Search
Searching Content indexed under Debt Capital Markets by Borden Ladner Gervais LLP ordered by Published Date Descending.
Links to Result pages
 
1 2 3 4 5  
>>Next
 
Title
Country
Organisation
Author
Date
1
La Cour d'appel du Québec rejette plusieurs aspects du régime pancanadien des valeurs mobilières
Le 10 mai 2017, la Cour d'appel du Québec (la « Cour d'appel ») a conclu que le plan visant à instaurer un nouveau régime de réglementation pancanadien des valeurs mobilières était...
Canada
8 Jun 2017
2
Quebec Court Of Appeal Finds National Securities Regulator Scheme Unconstitutional
The Quebec Court of Appeal has found the Canadian government's second attempt at creating a national capital markets regulator to be unconstitutional in its decision in...
Canada
22 May 2017
3
IIROC's Corporate Bond Information Web Site Goes Live
The web site is a tool that IIROC designed to assist market participants to make more informed corporate bond trading and investment decisions.
Canada
18 Jul 2016
4
Canadian Government Tables Bail-in Legislation
Bill C-15 includes provisions that would implement the long awaited bail-in legislation, i.e., the power to convert eligible liabilities of certain banks into common shares.
Canada
3 May 2016
5
New Sources Of Liquidity In A Tough Market - May 2015
The Global banking crisis in 2008 shook the foundations of the global banking community.
Canada
20 May 2015
6
New Sources Of Liquidity In A Tough Market
With the downturn in oil prices and lower exchange rates, US and international private equity funds are looking for opportunities in Canada’s energy sector and the view of many of the funds largely in the US is that "Canada is for sale".
Canada
18 Apr 2015
7
Significant Changes To Canada’s Exempt Market Effective May 5, 2015: Implications For Issuers And Dealers, As Well As For Retail Investors
The increased pace of regulatory change experienced over the last few years appears poised to continue during 2015, along with the Canadian Securities Administrators’ (CSA) focus on enhancing protections for retail investors.
Canada
27 Feb 2015
8
Incentivizing Reports Of Misconduct: The OSC Proposes New Whistleblower Program
Citing the success of the Dodd-Frank Whistleblower Program which has operated since 2011 in the United States, the Ontario Securities Commission (the OSC) has proposed a new Whistleblower Program that would reward eligible whistleblowers with up to $1.5 million for information which leads to the prosecution of a serious financial crime.
Canada
18 Feb 2015
9
IIROC Releases Final Guidance For Enhanced Underwriter Due Diligence Of Public Offerings
On December 18, 2014, the Investment Industry Regulatory Organization of Canada (IIROC) released its final Guidance Note 14-0299 (the Guidance), which sets out suggested principles and practices that should be followed by Dealer Members conducting due diligence in public securities offerings.
Canada
23 Dec 2014
10
Significant Amendments Proposed To Prospectus Exemptions In Canada
The fractured nature of Canadian securities regulation is particularly apparent in the exempt market, where issuers are required to consider differences in prospectus exemptions, statutory rights and filing requirements across the provinces and territories in connection with a distribution to qualified purchasers in multiple Canadian jurisdictions.
Canada
3 Mar 2014
11
Québec: A Safe Haven For Boards Under Siege?
Concerned with the hollowing out of Québec Inc., the PQ minority government came out strong in favour of the right of board of directors to "just say no" to hostile takeovers.
Canada
26 Feb 2014
12
Possible Capital Markets Participation Fee Relief From The Ontario Securities Commission
You may have received an email from Staff of the Ontario Securities Commission regarding OSC Staff Notice 13-704 "Applications for Participation Fee Relief for Certain Small Registered Firms and Reporting Issuers".
Canada
26 Feb 2014
13
TSX Adopts Mandatory Majority Voting For Director Elections
In 2012 the Toronto Stock Exchange adopted rules which required listed issuers to disclose annually whether they had adopted a majority voting policy for the election of directors.
Canada
17 Feb 2014
14
Canadian Regulators Mandate Registrant Firms Become Members Of OBSI To Resolve Investor Complaints
On December 19, 2013, the Canadian Securities Administrators published final amendments to National Instrument 31-103 "Registration Requirements, Exemptions and Ongoing Registrant Obligations" and the related Companion Policy.
Canada
13 Jan 2014
15
Being Upfront On Backdoor Listings
The Toronto Stock Exchange is proposing to clarify the rules on backdoor listings involving TSX-listed issuers.
Canada
3 Dec 2013
16
Federal Financial Institutions Legislative And Regulatory Reporter (November 2013)
The Reporter provides a monthly summary of federal legislative and regulatory developments of relevance to federally regulated financial institutions.
Canada
29 Nov 2013
17
S&P To Begin Classifying Commodities Streaming Deals As Debt Financing
Standard & Poor’s Rating Services (S&P) has announced an update to its criteria for analysing streaming transactions.
Canada
5 Nov 2013
18
TSX-V Policy Amendments To Minimum Pricing And Capital Structure Rules
On August 14, 2013, the TSX Venture Exchange published policy amendments to replace certain temporary pricing relief measures related to private placements, which were implemented last year and set to expire on August 31, 2013.
Canada
20 Aug 2013
19
Securities Regulators To Review Canadian Proxy Voting Infrastructure
The Canadian Securities Administrators (the CSA) published Consultation Paper 54-401 Review of the Proxy Voting Infrastructure on August 15, 2013.
Canada
19 Aug 2013
20
Shareholder Activism Is On The Rise – Is Your Board Ready?
Over the past few years, there has been a substantial increase in the amount of interaction between shareholders and boards of directors of North American companies.
Canada
24 May 2013
Links to Result pages
 
1 2 3 4 5  
>>Next