Latest news in From the Regulators

Strong loonie reflects Canada’s “sound” fiscal situation, Flaherty says

Canadian lawyer settles insider trading case with SEC

MFDA proxy process flawed, BCSC rules

National securities regulator “alive” despite provincial opposition, Davies says

UK banks fined $4.33 million for poor complaint handling

ASC permanently bans ex Scotia Securities fund salesperson

  • By: IE Staff
  • January 10, 2011 December 14, 2017
  • 17:12

High household debt a threat to economic recovery, says Bank of Canada

SEC files more charges in Galleon hedge fund case

OSC opens dialogue on shareholder democracy issues

OSC orders $2.1 million in fines for oil & gas scheme

IIROC publishes final version of proposed Client Relationship Model reforms

OSC allows hostile Baffinland bid in last minute deal

Court refuses to strike down lawsuit filed against MFDA, SFSC

UK government introduces bank levy

Two firms seek exemptions to OSC clearing agency requirements

OSFI revises capital adequacy requirements for life insurers

OSFI releases revised MCT guideline for P&C insurers

NBSC issues cease-trade order against Texas-based firm, two of its directors

  • By: IE Staff
  • December 22, 2010 December 14, 2017
  • 12:28

AMF seeks $376,000 fine in alleged illegal distribution scheme

  • By: IE Staff
  • December 22, 2010 December 14, 2017
  • 11:25

Court thwarts IPC’s attempt to recover client compensation costs from advisor

Investment club operator fined $15,000 for trading securities without registration

SEC charges hedge fund manager, trustees with running multi-million dollar offering fraud

Court dismisses Watt Carmichael’s appeal of OSC penalties

Ontario regulator proposes mandatory CE requirements for mortgage brokers

AMF seeks $2.8 million in fines in alleged illegal distributions case