Blog

Risk Management and Crisis Response Blog Risk Management and Crisis Response Blog

Subscribe now
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.

Risk Management and Crisis Response Blog Featured Image

Results

Latest Blog Posts

Blog January 31, 2020

Déjà vu all over again: SEC lays fraud charges against former Portus co-founder Boaz Manor

Boaz Manor – the co-founder of the failed investment manager Portus Alternative Asset Management Inc. (“Portus”) – finds...

Read more
Blog January 17, 2020

CSA issues guidance that securities legislation likely applies to custodial cryptoasset trading platforms

On January 16, 2020, the Canadian Securities Administrators (CSA) released CSA Staff Notice 21-327 Guidance on the Application of...

Read more
Blog January 17, 2020

Turning the Page? SNC Pleads Guilty to Fraud Relating to Libya Work; Former Executive Sentenced for Fraud, Corruption

On December 18, 2019 a division of SNC-Lavalin Group Inc. pleaded guilty to fraud  in relation to the company’s activities in Libya, to...

Read more
Blog December 9, 2019

Ontario government releases fall economic statement: Modernizing financial services

On November 6, 2019, the Ontario government released its fall economic statement, 2019 Ontario Economic Outlook and Fiscal Review: A Plan to Build...

Read more
Blog December 2, 2019

‘Green’ governance: CSA outlines expectations regarding governance disclosure and practices in the cannabis sector

Regulatory and legal risks abound in developing business areas, such as the recently legalized cannabis industry in Canada. One of the key challenges...

Read more
Blog November 21, 2019

OSC issues anticipated Burden Reduction Initiative Report

Earlier this week, the Ontario Securities Commission (OSC) issued its long-awaited Report on the work of the Burden Reduction Task Force (the...

Read more
Blog November 19, 2019

OBSI reports rise in investment industry complaints

The Ombudsman for Banking Services and Investments (OBSI) reported a surge in the number of investment-related complaints in the second quarter of...

Read more
Blog November 7, 2019

B.C. Securities Commission investigating two cryptoasset trading platforms

On November 4, 2019, the British Columbia Securities Commission (BCSC) publicly disclosed ongoing investigations into two cryptoasset trading...

Read more
Blog October 30, 2019

Amendments to British Columbia’s Securities Act expand enforcement powers

On October 21, 2019, British Columbia introduced Bill 33 (Securities Amendment Act, 2019), which provides for substantial amendments to the British...

Read more
Blog October 28, 2019

Board and executive diversity remains a focus for regulators: CSA releases its report on women on boards and in executive officer positions

On October 2, 2019, the CSA released its fifth annual report on women on boards and in executive officer positions (the CSA Report). The CSA...

Read more