Conflicts ofinterest permeate the Canadian investment fund industry. In response, securities regulators have promulgated National Instrument 81-107 Independent Review Committee for Investment Funds. In the view of securities regulators, NI 81-107 reflects a principles-based approach toward the regulation of conflicts of interest. This Article articulates a theoretical conception of principles-based securities regulation, one which transcends the formalism of the traditional rules versus principles debate to reveal a new regulatory paradigm. Thereafter, the author explores whether and to what extent NI 81-107 truly reflects this principlesbased paradigm, manifesting the potential to tap into its inherent wisdom while at the same time m...
This Article argues that existing regulation of mutual funds has serious shortcomings. In particular...
Securities regulation wears two hats. Its “upstream” side governs firms in connection with their obt...
On May 26, 2010, Canada’s Minister of Finance tabled in the House of Commons a draft Securities Act....
Conflicts ofinterest permeate the Canadian investment fund industry. In response, securities regulat...
Conflicts of interest permeate the Canadian investment fund industry. In response, securities regula...
Should the securities regulation of Ontario venture issuers be based primarily on rules or principle...
This paper argues in favour of principle-based securities regulation for Canada. The author examine...
Although the securities industry is primarily regulated by specific rules, it is also governed by ge...
This paper seeks to re-examine, and ultimately to restate the case for, principles-based securities ...
This thesis aims at giving an outlook of Canadian securities regulation through the lense of behavio...
Historically, Two Issues Have Dominated The Study of Regulatory Agencies: first, how agencies define...
If securities regulation is any indication, few countries in the world take their federalism as seri...
The financial crisis of 2007-9 revealed serious failings in the regulation of financial institutions...
Recent scandals in the financial industry in the United States have raised the question whether the ...
Dodd-Frank Wall Street Reform and Consumer Protection Act of 2010 (“Dodd-Frank”) instructed the Secu...
This Article argues that existing regulation of mutual funds has serious shortcomings. In particular...
Securities regulation wears two hats. Its “upstream” side governs firms in connection with their obt...
On May 26, 2010, Canada’s Minister of Finance tabled in the House of Commons a draft Securities Act....
Conflicts ofinterest permeate the Canadian investment fund industry. In response, securities regulat...
Conflicts of interest permeate the Canadian investment fund industry. In response, securities regula...
Should the securities regulation of Ontario venture issuers be based primarily on rules or principle...
This paper argues in favour of principle-based securities regulation for Canada. The author examine...
Although the securities industry is primarily regulated by specific rules, it is also governed by ge...
This paper seeks to re-examine, and ultimately to restate the case for, principles-based securities ...
This thesis aims at giving an outlook of Canadian securities regulation through the lense of behavio...
Historically, Two Issues Have Dominated The Study of Regulatory Agencies: first, how agencies define...
If securities regulation is any indication, few countries in the world take their federalism as seri...
The financial crisis of 2007-9 revealed serious failings in the regulation of financial institutions...
Recent scandals in the financial industry in the United States have raised the question whether the ...
Dodd-Frank Wall Street Reform and Consumer Protection Act of 2010 (“Dodd-Frank”) instructed the Secu...
This Article argues that existing regulation of mutual funds has serious shortcomings. In particular...
Securities regulation wears two hats. Its “upstream” side governs firms in connection with their obt...
On May 26, 2010, Canada’s Minister of Finance tabled in the House of Commons a draft Securities Act....