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April 1, 2013, Unofficial Consolidation Rule 13-502 Fees Form 13-502F3C FORM 13-502F3C CLASS 3C REPORTING ISSUERS PARTICIPATION FEE Reporting Issuer Name: End date of last completed fiscal year: End
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Form 13-502f3c is a regulatory filing form that is used by certain investment fund managers in Canada to report on specific activities and financial information.
Investment fund managers in Canada who meet specific criteria are required to file form 13-502f3c.
Form 13-502f3c can be filled out by providing the requested information on activities, financial data, and other relevant details as outlined in the form's instructions.
The purpose of form 13-502f3c is for investment fund managers to report on their activities, financial information, and compliance with regulatory requirements.
Information such as fund assets under management, investment strategies, portfolio composition, and certain financial data must be reported on form 13-502f3c.
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