The Canadian Institute’s 21st Annual Securities Superconference

Venue: Marriott Bloor Yorkville

Location: Toronto, Ontario, Canada

Event Date/Time: Apr 06, 2011 End Date/Time: Apr 07, 2011
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As securities professionals and practitioners in today’s challenging post-recessionary economy, you need to know what is new and what is coming down the pipeline from regulatory bodies across Canada and the U.S. How must organizations act to ensure compliance, deal with grey areas in untested new regulations, and prepare for newly proposed initiatives and emerging issues? Where do new market-led practices factor into the new securities landscape?
As policy makers, regulators, industry and the Canadian public seek ways to prevent another financial crisis, neither you nor your organization can aff ord to lag behind your peers on identifying and understanding the key issues, adopting industry best practices and compliance program upgrades and finding ways to overcome outstanding regulatory and industry issues.
Our exceptional speaker faculty of securities regulatory and transactional leaders, and legal and compliance practitioners across
Canada and the U.S. will provide you with this year’s most salient information:
• KEY IMPACTS OF THE U.S. DODD-FRANK ACT on Canadian and cross-listed companies and regulators
• NEW, PROPOSED AND EMERGING REGULATORY ISSUES being tackled by Canadian and U.S. regulators:
What you need to know and do about insider reporting, registrant regulation, derivatives and more
• TAKING THE INITIATIVE ON THE NATIONAL REGULATOR INITIATIVE: What to do if it goes ahead, if it does not, proposed alternatives and how to act in the interim
• M&A TRENDS AND DEVELOPMENTS: Analysis of the new M&A marketplace
• HOT-BUTTON CORPORATE GOVERNANCE issues: Managing say-on-pay, proxy voting and more