“NI 44-102” means National Instrument44-102 –Shelf Distributions;
“NI51-102” means National Instrument51-102 –Continuous Disclosure Obligations;
“No Trading Period” has the meaning ascribed thereto in Section 4.1;
“Other Terms and Conditions” has the meaning ascribed thereto in Section A.1 of Schedule A.
“Person” means and includes any individual, corporation, partnership, limited partnership, limited liability corporation, joint stock corporation or association, joint venture, consortium, corporation, trust, bank, pension plan, commingled trust fund or similar institutional investor, or other entity, government, or agency, and any political subdivision thereof;
“Policy” means National Instrument44-101 –Short Form Prospectus Distributions, NI44-102, Companion Policy44-101CP and Companion Policy44-102CP of the Canadian Securities Administrators, as amended, and any replacement national instruments, policies and regulations adopted subsequently to the date hereof;
“Qualifying Jurisdictions” means, collectively, all the provinces of Canada;
“Registration Statement” means the various parts of the registration statement on FormF-10 (File No. 333-231698), including all exhibits thereto but excluding FormT-1 (if any) and including all documents incorporated by reference in the prospectus included therein and any prospectus supplement relating to the MTN Debentures that is filed with the SEC pursuant to General Instruction II.L of FormF-10, each as amended at the time such part of such registration statement became effective;
“SEC” has the meaning ascribed thereto in the third paragraph of this Agreement;
“Securities Commissions” means the securities commission or other securities regulatory authority in each of the Qualifying Jurisdictions;
“Settlement Date” means, unless the parties thereto agree to a different date, the third Business Day following the date on which the Corporation accepts one or more offers to purchase MTN Debentures;
“Subsidiaries” has the meaning ascribed thereto in theCanada Business Corporations Act, as amended;
“Template Version” has the meaning ascribed thereto inNI 41-101 and includes a revised Template Version of Marketing Materials as contemplated byNI 44-102, and, for greater certainty, the final version of any term sheet prepared for the purpose of the relevant distribution;
“Term Sheet” means an Issuer Free Writing Prospectus that is a final term sheet relating to a particular offering of MTN Debentures;
“Trade Day” has the meaning ascribed thereto in Section A.5 of Schedule A;
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