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Searching Content indexed under Debt Capital Markets by McMillan LLP ordered by Published Date Descending.
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1
MFDA Announces New Proficiency Standards For Selling ETFs
On July 20, 2017, the Mutual Fund Dealers Association announced the regulatory approval and coming into effect of its new Policy No. 8 – Proficiency Standard for Approved Persons Selling Exchange Traded Funds.
Canada
10 Aug 2017
2
HKEX's Proposed New Board Presents Unique Opportunities For Early Stage Tech Canadian Companies
The Hong Kong Stock Exchange ("HKEX") has successfully established itself as an international financial centre and a world renowned stock exchange.
Canada
20 Jul 2017
3
Proposed Amendments To TSX Company Manual Relating To Personal Information Forms, Declaration Forms, And Listing Applications
On June 1, 2017 the TSX published new proposed amendments to Reporting Form 4 – Personal Information Form, Reporting Form 4B – Declaration, and the Listing Application of the TMX Company Manual.
Canada
5 Jul 2017
4
Interoil/Exxon Plan of Arrangement: Third Time's A Charm
On February 20, 2017, InterOil Corporation ("InterOil") obtained approval from the Yukon Supreme Court for an updated plan of arrangement with ExxonMobil Corporation ("Exxon").
Canada
21 Mar 2017
5
Court Of Appeal Confirms The "Interest Stops Rule" Applies In CCAA Proceedings
Under the claims procedures in both the CCAA and Chapter 11 proceedings, holders of Nortel bonds (the "Bondholders") made claims for principal and pre-filing interest against the Canadian and U.S. Nortel estates.
Canada
17 Nov 2015
6
International Payments In RMB
China is implementing financial reforms intended to increase acceptance of the Chinese currency, Renminbi (RMB), as a global transaction and investment currency. These initiatives include measures to establish North America's first RMB trading hub in Canada.
Canada
27 Mar 2015
7
Time To Make It Clear, Part II: The CSA Publishes Notice And Request For Comments On Proposed Rules For Mandatory Central Counterparty Clearing Of OTC Derivatives
On December 19, 2013, the Canadian Securities Administrators (the "CSA") Over-the-Counter Derivatives Committee published CSA Staff Notice 91-103 - Proposed Model Provincial Rule on Mandatory Central Counterparty Clearing of Derivatives ..
Canada
12 Mar 2015
8
CSA Publishes Update On Proposal For Alternative Investment Funds
On February 12, 2015, the Canadian Securities Administrators ("CSA") published an update on the proposal for a comprehensive regulatory framework for publicly offered alternative investment funds ("Alternative Funds Proposal").
Canada
18 Feb 2015
9
Voluntary Delisting And Deference: TSX Proposes Changes To The Company Manual
On January 22, 2015, the Toronto Stock Exchange ("TSX" or the "Exchange") published two proposed public interest amendments to the TSX Company Manual (the "Manual") for public comment.
Canada
28 Jan 2015
10
TSX Proposes New Listing Requirements For Exchange Traded Products, Closed-End Funds And Structured Products
On January 15, 2015, the Toronto Stock Exchange ("TSX") published for comment proposed amendments (the "Amendments") to the TSX Company Manual (the "Manual").
Canada
24 Jan 2015
11
Honesty Is No Longer Just The Best Policy, It's The Law
It does, however, prohibit parties from lying or acting to "otherwise knowingly mislead each other about matters directly linked to the performance of the contract."
Canada
22 Dec 2014
12
Wealth Creation In Quebec: The Missing Link
The Quebec Stock Savings Plan is slated to end on December 31, 2014, and Quebec counts for only 7% of the corporations listed on the exchanges of the TMX Group, whereas the province's economic weight in the Canadian economy is 20%.
Canada
17 Dec 2014
13
Canada Launches Enhanced CSR Strategy For Extractive Sector Companies Operating Abroad
On November 14, 2014, Canada's Minister of International Trade announced an enhanced corporate social responsibility ("CSR") strategy, "Doing Business the Canadian Way.
Canada
5 Dec 2014
14
CSA Proposes Changes To Make Rights Offerings More Attractive To Reporting Issuers
Rights offerings allow issuers to raise capital while providing existing security holders with the opportunity to avoid dilution of their holdings.
Canada
2 Dec 2014
15
The First Concrete Step In The OSC's Exempt Market Reform Initiative:
On November 27, 2014,1 the Ontario Securities Commission ("OSC") announced certain rule amendments2 that will give effect to a new capital raising prospectus exemption (the "Existing Security Holder Prospectus Exemption") for reporting issuers listed on the Toronto Stock Exchange ..
Canada
2 Dec 2014
16
Canadian Securities Regulators Abandon Certain Key Amendments To Early Warning System
Further to our March 2013 bulletin, we are reporting an update on the 2013 Proposals of the Canadian Securities Administrators (the "CSA") to amend the reporting threshold, triggers and related disclosure requirements under the "early warning system".
Canada
16 Oct 2014
17
Création de richesse au Québec : le chaînon manquant
À une certaine époque, le Québec réussissait à mettre en bourse plusieurs de ses PME, dont certaines sont devenues des géants comme CGI, Québécor, Couche-Tard, Jean Coutu, pour n'en citer que quelques-unes.
Canada
3 Oct 2014
18
Not Unique: Ontario Court Of Appeal Reaffirms That Reliance On Business Judgment Rule Requires Compliance By Directors With Duty Of Loyalty
The Ontario Court of Appeal has recently reconfirmed that the court's deference to business decisions made by boards of directors, known as the "business judgment rule", will not apply where the directors have breached their statutory duty of loyalty.
Canada
2 Aug 2014
19
Ontario Court Rules in Favour of Dissident in Interpreting Provision In Advance Notice Policy—Would Consideration Of US Jurisprudence Have Changed The Result?
In its recent decision in Orange Capital, LLC v Partners Real Estate Investment Trust,1 the Ontario Superior Court addressed an interesting issue with respect to the interpretation of the operation of an advance notice policy (the "Policy").
Canada
17 Jul 2014
20
Augusta Decision—The British Columbia Securities Commission Holds That The Right Of A Shareholder To Tender To A Bid Remains Paramount
On May 2, 2014, the British Columbia Securities Commission (the "BCSC") issued an oral decision allowing the shareholder rights plan (the "Plan") of Augusta Resource Corporation ("Augusta"), which had been overwhelmingly approved by the shareholders of Augusta at a meeting held on such date ..
Canada
7 Jul 2014
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