24 December 2013
Financial and Consumer Services Commission Website

19 December 2013
Canadian securities regulators mandate OBSI’s dispute resolution service for registered dealers and advisers

19 December 2013
Canadian Securities Regulators Seek Comment on Derivatives Rule Relating to Mandatory Central Counterparty Clearing

17 December 2013
Canadian regulators release status reports on mutual fund fees and best interest duty

12 December 2013
Canadian securities regulators seek comments on mutual fund risk classification methodology

05 December 2013
Canadian securities regulators seek comment on proposed changes to registration rules for dealers, advisors and investment fund managers

29 November 2013
NEW CHAIR OF THE FINANCIAL AND CONSUMER SERVICES COMMISSION APPOINTED

28 November 2013
Canadian securities regulators propose streamlining disclosure requirements for private foreign securities offerings to certain Canadian investors

21 November 2013
Canadian Securities Regulators Propose New Exemption for Distributions to Existing Security Holders

14 November 2013
Transition to new service provider for the operation of the CSA National Systems

05 November 2013
Financial Literacy Month: Educational resources on display in Fredericton on 19 November

04 November 2013
William Gildea ordered to pay $2,500 for failing to file under exempt distribution rules

17 October 2013
CSA seek more information about the quality of audit firms through proposed changes to auditor oversight rule

17 October 2013
Canadian Securities Regulators Introduce Amendments to Oil and Gas Disclosure Requirements

16 October 2013
Report suggests evolving capital markets in New Brunswick

10 October 2013
A minute of your time could save your financial future

08 October 2013
CSA encourages all Canadians to take time to “Check Before You Invest”

07 October 2013
CSA Announces Change in Cutover Date for Information Management Services

03 October 2013
Canadian Securities Regulators Adopt Amendments for Investment Funds Transitioning to IFRS

19 September 2013
Canadian securities regulators provide an update regarding the consultation on proxy adviser firms

23 August 2013
Cease Trade Order issued against Goldpoint Resources Corporation

15 August 2013
Canadian Securities Regulators Review Canada’s Proxy Voting Infrastructure For Shareholders

12 August 2013
Canadian Securities Regulators Provide Update On Transition To New National Systems Service Provider

01 August 2013
Investment Advisor Best Interest Standard

31 July 2013
Ontario Ministry of the Attorney General Notice: Civil forfeiture proceeding in the matter of Al-Tar Energy Corp.

29 July 2013
Consumer Advisory: Do not cash cheques from companies you do not know

26 July 2013
Important Changes being Considered: Regulation of Distribution of Securities Outside New Brunswick

25 July 2013
Canadian securities regulators will not implement proposed rule for venture issuers

24 July 2013
William Watson Priest ordered to pay money obtained from defrauded investors

19 July 2013
Canadian Securities Regulators Announce Results of Continuous Disclosure Reviews for Fiscal 2013

18 July 2013
Canadian Securities Administrators publish guidance on relationship disclosure practices

16 July 2013
CSA requirements to improve disclosure for investors are now in effect

09 July 2013
Canadian Securities Regulators Release Three-Year Business Plan

02 July 2013
The Financial and Consumer Services Commission: One stop for consumer information and industry regulation

19 June 2013
Investor alert / Energy investments

13 June 2013
Canadian Securities Regulators Now Require Delivery of the Fund Facts for Mutual Funds

12 June 2013
Extension of Consultation Period for two Consultations related to Take-Over Bids and Issuer Bids

12 June 2013
Health-care professionals learn about recognizing, reporting financial abuse of seniors

06 June 2013
REVISED \ Investor Alert: EquityStar Momentum Growth Fund added to Caution List

06 June 2013
Canadian Securities Regulators Seek Comment on Derivatives Rules Relating to Product Determination and Trade Repositories and Data Reporting

30 May 2013
Canadian securities regulators adopt pre-marketing and marketing amendments to prospectus rules

26 April 2013
Canadian Securities Regulators undertake review following loss of personal information

26 April 2013
New service provider for the operation of the CSA National Systems

18 April 2013
CSA seeks comment on proposals for derivatives market registration and regulation

17 April 2013
Canadian Securities Regulators release MFDA Oversight Review Report

03 April 2013
Investment loans gone bad result in $1.7 million in losses

28 March 2013
The CSA Implement Disclosure Requirements For Investment Costs And Performance

27 March 2013
Canadian Securities Regulators Seek Comment on Proposals to Modernize Investment Fund Rules

25 March 2013
Check to be sure your investment adviser is registered with the Securities Commission

25 March 2013
Canadian Securities Administrators announce 26 March as Check Registration Day

14 March 2013
Canadian Securities Regulators Propose Framework for Shareholder Rights Plans

14 March 2013
Investor Alert: Profitable Sunrise and other high-yield investment schemes

13 March 2013
Canadian Securities Regulators Seek Comment on Early Warning Reporting

12 March 2013
TraderXP Binary Options Trading and VIPBinary added to Caution List

11 March 2013
Keep your savings safe - take part in Check Registration Day

05 March 2013
Canadian Securities Regulators Stress being Proactive is Key in Preventing Investor Fraud

28 February 2013
Canadian Securities Regulators Adopt Amendments to Prospectus Rules

21 February 2013
Canadian Securities Regulators’ Enforcement Report Highlights Fraud

13 February 2013
Vacancy for appointment - Members of the Commission

04 February 2013
Canadian Securities Administrators renew term of Chair, appoint new Vice-Chair

28 January 2013
Six companies added to the Caution List

15 January 2013
Dr. James Edward VanBlaricum, Texas Energy, Kevin Surrette

15 January 2013
2012 Securities Commission cases showed $2.5 million in losses to investment schemes

10 January 2013
Canadian Securities Regulators Adopt Amendments to Improve Scholarship Plan Disclosure for Investors