ALBERTA SECURITIES COMMISSION
CEASE TRADE ORDER
Citation: Abby, Inc., Re, 2012 ABASC 493 Date: 20121122
Abby, Inc.
Background
1. Abby, Inc. (the Issuer) is a reporting issuer under the Securities Act, R.S.A. 2000, c. S-4 (the Act) and has failed to file the following periodic disclosure pursuant to section 146 of the Act:
(a) interim unaudited financial statements, interim management's discussion and analysis, and certification of interim filings for the interim period ended 31 August 2012.
2. Pursuant to an Authorization Order dated 31 October 2012, the undersigned is authorized to make orders under section 33.1 of the Act.
Decision
3. Under section 33.1 of the Act, it is ordered that trading or purchasing cease in respect of any security of the Issuer until this order has been revoked or varied.
22 November 2012
Jonathan Taylor
“original signed by”
Manager, CD Compliance & Market Analysis