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Searching Content indexed under Commodities/Derivatives/Stock Exchanges by Blake, Cassels & Graydon LLP ordered by Published Date Descending.
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1
Revamping Canada's Anti-Money Laundering Rules: What's New, What's Changed And What It Means For Business
Since the proposed amendments to the regulations (Regulations) to the Proceeds of Crime (Money Laundering) and Terrorist Financing Act (PCMLTFA) were released in June 2018, regulated entities (REs) have been anxiously...
Canada
5 Jul 2019
2
Now's Your Chance: CSA Seeks Input On Regulation Of Crypto Asset Trading Platforms
Parties interested in the crypto asset trading industry have been given an opportunity to provide their views on the appropriate regulatory oversight in Canada for crypto asset trading platforms.
Canada
29 Mar 2019
3
Canadian Mergers And Acquisitions: FAQs And 2019 Trends
Our Canadian Mergers and Acquisitions: FAQs and 2019 Trends answers frequently asked questions regarding the regulation of public M&A in Canada and provides an outlook
Canada
12 Feb 2019
4
New TSX Rules Governing Special Purpose Acquisition Corporations Now In Effect
The Toronto Stock Exchange (TSX) announced amendments (Amendments) to Part X — Special Purpose Acquisition Corporations (SPACs) of the TSX Company Manual (Manual),
Canada
12 Oct 2018
5
Canadian Regulators Issue Revised Derivatives Dealer And Adviser Business Conduct Rule Proposal
On June 14, 2018, the Canadian Securities Administrators (CSA) published for comment a revised version of Proposed National Instrument 93-101 – Derivatives: Business Conduct (Business Conduct Rule).
Canada
9 Jul 2018
6
Canadian Derivatives: Registration Regime For Dealers And Advisers Gets Momentum
This should increase consistency and reduce the burden of understanding and complying with the divergent approaches to the regulation of derivatives dealers and advisers...
Canada
26 Apr 2018
7
Supreme Court Hearing Leaves Cooperative Capital Markets Regulatory System In Limbo
The Supreme Court recently heard an appeal from the Quebec Court of Appeal's ruling last spring that the Cooperative System is unconstitutional in significant respects.
Canada
3 Apr 2018
8
CSA Propose Amendments To The Mandatory Derivatives Clearing Rule
On October 12, 2017, the Canadian Securities Administrators (CSA) proposed for comment amendments (Amendments) to National Instrument 94-101 Mandatory Central Counterparty Clearing of Derivatives, ...
Canada
20 Oct 2017
9
Quebec Introduces Much Anticipated Bill 141 To Revise Framework For Quebec Financial Sector
On October 5, 2017, Quebec's Minister of Finance Carlos Leitão introduced Bill 141, An Act mainly to improve the regulation of the financial sector, the protection of deposits of money and the operation...
Canada
11 Oct 2017
10
Mandatory Clearing Of OTC Derivatives Delayed For Certain Entities
During the delay, Participant Affiliates and Large Counterparties that are not Clearing Agency Participants will not be subject to mandatory clearing of in-scope OTC derivatives trades.
Canada
21 Aug 2017
11
OSFI Issues Draft Guideline For Derivatives Sound Practices For Federally Regulated Private Pension Plans
On July 31, 2017, OSFI published for comment a new draft guideline, titled: Derivatives Sound Practices for Federally Regulated Private Pension Plans (Draft Guideline).
Canada
10 Aug 2017
12
Making A Bright Line At The Border: CSA And OSC Seek To Clarify How Canadian Securities Laws Apply To Trades Outside Canada
The new version of the Proposed Rule responds to comments the OSC received on the initial iteration published in June 2016 (2016 Proposal).
Canada
7 Jul 2017
13
Canadian Bail-In Regulations: What You Need To Know
Both the bail-in power and the TLAC capital standard will have a considerable impact on Canadian DSIBs' funding and capital structures.
Canada
29 Jun 2017
14
OSC Seeks Stakeholder Input On Proposed Derivatives Business Conduct Rule
On May 29, 2017, the Ontario Securities Commission (OSC) hosted a half-day roundtable session to discuss the recently published Proposed National Instrument 93-101 – Derivatives: Business Conduct...
Canada
5 Jun 2017
15
Canadian Regulators Propose Broad Derivatives Dealer And Adviser Business Conduct Rules
This approach is intended to ensure that all Derivatives Firms will be subject to certain minimum standards in relation to their business conduct towards their counterparties and clients.
Canada
25 Apr 2017
16
TSX Amends Proposal For New Website And Equity Compensation Plan Disclosure
On April 6, 2017, the TSX published for comment a revised version of proposed amendments (Revised Amendments) to Part IV and Part VI of the TSX Company Manual and certain other ancillary amendments to the Manual.
Canada
20 Apr 2017
17
ISDA Publishes Canadian Clearing Classification Letter
On March 30, 2017, the International Swaps and Derivatives Association, Inc. (ISDA), with the assistance of Blakes lawyers, published the ISDA Canadian Clearing Classification Letter.
Canada
7 Apr 2017
18
2017 Federal Budget – Selected Tax Measures
On March 22, 2017 the Minister of Finance introduced Canada's 2017 Federal Budget (2017 Budget). Despite persistent rumours, no change was proposed to the capital gains inclusion rate.
Canada
24 Mar 2017
19
Canadian Regulators Finalize Customer Protection Rules For Cleared OTC Derivatives
Substituted compliance with U.S. or EU rules cannot, however, be relied upon to satisfy all of the Rule's requirements.
Canada
6 Mar 2017
20
2017 Proxy Advisory Firm Voting Guidelines: Canadian Highlights
Proxy advisory firms review and analyze matters put forward for consideration at shareholder meetings and make voting recommendations concerning such matters to their clients, who are typically institutional investors.
Canada
6 Feb 2017
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