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Securities Law

11-341 - Withdrawal of Staff Notices [CSA Staff Notice]

Published Date: 2019-03-07
Effective Date: 2019-03-07
Document(s):

CSA Staff Notice 11-341
Withdrawal of Staff Notices

March 7, 2019

 

This notice formally withdraws a number of CSA staff notices. In general, the withdrawn material will remain available for historical research purposes on the CSA members’ websites that permit comprehensive access to CSA notices.

 

Staff of the members of the CSA have reviewed a number of CSA staff notices. They have determined that some are outdated, no longer relevant or no longer required. The following CSA staff notices are therefore withdrawn, in the applicable CSA jurisdictions in which they have not already been withdrawn, effective immediately.

 

CSA Staff Notices

 

11-319             Extension of Consultation Period - Consultation Paper 25-401: Potential

                        Regulation of Proxy Advisory Firms

 

11-322             Extension of Consultation Period – Proposed Amendments to Multilateral

Instrument 62-104 Take-Over Bids and Issuer Bids and National Instrument 62-103 Early Warning System and Related Take-Over Bid and Insider Reporting Issues; Proposed Changes to National Policy 62-203 Take-Over Bids and Issuer Bids, Proposed National Instrument 62-105 Security Holder Rights Plans and Proposed Companion Policy 62-105CP Security Holder Rights Plans

 

11-327             Extension of Consultation Period - Draft Notice 25-201 relating to Guidance

                        for Proxy Advisory Firms

 

21-304             Request for Filing of Form 21-101F5 Initial Operation Report for Information

                        Processor by Interested Information Processors

 

21-306             Notice of Filing of Forms 21-101F5 Initial Operation Report for Information

                        Processor – Extension of comment period

 

23-301             Electronic Audit Trails

 

23-302             Electronic Audit Trail Initiative (TREATS)

 

23-304             Status of the Transaction Reporting and Electronic Audit Trail System

                        (TREATS)

 

23-306             Status of the Transaction Reporting and Electronic Audit Trail System

                        (TREATS)


 

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31-339             Omnibus/Blanket Orders Exempting IIROC and MFDA Registrants from

Certain Provisions of National Instrument 31-103 Registration Requirements, Exemptions and Ongoing Registrant Obligations

 

31-341            Omnibus/Blanket Orders Exempting Registrants from Certain CRM2

                        Provisions of National Instrument 31-103 Registration Requirements,

                        Exemptions and Ongoing Registrant Obligations

 

33-305             Sale of Insurance Products by Dually Employed Salespersons

 

45-311            Exemptions from Certain Financial Statement-Related Requirements in the Offering Memorandum Exemption to Facilitate Access to Capital by Small Business

 

45-320             Exemptions for Certain Foreign Issuers from the Requirement to Identify

                        Purchasers as Registrants or Insiders in Reports of Exempt Distribution

 

81-320             Update on International Financial Reporting Standards for Investment Funds

 

81-325             Status Report on Consultation under CSA Notice 81-324 and Request for

                        Comment on Proposed CSA Mutual Fund Risk Classification Methodology for

                        Use in Fund Facts

 

81-326             Update on an Alternative Funds Framework for Investment Funds

 

Questions

 

Please refer your questions to any of the following people:


 

Samir Sabharwal

Alberta Securities Commission

Tel: 403 297-7389
samir.sabharwal@asc.ca

 

Gordon Smith

British Columbia Securities Commission

Tel: 604 899-6656

GSmith@bcsc.bc.ca

 

 

Chris Besko

The Manitoba Securities Commission

Tel: 204 945-2561

Chris.Besko@gov.mb.ca

 

 

Sylvia Pateras

Autorité des marchés financiers

Tel: 514 395-0337, extension 2536 sylvia.pateras@lautorite.qc.ca

 

Sonne Udemgba

Financial and Consumer Affairs Authority

of Saskatchewan

Tel: 306 787-5879

sonne.udemgba@gov.sk.ca

 

Simon Thompson

Ontario Securities Commission

Tel: 416 593-8261

sthompson@osc.gov.on.ca


 

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Text Box: H. Jane Anderson
Nova Scotia Securities Commission Tel: 902 424-0179 Jane.Anderson@novascotia.ca 
Alicia W. F. Love

Financial and Consumer Services Commission (New Brunswick)

Tel: 506 658-2648

alicia.love@fcnb.ca

 

Text Box: Rhonda Horte
Office of the Yukon Superintendent of
Securities
Tel: 867 667-5466
rhonda.horte@gov.yk.ca 
Jeff Mason
Office of Superintendent of Securities,
Nunavut
Tel: 867 767-9260, ext. 82205
jmason@gov.nu.ca 


Steven Dowling

Securities Division, Prince Edward Island

Tel: 902 368-4551

sddowling@gov.pe.ca

 

 

Jeremy Walsh

Office of the Superintendent of Securities

Northwest Territories

Tel: 867 767-9260, extension 82205

Jeremy_Walsh@gov.nt.ca

 

Renee Dyer

Office of the Superintendent of Securities,

Service NL

Tel: 709 729-4909

reneedyer@gov.nl.ca