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Silver Range Resources Ltd. Regulatory Filings 2020

Mar 27, 2020

46877_rns_2020-03-27_6992fe85-e680-4c4d-b494-611eabce0cb0.pdf

Regulatory Filings

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Note: [01 Mar 2017] – The following is a consolidation of 13-501F1. It incorporates amendments to this document that came into effect on March 1, 2017. This consolidation is provided for your convenience and should not be relied on as authoritative.

FORM 13-501F1

CLASS 1 REPORTING ISSUERS AND CLASS 3B REPORTING ISSUERS – PARTICIPATION FEE

MANAGEMENT CERTIFICATION

I, Glenn R. Yeadon, an officer of the reporting issuer noted below have examined this Form 13-501F1 (the Form) being submitted hereunder to the Alberta Securities Commission and certify that to my knowledge, having exercised reasonable diligence, the information provided in the Form is complete and accurate.

"Glenn R. Yeadon" March 26, 2020 Name: Glenn R. Yeadon Date: Title: Corporate Secretary

Reporting Issuer Name: Silver Range Resources Ltd. End date of previous financial year: December 31, 2019 Type of Reporting Issuer: [×] Class 1 reporting issuer [ ] Class 3B reporting issuer Highest Trading Marketplace: TSX Venture Exchange

Market value of listed or quoted equity securities:

Equity Symbol SNG 1st Specified Trading Period (dd/mm/yy) 01/01/19 to 31/03/19

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

$ 0.1000 (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 73,958,718 (ii)

(i) x (ii) $ 7,395,871.8000 (A)

Market value of class or series

2nd Specified Trading Period (dd/mm/yy)

01/04/19 to 30/06/19

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

$ 0.1000 (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 74,358,718 (iv)

(iii) x (iv) $ 7,435,871.8000 (B)

Market value of class or series

3rd Specified Trading Period (dd/mm/yy)

01/07/19 to 30/09/19

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

$ 0.1100 (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 74,358,718 (vi)

Market value of class or series

(v) x (vi) $ 8,179,458.9800 (C)


4th Specified Trading Period (dd/mm/yy) 01/10/19 to 31/12/19

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 $ 0.0900 (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 74,784,201 (viii)

(vii) x (viii) $ 6,730,578.0900 Market value of class or series (D)

5th Specified Trading Period (dd/mm/yy) to

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)

(ix) x (x) $ Market value of class or series (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)) $ 7,435,445.1700 (1)

(Repeat the above calculation for each other class or series of equity securities of the reporting issuer (and a subsidiary, if applicable) that was listed or quoted on a marketplace at the end of the previous financial year)


Fair value of outstanding debt securities:

(Provide details of how value was determined) $ _______________ (2)

Capitalization for the previous financial year (1) + (2) $ _______________ 7,435,445.1700

Participation Fee $ _______________ 400.0000

Late Fee, if applicable $ _______________

Total Fee Payable $ _______________ 400.0000 (Participation Fee plus Late Fee)