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Editors
Lawrence E. Ritchie

Partner, Disputes, Toronto

Alexander Cobb

Partner, Disputes, Toronto

Victoria Graham

Partner, Corporate, 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 May 24, 2016

Significant Developments in Whistleblower Payouts and Protections Continue to Attract Attention

Whistleblower protections and significant bounties paid to whistleblowers in the U.S. continue to make headlines, just as issuers in Canada brace for...

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Blog May 13, 2016

Feds Release Revised Draft of Legislation to Curtail Systemic Risk in Capital Markets

In the latest step toward establishing the Cooperative Capital Markets Regulatory Authority, the Department of Finance Canada has released a revised...

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Blog May 6, 2016

Whistleblower Incentive Programs Continue to Gain Traction as the U.S. CFTC Announces $10-million Payout

With the Ontario Securities Commission’s new incentive-based whistleblower program now on the horizon, recent awards under comparable whistleblower...

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Blog April 29, 2016

British Columbia Case Demonstrates the Jurisdictional Reach of Provincial Securities Regulators

A recent case from the British Columbia Court of Appeal is illustrative of the power of provincial securities regulators to penalize misconduct in...

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Blog April 19, 2016

US Department of Justice Launches Pilot Program to Encourage Self-Reporting, Cooperation and Remediation of FCPA Violations

Last week the US Department of Justice (DOJ) announced the implementation of a pilot program under the US Foreign Corrupt Practices Act (FCPA). The...

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Blog April 15, 2016

IOSCO Report on Cyber Security in Securities Markets

In a climate where cyber risk is a rapidly “growing and significant threat to the integrity, efficiency and soundness of financial markets...

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Blog April 8, 2016

CSA Publishes Proposals for Proxy Vote Reconciliation

On March 31, 2016, the Canadian Securities Administrators (the “CSA”) published for comment proposed protocols with respect to proxy vote...

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Blog April 1, 2016

SEC Announces $2-Million in Whistleblower Awards

Compliance officers, in house counsel, management and board members of public companies are beginning to recognize the realities of external...

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Blog March 24, 2016

Canadian Securities Administrators Release 2015 Enforcement Report

Each year the Canadian Securities Administrators (“CSA”), an umbrella organization of Canada’s provincial and territorial securities...

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Blog March 18, 2016

Cooperative Capital Markets Regulator Releases Proposed Transition Approach

The CCMR has recently posted a summary of its proposed “Transition Approach”. This approach lays out the following transitional principles, with...

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