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Arctic Glacier Income Fund

Arctic Glacier Income Fund
Listing Exchange: 
CSE
Status: 
Delisted
Industry: 
Diversified Industries
Symbol: 
AG.UN
CSE Index: 
Currency: 

On August 15, 2012, the Fund announced (the “Default Announcement”) that it would not be able to file an interim financial report and interim management's discussion and analysis for the period ended June 30, 2012, together with the related certification of filings under National Instrument 52-109 Certification of Disclosure in Issuers’ Annual and Interim Filings (collectively, the “Continuous Disclosure Documents”) by August 29, 2012, the deadline prescribed by securities legislation (the “Specified Requirement”). Except as discussed below, there have been no material changes to the information contained in the Default Announcement or any other changes required to be disclosed under National Policy 12-203. The Fund still intends to file the Continuous Disclosure Documents as soon as is commercially reasonable, or as required by the Manitoba Court of Queen's Bench pursuant to the Fund's Companies’ Creditors Arrangement Act (the “CCAA”) proceedings. More information about the Arctic Glacier Parties’ CCAA proceeding can be found on the website of its Court-appointed monitor at http://www.alvarezandmarsal.com/arctic-glacier-income-fund-arctic-glacier-inc-andsubsidiaries.

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Arctic Glacier Income Fund (AG.UN)

SEDAR Information

Company Info

Address
625 Henry Avenue
Winnipeg, MB R3A 0V1
Canada
Phone
1-204-772-2473
Fax
1-204-783-9857
Email
nwinther@arcticglacier.com
Website
http://www.arcticglacier.com
Listing date
Monday, January 9, 2012
Investor Relations
Barnes Communications Inc.
Auditor
KPMG LLP

Capitalization

Issued & Outstanding: 
350317221
Reserved for Issuance: 
356479221

News Releases

05/10/2022

Press Release

30/09/2022

Press Release

Bulletins

30/09/2022

2022-0941 - Notice of Distribution and Delist - Arctic Glacier Income Fund (AG.UN)

Le 30 septembre/September2022

Arctic Glacier Income Fund (the “Fund”) has announced its intention to make a final distribution to unitholders of the Fund, terminate the Fund and delist the units.