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Editors
Lawrence E. Ritchie

Partner, Disputes, Toronto

Alexander Cobb

Partner, Disputes, Toronto

Victoria Graham

Partner, Financial Services, Toronto

Shawn Irving

Partner, Disputes, Toronto

Kevin O’Brien

Partner, Disputes, Toronto

Elizabeth Sale

Partner, Financial Services, Toronto

Lauren Tomasich

Partner, Disputes, Toronto

Malcolm Aboud

Counsel, Disputes, Toronto

John M. Valley

Partner, Corporate, Toronto

About

Risk Management and Crisis Response draws on the experience of a national team to provide information related to proactive prevention and compliance for corporations. We share highlights and comment on significant developments related to legal matters, regulatory changes and related threats.

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Latest Blog Posts

Blog November 30, 2020

Ninth Circuit holds that whistleblower allegations qualify as corrective disclosure in securities class action

In re Bofl Holding, Inc. Securities Litigation, a decision released on October 8, 2020, the U.S. Court of Appeals for the Ninth Circuit (the...

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Blog November 26, 2020

Part 2 of 2: Less than 2 months for employers to prepare for the new Federal Regulations on Workplace Harassment and Violence – Changes effective January 1, 2021

As explained in Part 1 of this series, the federal government’s new Workplace Harassment and Violence Prevention Regulations (the Regulations)...

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Blog November 16, 2020

IIROC Rules: Respondent use of complainant interview in related proceeding is in the public interest

In Re Malic, 2020 IIROC 37, a decision released on October 6, 2020, the IIROC Hearing Panel (Alberta District) (the “Hearing Panel”)...

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Blog October 27, 2020

U.S. regulators assert broad jurisdiction over offshore cryptocurrency trading platforms

Recent actions filed in early October 2020 by the U.S. Department of Justice (the “DOJ”) and the Commodity Futures Trading Commission...

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Blog October 23, 2020

A new approach to deference? Quadrexx and appeals from the Ontario Securities Commission

In a recent decision, Quadrexx Hedge Capital Management Ltd v Ontario Securities Commission (the “Quadrexx Appeal”), the Ontario...

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Blog October 20, 2020

SEC enhances its whistleblower program to further incentivize tips

In what is described as an attempt to provide more clarity to whistleblowers and increase efficiency and transparency, on September 23, 2020, the...

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Blog September 21, 2020

Who decides whether responding to summons would violate employment contract? The OSC says ‘not us’

Enforcement Staff of Canadian capital markets regulators have broad powers to compel the attendance of witnesses and to require those witnesses to...

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Blog September 14, 2020

Osler comments on Capital Markets Modernization Taskforce consultation report

On September 7, 2020, in a comprehensive letter to the Government of Ontario Capital Markets Modernization Taskforce (the Taskforce), we expressed...

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Blog August 27, 2020

DOJ Opinion Procedure Release offers guidance for contracting with public bodies

Guidance from law enforcement and regulators on their priorities and expectations is a valuable tool for managing risk for businesses and...

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Blog August 17, 2020

IIROC and MFDA each offer proposals with competing visions for the future of SROs in Canada

Canada is one of the few major jurisdictions to utilize self-regulatory organizations (“SROs”) in its capital markets regulatory regime....

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