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Results: 1-10 of 792

M&A in Canada
  • Stikeman Elliott LLP
  • Canada, Global, USA
  • October 10 2017

In this discussion, we focus on two areas of regulation that can be key to crossborder M&A: competition law (as antitrust is known in Canada) and


Despite Growing Regulatory Scrutiny, Initial Coin Offerings Remain Popular
  • Morgan Lewis
  • Canada, Global, Singapore, USA
  • August 29 2017

Initial coin offerings (ICOs) have become a hot new way to raise funds in 2017, with more than $1 billion raised so far this year. In an ICO, a


Get shorty: defamation and regulatory claims against short-sellers in Canada
  • DLA Piper
  • Canada, Global
  • July 26 2017

Public companies in Canada can reasonably expect a degree of scrutiny by market participants. Analysts might question fiscal projections


Les organismes de réglementation canadiens proposent une réglementation générale de la conduite commerciale des courtiers et conseillers en dérivés
  • Blake Cassels & Graydon LLP
  • Canada, Global
  • May 31 2017

Le 4 avril 2017, les Autorités canadiennes en valeurs mobilières (les ACVM ) ont publié pour consultation le projet de Règlement 93-101 sur la


CSA publish proposed business conduct rules for derivatives dealers and advisers
  • AUM Law
  • Canada, Global
  • May 4 2017

Earlier in April, the Canadian Securities Administrators (CSA) published proposed business conduct rules aimed to protect investors in


May 2017 International Trade Compliance Update
  • Baker McKenzie
  • China, European Union, Global, United Kingdom, USA, Canada
  • May 4 2017

The WTO announced that WTO members discussed the relationship between Trade Facilitation provisions in regional trade agreements (RTAs) and the WTO’s


Canadian Regulators Propose Broad Derivatives Dealer and Adviser Business Conduct Rules
  • Blake Cassels & Graydon LLP
  • Canada, Global
  • April 24 2017

On April 4, 2017, the Canadian Securities Administrators (CSA) published for comment Proposed National Instrument 93-101 - Derivatives: Business


New IOSCO Standard Likely to Yield Increased International Enforcement Cooperation and Integration
  • Osler Hoskin & Harcourt LLP
  • Canada, Global
  • April 20 2017

It is trite to say that capital markets know no borders. Increasingly, this reality is prompting capital markets regulators and enforcers around the


Hague Securities Convention Takes Effect to Clarify Applicable Law Governing Securities Accounts Held by Intermediaries
  • Sullivan & Worcester LLP
  • Canada, Global, USA
  • March 31 2017

Tomorrow, April 1, 2017, The Hague Convention on the Law Applicable to Certain Rights in Respect of Securities Held with an Intermediary (the


This week at the UK regulators - 27 February 2017
  • Clifford Chance LLP
  • Canada, Global, Hong Kong, USA
  • February 27 2017

In a week without any concluded enforcement cases, the only development was the publication of a decision by the Upper Tribunal. It permitted the FCA