Exhibit 99.121
FORM 72-503F
REPORT OF DISTRIBUTIONS OUTSIDE CANADA
Instructions:
| 1. | An issuer that is required to complete this Form must do so through the online e-form available at http://www.osc.gov.on.ca. |
| 2. | Security codes: Wherever this form requires disclosure of the type of security, use the following security codes: |
| Security code | Security type |
| BND | Bonds |
| CER | Certificates (including pass-through certificates, trust certificates) |
| CMS | Common shares |
| CVD | Convertible debentures |
| CVN | Convertible notes |
| CVP | Convertible preferred shares |
| DCT | Digital coins or tokens |
| DEB | Debentures |
| DRS | Depository receipts (such as American or Global depository receipts/shares) |
| FTS | Flow-through shares |
| FTU | Flow-through units |
| LPU | Limited partnership units and limited partnership interests (including capital commitments) |
| MTG | Mortgages (other than syndicated mortgages) |
| NOT | Notes (include all types of notes except convertible notes) |
| OPT | Options |
| PRS | Preferred shares |
| RTS | Rights |
| SMG | Syndicated mortgages |
| SUB | Subscription receipts |
| UBS | Units of bundled securities (such as a unit consisting of a common share and a warrant) |
| UNT | Units (exclude units of bundled securities, include trust units and mutual fund units) |
| W NT | Warrants (including special warrants) |
| OTH | Other securities not included above (if selected, provide details of security type in Item 7d) |
| 3. | Distributions by more than one issuer of a single security: If two or more issuers distributed a single security, provide the full legal name(s) of the co-issuer(s) in section 1c) other than the issuer named in section 1a). |


