Stephania Luciuk
Affiliations
Canadian Energy Regulator
Last Annual Review Completed on: November 11, 2025
August 28, 2019 – August 27, 2029- Obligation to provide a confidential report has been met and all initial reporting and compliance measures have been taken to comply with the Conflict of Interest Act.
- Divestment of Publicly Traded Securities by sale
- Notice of Material Change
Date of change: 2024/10/18
I no longer hold shares of Medivest Professional Centre Inc. - Class A units of Canadian Horizons (Naramata) LP
- Equicaptia Income Trust Preferred Trust Units
- ICM (VII) U.S. Core Plus Realty Trust Units
- Roll-up corporation shares
- Nominal ownership interest in 2052227 Alberta Ltd that offers legal services
- Notice of Material Change
Date of Change: 2024/09/07
Member of the Board of Directors of the Ukrainian Museum of Canada of the Ukrainian Women's Association of Canada - Notice of Material Change
Date of change: 2022/07/17
I am no longer a Member of the Consistory Board of the Ukrainian Orthodox Church of Canada
- COMPLIANCE ORDER – REPORTING PUBLIC OFFICE HOLDER AT THE CANADIAN ENERGY REGULATOR
WHEREAS you were appointed as a Commissioner of the Canadian Energy Regulator pursuant to the Canadian Energy Regulator Act;
WHEREAS, you are also a reporting public office holder subject to the Conflict of Interest Act (Act);
WHEREAS section 4 of the Act sets out the circumstances under which a public office holder is generally understood to be in a conflict of interest for the purposes of the Act, namely when they exercise an official power, duty or function that provides an opportunity to further their private interests, those of their relatives or friends, or to improperly further another person’s private interests;
WHEREAS, the Canadian Energy Regulator Act imposes additional circumstances under which public office holders at the Canadian Energy Regulator are understood to be in a conflict of interest for the purposes of the Act, and they include:
(a) engaging in, as owner, shareholder, director, officer, partner or in any other way, the business of producing, selling, buying, transmitting, exporting, importing or otherwise dealing in hydrocarbons, electricity or offshore energy;
(b) holding any bond, debenture or other security of a corporation engaged in any such business; and
(c) holding other employment that is inconsistent with their powers, duties and functions or with any provision of this Act or a regulation made under it.
(d) holding office as the Chief Executive Officer or being employed by the Regulator.
WHEREAS I have the authority under paragraph 51(1)(e) to make any document I consider appropriate available for public inspection on the public registry maintained by my Office;
WHEREAS subsection 26(2) of the Act requires that a reporting public office holder’s summary statement contains a description of the matter in respect of which the Commissioner has issued an order under section 30, a description of the order and the steps taken to comply with the order;
AND WHEREAS, I have determined it necessary, in light of the above, to impose the following compliance measures on you because of your position as a Commissioner of the Canadian Energy Regulator so as to ensure compliance with the Act;
I THEREFORE ORDER YOU pursuant to section 30 of the Act to:
(a) withdraw, as applicable, from all activities identified as relating to a business that deals in any way in hydrocarbons, electricity or offshore energy (energy sector) or employment that would be inconsistent with your official duties and to do so within 120 days of your appointment (or the date of this order);
(b) sell in an arm’s-length transaction, as applicable, all investments identified as relating to a business that deals in any way in the energy sector and to provide the Office with proof of the sale within 120 days of your appointment; and
(c) sign and return, as applicable, a statement containing the following information which will be placed on the public registry maintained by the Office:
i. a description of each activity referred to in paragraph (c) from which you withdrew; and
ii. a description of each asset sold in an arm’s-length transaction as referred to in paragraph (d).
22 Result(s)
- Description
-
Notice of Material Change
Date of change: 2024/10/18
I no longer hold shares of Medivest Professional Centre Inc.
- Description
-
Notice of Material Change
Date of Change: 2024/09/07
Member of the Board of Directors of the Ukrainian Museum of Canada of the Ukrainian Women's Association of Canada
- Description
-
Notice of Material Change
Date of change: 2022/07/17
I am no longer a Member of the Consistory Board of the Ukrainian Orthodox Church of Canada
- Description
-
Notice of Material Change
Date of Change: August 18, 2022
I no longer hold Jaymor American Opportunity I Registered Capital Ltd. Convertible Bond and Jaymor American Opportunity I Registered Shares
- Description
-
Notice of Material Change
Date of Change: October 27, 2021
I no longer hold Maverick Strategic Growth Funds shares
- Description
-
Notice of Material Change
Date of change: November 19, 2020
I no longer hold Saguaro Capital Fund Series 2 Inc. shares
- Description
-
Class A units of Canadian Horizons (Naramata) LP
Equicaptia Income Trust Preferred Trust Units
ICM (VII) U.S. Core Plus Realty Trust Units
Jaymor American Opportunity I Registered Capital Ltd Convertible Bond
Shares of Jaymor American Opportunity I Registered
Shares of Saguaro Capital Fund series 2 inc.
Shares of Maverick Strategic Growth Funds
Nominal ownership interest in Medivest Professional Centre Inc., a land development company based in Alberta
Nominal ownership interest in Roll-up corporation, a land development company based in Alberta
- Description
-
Notice of Material Change
Date of change: December 11, 2020
Stephania Luciuk Professional Corporation is dissolved.
- Description
-
COMPLIANCE ORDER – REPORTING PUBLIC OFFICE HOLDER AT THE CANADIAN ENERGY REGULATOR
WHEREAS you were appointed as a Commissioner of the Canadian Energy Regulator pursuant to the Canadian Energy Regulator Act;
WHEREAS, you are also a reporting public office holder subject to the Conflict of Interest Act (Act);
WHEREAS section 4 of the Act sets out the circumstances under which a public office holder is generally understood to be in a conflict of interest for the purposes of the Act, namely when they exercise an official power, duty or function that provides an opportunity to further their private interests, those of their relatives or friends, or to improperly further another person’s private interests;
WHEREAS, the Canadian Energy Regulator Act imposes additional circumstances under which public office holders at the Canadian Energy Regulator are understood to be in a conflict of interest for the purposes of the Act, and they include:
(a) engaging in, as owner, shareholder, director, officer, partner or in any other way, the business of producing, selling, buying, transmitting, exporting, importing or otherwise dealing in hydrocarbons, electricity or offshore energy;
(b) holding any bond, debenture or other security of a corporation engaged in any such business; and
(c) holding other employment that is inconsistent with their powers, duties and functions or with any provision of this Act or a regulation made under it.
(d) holding office as the Chief Executive Officer or being employed by the Regulator.
WHEREAS I have the authority under paragraph 51(1)(e) to make any document I consider appropriate available for public inspection on the public registry maintained by my Office;
WHEREAS subsection 26(2) of the Act requires that a reporting public office holder’s summary statement contains a description of the matter in respect of which the Commissioner has issued an order under section 30, a description of the order and the steps taken to comply with the order;
AND WHEREAS, I have determined it necessary, in light of the above, to impose the following compliance measures on you because of your position as a Commissioner of the Canadian Energy Regulator so as to ensure compliance with the Act;
I THEREFORE ORDER YOU pursuant to section 30 of the Act to:
(a) withdraw, as applicable, from all activities identified as relating to a business that deals in any way in hydrocarbons, electricity or offshore energy (energy sector) or employment that would be inconsistent with your official duties and to do so within 120 days of your appointment (or the date of this order);
(b) sell in an arm’s-length transaction, as applicable, all investments identified as relating to a business that deals in any way in the energy sector and to provide the Office with proof of the sale within 120 days of your appointment; and
(c) sign and return, as applicable, a statement containing the following information which will be placed on the public registry maintained by the Office:
i. a description of each activity referred to in paragraph (c) from which you withdrew; and
ii. a description of each asset sold in an arm’s-length transaction as referred to in paragraph (d).
- Description
-
- Sole owner of Stephania Luciuk Professional Corporation currently in the process of dissolution and for which a compliance arrangement permitting me to continue as director has been approved by the Conflict of Interest and Ethics Commissioner;
- Class A units of Canadian Horizons (Naramata) LP;-
- Self-directed RSP with Olympia Trust Company composed of the following:
- Equicaptia Income Trust Preferred Trust Units
- ICM (VII) U.S. Core Plus Realty Trust Units
- Jaymor American Opportunity I Registered Capital Ltd Convertible Bond
- Jaymor American Opportunity I Registered shares
- Maverick Strategic Growth Funds shares
- Medivest Professional Centre Inc. shares
- Saguaro Capital Fund Series 2 Inc. shares
- Shares of Roll-up corporation
- Description
-
Member of the Consistory Board of the Ukrainian Orthodox Church of Canada
- Description
-
Obligation to provide a confidential report has been met and all initial reporting and compliance measures have been taken to comply with the Conflict of Interest Act.Divestment of:
- Publicly Traded Securities by sale
A Compliance Order under Section 30 has been issued.
Conflict of Interest ActSummary Statements (Act)
- Description
-
Compliance Statement
- Description
-
Saguaro Capital Fund Series 2 Inc. shares
- Description
-
Jaymor American Opportunity I Registered Capital Ltd Convertible Bond
- Description
-
Maverick Strategic Growth Funds shares
- Description
-
ICM (VII) U.S. Core Plus Realty Trust Units
- Description
-
Roll-up corporation shares
- Description
-
Medivest Professional Centre Inc. shares
- Description
-
Class A units of Canadian Horizons (Naramata) LP
- Description
-
Nominal ownership interest in 2052227 Alberta Ltd that offers legal services
- Description
-
Equicaptia Income Trust Preferred Trust Units