/SecuritiesLaw_ord_20120210_219_third.htm?RSS=ORDEN</link> 
            <description><![CDATA[Headnote - National Policy 11-203 Process for Exemptive Relief Applications in Multiple Jurisdictions -- Closed-end investment fund granted relief to cease to be a reporting issuer under applicable securities laws ...]]></description> 
            <pubDate>Fri, 10 Feb 2012 00:00:00EST</pubDate>
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        <item>
            <title><![CDATA[HEIR Home Equity Investment Rewards Inc. et al. -- ss. 127(1), 127.1]]></title>
            <link>http://www.osc.gov.on.ca/en/SecuritiesLaw_ord_20120210_2210_heir-home.htm?RSS=ORDEN</link> 
            <description><![CDATA[WHEREAS on March 29, 2011, the Ontario Securities Commission (the "Commission") issued a Notice of Hearing pursuant to sections 127 and 127.1 of the <i>Securities Act</i>, R.S.O. 1990, c. S.5, as amended in connection ...]]></description> 
            <pubDate>Fri, 10 Feb 2012 00:00:00EST</pubDate>
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            <title><![CDATA[Deans Knight Capital Management Ltd.]]></title>
            <link>http://www.osc.gov.on.ca/en/SecuritiesLaw_ord_20120210_2110_deans-knight.htm?RSS=ORDEN</link> 
            <description><![CDATA[Headnote - National Policy 11-203 -- Process for Exemptive Relief Applications in Multiple Jurisdictions -- Relief granted from paragraph 4.2(1) of NI 81-102 to permit inter-fund trades between public mutual funds ...]]></description> 
            <pubDate>Fri, 10 Feb 2012 00:00:00EST</pubDate>
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            <title><![CDATA[Vinci S.A.]]></title>
            <link>http://www.osc.gov.on.ca/en/SecuritiesLaw_ord_20120210_213_vinci.htm?RSS=ORDEN</link> 
            <description><![CDATA[Headnote - National Policy 11-203 -- Process For Exemptive Relief Applications in Multiple Jurisdictions -- Dual application for Exemptive Relief Applications ...]]></description> 
            <pubDate>Fri, 10 Feb 2012 00:00:00EST</pubDate>
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            <title><![CDATA[Hathor Exploration Limited -- s. 1(10)]]></title>
            <link>http://www.osc.gov.on.ca/en/SecuritiesLaw_ord_20120210_216_hathor.htm?RSS=ORDEN</link> 
            <description><![CDATA[Headnote - National Policy 11-203 Process for Exemptive Relief Applications in Multiple Jurisdictions -- application for an order that the issuer is not a reporting issuer ...]]></description> 
            <pubDate>Fri, 10 Feb 2012 00:00:00EST</pubDate>
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            <title><![CDATA[Phoenix Credit Risk Management Consulting Inc. et al. -- ss. 127, 127.1, 144 of the SA, s. 9 of the SPPA and Rule 5.2 of the OSC Rules of Procedure]]></title>
            <link>http://www.osc.gov.on.ca/en/SecuritiesLaw_ord_20120210_221_phoenix.htm?RSS=ORDEN</link> 
            <description><![CDATA[WHEREAS on December 15, 2011, the Ontario Securities Commission (the "Commission") issued a Notice of Hearing pursuant to sections 127 and 127.1 of the <i>Securities Act</i>, R.S.O. 1990, c. S.5, as amended, in respect ...]]></description> 
            <pubDate>Fri, 10 Feb 2012 00:00:00EST</pubDate>
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        <item>
            <title><![CDATA[Deans Knight Capital Management Ltd.]]></title>
            <link>http://www.osc.gov.on.ca/en/SecuritiesLaw_ord_20120210_2111_deans-knight.htm?RSS=ORDEN</link> 
            <description><![CDATA[Headnote - National Policy 11-203 -- Process for Exemptive Relief Applications in Multiple Jurisdictions -- Relief granted from paragraph 13.5(2)(b) of NI 31-103 to permit inter-fund trades ...]]></description> 
            <pubDate>Fri, 10 Feb 2012 00:00:00EST</pubDate>
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            <title><![CDATA[Sprott Asset Management LP]]></title>
            <link>http://www.osc.gov.on.ca/en/SecuritiesLaw_ord_20120210_214_sprott-asset.htm?RSS=ORDEN</link> 
            <description><![CDATA[Headnote - National Policy 11-203 Process for Exemptive Relief Applications in Multiple Jurisdictions -- relief granted from section 4.1 of NI 81-102 to permit dealer-managed mutual funds to invest ...]]></description> 
            <pubDate>Fri, 10 Feb 2012 00:00:00EST</pubDate>
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        <item>
            <title><![CDATA[Firestar Capital Management Corp. et al. -- s. 127]]></title>
            <link>http://www.osc.gov.on.ca/en/SecuritiesLaw_ord_20120210_223_firestar.htm?RSS=ORDEN</link> 
            <description><![CDATA[WHEREAS on December 10, 2004, the Ontario Securities Commission (the "Commission") issued a Notice of Hearing pursuant to s.127 of the Securities Act, R.S.O. 1990, c. S.5, as amended ...]]></description> 
            <pubDate>Fri, 10 Feb 2012 00:00:00EST</pubDate>
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