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Canadian Securities Administrators 2017 Investor Index: Canadian investors show increasing optimism about their economic future, but significant investor education needs remain
Canadian securities administrators remind investors of inherent risks associated with cryptocurrency futures contracts
Canadian securities regulators issue statement regarding recent media coverage on enforcement in capital markets
Canadian securities regulators publish notice on complying with requirements regarding the Ombudsman for Banking Services and Investments
Cease Trade Order dated Dec. 13, 2017
Commission issues cease trade order against Fundy Tidal Inc.
CSA Notice
Consideration of the Markets in Financial Instruments Directive (MiFID II) Unbundling Requirements on the Regulatory Requirements in Canada [CSA Notice 23-320]
Designation Order
Fundy Tidal Inc.
Fundy Tidal Inc. - Cease Trade Order
Investor Alert for International Commodities Group
Investor Alert for USI-TECH Limited
CSA Notice
Joint CSA/IIROC Staff Notice 23-319 Internalization in the Canadian Market
CSA Notice
Joint CSA Staff Notice 31-351, IIROC Notice 17-0229, MFDA Bulletin #0736-M Complying with requirements regarding the Ombudsman for Banking Services and Investments
CSA Notice
Markets in Financial Instruments Directive (MiFID II) – Share Trading Obligation and its Application to Canadian Securities [CSA Notice 21-321]
CSA Notice
Notice of Local Amendments and Changes in Alberta, Manitoba and New Brunswick [CSA Notice 11-337]
Question of the week: What is a mutual fund dealer?
Question of the week: What is a portfolio manager?
Question of the week: What is an investment dealer?
Question of the week: What is an investment fund manager?

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