D-9.2 - Act respecting the distribution of financial products and services

Full text
256. The Authority must, no later than 31 July of each year, file with the Minister a report on its activities relating to the administration of this Act for the preceding fiscal year.
The report must contain all the information required by the Minister.
The report shall mention the Authority’s findings regarding the manner in which firms, independent representatives and independent partnerships protect the personal information they hold on their clients.
1998, c. 37, s. 256; 2002, c. 45, s. 423; 2004, c. 37, s. 90; 2018, c. 23, s. 568.
256. The Authority must, no later than 31 July of each year, file with the Minister a report on its activities relating to the administration of this Act for the preceding fiscal year.
The report must contain all the information required by the Minister.
The report shall mention the Authority’s findings regarding the manner in which firms, independent representatives, independent partnerships and the holders of restricted-practice certificates protect the personal information they hold on their clients.
1998, c. 37, s. 256; 2002, c. 45, s. 423; 2004, c. 37, s. 90.
256. The Agency must, no later than 31 July of each year, file with the Minister a report on its activities relating to the administration of this Act for the preceding fiscal year.
The report must contain all the information required by the Minister.
The report shall mention the Agency’s findings regarding the manner in which firms, independent representatives, independent partnerships and the holders of restricted-practice certificates protect the personal information they hold on their clients.
1998, c. 37, s. 256; 2002, c. 45, s. 423.
256. The Bureau shall file with the Minister its financial statements and report on activities for the preceding financial year not later than 30 April of each year.
The financial statements and the report on activities must contain all the information required by the Minister.
The report on activities shall contain the Bureau’s findings regarding the manner in which firms, independent representatives, independent partnerships and the holders of restricted certificates protect the personal information they hold on their clients.
1998, c. 37, s. 256.