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CSA Notice
Omnibus/Blanket Orders Exempting Certain U.S. Broker-Dealers and U.S. Advisers from the Requirement to Register in Respect of Trades and Advice for U.S. Resident Clients
Order for Dunbar
Permanent Cease Trade Order Issued for Timothy MacDonald
Process for Exemptive Relief Applications in Multiple Jurisdictions [NP 11-203]
CSA Notice
Progress Report on Review of the Proxy Voting Infrastructure [CSA Notice 54-303] (Withdrawn)
Red Flags of Adviser Fraud
Registration Frequently Asked Questions
Regulators Finalize Offering Memorandum Exemption
Regulators Publish Crowdfunding Exemption and Registration Framework for Funding Portals
Regulators Release Detailed Data on Women on Boards and in Executive Officer Positions
Regulators Release Results of Compliance With New Disclosure Requirements on Women on Boards and in Executive Officer Position
CSA Notice
Request for Comment - Next Steps in Regulation and Transparency of the Fixed Income Market. Comment period ends Nov. 1, 2015
CSA Notice
Request for Comment on Proposed Amendments to NI 13-101 & MI 13-102. Comment period ends Aug. 31/15.
CSA Notice
Request for Comment on Proposed Amendments to NI 23-101CP. Comment period ends Aug. 17/15.
NSSC Notice
Request for Comment on Proposed Amendments to NI 45-106 relating to the Offering Memorandum [NSSC Notice 45-716]
CSA Notice
Request for comment on proposed MI 91-101 and MI 96-101. Comment period has ended.
CSA Notice
Request for comment on proposed MI 96-101 and MI 91-101. Comment period has ended.
CSA Notice
Request for Comment on Proposed NI 94-101 Mandatory Central Counterparty Clearing of Derivatives. Comment period ends May 13, 2015.
CSA Notice
Request for Comment - Proposed Amendments to MI 62-104, Changes to NP 62-203 and Proposed Consequential Amendments. Comment period ends June 29/15.
CSA Notice
Request for Comment Proposed Amendments to NI 45-106 relating to Reports of Exempt Distribution. Comment period ends Oct. 13/15.

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  • 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.
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  • 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.
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