Latest news in From the Regulators

IMET makes arrest in Pender International case

IDA to re-write rule book in plain language

Ottawa unveils improvements to application of GST/HST to financial services

  • By: IE Staff
  • January 29, 2007 January 29, 2007
  • 08:15

AMF files 619 charges in Mount Real proceedings

SEC extends compliance dates for Regulation NMS

SEC, Euronext regulators sign regulatory cooperation arrangement

NASAA unveils pro-investor legislative agenda

B.C., Alberta issue warning to investors

  • By: IE Staff
  • January 25, 2007 January 25, 2007
  • 14:30

SEC approves new NASD Code of Arbitration Procedure

IDA fines broker $20,000 for role in stock manipulation

  • By: IE Staff
  • January 24, 2007 January 24, 2007
  • 12:20

New FSA team to crack down on financial crime

NASD firms embrace streamlined, more efficient regulation

CSA launches XBRL voluntary filing program

CSA proposes changes to oil & gas disclosure standards

MFDA issues penalty guidelines

U.S. fund company to settle market timing and late trading violations, SEC says

Capital Financial Trust perpetrating an “advance fee” fraud, FSCO says

Ontario mutual fund salesman fined $150,000

  • By: IE Staff
  • January 18, 2007 January 18, 2007
  • 11:10

Commons committee to review income trust changes

  • By: IE Staff
  • January 18, 2007 January 18, 2007
  • 09:50

NYSE Regulation fines seven specialist firms $US2.8 million for trading violations

  • By: IE Staff
  • January 17, 2007 January 17, 2007
  • 10:55

FSA head to step down

IDA fines Ottawa broker $40,000

  • By: IE Staff
  • January 15, 2007 January 15, 2007
  • 13:45

Appeal court overturns damage award against advisors for switching firms

RS proposes new fee model to recover costs

Canadian regulators release results of hedge fund review