Searching Content indexed under Charges, Mortgages, Indemnities by Dentons ordered by Published Date Descending.
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Ontario Subsequent Mortgagee Loses Priority For Fraudulent Prior Discharge
In CIBC Mortgages Inc. v. Computershare Trust Co. of Canada, the Ontario Superior Court of Justice considered applications from competing mortgagees to a property where the first charge had been discharged by fraud and subsequent mortgages were obtained.
11 Mar 2015
Lean times may call for lien measures – What you need to know about miners’ liens in Northern Canada
Given the present economic climate of falling metal prices and depressed equity markets for mining companies, many owners and operators of mines are experiencing cash flow and working capital shortages.
17 Mar 2014
Tax Court Interprets "Ownership" For Purposes Of GST/HST New Housing Rebate
In Rochefort v. The Queen, the Tax Court of Canada provided clarity on the definition of "ownership" for the purposes of the GST/HST New Housing Rebate.
13 Feb 2014
Sheltering Under My Umbrella
A discussion relating to the things a lien claimant must do in order to assert the lien and then to keep it alive.
13 May 2013
Moving B2B Payments Into The Digital Age'
In this presentation, Marc Lemieux gives an overview of the transition of B2B payments into the digital age.
1 Oct 2012
BCSC Action Reinforces Lessons For Continuous Disclosure
A recent Notice of Hearing issued by the British Columbia Securities Commission ("BCSC") may require mineral exploration companies to re‐visit their continuous disclosure practices.
13 Jun 2012
CSA Provides Guidance On Disclosure Requirements Related To Prospectus Exemptions
On April 26, 2012, the Canadian Securities Administrators ("CSA") published two staff notices addressing disclosure requirements related to the prospectus exemptions found under National Instrument 45-106 – Prospectus and Registration Exemptions ("NI 45-106").
28 May 2012
TSX Supportive Of OSC Review Of Emerging Market Issuers
On March 20, 2012, TMX Group announced its support for, and cooperation with, OSC’s review of emerging market ("EM") issuers.
1 May 2012
SEC Amends "Accredited Investor" Definition
The United States Securities and Exchange Commission ("SEC") has recently adopted amendments to the accredited investor standards in the rules under the Securities Act of 1933 ("U.S. Securities Act") in order to conform to the requirements of the Dodd-Frank Wall Street Reform and Consumer Protection Act.
1 May 2012
Settlements With Ontario Securities Commission Do Not Preclude Class Action Claims
On January 27 2012 the Ontario Court of Appeal released its decision in "Fischer v IG Investment Management Ltd". The court held that capital markets participants which reach a settlement agreement with the Ontario Securities Commission (OSC) with respect to securities law infractions may still be exposed to civil liability in class actions.
27 Mar 2012
"Not Valid": The Supreme Court Of Canada’s Advisory Opinion In Reference Re Securities Act
On December 22, 2011, the Supreme Court of Canada released its landmark advisory opinion in the Reference Re Securities Act, 2011 SCC 66.
22 Mar 2012
The Canadian Advanced Technology Alliance (CATA) has just launched a new campaign in support of changing Canadian securities laws to permit crowdfunding.
14 Feb 2012
British Columbia Court Of Appeal Upholds Jurisdiction Of The British Columbia Securities Commission
The British Columbia Court of Appeal (the "Court") has ruled that the British Columbia Securities Commission (the "BCSC") has the jurisdiction to adjudicate enforcement proceedings against a person who trades on the TSX Venture Exchange (the "Exchange") regardless of their location.
20 Dec 2011
Canadian Securities Regulators Propose To Ease Restrictions On Marketing Prospectus Offerings
The Canadian Securities Administrators have published for comment significant proposed changes to their rules and policies governing the pre‐marketing and marketing of prospectus offerings, other than mutual fund offerings.
6 Dec 2011
New TSX Listings Category – Oil & Gas Development Stage Companies
On July 29, 2011 the Toronto Stock Exchange ("TSX") adopted, and the Ontario Securities Commission approved, the amendments to Part III, Part V and Part VI of the TSX Company Manual previously published in a request for comments on February 4, 2011.
5 Oct 2011
CSA Publish Proposal To Implement Stage 2 Of Point Of Sale Disclosure For Mutual Funds
The Canadian Securities Administrators (the "CSA") have published for a 90‐day comment period proposed amendments to National Instrument 81‐101 that are intended to implement Stage 2 of the point of sale disclosure framework originally published in October 2008 by the Joint Forum of Financial Market Regulators.
26 Sep 2011
Broker‐Dealer Registration In The Exempt Market Dealer Category
In September 2009, new securities regulations came into force across all Canadian jurisdictions that imposed a registration obligation on any person or entity in the business of trading in securities distributed under a prospectus exemption.
25 Sep 2011
Proposal To Make QPs Submit To Jurisdiction
The Canadian Securities Administrators ("CSA") published, on July 15, 2011, proposed amendments to NI 41 101, General Prospectus Requirements and Companion Policy 41 101CP to NI 41 101 together with other miscellaneous amendments to related instruments.
16 Sep 2011
Proposed National Instrument 51-103: CSA Proposes To Simplify Venture Issuer Regulation
On May 31, 2010, the Canadian Securities Administrators (the "CSA") released a consultation paper detailing a proposal to overhaul the securities regulatory regime applicable to venture issuers (other than issuers that fall within the definition of "venture issuer" under securities legislation by virtue of issuing only debt or preferred shares).
15 Sep 2011
Fairness Opinions And Related Party Transactions: The Canadian Perspective
Fairness opinions and their quality are not generally highly-charged, emotional subjects in Canada.
14 Jun 2011
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