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Legal & Regulatory Articles

These articles are available to members only.

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Below are samples of recent additions:

  • AIMA CAnada Comment Letter re: NI31-103 to the CSA - May 29, 2008
  • AIMA Canada Comment Letter re: NI 31-103 to the Ministry of Finance - May 29, 2008
  • AIMA Canada comments on the Provisions for Short Sales and Failed Trades, October 2007
  • Bank of Canada Hedge Fund Article, September 2007
  • AIMA Canada Comment Letter re: NI 31-103 - June 20, 2007
  • Canadian Securities Administrators Issue Hedge Fund Notice - February 2007 - McMillan
  • OSC Report of LMD's in Ontario - June 2006 - BLG
  • Regulation of Derivatives Markets in Quebec - June 2006 - AMF
  • Hedge Funds and Structured Products Bulletin - June 2006 - McMillan
  • Impact of CICA Handbook -Section 3855 - May 2006 - PWC
  • NI181-106 - May 2005 - Torys
  • Working with the New Canadian Continuous Disclosure Rules for Hedge Funds - NI 81 -106 - April 2005 - BLG
  • Ontario's New Cilvil Liability Requirements for Secondary Market Disclosure: How Will It Apply to Investment Funds? - April 2005 - BLG
  • What's Ahead for the Fund Industry An Outline of Developments in Canadian Securities Regulation - April 2005 - BLG
  • NI 81-106 Investment Fund Continuous Disclosure, March 2005
  • Concept Paper 23-402 – Best Execution and Soft Dollar Arrangements - Executive Summary - Borden Ladner Gervais  (BLG) - February 2005