RNS Number : 5248K
Royal Bank of Canada
19 December 2008
Regulatory Announcement
Company: Royal Bank Canada
Headline: Annual Information Update
Released:
ROYAL BANK OF CANADA
ANNUAL INFORMATION UPDATE
This annual information update is required by and is being made pursuant to Article 10 of the Prospectus Directive as implemented in the
United Kingdom and not for any other purpose, and neither the Bank, nor any other person, takes any responsibility for, or makes any
representation, express or implied, as to the accuracy or completeness of, the information contained herein (except as expressly set out
herein). The information referred to below is not necessarily up to date as at the date of this annual information update and the Bank does
not undertake any obligation to update any such information in the future. Furthermore, such information may have been prepared in
accordance with the laws or regulations of a particular jurisdiction and may not comply with or meet the relevant standards of disclosure in
any other jurisdiction. Neither this annual information update, nor the information referred to below constitutes, by virtue of this
communication, an offer of any securities addressed to any person and should not be relied on by any person for that purpose.
Royal Bank of Canada (the "Bank") announces that, in accordance with Prospectus Rule 5.2, the following information has been published
or made available to the public over the previous 12 months in compliance with laws and rules dealing with the regulation of securities,
issuers of securities and securities markets.
The following is a list of documents filed by the Bank with the Canadian securities regulators between December 19, 2007 and December
19, 2008. These documents are available at www.sedar.com under "Search Database":
Date of Filing Document
December 20, 2007 Underwriting or agency agreement
December 20, 2007 Prospectus Supplement
December 20, 2007 Consent Letter of Underwriters' Legal Counsel
December 20, 2007 Consent Letter of Issuer's Legal Counsel
December 20, 2007 Auditors' Consent Letter
December 20, 2007 Other
January 10, 2008 Prospectus Supplement
February 1, 2008 Notice of Meeting
February 1, 2008 Management Information Circular
February 1, 2008 Form of Proxy
February 1, 2008 Cover Letter
February 1, 2008 Certificate re Dissemination to Shareholders
February 1, 2008 Annual Report
February 29, 2008 News Release
February 29, 2008 Form 52-109F2 - Certification of Interim Filings - CFO
February 29, 2008 Form 52-109F2 - Certification of Interim Filings - CEO
February 29, 2008 Canadian Medium Term Note - Earnings Coverages
February 29, 2008 Annex to Consolidated 2007 Financial Statements and
Earnings Coverage
February 29, 2008 Interim Financial Statements
February 29, 2008 MD&A
February 29, 2008 Other
February 29, 2008 Report of Voting Results
March 6, 2008 Underwriting or Agency Agreement
March 6, 2008 Prospectus Supplement
March 6, 2008 Auditors' Consent Letter
April 11, 2008 News Release
April 16, 2008 Preliminary Short Form Prospectus
April 16, 2008 Decision Document - Preliminary
April 22, 2008 Underwriting or Agency Agreement
April 22, 2008 Prospectus Supplement
April 22, 2008 Consent Letter of Underwriters' Legal Counsel
April 22, 2008 Consent Letter of Issuer's Legal Counsel
April 22, 2008 Auditors' Consent Letter
April 23, 2008 Final Short Form Prospectus
April 23, 2008 Consent Letter of Underwriters' Legal Counsel
April 23, 2008 Consent Letter of Issuer's Legal Counsel
April 23, 2008 Decision Document - Final
April 24, 2008 Other
April 29, 2008 News Release
May 14, 2008 News Release
May 29, 2008 News Release
May 29, 2008 Canadian Medium Term Note - Earnings Coverages
May 29, 2008 Annex to Consolidated 2007 Financial Statements and
Earnings Coverage
May 29, 2008 Interim Financial Statements
May 29, 2008 MD&A
May 29, 2008 Form 52-109F2 - Certification of Interim Filings - CFO
May 29, 2008 Form 52-109F2 - Certification of Interim Filings - CEO
May 29, 2008 Other
June 3, 2008 Prospectus Supplement
August 6, 2008 News Release
August 28, 2008 News Release
August 28, 2008 Form 52-109F2 - Certification of Interim Filings - CFO
August 28, 2008 Form 52-109F2 - Certification of Interim Filings - CEO
August 28, 2008 MD&A
August 28, 2008 Interim Financial Statements
August 28, 2008 Calculation of Earnings Coverages
August 28, 2008 Other
September 9, 2008 Prospectus Supplement
September 16, 2008 Security Holders Documents
October 9, 2008 News Release
October 27, 2008 Underwriting or Agency Agreement
October 27, 2008 Prospectus Supplement
October 27, 2008 Consent Letter of Underwriters' Legal Counsel
October 27, 2008 Consent Letter of Issuer's Legal Counsel
October 30, 2008 News Release
November 24, 2008 News Release
November 26, 2008 Underwriting or Agency Agreement
November 26, 2008 Prospectus Supplement
November 26, 2008 Consent Letter of Underwriters' Legal Counsel
December 3, 2008 Notice of the Meeting and Record Date
December 5, 2008 News Release
December 5, 2008 Annual Information Form
December 5, 2008 MD&A
December 5, 2008 Code of Conduct
December 5, 2008 Form 52-109F1 - Certification of Annual Filings - CEO
December 5, 2008 Form 52-109F1 - Certification of Annual Filings - CFO
December 5, 2008 Other
December 5, 2008 ON Form 13-502F1 (Class 1 Reporting Issuers -
Participation Fee)
December 5, 2008 Calculation of Earnings Coverage
December 5, 2008 Audited Annual Financial Statements
December 8, 2008 Security holders documents
December 8, 2008 Security holders documents
December 8, 2008 News Release
December 9, 2008 Preliminary Short Form Prospectus
December 9, 2008 Decision Document (Preliminary)
December 10, 2008 Other
December 12, 2008 Final Short Form Prospectus
December 12, 2008 Consent Letter of Underwriters' Legal Counsel
December 12, 2008 Consent Letter of Issuer's Legal Counsel
December 12, 2008 Auditors' Consent Letter
December 12, 2008 Decision Document (Final)
The Bank has filed a number of the above documents with the Securities and Exchange Commission ("SEC") in compliance with its
obligations under national laws and rules dealing with the regulation of securities, issuers of securities and securities markets by virtue
of having its securities listed on the New York Stock Exchange. Between December 19, 2007 and December 19, 2008, the Bank has also filed the
following additional documents with the SEC. Full details of these filings can be viewed at www.sec.gov/edgar.shtml.
Date of Filing Form Description
February 14, 2008 SC-13G Statement of Acquisition of Beneficial
Ownership by Individuals
February 14, 2008 SC-13G/A Amend - Statement of Acquisition of Beneficial
Ownership by Individuals
February 14, 2008 SC-13G/A Amend - Statement of Acquisition of Beneficial
Ownership by Individuals
February 14, 2008 13F-HR Quarterly Report Filed by Institutional
Managers, Holdings
February 22, 2008 CB Tender Offer/Rights Offering Notification Form
February 22, 2008 F-X Appointment of Agent for Service of Process and
Undertaking
March 7, 2008 CB Tender Offer/Rights Offering Notification Form
March 10, 1008 SC-13G Statement of Acquisition of Beneficial
Ownership by Individuals
March 10, 1008 SC-13G Statement of Acquisition of Beneficial
Ownership by Individuals
March 10, 1008 SC-13G Statement of Acquisition of Beneficial
Ownership by Individuals
March 10, 1008 SC-13G Statement of Acquisition of Beneficial
Ownership by Individuals
March 10, 1008 SC-13G Statement of Acquisition of Beneficial
Ownership by Individuals
March 11, 2008 CB Tender Offer/Rights Offering Notification Form
March 17, 2008 CB Tender Offer/Rights Offering Notification Form
March 20, 2008 POS AM Post-Effective amendments for registration
statement
March 21, 2008 Effect Notice of Effectiveness
March 27, 2008 CB Tender Offer/Rights Offering Notification Form
April 1, 2008 F-N Designates a U.S. Agent for Service of Process
by Foreign Banks and Foreign Insurance
Companies
April 1, 2008 F-X Appointment of Agent for Service of Process and
Undertaking
April 1, 2008 F-X Appointment of Agent for Service of Process and
Undertaking
April 2, 2008 CORRESP Correspondence
April 10, 2008 F-4 Registration of Securities, Foreign Private
Issuers, Business Combinations
April 10, 2008 F-N Designates a U.S. Agent for Service of Process
by Foreign Banks and Foreign Insurance
Companies
April 10, 2008 SC-13G Statement of Acquisition of Beneficial
Ownership by Individuals
April 10, 2008 SC-13G/A Amend - Statement of Acquisition of Beneficial
Ownership by Individuals Amend
April 10, 2008 SC-13G/A Amend - Statement of Acquisition of Beneficial
Ownership by Individuals Amend
April 10, 2008 SC-13G/A Amend - Statement of Acquisition of Beneficial
Ownership by Individuals
April 10, 2008 SC-13G/A Amend - Statement of Acquisition of Beneficial
Ownership by Individuals
April 10, 2008 SC-13G/A Amend - Statement of Acquisition of Beneficial
Ownership by Individuals
April 28, 2008 CORRESP Correspondence
April 30, 2008 CB Tender Offer/Rights Offering Notification Form
May 9, 2008 SC-13G/A Amend - Statement of Acquisition of Beneficial
Ownership by Individuals
May 9, 2008 SC-13G/A Amend - Statement of Acquisition of Beneficial
Ownership by Individuals
May 9, 2008 SC-13G/A Amend - Statement of Acquisition of Beneficial
Ownership by Individuals
May 9, 2008 SC-13G/A Amend - Statement of Acquisition of Beneficial
Ownership by Individuals
May 9, 2008 SC-13G/A Amend - Statement of Acquisition of Beneficial
Ownership by Individuals
May 14, 2008 CB Tender Offer/Rights Offering Notification Form
May 15, 2008 13F-HR Quarterly Report Filed by Institutional
Managers, Holdings
May 19, 2008 CORRESP Correspondence
May 21, 2008 F-4/A Registration of Securities, Foreign Private
Issuers, Business Combinations
May 21, 2008 Effect Notice of Effectiveness
May 28, 2008 CB Tender Offer/Rights Offering Notification Form
June 5, 2008 UPLOAD Cover
June 6, 2008 CB Tender Offer/Rights Offering Notification Form
July 1, 2008 11-K Annual Report of Employee Stock Purchase,
Savings and Similar Plans
July 10, 2008 UPLOAD Cover
July 10, 2008 UPLOAD Cover
July 10, 2008 SC-13G/A Amend - Statement of Acquisition of Beneficial
Ownership by Individuals
July 10, 2008 SC-13G/A Amend - Statement of Acquisition of Beneficial
Ownership by Individuals
July 10, 2008 SC-13G/A Amend - Statement of Acquisition of Beneficial
Ownership by Individuals
August 14, 2008 13F-HR Quarterly Report Filed by Institutional
Managers, Holdings
September 10, 2008 SC-13G/A Amend - Statement of Acquisition of Beneficial
Ownership by Individuals Amend
September 10, 2008 SC-13G/A Amend - Statement of Acquisition of Beneficial
Ownership by Individuals
September 10, 2008 SC-13G/A Amend - Statement of Acquisition of Beneficial
Ownership by Individuals
September 10, 2008 SC-13G/A Amend - Statement of Acquisition of Beneficial
Ownership by Individuals
October 9, 2008 POS AM Post-Effective amendments for registration
statement
October 10, 2008 SC-13G/A Amend - Statement of Acquisition of Beneficial
Ownership by Individuals
October 10, 2008 SC-13G/A Amend - Statement of Acquisition of Beneficial
Ownership by Individuals
October 14, 2008 Effect Notice of Effectiveness
November 10, 2008 SC-13G/A Amend - Statement of Acquisition of Beneficial
Ownership by Individuals
November 10, 2008 SC-13G/A Amend - Statement of Acquisition of Beneficial
Ownership by Individuals Amend
November 10, 2008 SC-13G/A Amend - Statement of Acquisition of Beneficial
Ownership by Individuals
November 10, 2008 SC-13G/A Amend - Statement of Acquisition of Beneficial
Ownership by Individuals
November 10, 2008 SC-13G/A Amend - Statement of Acquisition of Beneficial
Ownership by Individuals
November 10, 2008 SC-13G/A Amend - Statement of Acquisition of Beneficial
Ownership by Individuals
November 14, 2008 13F-HR Quarterly Report Filed by Institutional
Managers, Holdings
December 5, 2008 40-F Registration Statement [Section 12] or Annual
Report [Section 13(a), 15(d)]
December 5, 2008 SC-13G/A Amend - Statement of Acquisition of Beneficial
Ownership by Individuals
December 5, 2008 SC-13G/A Amend - Statement of Acquisition of Beneficial
Ownership by Individuals
The following documents have been filed with the Superintendent of Financial Institutions Canada and can be found at www.osfi-bsif.gc.ca
under "Banks" / "Financial Data - Banks".
* Consolidated monthly balance sheets for each of the past twelve months for the period ended October 31, 2008;
* Summary income statement for each of the quarters ended July 31, 2008, April 30, 2008 and January 31, 2008; and
* Statement of Impaired Assets for each of the quarters ended July 31, 2008, April 30, 2008 and January 31, 2008.
The Bank has submitted the following UK regulatory announcements via RNS, a regulatory information service, between December 19, 2007
and December 19, 2008. Full details of these filings can be found at www.londonstockexchange.com/RNS.
Date of Filing Document
Date of Filing Document
December 19, 2007 Annual Information Update
December 20, 2007 Publication of Prospectus
January 16, 2008 Publication of Prospectus
January 18, 2008 Publication of Prospectus
January 31, 2008 Publication of Prospectus
February 20, 2008 Publication of Prospectus
March 3, 2008 Regulatory Announcement
March 6, 2008 Publication of Prospectus
March 6, 2008 Publication of Prospectus
May 2, 2008 Publication of Prospectus
May 30, 2008 Doc re Second Quarter Report
June 4, 2008 Publication of Prospectus
June 5, 2008 Publication of Prospectus
July 16, 2008 Publication of Prospectus
July 24, 2008 Publication of Prospectus
July 24, 2008 Publication of Prospectus
August 28, 2008 Doc re Third Quarter Report
August 29, 2008 Publication of Prospectus
September 3, 2008 Publication of Prospectus
October 31, 2008 Publication of Prospectus
December 8, 2008 Doc re Fourth Quarter 2008 Report
December 9, 2008 Common Share Offering
December 11, 2008 Publication of Prospectus
December 11, 2008 Publication of Prospectus
Further information regarding Royal Bank of Canada is available at www.rbc.com.
This information is provided by RNS
The company news service from the London Stock Exchange
END
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