FORM 13-502F1 |
| CLASS 1 AND CLASS 3B REPORTING ISSUERS – PARTICIPATION FEE |
| | MANAGEMENT CERTIFICATION |
| | | I, _______________________, an officer of the reporting issuer noted below have examined this Form13-502F1 (the Form) being submitted hereunder to the Ontario Securities Commission and certify that tomy knowledge, having exercised reasonable diligence, the information provided in the Form is completeand accurate. | Nathan Harte |
| | | (s)________________________________ | __________________________ | "Nathan Harte" CFO | March 16, 2022 |
| | | Name: | Date: |
| | | Title: |
| | | Reporting Issuer Name: | Avino Silver & Gold Mines Ltd. |
| | | End date of previous financial year: | 2021-12-31 |
| | | Type of Reporting Issuer: | Class 1 reporting issuer | | | | | Class 3B reporting issuer | ✔ |
| | | Highest Trading Marketplace:(refer to the definition of “highest trading marketplace” under OSC Rule 13-502 Fees) | Toronto Stock Exchange |
| | | Market value of listed or quoted equity securities:(in Canadian Dollars - refer to section 7.1 of OSC Rule 13-502 Fees) |
| | | Equity Symbol |
| | | | | _________________________ | ASM |
| | | 1 | st Specified Trading Period (dd/mm/yy) |
| | | (refer to the definition of “specified trading period” under OSCRule 13-502 Fees) | _________________ to _________________ | 01/01/2021 | | | 03/31/2021 |
| | | Closing price of the security in the class or serieson the last trading day of the specified tradingperiod in which such security was listed or quotedon the highest trading marketplace |
| | | | | | $________________________ (i) | 1.56 |
| | | Number of securities in the class or series of suchsecurity outstanding at the end of the last tradingday of the specified trading period |
| | | | | | _________________________ (ii) | 99,795,244 |
| | | Market value of class or series | (i) x (ii) | | $_________________________ (A) | 155,680.581.64 |
| | | 2 | nd Specified Trading Period (dd/mm/yy) |
| | | (refer to the definition of “specified trading period” under OSCRule 13-502 Fees) | _________________ to _________________ | 04/01/2021 | | | 06/30/2021 |
Closing price of the security in the class or serieson the last trading day of the specified tradingperiod in which such security was listed or quotedon the highest trading marketplace |
| $______________________ (iii) | 1.44 |
Number of securities in the class or series of suchsecurity outstanding at the end of the last tradingday of the specified trading period |
| ________________________ (iv) | 100,913,044 |
Market value of class or series | | (iii) x (iv) | $________________________ (B) | 145,314,783.36 |
3 | rd Specified Trading Period (dd/mm/yy) |
(refer to the definition of “specified trading period” under OSCRule 13-502 Fees) | | | _________________ to _________________ | 07/01/2021 | 09/30/2021 |
Closing price of the security in the class or serieson the last trading day of the specified tradingperiod in which such security was listed or quotedon the highest trading marketplace |
| $ _______________________ (v) | 1.06 |
Number of securities in the class or series of suchsecurity outstanding at the end of the last tradingday of the specified trading period |
| ________________________ (vi) | 102,243,211 |
Market value of class or series | 108,377,803.66 |
| | (v) x (vi) | $________________________ (C) |
4 | th Specified Trading Period (dd/mm/yy) |
(refer to the definition of “specified trading period” under OSCRule 13-502 Fees) | | | _________________ to _________________ | 10/01/2021 | 12/31/2021 |
Closing price of the security in the class or serieson the last trading day of the specified tradingperiod in which such security was listed or quotedon the highest trading marketplace |
| ________________________ (vii) | 1.11 |
Number of securities in the class or series of suchsecurity outstanding at the end of the last tradingday of the specified trading period |
| ________________________ (viii) | 102,243,211 |
Market value of class or series | | (vii) x (viii) | $________________________ (D) | 113,489,964.21 |
5 | th Specified Trading Period (dd/mm/yy) |
(if applicable - refer to the definition of “specified tradingperiod” under OSC Rule 13-502 Fees) | | | _________________ to _________________ |
Closing price of the security in the class or serieson the last trading day of the specified tradingperiod in which such security was listed or quotedon the highest trading marketplace |
| $_______________________ (ix) |
Number of securities in the class or series of such | ________________________ (x) |
security outstanding at the end of the last tradingday of the specified trading period |
Market value of class or series | (ix) x (x) | $________________________ (E) |
Average Market Value of Class or Series(Calculate the simple average of the market value of the classor series of security for each applicable specified tradingperiod (i.e. A through E above)) |
| | $_________________________ (1) | 130,715,782.97 |
(Repeat the above calculation for each other class or series of equity securities of the reporting issuer (and asubsidiary pursuant to paragraph 2.8(1)(c) of OSC Rule 13-502 Fees, if applicable) that was listed or quoted on amarketplace at the end of the previous financial year) |
Fair value of outstanding debt securities:(See paragraph 2.8(1)(b), and if applicable, paragraph 2.8(1)(c)of OSC Rule 13-502 Fees) |
| | $_________________________ (2) |
(Provide details of how value was determined) |
Capitalization for the previous financial year | (1) + (2) | $_________________________ | 130,715,782.97 |
Participation Fee | | $_________________________ | 13,340 |
(For Class 1 reporting issuers, from Appendix A ofOSC Rule 13-502 Fees, select the participation fee) |
(For Class 3B reporting issuers, from AppendixA.1 of OSC Rule 13-502 Fees, select theparticipation fee) |
Late Fee, if applicable(As determined under section 2.7 of OSC Rule 13-502 Fees) |
| | $_________________________ |
Total Fee Payable(Participation Fee plus Late Fee) |
| | $_________________________ | 13,340 |