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Registration Notices and Orders

Archived Notices

MSC Notice 2009-23 - CSA Staff Notice 31-312 - The Exempt Market Dealer Category under National Instrument 31-103 Registration Requirements and Exemptions - 2009-08-07

MSC Notice 2009-18 - Notice of Repeal and Replacement of National Instrument 33-109 Registration Information and amendments to National Instrument 31-102 National Registration Database and Related Forms and Policies - 2009-07-17

MSC Notice 2009-17 - Notice of National Instrument 31-103 Registration Requirements and Exemptions - CSA Notice of Rule, Companion Policy and Consequential Amendments to Related Instruments - 2009-07-17

MSC Notice 2009-16 - Notice of National Policy 11-204 Process for Registration in Multiple Jurisdictions and Amendments to Multilateral Instrument 11-102 Passport System, National Policy 11-202 and National Policy 11-203 - 2009-07-17

MSC Notice 2009-12 - CSA Staff Notice 31-311 Proposed National Instrument 31-103 -Registration Requirements and Exemptions Transition into the New Registration Regime - 2009-06-12

MSC Notice 2009-7 - CSA Staff Notice 31-310 - Proposed National Instrument 31-103 - Registration Requirements and Proposed Companion Policy 31-103CP - 2009-04-03

MSC Notice 2009-3 - Notice to Broker-Dealers Restricted to the Sale of Mutual Funds - Sale of Labour Sponsored Investment Funds – February 11, 2009

2008 Renewal of Registration - Under The Securities Act and/or The Commodity Futures Act - December 4, 2008

MSC Notice 2008-10 - Notice and Request for Comment - Proposed NI 31-103 Registration Requirements, 31-103CP and Proposed Consequential Amendments, NI 33-109 Registration Information and NI 31-102 National Registration Database - 2008-02-29

MSC Notice 2007-41 - United Nations Resolution on Iran and United Nations Resolution on the Democratic People's Republic of Korea – October 26, 2007

MSC Notice 2007-37 - The Securities Act and The Commodity Futures Act - Registration Exemption for Salespersons' Corporations - 2007-10-09

MSC Notice 2007-10 - Notice of Amendments to Multilateral Instrument 33-109 – Registration Information, Companion Policy 33-109CP, Multilateral Instrument 31-102 – National Registration Database and Companion Policy 31-102CP - 2007-02-23


MSC Notice 2007-9 - Notice and Request for Comment Proposed National Instrument 31-103, Registration Requirements, 31-103cp, Proposed Amendments to National Instrument 33-109, Registration Information - 2007-02-20

CSA Webcast - New

MSC Notice 2006-5 - CSA Notice 11-308 - Guidelines for Use of Mobility Exemptions Under Part 5 of Multilateral Instrument 11-101 Principal Regulator System – January 27, 2006

MSC Notice 2006-3 - Investigations Arising from Trades of Portus Alternative Asset Management - January 19, 2006

MSC Notice 2006-2 - United Nations Suppression of Terrorism Regulations and the Criminal Code - January 20, 2006

MSC Notice 2005-41 - Notice of Multilateral Instrument 11-101 Principal Regulator System - MSC Rule 2005-21 - Form 11-101F1 - Notice of Principal Regulator and Companion Policy - August 26, 2005

MSC Notice 2005-36 - MSC Staff Notice - Requirement to File a Copy of Written Policies and Procedures - August 19, 2005

MSC Notice 2004-50 - Trades of Certain Deposit Note Securities by Mutual Fund Dealers – November 10, 2004

MSC Notice 2004-50

MSC Notice 2003-51 - The Securities Act - Trades of Certain Deposit Note Securities by Mutual Fund Dealers - November 14, 2003

MSC Notice 2003-32 - Publication for Comment of Proposed Local Rule 31-501 MSC Registration Rule - July 18, 2003

Manitoba Builder Bonds, Series VII - April 30, 2003

Notice 2003-15 - Registration Matters -  March 27, 2003

Notice 2002-47 - Categories of registration under The Securities Act - December 31, 2002

Notice 2002-46 - Multilateral Instrument 33-109 Registration Information - MSC Rule 2002-6 - December 6, 2002

Notice 2002-45 - Multilateral Instrument 31-102 National Registration Database - MSC Rule 2002-5 - December 6, 2002

Suppression of Terrorism  - October 12, 2001

Notice to Broker-Dealers Investment Counsel - Registration of Individuals as Investment Counsel/ Junior Investment Counsel - July 20, 2001

Notice To Broker/Dealers Restricted to the Sale of Mutual Funds Leveraged Sales of Securities - March 19, 2001

MSC Notice 2001-5

Local Rule 31-506 - MFDA Membership - Mutual Fund Dealers - March 16, 2001

Strip Bonds - Local Policy No. 3.17 - April 30, 1998

Notice to Broker-Dealers Restricted to the Distribution of Mutual Funds - January 26, 1998

Referral Fees - February 10, 1994

Local Policy 3.02 - March 7, 1990


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