FORM 9 NOTICE OF PROPOSED ISSUANCE OF LISTED SECURITIES (or securities convertible or exchangeable into listed securities1) Please complete the following: Name of Listed Issuer: DealNet Capital Corp (the “Issuer”). Trading Symbol: DLS Date: Feb 13/15 Is this an updating or amending Notice: X Yes No If yes provide date(s) of prior Notices: December 3, 2014. Issued and Outstanding Securities of Issuer Prior to Issuance: 75,842,783. Date of News Release Announcing Private Placement: November 25, 2014. Closing Market Price on Day Preceding the Issuance of the News Release: $0.19 1. Private Placement (if shares are being issued in connection with an acquisition (either as consideration or to raise funds for a cash acquisition), proceed to Part 2 of this form) Full Name & Residential Address of Placee Number of Securities Purchased or to be Purchased Purchase price per Security (CDN$) Conversion Price (if Applicable) Prospectus Exemption Jacques Grimmard 1342 Adelard Plourde, Chicoutimi QC G7H 6J4 1,052,630 common shares $0.19 Equal number of warrants exercisable at $0.30 s.2.3(1) of NI 45-106 9182-3971 Quebec Inc. 2110 Rue des Muguets Longueuil QC J4N 1P6 1,152,631 common shares $0.19 Equal number of warrants exercisable at $0.30 Bliss Global Corp. 1929 Leslie St. North York, ON M3B 2M3 131,578 common shares $0.19 Equal number of warrants exercisable at $0.30 Christine Bentley 77 McMurrich St., Unit 504 Toronto, ON M5R 3V3 263,157 common shares $0.19 Equal number of warrants exercisable at $0.30 No. of Securities, directly or indirectly, Owned, Controlled or Directed Payment Date(1) Describe relations -hip to Issuer (2) 3,600,000 11-Feb-15 Unrelated to issuer s.2.3(1) of NI 45-106 Unknown 11-Feb-15 Unrelated to issuer s.2.3(1) of NI 45-106 Unknown 11-Feb-15 Unrelated to issuer s.2.3(1) of NI 45-106 Unknown 11-Feb-15 Unrelated to issuer FORM 9 – NOTICE OF PROPOSED ISSUANCE OF LISTED SECURITIES February 2015 Page 1 K. Goldman Engineering Inc. 103 Viewmount Ave North York, ON M6B 1T5 131,578 common shares $0.19 Equal number of warrants exercisable at $0.30 s.2.3(1) of NI 45-106 Unknown 11-Feb-15 Unrelated to issuer Mary Somerton 503 Rushton Rd. York, ON M6C 2Y4 131,578 common shares $0.19 Equal number of warrants exercisable at $0.30 s.2.3(1) of NI 45-106 Unknown 11-Feb-15 Unrelated to issuer Mike Grace 87 Eagle Rd. Etobicoke, ON M8Z 4J3 131,578 common shares $0.19 Equal number of warrants exercisable at $0.30 s.2.3(1) of NI 45-106 Unknown 11-Feb-15 Unrelated to issuer Nurit Barr 10 Vesta Dr. Toronto, ON M5P 2Z5 131,578 common shares $0.19 Equal number of warrants exercisable at $0.30 s.2.3(1) of NI 45-106 Unknown 11-Feb-15 Unrelated to issuer Rene M. Bharti 65 Queen St. W., Suite 800 Toronto, ON M5H 2M5 263,157 common shares $0.19 Equal number of warrants exercisable at $0.30 s.2.3(1) of NI 45-106 Unknown 11-Feb-15 Unrelated to issuer Rivka Melnick 40 Millbank Ave Toronto, ON M5P 1S5 131,578 common shares $0.19 Equal number of warrants exercisable at $0.30 s.2.3(1) of NI 45-106 Unknown 11-Feb-15 Unrelated to issuer Sherri Mackay 412 The Kingsway Etobicoke, ON M9A 3V9 131,578 common shares $0.19 Equal number of warrants exercisable at $0.30 s.2.3(1) of NI 45-106 Unknown 11-Feb-15 Unrelated to issuer Stanley Markin Dentistry Professional Corporation 403-3420 Finch Ave. E. Scarborough, ON M1W 2R6 131,578 common shares $0.19 Equal number of warrants exercisable at $0.30 s.2.3(1) of NI 45-106 Unknown 11-Feb-15 Unrelated to issuer Toby Burak 51 Chazon 1st St. B'Nei Bak, Isreal 51511 394,736 common shares $0.19 Equal number of warrants exercisable at $0.30 N/A Unknown 11-Feb-15 Unrelated to issuer Robert Ashdown 10 Wilson House Dr. Ashburn, ON L0B 1A0 131,578 common shares $0.19 Equal number of warrants exercisable at $0.30 s.2.3(1) of NI 45-106 Unknown 11-Feb-15 Unrelated to issuer 2208951 Ontario Limited 56 Shallmar Blvd. Toronto, ON M6C 2J9 131,578 common shares $0.19 Equal number of warrants exercisable at $0.30 s.2.3(1) of NI 45-106 Unknown 11-Feb-15 Unrelated to issuer 469210 Ontario Limited 401 Dundas St. E. Toronto, ON M5A 2A7 131,578 common shares $0.19 Equal number of warrants exercisable at $0.30 s.2.3(1) of NI 45-106 Unknown 11-Feb-15 Unrelated to issuer Carrie Weiler 69 Mccutcheon Ave Nobleton ON L0G 1N0 72,368 common shares $0.19 Equal number of warrants exercisable at $0.30 s.2.3(1) of NI 45-106 Unknown 11-Feb-15 Unrelated to issuer 6878628 Canada Inc. 300 ave des Sommets Verdun QC 1,150,000 common shares $0.19 Equal number of warrants exercisable at $0.30 s.2.3(1) of NI 45-106 Unknown 11-Feb-15 Unrelated to issuer FORM 9 – NOTICE OF PROPOSED ISSUANCE OF LISTED SECURITIES February 2015 Page 2 Capital Event Mgmt Ltd. 100-736 Granville St Vancouver BC V6Z 1G3 55,263 common shares $0.19 Equal number of warrants exercisable at $0.30 s.2.3(1) of NI 45-106 Unknown 11-Feb-15 Unrelated to issuer SimKap Advisory Corp 1610- 70 York Street Toronto ON 281,578 common shares $0.19 Equal number of warrants exercisable at $0.30 s.2.3(1) of NI 45-106 Unknown 11-Feb-15 Unrelated to issuer GraySim Family Trust 85 Coleridge Ave Toronto ON M4C 4H7 457,894 common shares $0.19 Equal number of warrants exercisable at $0.30 s.2.3(1) of NI 45-106 Unknown 11-Feb-15 Unrelated to issuer Pierre G. Gagnon 262 King Street Oakville ON L6J 1B7 1,221,052 common shares $0.19 Equal number of warrants exercisable at $0.30 s.2.3(1) of NI 45-106 1,863,000 11-Feb-15 Insider Michael Hilmer 9 Hannaford Drive Toronto ON M4S 3G6 526,315 common shares $0.19 Equal number of warrants exercisable at $0.30 s.2.3(1) of NI 45-106 7,360,000 11-Feb-15 Insider CJA Professional Services Limited #4B- 2380 Wyecroft Road Oakville ON L6L 6W1 Edmund Elbert 95 Evans Ave Etobicoke ON M8Z 1H7 131,578 common shares $0.19 Equal number of warrants exercisable at $0.30 s.2.3(1) of NI 45-106 22,000 11-Feb-15 Unrelated to issuer 87,500 common shares $0.19 Equal number of warrants exercisable at $0.30 s.2.3(1) of NI 45-106 Unknown 11-Feb-15 Unrelated to issuer Richard Nemis 750 Joe Persechini Drive Newmarket ON L3X 2S6 52,700 common shares $0.19 Equal number of warrants exercisable at $0.30 s.2.3(1) of NI 45-106 nil 11-Feb-15 Unrelated to issuer Neil Novak 88 Cottonwood Cres Cambridge ON N1T 2J1 60,526 common shares $0.19 Equal number of warrants exercisable at $0.30 s.2.3(1) of NI 45-106 50,000 11-Feb-15 Unrelated to issuer Alain Ruel 124 Applewood Cres Beaconsfield QC H9W 6A1 263,157 common shares $0.19 Equal number of warrants exercisable at $0.30 s.2.3(1) of NI 45-106 unknown 11-Feb-15 Unrelated to issuer Patrick Belanger 664 des Chataigniers Boucherville QC J4B 8S2 526,315 common shares $0.19 Equal number of warrants exercisable at $0.30 s.2.3(1) of NI 45-106 unknown 11-Feb-15 Unrelated to issuer Marc Beauchamp 583 Chester Mont-Royal QC H3R 1X1 150,000 common shares $0.19 Equal number of warrants exercisable at $0.30 s.2.3(1) of NI 45-106 unknown 11-Feb-15 Unrelated to issuer Maurice Montpetit 512 Hall St Verdun QC H3E 1H3 202,500 common shares $0.19 Equal number of warrants exercisable at $0.30 s.2.3(1) of NI 45-106 unknown 11-Feb-15 Unrelated to issuer Marye Laurence 124 Applewood Cres Beaconsfield QC H9W 6A1 263,158 common shares $0.19 Equal number of warrants exercisable at $0.30 s.2.3(1) of NI 45-106 unknown 11-Feb-15 Unrelated to issuer FORM 9 – NOTICE OF PROPOSED ISSUANCE OF LISTED SECURITIES February 2015 Page 3 Normand Bellemare 17 des Parulines Verdun QC H3E 2C2 526,316 common shares $0.19 Equal number of warrants exercisable at $0.30 s.2.3(1) of NI 45-106 unknown 11-Feb-15 Unrelated to issuer Sedma Inc. 10 Boulevard des HautsBois Ste-Julie QC J3E 3H8 100,000 common shares $0.19 Equal number of warrants exercisable at $0.30 s.2.3(1) of NI 45-106 unknown 11-Feb-15 Unrelated to issuer Bruce Nicholson PO Box 380 Downingtown PA 19335 USA 157,894 common shares $0.19 Equal number of warrants exercisable at $0.30 Reg D nil 11-Feb-15 Unrelated to issuer Michel Bolduc 2023 Boul. Bedard Saint Lazare QC J7T 2G1 526,316 common shares $0.19 Equal number of warrants exercisable at $0.30 s.2.3(1) of NI 45-106 Unknown 11-Feb-15 Unrelated to issuer Daniel Drappel 20 Hargrove Lane Unit 2 Toronto ON M4N 0A4 100,000 common shares $0.19 Equal number of warrants exercisable at $0.30 s.2.24(1)(c) of NI 45-106 nil 11-Feb-15 Related Jean-Francois Lemay 21 du Voltigeur Blainville QC J7C 5P4 50,000 common shares $0.19 Equal number of warrants exercisable at $0.30 s.2.3(1) of NI 45-106 unknown 11-Feb-15 Unrelated to issuer Maxence GagneGodbout 304 Rue Montarville Longueil QC J4H 2L7 100,000 common shares $0.19 Equal number of warrants exercisable at $0.30 s.2.3(1) of NI 45-106 Unknown 11-Feb-15 Unrelated to issuer Jean-Maxime Butera 9 Douvaine Candiac QC J5R 6W1 40,000 common shares $0.19 Equal number of warrants exercisable at $0.30 s.2.3(1) of NI 45-106 unknown 11-Feb-15 Unrelated to issuer John Blank 913 Mary St. Villa Hills KY 41017 USA 45,000 common shares $0.19 Equal number of warrants exercisable at $0.30 Reg D 85,000 11-Feb-15 Unrelated to issuer Stephen Simms 26 Glenforest Drive Thornhill ON L4J 8K5 50,000 common shares $0.19 Equal number of warrants exercisable at $0.30 s.2.3(1) of NI 45-106 unknown 11-Feb-15 Unrelated to issuer David Blank 36 West 5th St. Covington KY 41011 USA 100,000 common shares $0.19 Equal number of warrants exercisable at $0.30 Reg D 50,000 11-Feb-15 Unrelated to issuer Timothy Lorch 752 Twilight Dr. Crescent Springs KY 41017 USA 100,000 common shares $0.19 Equal number of warrants exercisable at $0.30 Reg D 700,000 11-Feb-15 Unrelated to issuer Ghislain Rodier 1251 rue de Norvege Mascouche QC J7L 0B5 50,000 common shares $0.19 Equal number of warrants exercisable at $0.30 s.2.3(1) of NI 45-106 nil 11-Feb-15 Unrelated to issuer Steve Kaszas 1 First Canadian Place, 39th Floor Toronto ON M5X 1H3 131,578 common shares $0.19 Equal number of warrants exercisable at $0.30 s.2.3(1) of NI 45-106 nil 11-Feb-15 Unrelated to issuer FORM 9 – NOTICE OF PROPOSED ISSUANCE OF LISTED SECURITIES February 2015 Page 4 Kathryn Kaszas 1 First Canadian Place, 39th Floor Toronto ON M5X 1H3 394,736 common shares $0.19 Equal number of warrants exercisable at $0.30 s.2.3(1) of NI 45-106 nil 11-Feb-15 Unrelated to issuer Leslie Paul Dakens 343 Deloraine Ave Toronto ON M5M 2B7 526,315 common shares $0.19 Equal number of warrants exercisable at $0.30 s.2.3(1) of NI 45-106 nil 11-Feb-15 Unrelated to issuer Holiday Marketing Limited 7145 Kennedy Rd Mississauga ON L5S 0A6 131,578 common shares $0.19 Equal number of warrants exercisable at $0.30 s.2.3(1) of NI 45-106 nil 11-Feb-15 Unrelated to issuer (1) Indicate date each placee advanced or is expected to advance payment for securities. Provide details of expected payment date, conditions to release of funds etc. Indicate if the placement funds been placed in trust pending receipt of all necessary approvals. (2) Indicate if Related Person. 1An issuance of non-convertible debt does not have to be reported unless it is a significant transaction as defined in Policy 7, in which case it is to be reported on Form 10. 1. Total amount of funds to be raised: $2,509,012 2. Provide full details of the use of the proceeds. The disclosure should be sufficiently complete to enable a reader to appreciate the significance of the transaction without reference to any other material. . The proceeds from the offering will be used for capital to fund future growth, repay debt, working capital and general and administrative purposes. 3. Provide particulars of any proceeds which are to be paid to Related Persons of the Issuer: Not applicable. 4. If securities are issued in forgiveness of indebtedness, provide details and attach the debt agreement(s) or other documentation evidencing the debt and the agreement to exchange the debt for securities. Of the total Offering, debt converted was $1,429,250, consisting of the following: $319,000 of principal and interest of the Issuer’s short-term debentures; $450,000 of principal of the Issuer’s subordinated secured debentures; $218,500 of principal and interest of a promissory note; $239,750 of unsecured amounts owing to creditors; and $202,000 of compensation owing to Insiders. FORM 9 – NOTICE OF PROPOSED ISSUANCE OF LISTED SECURITIES February 2015 Page 5 5. 6. Description of securities to be issued: (a) Class Common shares . (b) Number 13,205,309 . (c) Price per security $0.19 . (d) Voting rights- One vote per common share Provide the following information if Warrants, (options) or other convertible securities are to be issued: (a) Number 13,205,309 (b) Number of securities eligible to be purchased on exercise of Warrants (or options) 13,205,309 common shares . . 7. 8. (c) Exercise price $0.30 . (d) Expiry date August 11, 2016 . Provide the following information if debt securities are to be issued: (a) Aggregate principal amount N/A . (b) Maturity date N/A . (c) Interest rate N/A . (d) Conversion terms N/A . (e) Default provisions N/A . Provide the following information for any agent’s fee, commission, bonus or finder’s fee, or other compensation paid or to be paid in connection with the placement (including warrants, options, etc.): (a) Details of any dealer, agent, broker or other person receiving compensation in connection with the placement (name, address. If a corporation, identify persons owning or exercising voting control over 20% or more of the voting shares if known to the Issuer): . GMP Securities- 145 King Street West, Suite 300 Toronto ON M5H 1J8 BMO Nesbitt Burns- 1 First Canadian Place, Toronto ON M5X 1H3 FORM 9 – NOTICE OF PROPOSED ISSUANCE OF LISTED SECURITIES February 2015 Page 6 Hampton Securities- 141 Adelaide Street West, Toronto ON M5H 3L6 9. (b) Cash $139,688.96 . (c) Securities $139,669.96 (735,207 warrants with exercise price of $0.30 and 18 month expiry) . (d) Other . (e) Expiry date of any options, warrants etc. August 11, 2016 . (f) Exercise price of any options, warrants etc. $0.30 . State whether the sales agent, broker, dealer or other person receiving compensation in connection with the placement is Related Person or has any other relationship with the Issuer and provide details of the relationship N/A . 10. Describe any unusual particulars of the transaction (i.e. tax “flow through” shares, etc.). N/A 11. . State whether the private placement will result in a change of control. No 12. . Where there is a change in the control of the Issuer resulting from the issuance of the private placement shares, indicate the names of the new controlling shareholders. N/A . 13. Each purchaser has been advised of the applicable securities legislation restricted or seasoning period. All certificates for securities issued which are subject to a hold period bear the appropriate legend restricting their transfer until the expiry of the applicable hold period required by National Instrument 45-102.. 2. Acquisition 1. Provide details of the assets to be acquired by the Issuer (including the location of the assets, if applicable). The disclosure should be sufficiently complete to FORM 9 – NOTICE OF PROPOSED ISSUANCE OF LISTED SECURITIES February 2015 Page 7 enable a reader to appreciate the significance of the transaction without reference to any other material: . 2. Provide details of the acquisition including the date, parties to and type of agreement (eg: sale, option, license etc.) and relationship to the Issuer. The disclosure should be sufficiently complete to enable a reader to appreciate the significance of the acquisition without reference to any other material: 3. Provide the following information in relation to the total consideration for the acquisition (including details of all cash, securities or other consideration) and any required work commitments: (a) Total aggregate consideration in Canadian dollars: . (b) Cash: . (c) Securities (including options, warrants etc.) and dollar value: . (d) Other: . (e) Expiry date of options, warrants, etc. if any: . (f) Exercise price of options, warrants, etc. if any: . (g) Work commitments: . 4. State how the purchase or sale price was determined (e.g. arm’s-length negotiation, independent committee of the Board, third party valuation etc). 5. Provide details of any appraisal or valuation of the subject of the acquisition known to management of the Issuer: . 6. The names of parties receiving securities of the Issuer pursuant to the acquisition and the number of securities to be issued are described as follows: FORM 9 – NOTICE OF PROPOSED ISSUANCE OF LISTED SECURITIES February 2015 Page 8 Name of Party (If not an individual, name all insiders of the Party) Number and Type of Securities to be Issued Dollar value per Security (CDN$) Conversion price (if applicable) Prospectus Exemption No. of Securities, directly or indirectly, Owned, Controlled or Directed by Party Describe relationship to Issuer (1) (1) Indicate if Related Person 7. Details of the steps taken by the Issuer to ensure that the vendor has good title to the assets being acquired: . 8. Provide the following information for any agent’s fee, commission, bonus or finder’s fee, or other compensation paid or to be paid in connection with the acquisition (including warrants, options, etc.): 9. (a) Details of any dealer, agent, broker or other person receiving compensation in connection with the acquisition (name, address. If a corporation, identify persons owning or exercising voting control over 20% or more of the voting shares if known to the Issuer): . (b) Cash . (c) Securities . (d) Other . (e) Expiry date of any options, warrants etc. (f) Exercise price of any options, warrants etc. . State whether the sales agent, broker or other person receiving compensation in connection with the acquisition is a Related Person or has any other relationship with the Issuer and provide details of the relationship. FORM 9 – NOTICE OF PROPOSED ISSUANCE OF LISTED SECURITIES February 2015 Page 9 10. If applicable, indicate whether the acquisition is the acquisition of an interest in property contiguous to or otherwise related to any other asset acquired in the last 12 months. . Certificate Of Compliance The undersigned hereby certifies that: 1. The undersigned is a director and/or senior officer of the Issuer and has been duly authorized by a resolution of the board of directors of the Issuer to sign this Certificate of Compliance on behalf of the Issuer. 2. As of the date hereof there is not material information concerning the Issuer which has not been publicly disclosed. 3. The undersigned hereby certifies to the Exchange that the Issuer is in compliance with the requirements of applicable securities legislation (as such term is defined in National Instrument 14-101) and all Exchange Requirements (as defined in CSE Policy 1). 4. All of the information in this Form 9 Notice of Issuance of Securities is true. Dated February 13, 2015. Robert Cariglia “Robert Cariglia” Signature President and CEO FORM 9 – NOTICE OF PROPOSED ISSUANCE OF LISTED SECURITIES February 2015 Page 10
© Copyright 2024