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Results:11-20 of 33

CSA release report on continuous disclosure review
  • Stikeman Elliott LLP
  • Canada
  • July 9 2010

The Canadian Securities Administrators today released Staff Notice 51-332 - Continuous Disclosure Review Program Activities for the Fiscal Year Ended March 31, 2010.


Double patenting issue must be considered at time of hearing of application under the PM(NOC) regulations
  • Stikeman Elliott LLP
  • Canada
  • July 8 2010

The Federal Court of Appeal rendered a decision that will have important implications on the litigation strategy of pharmaceutical companies.


CSA and IIROC analyzing recent market volatility
  • Stikeman Elliott LLP
  • Canada
  • May 18 2010

Last Friday, the Canadian Securities Administrators (CSA) announced that it was conducting, along with the Investment Industry Regulatory Organization of Canada (IIROC), a "comprehensive analysis" of the events of May 6th with respect to market volatility in the U.S. and Canada.


US Supreme Court rules on fiduciary duty of investment advisers
  • Stikeman Elliott LLP
  • USA
  • April 13 2010

On March 30, the Supreme Court of the United States released its decision in the case of Jones v. Harris.


SEC amends proxy rules to allow e-proxy flexibility
  • Stikeman Elliott LLP
  • USA
  • March 5 2010

On February 22, the US Securities and Exchange Commission (SEC) announced that it was amending its proxy rules to improve the "notice and access" model for furnishing proxy materials to shareholders.


OSC publishes notice regarding disclosure of corporate governance and environmental matters
  • Stikeman Elliott LLP
  • Canada
  • December 18 2009

The Ontario Securities Commission (OSC) today released a notice regarding the disclosure of corporate governance and environmental matters by reporting issuers other than investment funds.


CSA publish guidance on compliance with forward-looking information requirements
  • Stikeman Elliott LLP
  • Canada
  • November 20 2009

On November 20, 2009, the Canadian Securities Administrators (CSA) published CSA Staff Notice 51-330 Guidance Regarding the Application of Forward-Looking Information Requirements under NI 51-102 (the Staff Notice).


SEC and CFTC issue joint report on regulatory harmonization
  • Stikeman Elliott LLP
  • USA
  • October 16 2009

Earlier today, the U.S. Securities and Exchange Commission (SEC) and the Commodity Futures Trading Commission (CFTC) issued a joint report on the issue of regulatory harmonization.


On the road to IFRS in 2011: disclosure and other legal issues for Canadian companies to consider
  • Stikeman Elliott LLP
  • Canada
  • February 27 2009

As the Canadian implementation date for the changeover from Canadian generally accepted accounting principles (Canadian GAAP) to international financial reporting standards (IFRS) approaches, the broad potential impact is becoming more apparent.


Why worry about IFRS today? Preparing for 2011
  • Stikeman Elliott LLP
  • Canada
  • February 20 2009

As the Canadian implementation date for the changeover from Canadian generally accepted accounting principles (Canadian GAAP) to international financial reporting standards (IFRS) approaches, the broad potential impact is becoming more apparent.