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1
An Update On The B-20 "Stress Test"
The Office of the Superintendent of Financial Institutions has indicated that Guideline B-20 is working, and that the associated "stress test" has improved the resilience of the Canadian financial system.
Canada
28 Jun 2019
2
CSA Considers Reforms To The Syndicated Mortgage Regime And Seeks Input From Industry Participants
In March 2018, the CSA released CSA Notice and Request for Comment Proposed Amendments to National Instrument 45-106 Prospectus Exemptions and National Instrument 31-103 Registration Requirements, Exemptions, and Ongoing Registrant Obligations ...
Canada
21 May 2018
3
Proposed PPSA And RSLA Amendments Clarify Debtor Location Rules And Make Vins Paramount For Motor Vehicle Registrations
Bill 154 passed second reading on October 3 and has been referred to the Standing Committee on Justice Policy, which will hold public hearings in Toronto on October 19.
Canada
12 Oct 2017
4
OSFI Publishes Letter Regarding The Tightening Of Its Supervisory Expectations For Mortgage Underwriting
On July 7, 2016, the OSFI released a letter advising FRFIs that it is tightening its supervisory expectations for residential mortgage underwriting.
Canada
14 Jul 2016
5
OSFI Publishes Letter On Plans To Update Capital Requirements For Residential Mortgages
The regulatory capital requirements are in place to mitigate the risk that federally regulated financial institutions face in loss scenarios.
Canada
22 Dec 2015
6
OSFI – Draft Residential Mortgage Insurance Guideline – The Impact On Mortgage Lenders
The Office of the Superintendent of Financial Institutions Canada released "Draft Guideline B-21 Residential Mortgage Insurance Underwriting Practices and Procedures" on April 14th, 2014.
Canada
22 May 2014
7
The Mortgage Investment Corporation - An Alternative Lender
In 1973, the federal government introduced measures aimed at stimulating investments in residential mortgages by the private sector.
Canada
25 Mar 2014
8
Getting Your Priorities Straight: BC Supreme Court Decision Interprets Section 28 Of The Property Law Act Strictly
When a lender takes a mortgage on a property where a prior mortgage is already registered on title, one of the central concerns of the lender should be whether the prior mortgage secures a running account or is otherwise readvanceable.
Canada
16 May 2013
9
Post Closing Rescission Rights Under REDMA – When Closing Does Not Necessarily Mean Closed
A recent decision of the Supreme Court of British Columbia, released May 23, 2012, has held that under the Real Estate Development Marketing Act ("REDMA"), purchasers may have the right to rescind their contract, even after their sale has been completed and title has passed to the purchaser.
Canada
6 Aug 2012
10
Dual-Listing Of Canadian Public Companies On The Hong Kong Stock Exchange
For Canadian public companies looking to access global capital, "graduation" to an exchange south of the border or across the Atlantic may no longer be the obvious next step.
Canada
8 Jun 2012
11
Can I Be Excused? Canadian Regulators Publish Consultation Paper On End-User Exemptions In The OTC Derivatives Market
On April 13, 2012, the Canadian Securities Administrators Derivatives Committee ("CSA Committee") published the fourth in a series of eight papers, entitled "Consultation Paper 91-405 – Derivatives: End-User Exemptions" ("Consultation Paper 91-405").
Canada
26 Apr 2012
12
Divergent Paths – Securities Regulatory Authorities In Nine Canadian Jurisdictions Propose To Adopt Different Rules For Registration Of Non-Resident Investment Fund Managers
In a recent client bulletin, we noted that on February 10, 2012, the securities authorities of Ontario, Québec, New Brunswick and Newfoundland and Labrador (collectively the "Instrument Jurisdictions") published a request for comments in relation to proposed Multilateral Instrument 32-102 Registration Exemptions for Non-Resident Investment Fund Managers and Companion Policy 32-102CP (collectively, "MI 32-102").
Canada
14 Mar 2012
13
Divergent Paths – Securities Regulatory Authorities In Nine Canadian Jurisdictions Propose To Adopt Different Rules For Registration Of Non-Resident Investment Fund Managers
The Proposed Policy addresses requirements for registration by "non-resident investment fund managers" in the Policy Jurisdictions.
Canada
12 Mar 2012
14
OSC's Proposed American Style "No-Contest Settlements" Produces Flurry Of Public Responses And Prompts A Public Hearing
The Ontario Securities Commission (the "OSC") recently published for comment new enforcement initiatives which offer incentives to market participants to self-report and encourage cooperation with the securities regulator.
Canada
28 Feb 2012
15
International Investment Fund Managers May Need To Register In Canada - Revised Registration Requirements And Exemptions For Non-Resident Investment Fund Managers Published For Comment
On February 10, 2012, the Ontario Securities Commission, the Québec Autorité des marchés financiers, the New Brunswick Securities Commission, and the Newfoundland and Labrador Financial Services Regulation Division (collectively, the "Participating Jurisdictions") published a request for comments in relation to proposed Multilateral Instrument 32-102 Registration Exemptions for Non-Resident Investment Fund Managers (the "Proposed Instrument") and its Companion Policy 32-102CP (the "Companion Pol
Canada
23 Feb 2012
16
Collateral (Un)Damaged: Canadian Regulators Publish Consultation Paper On Segregation And Portability In OTC Derivatives Clearing
On February 10th, 2012, the Canadian Securities Administrators Derivatives Committee ("CSA Committee") published the third in a series of eight papers, entitled Consultation Paper 91-404 – Derivatives: Segregation and Portability in OTC Derivatives Clearing ("Consultation Paper 91-404"). It sets out proposals for the segregation of collateral and portability of customer transactions in the over-the-counter ("OTC") derivatives market, and continues to expand on the high-level proposals in Consult
Canada
23 Feb 2012
17
B.C. Supreme Court Takes First Look At New Secondary Market Liability Provisions
On October 21, 2011, the Supreme Court of British Columbia released its decision in Round v MacDonald, Dettwiler and Associates Ltd.
Canada
21 Feb 2012
18
When There's A Choice Of Procedure, Which Is "Preferable"?
In Fischer v IG Investment Management Ltd,1 the Ontario Court of Appeal provides important guidance to class action defendants and their counsel on the impact of an existing alternate dispute resolution procedure when deciding whether to certify a proposed class action.
Canada
13 Feb 2012
19
Supreme Court's Unanimous Ruling Sinks Canadian Securities Act (But Leaves Much To Be Salvaged)
In a unanimous opinion released yesterday, the Supreme Court of Canada (Court) sank the federal government's attempt to create a national securities regulator.
Canada
4 Jan 2012
20
Bill S-5 (Financial System Review Act) Will Restore Priority Of Bank Act Security Over Unperfected PPSA Security Interests
On November 23, 2011, the federal government introduced Bill S-5 on the Senate floor as part of the five-yearly update and review process of legislation governing federally regulated financial institutions.
Canada
2 Jan 2012
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