Skip to content
OSC Guidance Regarding Disruption of Mail Service
eFilings
Français
Search
Main navigation
Industry
Registration and compliance
Getting registered
Ongoing requirements
Changes to registration
Opportunity to be heard and Director’s decisions
Applying for relief
Registrant Outreach program
Registrant search
Registration forms and documents
Working with older and vulnerable clients
Registered crypto asset trading platforms
Innovation at the OSC
Companies
Selling securities in Ontario
Continuous disclosure
Resources for small and medium enterprises
Industry-specific disclosure requirements
Information on IFRS
Reporting issuer and issuer forms
Mergers and acquisitions
Issuer-related instruments, policies and notices
Applying for discretionary relief
Designated benchmarks and benchmark administrators
Investment funds and structured products
Types of investment funds
Prospectus offerings for investment funds in Ontario
Operating an investment fund in Ontario
Ongoing disclosure requirements for investment funds in Ontario
Marketing and sales of investment funds
IFSP eNews
Investment fund survey
Market regulation
Self-regulatory organizations (SRO)
Marketplaces
Clearing agencies and clearing houses
Investor protection funds
Information processors
Trade repositories
Market structure initiatives
Derivatives
Data reporting requirements for derivatives in Ontario and trade repository designation
Legal entity identifiers
CDOR/CORRA-based OTC derivatives trend analysis
SEDAR+
Securities law
Legislation
Legislative reviews
Instruments, rules and policies
1 - Procedure and Related Matters
2 - Certain Capital Market Participants
3 - Registration Requirements and Related Matters
4 - Distribution Requirements
5 - Ongoing Requirements for Issuers and Insiders
6 - Take-Over Bids and Special Transactions
7 - Securities Transactions Outside the Jurisdiction
8 - Investment Funds
9 - Derivatives
Documents not numbered
Securities rule-making in Ontario
Proposed instruments, rules and policies
Orders, rulings and decisions
Blanket orders
Delegation orders
OSC Bulletin
Filing documents online
Registration forms and documents
Reporting issuer and issuer forms
Tribunal
Investors
Investor protection
The OBSI Joint Regulators Committee
Investor resources
Investor research and reports
Investor warnings and alerts
Check before you invest
OSC in the Community
Investor Advisory Panel
Members of the Investor Advisory Panel
Investor Advisory Panel meeting agendas
Investor Advisory Panel notices and information
Submissions by the Investor Advisory Panel
Enforcement
Court proceedings
Sanctions
Allocation and use of funds from sanctions and settlements
Individuals or companies with unpaid OSC sanctions
Cease trade and freeze orders
Mediation program
OSC Whistleblower Program
Award eligibility and process
Whistleblower protections
Submit a whistleblower report
Update on the OSC Whistleblower Program 2016 to 2022
Investigation resources
Automatically reciprocated orders and settlement agreements
OSC QuadrigaCX report
QuadrigaCX investigative report
News & events
News releases
Events
Speeches and interviews
OSC Dialogue
Reports and publications
Media resources
Connect with us
Subscribe
OSC Guide
COVID-19 updates
About us
Role of the OSC
Our structure
OSC Strategic Plan
OSC organization and leadership
Advisory committees
Governance
Board Directors
Board committees
Accountability
OSC Annual Report
OSC Statement of Priorities
OSC Business Plan
OSC Service Commitment
Expense disclosure
Domestic and international engagement
Domestic engagement
International engagement
Visits from foreign delegations
Careers at the OSC
Working at the OSC
Student employment opportunities
Applying for a job with the OSC
Contact us
Accessing OSC records
Open Data
Open Data feedback form
Search
Comment Letters for CSA Notice and Request for Comment: Proposed Amendments (Modernization of Investment Fund Product Regulation (Phase 2))
Breadcrumb
Home
Securities law
Instruments, rules and policies
8 - Investment Funds
81-102 81-102CP
CSA Notice and Request for Comment: Proposed Amendments (Modernization of Investment Fund Product Regulation (Phase 2))
Comment Letters for CSA Notice and Request for Comment: Proposed Amendments (Modernization of Investment Fund Product Regulation (Phase 2))
Component Menu Left Sidebar
Securities law
Legislation
Instruments, rules and policies
Proposed instruments, rules and policies
Orders, rulings and decisions
Blanket orders
Delegation orders
OSC Bulletin
Filing documents online
Comments Received (comment period due June 25, 2013 )
Date
Comment Letters
August 30, 2013
Title
Robert Parsons, Robert Maxwell & Mark Kennedy (Arrow Capital Management Inc.)
Document opens in new tab
August 27, 2013
Title
Wildeboer Dellelce LLP
Document opens in new tab
August 23, 2013
Title
Front Street Capital 2004 (Terence Lui)
Document opens in new tab
August 23, 2013
Title
IFSE Institute (John Parker)
Document opens in new tab
August 23, 2013
Title
Alternative Investment Management Association (AIMA)
Document opens in new tab
August 23, 2013
Title
RBC Capital Markets (Kirby C. Gavelin)
Document opens in new tab
August 23, 2013
Title
Brompton Funds Limited (Mark A. Caranci & Craig T. Kikuchi)
Document opens in new tab
August 23, 2013
Title
Faircourt Asset Management Inc
Document opens in new tab
August 23, 2013
Title
Toronto Stock Exchange (Ungad Chadda)
Document opens in new tab
August 23, 2013
Title
Z. Edward Akkawi (First Asset Investment Management Inc.)
Document opens in new tab
August 23, 2013
Title
CI Investments Inc. (David C. Pauli)
Document opens in new tab
August 23, 2013
Title
Mark A. Caranci & Craig T. Kikuchi (Brompton Funds Limited)
Document opens in new tab
August 23, 2013
Title
McCarthy Tétrault LLP (Andrew Armstrong)
Document opens in new tab
August 23, 2013
Title
CASLA - Canadian Securities Lending Association (Rob Ferguson)
Document opens in new tab
August 23, 2013
Title
Blake, Cassels & Graydon LLP
Document opens in new tab
August 23, 2013
Title
Nevin Markwart (Canoe Financial LP)
Document opens in new tab
August 23, 2013
Title
Raj Lala (Propel Capital Corporation)
Document opens in new tab
August 23, 2013
Title
Fasken Martineau DuMoulin LLP
Document opens in new tab
August 23, 2013
Title
Frank Fuernkranz (Morgan Meighan & Associates)
Document opens in new tab
August 23, 2013
Title
John Parker (IFSE Institute)
Document opens in new tab
August 23, 2013
Title
Neil Murdoch (Ashton Hill Capital Markets Inc.)
Document opens in new tab
August 23, 2013
Title
Connor Bill & Anthony Shapiro (Artemis Investment Management Limited)
Document opens in new tab
August 23, 2013
Title
Canadian Foundation for Advancement of Investor Rights (FAIR Canada) (Ermano Pascutto)
Document opens in new tab
August 23, 2013
Title
McMillan LLP
Document opens in new tab
August 23, 2013
Title
IFIC - The Investment Funds Institute of Canada (R. Hensel)
Document opens in new tab
August 23, 2013
Title
Andrew R. Armstrong (McCarthy Tétrault LLP)
Document opens in new tab
August 23, 2013
Title
Stikeman Elliot LLP
Document opens in new tab
August 23, 2013
Title
David Roode (Strathbridge Asset Management Inc.)
Document opens in new tab
August 23, 2013
Title
Morgan Meighen & Associates Limited (Frank Fuernkranz)
Document opens in new tab
August 23, 2013
Title
Dean Orrico (Middlefield Group)
Document opens in new tab
August 23, 2013
Title
Ungad Chadda (TMX Group Limited)
Document opens in new tab
August 23, 2013
Title
Man Investments Canada Corp. (Toreigh N. Stuart)
Document opens in new tab
August 22, 2013
Title
Patrick Farmer (Cymbria Corp.)
Document opens in new tab
August 22, 2013
Title
Wilfred Vos (Return On Innovation Advisors Ltd.)
Document opens in new tab
August 22, 2013
Title
Quadravest Capital Management Inc. (Wayne Finch).
Document opens in new tab
August 22, 2013
Title
Osler, Hoskin & Harcourt LLP
Document opens in new tab
August 22, 2013
Title
Doug Coulter (RBC Global Asset Management Inc.)
Document opens in new tab
August 22, 2013
Title
Edward J. Waitzer (BMO Capital Markets, CIBC, National Bank Financial, RBC Capital Markets, Scotiabank & TD Securities)
Document opens in new tab
August 21, 2013
Title
Michael Kovacs (Harvest Portfolios Group)
Document opens in new tab
August 12, 2013
Title
Rob Ferguson (Canadian Securities Lending Association)
Document opens in new tab
August 2, 2013
Title
Barbara Amsden (Investment Industry Association of Canada)
Document opens in new tab
August 2, 2013
Title
Mark Brown
Document opens in new tab
July 9, 2013
Title
Nick Westlind (Fidelity Investments Canada ULC)
Document opens in new tab
July 4, 2013
Title
Ada Litvinov (Canadian Advocacy Council)
Document opens in new tab
June 27, 2013
Title
Marc Flynn (Canadian Securities Institute)
Document opens in new tab
June 25, 2013
Title
Mark Adams (AGF Investments Inc.)
Document opens in new tab
June 25, 2013
Title
Wayne Robinson & Kevin Cruickshank (W.A. Robinson Asset Management Ltd.)
Document opens in new tab
June 25, 2013
Title
Borden Ladner Gervais LLP
Document opens in new tab
June 25, 2013
Title
Lori Stein (Periscope Capital Inc.) Letter of June 25, 2013
Document opens in new tab
June 25, 2013
Title
Margaret Gunawan (BlackRock Asset Management Canada Limited)
Document opens in new tab
June 20, 2013
Title
Alexander (Sandy) Manson (Trez Capital Fund Management Limited Partnership)
Document opens in new tab
June 20, 2013
Title
Dean J Koeller (Private Mortgage Lenders Forum)
Document opens in new tab
June 20, 2013
Title
Christopher Foster (Blackheath Fund Management Inc.)
Document opens in new tab
June 13, 2013
Title
Edward J. Waitzer (Stikeman Elliott LLP)
Document opens in new tab
June 5, 2013
Title
Claude Dalphond (GD-1 Management Inc. & Global Digit II Management Inc.)
Document opens in new tab
Main navigation mobile
Industry
Back
Registration and compliance
Back
Getting registered
Back
How to register a firm
How to register an individual
Ongoing requirements
Back
Business conduct requirements
Compliance system
Compliance-related reports, staff notices and email notifications
Financial requirements
OSC compliance reviews
Updating registration information
Changes to registration
Back
Changing registration categories or jurisdictions
Registration terms and conditions
Surrendering registration
Suspending, reinstating and revoking registration
Transferring registration to another firm
Opportunity to be heard and Director’s decisions
Applying for relief
Registrant Outreach program
Back
Topical Guide for Registrants
Registrant search
Back
Registered Firms List
Registration forms and documents
Back
Fees
Back
Participation fees
Activity fees
Late fees
National Registration Database (NRD) fees
Working with older and vulnerable clients
Registered crypto asset trading platforms
Innovation at the OSC
Companies
Back
Selling securities in Ontario
Back
Pre-filing a prospectus with the OSC
Filing a prospectus in Ontario
Prospectus marketing rules
Acquisition disclosure when filing a prospectus
Other prospectus matters
The exempt market
Back
Exempt Distributions Summary
Continuous disclosure
Back
Insider reporting
Resources for small and medium enterprises
Industry-specific disclosure requirements
Back
Specific disclosure requirements for mining and oil and gas companies
Canadian cannabis industry disclosure requirements
Information on IFRS
Back
Guidelines for Requests for Consultations with the Office of the Chief Accountant
Reporting issuer and issuer forms
Back
Filing due dates calendar for annual and interim filings by reporting issuers
Form 45-106F1 - Report of Exempt Distribution
Mergers and acquisitions
Back
Take-over bids and issuer bids
Conflict of interest transactions
Take-over bid defensive tactics
Early warning system and alternative monthly reporting system
Issuer-related instruments, policies and notices
Applying for discretionary relief
Designated benchmarks and benchmark administrators
Investment funds and structured products
Back
Types of investment funds
Prospectus offerings for investment funds in Ontario
Operating an investment fund in Ontario
Ongoing disclosure requirements for investment funds in Ontario
Marketing and sales of investment funds
IFSP eNews
Investment fund survey
Back
Investment Fund Survey data
Market regulation
Back
Self-regulatory organizations (SRO)
Back
Canadian Investment Regulatory Organization (CIRO)
Predecessor self-regulatory organizations
Back
Investment Industry Regulatory Organization of Canada (IIROC)
Mutual Fund Dealers Association of Canada (MFDA)
Marketplaces
Back
Exchanges
Back
Recognized exchanges
Exempt exchanges
Swap Execution Facilities and Multilateral Trading Facilities
Alternative trading systems (ATSs)
Back
ATSs operating in Ontario
Clearing agencies and clearing houses
Back
Recognized clearing agencies
Exempted clearing agencies
Investor protection funds
Back
Canadian Investor Protection Fund (CIPF)
Predecessor investor protection funds
Back
Former Canadian Investor Protection Fund (former CIPF)
MFDA Investor Protection Corporation (MFDA IPC)
Information processors
Trade repositories
Market structure initiatives
Derivatives
Back
Data reporting requirements for derivatives in Ontario and trade repository designation
Legal entity identifiers
CDOR/CORRA-based OTC derivatives trend analysis
SEDAR+
Securities law
Back
Legislation
Back
Legislative reviews
Instruments, rules and policies
Back
1 - Procedure and Related Matters
2 - Certain Capital Market Participants
3 - Registration Requirements and Related Matters
4 - Distribution Requirements
5 - Ongoing Requirements for Issuers and Insiders
6 - Take-Over Bids and Special Transactions
7 - Securities Transactions Outside the Jurisdiction
8 - Investment Funds
9 - Derivatives
Documents not numbered
Securities rule-making in Ontario
Proposed instruments, rules and policies
Orders, rulings and decisions
Blanket orders
Delegation orders
OSC Bulletin
Filing documents online
Back
Registration forms and documents
Reporting issuer and issuer forms
Tribunal
Investors
Back
Investor protection
Back
The OBSI Joint Regulators Committee
Investor resources
Investor research and reports
Investor warnings and alerts
Check before you invest
OSC in the Community
Investor Advisory Panel
Back
Members of the Investor Advisory Panel
Investor Advisory Panel meeting agendas
Investor Advisory Panel notices and information
Submissions by the Investor Advisory Panel
Enforcement
Back
Court proceedings
Sanctions
Back
Allocation and use of funds from sanctions and settlements
Back
Current distributions of funds from sanctions and settlements
Individuals or companies with unpaid OSC sanctions
Cease trade and freeze orders
Mediation program
OSC Whistleblower Program
Back
Award eligibility and process
Whistleblower protections
Submit a whistleblower report
Back
Submission guide
Technical support for submitting a Whistleblower report
Update on the OSC Whistleblower Program 2016 to 2022
Investigation resources
Automatically reciprocated orders and settlement agreements
OSC QuadrigaCX report
Back
QuadrigaCX investigative report
News & events
Back
News releases
Events
Back
Speeches and interviews
OSC Dialogue
Back
OSC Dialogue 2024: Inviting, thriving and secure capital markets
OSC Dialogue 2023: Regulating with Purpose
OSC Dialogue 2021: Creating Conditions for Growth
Reports and publications
Media resources
Connect with us
Subscribe
Back
OSC Guide
COVID-19 updates
About us
Back
Role of the OSC
Back
Our structure
OSC Strategic Plan
OSC organization and leadership
Advisory committees
Governance
Back
Board Directors
Back
Board Director opportunities
Board committees
Accountability
Back
OSC Annual Report
OSC Statement of Priorities
OSC Business Plan
OSC Service Commitment
Back
OSC Service Standards Reporting
Expense disclosure
Domestic and international engagement
Back
Domestic engagement
Back
Domestic Memoranda of Understanding (MOUs)
International engagement
Back
International Memoranda of Understanding (MOUs)
Data privacy and the Administrative Arrangement
Visits from foreign delegations
Careers at the OSC
Back
Working at the OSC
Student employment opportunities
Applying for a job with the OSC
Contact us
Back
Accessing OSC records
Open Data
Back
Open Data feedback form
eFilings
Français
Comments Received (comment period due June 25, 2013 )