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Searching Content indexed under Charges, Mortgages, Indemnities by Blake, Cassels & Graydon LLP ordered by Published Date Descending.
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1
Ontario Seeks Input On Regulation Of Provincial Mortgage Businesses
The Ontario Ministry of Finance is seeking input from the public and other stakeholders with respect to a legislative review of the Mortgage Brokerages, Lenders and Administrators Act, 2006 (MBLAA).
Canada
14 Dec 2018
2
Year In Review: Legislation And Guidance For Federal Financial Institutions In 2017
2017 marked another year of prodigious development of legislation and regulatory guidance impacting federal financial institutions in Canada.
Canada
31 Jan 2018
3
OSFI Looks To Further Tighten Mortgage Underwriting Standards, Issues Revised Guideline B-20 For Comment
Below we look at some of the new measures proposed by OSFI in the Draft Guideline to address these concerns.
Canada
13 Jul 2017
4
Year In Review: Legislation And Guidance For Financial Institutions In 2016
The regulation of federally regulated financial institutions (FRFIs) continued intensifying in 2016 with a new wave of legislative and regulatory initiatives impacting mortgage lending...
Canada
24 Jan 2017
5
Default Interest Rates On Mortgages Structured As Discounts For Timely Payment Prohibited By Section 8 Of Interest Act
Section 8 of the Interest Act (Canada) (Section 8) prevents lenders from charging a higher rate of interest after default on a mortgage of real property than that charged prior to default.
Canada
6 Jun 2016
6
Year In Review: Legislation And Guidance For Financial Institutions In 2015
Financial institutions in Canada witnessed yet another year of significant growth in legislation and regulatory guidance impacting their operations...
Canada
20 Jan 2016
7
New Federal Rules For The Residential Mortgage Market
Banks and other federally regulated financial institutions (FRFIs) have been subject to a loan-to-value restriction for certain types of residential mortgage loans for many years.
Canada
18 Jan 2016
8
2015 Federal Budget - Financial Services Highlights
Finance Minister Joe Oliver tabled his first budget on April 21, 2015 (Budget).
Canada
27 Apr 2015
9
The CSA Extend Elements Of Mutual Fund Regulation To Closed-End Funds
On June 19, 2014, the Canadian Securities Administrators published the final instalment of the amendments (Amendments) to National Instrument 81-102.
Canada
14 Jul 2014
10
Important Financial Services Changes In 2014 Budget
The Economic Action Plan 2014, as the federal government calls its budget, tabled in the House of Commons on February 11, 2014 contains a number of statements regarding financial services regulatory reforms.
Canada
17 Feb 2014
11
Significant Provisions To B.C. Forestry Service Providers Protection Act Come Into Force
Significant remaining provisions to the "Forestry Service Providers Protection Act" came into force on April 1, 2013.
Canada
11 Apr 2013
12
Asset Management: 2013 Canadian Investment Product Trends
Market expectations are that the equity-related products in 2013 will benefit from signs of recovery in the U.S. and globally.
Canada
24 Jan 2013
13
Challenge To Priority For Default Interest Fails
Section 8 of the Interest Act (Canada) (the Act) was considered by the Ontario Superior Court of Justice in Grant Forest Products Inc. (Re) in the context of an inter-creditor dispute.
Canada
 
3 Aug 2012
14
OSFI Releases Final Guideline For Consumer Mortgage Business
On June 21, 2012, the Office of the Superintendent of Financial Institutions (OSFI) released the final version of Guideline B-20 – Residential Mortgage Underwriting Practices and Procedures.
Canada
28 Jun 2012
15
Revised Regulatory Guidance On Consumer Mortgage Business
The Office of the Superintendent of Financial Institutions (OSFI) recently released an Interim Update on Draft Guideline B-20 (for further details, see our March 2012 Blakes Bulletin: More Federal Regulatory Guidance on Consumer Mortgage Businesses in which we reported on Draft Guideline B-20 – Residential Mortgage Underwriting Practices and Procedures).
Canada
18 Jun 2012
16
CSA Outlines Concerns Regarding An Issuer’s Financial Condition In The Context Of A Prospectus Offering
The Canadian Securities Administrators (the CSA) have published Staff Notice 41-307 (the Notice) setting out their approach where there are concerns regarding an issuer’s financial condition and/or the sufficiency of proceeds in the context of a prospectus offering.
Canada
29 Mar 2012
17
IOSCO Proposes 15 Regulatory Principles For ETFs
On March 14, 2012, the Technical Committee of the International Organization of Securities Commissions (IOSCO) published a consultation report (the Report) which examines several key regulatory issues that have arisen in connection with concerns raised by the rise in popularity of exchange-traded funds (ETFs).
Canada
28 Mar 2012
18
CSA Divided On Proposed Approach To Regulation Of Non-Resident Investment Fund Managers
The members of the Canadian Securities Administrators (CSA) announced in February 2012 two separate approaches for regulatory regimes for the registration in Canada of persons or companies that act outside Canada as managers of investment funds.
Canada
8 Mar 2012
19
CSA To Complete Phase 1 Of Modernization Project And Amend Investment Fund Rules
CSA announces adoption of Amendments to complete first phase of its Modernization Project.
Canada
23 Feb 2012
20
OSC Reviewing Oversight Of Poison Pills And Rules For Related Party Transactions
In a recent public forum addressing current developments in Canadian securities law, the deputy director of the Ontario Securities Commission indicated that OSC staff is considering proposing two significant regulatory changes relevant to Canadian M&A transactions.
Canada
10 Jan 2012
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