Latest news in From the Regulators

Industry minister reviewing TMX LSE merger deal

IIROC overhauls rules for dealer organization and registration

Market timing class action against fund companies may still proceed

Manitoba to defend provincial role in securities regulation before Supreme Court

MFDA bans Alberta fund salesman

  • By: IE Staff
  • February 13, 2011 December 14, 2017
  • 14:59

Former WebNet CEO banned for 20 years for illegal distributions

  • By: IE Staff
  • February 13, 2011 December 14, 2017
  • 13:35

Research generates $10,000 penalty for First Financial rep

  • By: IE Staff
  • February 13, 2011 December 14, 2017
  • 11:46

OSC postpones Rankin hearing

  • By: IE Staff
  • February 10, 2011 December 14, 2017
  • 14:06

BCSC seeks reciprocal order against banned Vancouver broker

  • By: IE Staff
  • February 10, 2011 December 14, 2017
  • 14:00

U.S. Treasury identifies Lebanese Canadian Bank as a “money laundering concern”

Bank employee accused of taking $206,000 from accounts of 31 seniors across Canada

IIROC announces penalties against Jory Capital, firm’s CEO

  • By: IE Staff
  • February 9, 2011 December 14, 2017
  • 20:48

IIROC imposes $100,000 penalty against National Bank Direct Brokerage

  • By: IE Staff
  • February 9, 2011 December 14, 2017
  • 19:17

Fraud conviction upheld against man who bilked Ontario investors of $40 million

CCIR report the first step to MGA regulation?

Panel fines ex IPC Securities rep violated IIROC rules

  • By: IE Staff
  • February 9, 2011 December 14, 2017
  • 16:12

Ex Argosy rep fined $50,000 for trading violations

  • By: IE Staff
  • February 9, 2011 December 14, 2017
  • 15:59

OSC to review TSX/LSE merger plan

Quebec to review proposed merger of TMX Group with LSE

Industry minister watching possible TSX merger with London Stock Exchange

NBSC issues alert on Global-Med Technologies

  • By: IE Staff
  • February 9, 2011 December 14, 2017
  • 09:50

Ex RBC DS rep banned for misappropriating client funds

  • By: IE Staff
  • February 8, 2011 December 14, 2017
  • 16:35

SEC charges hedge fund with insider trading

B.C. backs away from proposed national securities regulator