The securities division of The Manitoba Securities Commission protects investors and promotes fair and efficient capital markets throughout the province by conducting operations including registrations, processing of applications and prospectuses, preparing matters for the referral to the Commissioners and conducting investigations, prosecutions and other hearings.
Compliance Outreach
Occasionally, we host compliance forums and other events for chief compliance officers and other compliance staff of registered firms. Registered firms are encouraged to attend and ask questions, raise issues of concern, and use the information provided as self-assessment tools to strengthen compliance and improve their internal controls.
Publications, Staff Notices and Guidance
Periodically, we publish staff notices, guidance, and other documents of interest to registrants.
For more information:
CSA Staff Notice 31-325 Marketing Practices of Portfolio Managers
CSA Staff Notice 31-334 CSA Review of Relationship Disclosure Practices
CSA Staff Notice 31-342 Guidance for Portfolio Managers Regarding Online Advice
CSA Staff Notice 31-350 Guidance on Small Firms Compliance and Regulatory Obligations
CSA Staff Notice 33-315 Suitability Obligation and Know Your Product
CSA Staff Notice 33-321 Cyber Security and Social Media
Client Focused Reforms Frequently Asked Questions – Canadian Securities Administrators