British Columbia Securities Act and Rules, Annotated, With British Columbia Regulations, Instruments, Forms, Notices and Policy Documents 2017, 32nd Edition
ISBN/ISSN/Product Number: 978-0-7798-7914-4
Product Type: Book S.O. Annual/biannual/biennial
Anticip. Upkeep Cost: New editions supplied twice per year on standing order subscription
Number of Pages: Approximately 3580 pages
Number of Volumes: 1 volume bound
Binding: softcover
Publication Date: 2017-07-20
Publisher: Carswell
Price: $156.00

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Description

A quick reference for all the law and policy you need - plus insightful commentary

This biannual publication includes all the law and policy you need to reference at a moment's notice – plus insightful commentary from corporate and securities practitioner Jeffrey A. Read and Michael T. Waters.

All the features BC securities professionals have come to trust

  • Full text of all the relevant law and policy
  • Section-by-section case annotations – With concise digests for over 100 Executive Director, Securities Commission and court decisions under the Act
  • Practice Notes – Helping to clarify the operation of the provision in question
  • Detailed cross – references to relevant policies and forms
  • Easy-to-use Finding Tools – Detailed table of contents and a comprehensive index give you instant access
  • Portable softcover format – Ideal for use in meetings, presentations, court or on the road

 

What’s New

  • NI 41-101 General Prospectus Requirements
  • NI  81-101 Mutual Fund Prospectus Disclosure
  • Mandating a Summary Disclosure Document for Exchange-Traded Mutual Funds and its Delivery - CSA Notice of Amendments to National Instrument 41-101 General Prospectus Requirements and to Companion Policy 41-101CP to National Instrument 41-101 General Prospectus Requirements and Related Consequential Amendments
  • NI 81-102 Investment Funds including an exemption from Form 81- 101 F3 Contents of Fund Facts Document of National Instrument 81-101 Mutual Fund Prospectus Disclosure in relation to the disclosure under the heading "How risky is it?" in that Form expires
  • NI 81-106 Investment Fund Continuous Disclosure
  • BCN2017/01 - Notice of partial variation orders permitting sales of cease-traded securities to investment dealers in certain circumstances
  • BCN 2016/07 Specification of forms required to be filed under Multilateral Instrument 96-101 - Trade Repositories and Derivatives Data Reporting
  • CSA Staff Notice 11-332 – Cyber Security
  • CSA Staff Notice 31-348 OBSI Joint Regulators Committee Annual Report for 2016
  • CSA Notice of Publication - Multilateral Instrument 11-102 Passport System and Multilateral Instrument 11-103 Failure-to-File Cease Trade Orders in Multiple Jurisdictions
  • Adoption of Amendments to National Instrument 41-101 General Prospectus Requirements and to Companion Policy 41-101CP to National Instrument 41-101 General Prospectus Requirements and Related Consequential Amendments
  • CSA Mutual Fund Risk Classification Methodology for Use in Fund Facts and ETF Facts - Adoption of Amendments to National Instrument 81-102 Investment Funds and Related Consequential Amendments
  • CSA Staff Notice 24-315 – Update on Enhanced Segregation and Portability Initiatives for Clearing Agencies Serving the Domestic Futures Markets
  •  CSA Staff Notice 31-346 - Guidance as to the Scope of the International Dealer Exemption in relation to Foreign-Currency Fixed Income Offerings by Canadian Issuers
  • CSA Staff Notice 33-318 Review of Practices Firms Use to Compensate and Provide Incentives to their Representatives
  • CSA Staff Notice 45-308 (Revised) - Guidance for Preparing and Filing Reports of Exempt Distribution under National Instrument 45-106 Prospectus Exemptions
  • CSA Staff Notice 51-348 Staff’s Review of Social Media Used by Reporting Issuers
  • CSA Staff Notice 54-305 Meeting Vote Reconciliation Protocols
  • CSA Notice of Amendments to Early Warning System - Amendments to
    • Multilateral Instrument 62-104 Take-Over Bids and Issuer Bids and
    • National Instrument 62-103 The Early Warning System and Related Take-Over Bid and Insider Reporting Issues and
    • Changes to National Policy 62-203 Take-Over Bids and Issuer Bids
  • Notice of adoption of BC Instrument 96-505 - Exemption from certain requirements to publicly disseminate data under MI 96-101 Trade Repositories and Derivatives Data Reporting
  • Notice of adoption of BC Instrument 96-503 - Exemption from derivatives reporting requirements in Multilateral Instrument 96-101 Trade Repositories and Derivatives Data Reporting for certain derivatives reported to certain trade repositories
About the Author
Jeffrey A .Read practises corporate and securities law, focusing on advising public companies and investment dealers. His practice involves financings for public and private companies, mergers & acquisitions, private equity funds, and corporate governance. Mr. Read has written on topics including private placements, venture capital, shareholders' meetings, continuous disclosure and securities practice and has taught courses on those and other subjects for groups including the CLE Society of BC, Simon Fraser University, Insight and the Law Society's PLTC. Adjunct Professor of Law, Securities Regulation, University of British Columbia.

Michael T. Waters

CPD
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