Articles

Practical commentary on securities law, exempt market compliance, fund formation, investor reporting, and private capital markets.

Apr 13, 2026

Common Triggers for Exempt Market Enforcement Action

Enforcement in Canada’s exempt market often starts with a small set of recurring issues: unregistered dealing, weak NI 45-106 documentation, misleading marketing, conflicts, and incomplete KYC/AML files. This Ontario-focused guide explains what regulators look for, why issues escalate, and how fund managers can reduce avoidable regulatory exposure.

Read More