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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).