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  • Orders (A-Z)
Canadian Securities Regulators Seek Comments on Application of Order Protection Rule to Marketplaces Imposing Systematic Order Processing Delays
Canadian Securities Regulators Seek Comments on Enhancing Regulation and Transparency in the Fixed Income Market
Canadian securities regulators streamline disclosure requirements for private foreign securities offerings to certain Canadian investors
Cease Trade Order Issued for BCA Investment Co-operative Ltd
Cease Trade Order Revoked Against BCA Investment Co-operative Ltd.
Certain Canadian securities regulators to adopt start-up crowdfunding exemptions
Other
Comment Letters on Nova Scotia Offering Memorandum Amendments
Commission Issues Sanctions Against Stratus Financial Group International
Commission Reciprocates Permanent Cease Trade Order for Stratus Financial Group International
Rule
Companion Policy 45-102CP Consolidated as of May 15, 2015
Rule
Companion Policy 45-106CP (Consolidated as of Dec. 8, 2015)
Rule
Companion Policy 51-102CP Consolidated as of June 30, 2015
Rule
Companion Policy 81-101CP (Consolidated as of March 11, 2015)
CSA Notice
Conflicts of interest in distributing securities of related or connected issuers
Policy
Consequential Amendments as result of Rule 45-106
Rule
Consequential Amendments to Companion Policy 23-103CP resulting from Rule 45-106 (Amendment)
Rule
Consequential Amendments to Companion Policy 51-105CP resulting from Rule 45-106 (Amendment)
Policy
Consequential Amendments to National Policy 11-203 resulting from Rule 45-106 (Amendment)
Rule
Consequential Amendments to Rule 11-102 resulting from Rule 45-106 (Amendment)
Rule
Consequential Amendments to Rule 13-102 as a result of Rule 13-101 (Amendment)

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  • Failure to file annual financial statements.
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  • Failure to file an annual or interim management’s discussion and analysis (MD&A) or an annual or interim management report of fund performance (MRFP).
  • Failure to file an Annual Information Form (AIF).
  • Failure to file a certification of annual or interim filings required by Multilateral Instrument 52-109 Certification of Disclosure in Issuers’ Annual and Interim Filings (MI 52-109).
  • Failure to file required proxy materials or a required information circular.
  • Failure to file an issuer profile supplement on the System for Electronic Disclosure by Insiders (SEDI).
  • Failure to file a material change report.
  • Failure to provide a written update after filing a confidential report of a material change.
  • Failure to file a business acquisition report.
  • Failure to file annual oil and gas disclosure prescribed by National Instrument 51-101 Standards of Disclosure of Oil and Gas Activities (NI 51-101) or technical reports for a mineral project required under NI 43-101 Standards of Disclosure for Mineral Projects (NI 43-101).
  • Failure to file a mandatory news release.
  • Failure to file corporate governance disclosure as required by national Instrument 58-101 Disclosure of Corporate Governance Practices (NI 58-101).
  • Failure to file audit committee disclosure as required by Multilateral Instrument 52-110 Audit Committees (MI 52-110) or BC Instrument 52-509 Audit Committees.
  • Failure to include disclosure in an issuer’s MD&A relating to disclosure controls and procedures and their direct effectiveness that is referred to in a certificate filed under MI 52-109.
  • Financial statements of the reporting issuer, or the auditors’ report accompanying the financial statements, do not comply with the requirements of NI 51-102 Continuous Disclosure Obligations (NI 51-102), National Instrument 81-106 Investment Fund Continuous Disclosure (NI 81-106) or National Instrument 52-107 Acceptable Accounting Principles, Auditing Standards and Reporting Currency (NI 52-107).
  • The reporting issuer has acknowledged that its financial statements, or the auditors’ report accompanying the financial statements, may no longer be relied upon.
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