ALBERTA SECURITIES COMMISSION
CEASE TRADE ORDER: VARIATION
Citation: Re VinCompass Corp., 2015 ABASC 759 Date: 20150702
VinCompass Corp.
(formerly Enterra Corporation)
Background
1. VinCompass Corp. (the Issuer), a reporting issuer under the Securities Act (Alberta) (the
Act), underwent a name change from Enterra Corporation on 9 April 2015.
2. The securities of the Issuer are subject to a cease-trade order by the Alberta Securities
Commission on 31 March 2015 (the CTO, cited as Re Enterra Corporation, 2015
ABASC 611) in consequence of the Issuer's failure to file periodic disclosure pursuant to
section 146 of the Act.
3. Variation of the CTO to reflect the Issuer's change of name would make clear that the
CTO remains in effect despite that change.
Decision
4. The undersigned, considering that it would not be prejudicial to the public interest to do
so, orders under subsection 214(1.1) of the Act that the CTO is varied to reflect the
Issuer’s change of name.
2 July 2015
“original signed by”
Jonathan Taylor
Manager, CD Compliance & Market Analysis