Insights, Archived
Research, white papers and articles

AML/CFT Requirements for Investment Advisors
Regulation Overview and Timeline, Summary of Proposed Rule Requirements, Investment Advisors Covered By the Proposed Rule, AML and CFT Programs, Proposed Obligation to File SARs and CTRs Instead of Form 8300, Proposed Recordkeeping Requirements, Special Information-Sharing Procedures to Deter Money Laundering and Terrorist Activity

Continued harmonization with an investor protection focus: CSA MI 93-101 and MiFID II
On September 28, 2024, the CSA MI 93-101 Derivatives: Business Conduct will come into effect with a five-year transition period. The instrument sets out a comprehensive framework for regulating conduct within the OTC derivatives market, including providing provisions on fair dealing, suitability among others

Basel IV
Regulation Overview, Implementation Dates and Transitional Arrangements, Revisions to the Internal Ratings-Based (IRB) Approaches for Credit Risk, Revisions to the Standardised Approach for Credit Risk, Revisions to the CVA Risk Framework, Operational Risk Framework, Leverage Ratio Framework and Introduction to a New Output Floor