On February 1, 2017, the Autorité des Marchés Financiers (AMF), Quebec’s financial markets regulator, published proposed amendments to the
In September 2016, certain members of the CSA released CSA Multilateral Staff Notice 58-308i, a comprehensive survey of 677 issuers listed on the
On November 14, 2016, Ontario's Minister of Finance announced that the province intends to proceed with plans - described in detail in our June 29
On November 4, 2015, an expert panel reviewing Ontario's financial regulatory regime released a preliminary position paper outlining initial
On April 1, the U.K. Moved to a "twin peaks" model of financial regulation that saw the Financial Services Authority cease to exist and its work
Canadian financial regulators are hampered by the gridlock that comes with fragmentation.
It has been 20 years since the Ontario Securities Commission first relied on its public interest jurisdiction to cease trade a shareholder rights plan, or "poison pill," in a case called Canadian Jorex.
As we've discussed in the past, the UK financial regulatory universe is undergoing, in the words of Financial Services Authority Chairman Adair Turner, a "major shift in philosophy".
The Alberta Court of Appeal has just released its decision on the reference made by the Alberta government regarding the federal government's plan to implement the proposed federal Canadian Securities Act.
On February 25, the OSC released for comment a draft of its 2011-2012 Statement of Priorities.