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Acrobat Distiller 10.0.0 (Windows)
WHEREAS on March 27, 2012, the Ontario Securities Commission (the “Commission”) issued a Notice of Hearing pursuant to subsection 127(1) and section 127.1 of the Securities Act, R.S.O. 1990, c. S.5, as amended (the “Act”) in connection with a Statement of Allegations filed by Staff of the Commission (“Staff”) on March 27, 2012 in respect of Normand Gauthier (“Gauthier”), Gentree Asset Management Inc. (“Gentree”), R.E.A.L. Group Fund III (Canada) LP (“RIII”) and CanPro Income Fund I, LP (“CanPro”) (collectively the “Respondents”);
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Order: In the Matter of Normand Gauthier, Gentree Asset Management Inc., R.E.A.L. Group Fund III (Canada) LP, and Canpro Income Fund I, LP
Ontario Securities Commission
Order: In the Matter of Normand Gauthier, Gentree Asset Management Inc., R.E.A.L. Group Fund III (Canada) LP, and Canpro Income Fund I, LP
WHEREAS on March 27
2012
the Ontario Securities Commission (the “Commission”) issued a Notice of Hearing pursuant to subsection 127(1) and section 127.1 of the Securities Act
R.S.O. 1990
c. S.5
as amended (the “Act”) in connection with a Statement of Allegations filed by Staff of the Commission (“Staff”) on March 27
2012 in respect of Normand Gauthier (“Gauthier”)
Gentree Asset Management Inc. (“Gentree”)
R.E.A.L. Group Fund III (Canada) LP (“RIII”) and CanPro Income Fund I
LP (“CanPro”) (collectively the “Respondents”)
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