Search
Searching Content indexed under Charges, Mortgages, Indemnities by Stikeman Elliott LLP ordered by Published Date Descending.
Links to Result pages
 
1 2 3 4 5 6 7 8 9 10 11 . . .  
>>Next
 
Title
Country
Organisation
Author
Date
1
Les règles de la Loi sur les sûretés mobilières de l'Ontario relatives au ressort du débiteur changent le 31 décembre 2015
Il a récemment été annoncé que des modifications inscrites dans la Loi sur les sûretés mobilières (Ontario) (la « LSM ontarienne ») depuis 2006, mais encore non promulguées, entreront en vigueur le 31 décembre 2015.
Canada
7 Dec 2018
2
"Best Efforts" Doesn't Automatically Apply To All Conditional Financing Provisions, B.C. Court Holds
British Columbia's Court of Appeal has upheld a ruling that declined to apply a "best efforts" requirement to the fulfillment of a financing condition in a real estate purchase agreement.
Canada
26 Oct 2018
3
CSA Proposes Exempt Market Harmonization For Syndicated Mortgages
The Canadian Securities Administrators have published proposed amendments to National Instrument 45-106 Prospectus Exemptions (NI 45-106) ...
Canada
22 Mar 2018
4
UK Court Characterizes Loan Agreements As Debentures - Implications Under The Financial Services And Markets Act 2000
The UK Court of Appeal decision in Fons Hf v Corporal Ltd and Pillar Securitisation has created significant uncertainty as to whether certain UK loan transactions may be regulated under the FSMA.
UK
7 Jul 2014
5
CSA Staff Publish Guidance On Characterization Of Mortgage Investment Entities
Ultimately, OSC staff characterize such MIEs as more akin to a lending business than an investment fund, and the prospectus form to be completed is Form 41-101F1.
Canada
23 Sep 2013
6
Latest Issue Of Investment Funds Practitioner Addresses Mortgage Investment Entities And Certain Prospectus And Website Disclosure
The Investment Funds Branch of the Ontario Securities Commission recently released its latest issue of the Investment Fund Practitioner, dated May 2013.
Canada
5 Jun 2013
7
OSFI Superintendent Discusses Corporate Governance
In a recent speech to the Trust Companies Association of Canada, OSFI Superintendent Julie Dickson outlined OSFI's work toward revising its 2003 Corporate Governance Guideline.
Canada
8 Jun 2012
8
Regulator Guidance On Preliminary Economic Assessments Expected Soon
As discussed last week, I recently attended the 2012 Mine Accounting & Reporting Update conference in Toronto.
Canada
28 May 2012
9
IIROC Requests Comments On Marketplace Threshold Rules
The Investment Industry Regulatory Organization of Canada (IIROC) recently proposed a set of principles intended to guide it as it considers formal proposals to establish marketplace price and volume thresholds.
Canada
25 May 2012
10
IIROC Provides Information On Exemptions Granted In 2011
Yesterday, the Investment Industry Regulatory Organization of Canada (IIROC) released a notice providing information on exemptions granted in 2011.
Canada
21 May 2012
11
CDS Proposes Amendments To Buy-In Process Functionality
The OSC today published a proposal to amend functionality of CDS' Continuous Net Settlement Service buy-in process.
Canada
16 May 2012
12
Proposed Recognition Orders Related To Maple Acquisition Published By OSC
On May 3, the Ontario Securities Commission published a notice summarizing the public comments received to date on Maple Group's proposed acquisition of TMX Group and identifying changes to the application since its original publication in October 2011.
Canada
16 May 2012
13
More On The CSA's Proposed End-User Exemption
As we discussed last month, the Canadian Securities Administrators Derivatives Committee recently released the latest in a series of eight papers intended to build on the high-level proposals found in Consultation Paper 91-401 regarding the regulation of OTC derivatives.
Canada
16 May 2012
14
OTC Issuer Disclosure Rules Effective July 31, 2012
The Canadian Securities Administrators, except for the OSC, today released Multilateral Instrument 51-105 "Issuers Quoted in the U.S. Over-the-Counter Markets", intended to improve disclosure by issuers whose securities are quoted in U.S. OTC markets and with a significant connection to a Canadian jurisdiction.
Canada
16 May 2012
15
Changes To Short Sales, Failed Trades And Dark Liquidity Moved To October 15
IIROC this week announced a change in the implementation dates for UMIR amendments respecting short sales and failed trades, previously scheduled to occur on September 1, 2012, to October 15, 2012.
Canada
16 May 2012
16
Roundtable Discussion Considers Issues In Anti-Corruption Policies And Practices
On April 19, Transparency International Canada Inc. hosted its second annual Day of Dialogue featuring 12 roundtable discussions on current issues in anti-corruption policies and practices.
Canada
16 May 2012
17
Stock Dividend Programs - Is It Time To Turn Off The DRIP?
For as long as corporations have been paying dividends and trusts have been paying distributions, issuers have been seeking ways to encourage their securityholders to reinvest those cash payments into the issuer.
Canada
16 May 2012
18
CSA Designate Rating Organizations Under NI 25-101
On April 30, the Canadian Securities Administrators announced the designation of DBRS Limited, Fitch, Inc., Moody's Canada Inc., and Standard & Poor's Rating Services (Canada) as designated rating organizations under National Instrument 25-101 Designated Rating Organizations.
Canada
16 May 2012
19
SIGMA X Canada Ceases Operations
According to an IIROC notice issued last week, SIGMA X Canada ceased operations as of the end of trading on April 27, 2012.
Canada
16 May 2012
20
OSC Releases April 2012 Issue Of Investment Funds Practitioner
The Investment Funds Branch of the Ontario Securities Commission recently published the April 2012 issue of its Investment Funds Practitioner.
Canada
4 May 2012
Links to Result pages
 
1 2 3 4 5 6 7 8 9 10 11 . . .  
>>Next