EX-99.110 108 d794831dex99110.htm EX-99.110 EX-99.110

Exhibit 99.110

April 11, 2015

FORM 13-502F1

CLASS 1 AND CLASS 3B REPORTING ISSUERS - PARTICIPATION FEE

 

MANAGEMENT CERTIFICATION

I, Patrick Sartore, an officer of the reporting issuer noted below have examined this Form 13-502F1 (the Form) being submitted hereunder to the Ontario Securities Commission and certify that to my knowledge, having exercised reasonable diligence, the information provided in the Form is complete and accurate.

 

(s)   

Patrick Sartore

     

March 28, 2018

Name: Patrick Sartore       Date:
Title: Chief Legal Officer and Corporate      

+

 

Reporting Issuer Name: Prometic Life Sciences Inc.   
End date of previous financial year: December 31, 2017   

Type of Reporting Issuer:             ☒ Class 1 Reporting Issuer             ☐ Class 3B Reporting Issuer

Highest Trading Marketplace: Toronto Stock Exchange

(refer to the definition of “highest trading marketplace” under OSC Rule 13-502 Fees)

Market value of listed or quoted equity securities:

(in Canadian Dollars - refer to section 7.1 of OSC Rule 13-502 Fees)

Equity Symbol PLI

 

1st Specified Trading Period

(refer to the definition of “specified trading period” under OSC Rule 13-502 Fees)

   01/01/2017      to        31/03/2017  
  

 

     

 

 

 
   (DD/MM/YY)         (DD/MM/YY)  

Closing price of the security in the class or series on the last trading day of the specified trading period in which such security was listed or quoted on the highest trading marketplace

         $ 2.30 (i) 
        

 

 

 

Number of securities in the class or series of such security outstanding at the end of the last trading day of the specified trading period

           668,691,694 (ii) 
        

 

 

 

Market value of class or series

   (i) x (ii)       $ 1,537,990,896 (A) 
        

 

 

 

2nd Specified Trading Period

(refer to the definition of “specified trading period” under OSC Rule 13-502 Fees)

   01/04/2017      to        30/06/2017  
  

 

     

 

 

 
   (DD/MM/YY)         (DD/MM/YY)  

Closing price of the security in the class or series on the last trading day of the specified trading period in which such security was listed or quoted on the highest trading marketplace

         $ 1.68 (iii) 
        

 

 

 

Number of securities in the class or series of such security outstanding at the end of the last trading day of the specified trading period

           669,546,147 (iv) 
        

 

 

 

Market value of class or series

   (iii) x (iv)       $ 1,124,837,527 (B) 
        

 

 

 
        

3rd Specified Trading Period

(refer to the definition of “specified trading period” under OSC Rule 13-502 Fees)

   01/07/2017      to        30/09/2017  
  

 

     

 

 

 
   (DD/MM/YY)         (DD/MM/YY)  

Closing price of the security in the class or series on the last trading day of the specified trading period in which such security was listed or quoted on the highest trading marketplace

         $ 1.60 (v) 
        

 

 

 

Number of securities in the class or series of such security outstanding at the end of the last trading day of the specified trading period

           707,377,516 (vi) 
        

 

 

 

Market value of class or series

   (v) x (vi)       $ 1,131,804,026 (c) 
        

 

 

 
        


4th Specified Trading Period

(refer to the definition of “specified trading period” under OSC Rule 13-502 Fees)

   01/10/2017    to      31/12/2017  
  

 

     

 

 

 
   (DD/MM/YY)         (DD/MM/YY)  

Closing price of the security in the class or series on the last trading day of the specified trading period in which such security was listed or quoted on the highest trading marketplace

         $ 1.30 (vii) 
        

 

 

 

Number of securities in the class or series of such security outstanding at the end of the last trading day of the specified trading period

           710,593,273 (viii) 
        

 

 

 

Market value of class or series

   (vii) x (viii)       $ 923,771,255 (D) 
        

 

 

 

5th Specified Trading Period (if applicable)

(refer to the definition of “specified trading period” under OSC Rule 13-502 Fees)

   n/a    to      n/a  
  

 

     

 

 

 
  

(DD/MM/YY)

        (DD/MM/YY)  

Closing price of the security in the class or series on the last trading day of the specified trading period in which such security was listed or quoted on the highest trading marketplace

         $        (ix) 
        

 

 

 

Number of securities in the class or series of such security outstanding at the end of the last trading day of the specified trading period

                (x) 
        

 

 

 

Market value of class or series

   (ix) x (x)       $ n/a (E) 
        

 

 

 

Average Market Value of Class or Series

(Calculate the simple average of the market value of the class or series of security for each applicable specified trading period (i.e. A through E above))

         $ 1,179,600,926 (1) 
        

 

 

 
(Repeat the above calculation for each other class or series of equity securities of the reporting issuer (and a subsidiary pursuant to paragraph 2.8(1)(c) of OSC Rule 13-502 Fees, if applicable) that was listed or quoted on a marketplace at the end of the previous financial year)

 

Fair value of outstanding debt securities

(See paragraph 2.8(1)(b), and if applicable, paragraph 2.8(1)(c) of OSC Rule 13-502 Fees)

         $ n/a (2) 
        

 

 

 

(Provide details of how value was determined)

        

Capitalization for the previous financial year

   (1) + (2)       $ 1,179,600,926  
        

 

 

 

Participation Fee

        

(For Class 1 reporting issuers, from Appendix A of OSC Rule 13-502 Fees, select the participation fee

(For Class 3B reporting issuers, from Appendix A.1 of OSC Rule 13-502 Fees, select the participation fee)

         $ 59,350  
        

 

 

 

Late Fee, if applicable

(As determined under section 2.7 of OSC Rule 13-502 Fees)

         $ n/a  
        

 

 

 

Total Fee Payable

(Participation Fee + Late Fee)

         $ 59,350