V-1.1 - Securities Act

Full text
103.1. (Repealed).
1984, c. 41, s. 38; 1999, c. 40, s. 327; 2001, c. 38, s. 37; 2006, c. 50, s. 39.
103.1. The issuer of a security to which a special continuous disclosure scheme established by regulation applies is bound only by the obligations that are prescribed by regulation with respect to continuous disclosure concerning that security.
1984, c. 41, s. 38; 1999, c. 40, s. 327; 2001, c. 38, s. 37.
103.1. An issuer constituted under the law of a state other than Canada or a province of Canada and that is a reporting issuer only because one of its securities is listed on a recognized stock exchange as a self-regulatory organization is eligible for a simplified continuous disclosure scheme defined by the Commission in a policy statement. The Commission shall determine the classes of issuers eligible for the simplified scheme.
1984, c. 41, s. 38; 1999, c. 40, s. 327.
103.1. An issuer incorporated under the law of a state other than Canada or a province of Canada and that is a reporting issuer only because one of its securities is listed on a recognized stock exchange as a self-regulatory organization is eligible for a simplified continuous disclosure scheme defined by the Commission in a policy statement. The Commission shall determine the classes of issuers eligible for the simplified scheme.
1984, c. 41, s. 38.