Tag: Canadian Securities Administrators

Canadian Securities Administrators CSA
September 18, 2018 BY Valentina Kirilova

CSA appoints Laura Belloni as Secretary General

The Canadian Securities Administrators (CSA) has announced the appointment of Laura Belloni as Secretary General, effective September 17, 2018. Before taking on this role, Ms. Belloni served as Manager of Regulatory Affairs and Policy Manager at the CSA for a period of 10 years. As such, she was responsible for managing regulatory and policy development…

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CSA proposes rule regarding non-GAAP and other financial measures
September 07, 2018 BY Valentina Kirilova

CSA proposes rule regarding non-GAAP and other financial measures

The Canadian Securities Administrators (CSA) has just published for comment Proposed National Instrument 52-112 Non-GAAP and Other Financial Measures Disclosure (the Proposed Instrument), which establishes disclosure requirements for issuers that disclose non-GAAP and other financial measures. These measures often lack standardized meanings, resulting in potentially misleading or confusing disclosure. We are proposing clear and comprehensive…

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Canadian Securities Administrators CSA
July 20, 2018 BY Valentina Kirilova

CSA highlights common deficiencies in issuers’ continuous disclosure

The Canadian Securities Administrators (CSA) has published Staff Notice 51-355 Continuous Disclosure Review Program Activities for the fiscal years ended March 31, 2018 and March 31, 2017, a biennial report that summarizes CSA staff’s ongoing review of reporting issuers’ (issuers) continuous disclosure and highlights common deficiencies and best practices. Among other issues, we continue to…

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June 12, 2018 BY Valentina Kirilova

CSA provides more guidance on securities law implications for tokens offerings

The Canadian Securities Administrators (CSA) has published CSA Staff Notice 46-308 Securities Law Implications for Offerings of Tokens, which provides additional guidance on the applicability of securities laws to offerings of coins or tokens, including ones that are commonly referred to as “utility tokens.”. Since publishing initial guidance, we have engaged with numerous businesses considering…

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June 07, 2018 BY Valentina Kirilova

CSA warns investors to be cautious with crypto-asset trading platforms

The Canadian Securities Administrators (CSA) has informed that is urging Canadians to be cautious when considering buying crypto assets through trading platforms. Even though a platform may call itself an “exchange,” that does not mean it is complying with the securities regulatory regime. Currently there are no crypto-asset trading platforms recognized as an exchange or…

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May 25, 2018 BY Valentina Kirilova

CSA to reduce regulatory burden for investment funds

The Canadian Securities Administrators (CSA) has announced that it has just published CSA Staff Notice 81-329 Reducing Regulatory Burden for Investment Fund Issuers, which outlines the CSA’s plan to pursue four initiatives in the near-term that would remove redundancies and streamline disclosure requirements for investment fund issuers. Reviewing regulatory burden for investment fund issuers is…

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March 30, 2018 BY Valentina Kirilova

CSA publishes amendments related to reselling securities of foreign issuers

The Canadian Securities Administrators (CSA) has published amendments to National Instrument 45-102 Resale of Securities (NI 45-102) and changes to Companion Policy 45-102CP to National Instrument 45-102 Resale of Securities (45-102CP). We recognize that Canadian investors are increasingly interested in participating in the global capital markets,” said Louis Morisset, CSA Chair and President and CEO…

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CSA proposes rule regarding non-GAAP and other financial measures
April 05, 2017 BY Valentina Kirilova

Canadian securities regulators seek input on proposed business conduct rules for derivatives dealers and advisers

The Canadian Securities Administrators (CSA) published for comment Proposed National Instrument 93-101 Derivatives: Business Conduct and a related proposed companion policy. The proposed instrument establishes an investor protection regime for over-the-counter (OTC) derivatives markets that is consistent with international standards and foreign requirements and is intended to create a uniform approach to derivatives business conduct…

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