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FORM 31103F1 AND APPENDIX B AMF Services If you prefer to submit your disclosure via our Service, please go to our website at www.lautorite.qc.caUse this page of the form to comply with your regulatory
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Form 31-103f1 - calculation is needed by individuals or organizations who are required to make calculations related to financial matters. This form may be required by financial institutions, regulatory bodies, or authorities for various purposes, such as assessing financial risk, determining compliance with regulations, or evaluating financial performance. It is important to consult the specific guidelines or instructions provided by the relevant authority to determine if this form is required in a particular situation.
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Form 31-103F1 is a regulatory form used by Canadian investment fund managers to calculate their capital requirements under the securities regulations, specifically relating to the requirements set out in the National Instrument 31-103.
Investment fund managers who are registered under applicable securities laws are required to file Form 31-103F1, especially those who manage mutual funds or other types of investment funds.
To fill out Form 31-103F1, registrants must provide details about their financial resources, capital, and certain operational costs. Each section must be carefully completed based on the instructions provided within the form's guidelines.
The purpose of Form 31-103F1 is to ensure that investment fund managers maintain sufficient capital to operate effectively and to protect investors by adhering to financial competency standards.
Information required on Form 31-103F1 includes total assets under management, revenue from management fees, operational expenses, and details regarding any owned or outstanding liabilities.
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