Regulatory Instrument Details
31-103 Registration Requirements, Exemptions and Ongoing Registrant Obligations [NI]
31-103
Number
Title
Regulatory Instrument Type
Date Type
Date
31-103
Registration Requirements, Exemptions and Ongoing Registrant Obligations - Consolidated Version
As Amended - National Instrument - 09/13/2023
National Instrument
As Amended
09/13/2023
31-103
Amendments to NI 31-103
Effective - Amendments to Instrument - 01/01/2026
Amendments to Instrument
Effective
01/01/2026
31-103F1
Calculation of Excess Working Capital - Consolidated Version
As Amended - Form - 09/13/2023
Form
As Amended
09/13/2023
31-103F2
Submission to Jurisdiction and Appointment of Agent for Service - Consolidated Version
As Amended - Form - 01/11/2015
Form
As Amended
01/11/2015
31-103F3
Use of Mobility Exemption - Consolidated Version
As Amended - Form - 07/11/2011
Form
As Amended
07/11/2011
31-103CP
Companion Policy to NI 31-103 - Consolidated Version
As Changed - Companion Policy - 06/06/2022
Companion Policy
As Changed
06/06/2022
31-103CP
Changes to 31-103CP
Effective - Changes to Policy - 01/01/2026
Changes to Policy
Effective
01/01/2026
Sections 11.9 and 11.10 Template for Notices
Published - Miscellaneous - 02/18/2021
Miscellaneous
Published
02/18/2021
CSA and CCIR Notice Individual Variable Insurance Contract Ongoing Disclosure Guidance - Total Cost Reporting (TCR) for Investment Funds and Segregated Funds
Published - CSA Notice - 04/20/2023
CSA Notice
Published
04/20/2023
Proposed Amendments Related to 31-103
Number
Title
Regulatory Instrument Type
Date Type
Date
31-103CP
Proposed Changes to 31-103CP (arising from NI 81-105)
Published - Proposed Changes to Policy - 11/28/2024
Proposed Changes to Policy
Published
11/28/2024
31-103
Proposed Amendments to NI 31-103 (arising from NI 81-105)
Published - Proposed Amendments to Instrument - 11/28/2024
Proposed Amendments to Instrument
Published
11/28/2024
Proposed Amendments to NI 31-103 (Registered Firm Requirements Pertaining to an Independent Dispute Resolution Service)
Published - CSA Notice - 11/30/2023
CSA Notice
Published
11/30/2023
Number
Title
Regulatory Instrument Type
Status
Date
11-348
Applicability of Canadian Securities Laws and the use of Artificial Intelligence Systems in Capital Markets
Published - CSA Notice - 12/05/2024
CSA Notice
Published
12/05/2024
Request for Comment Proposed Amendments to NI 81-105
Published - CSA Notice - 11/28/2024
CSA Notice
Published
11/28/2024
31-365
OBSI Joint Regulators Committee Annual Report for 2023
Published - CSA Notice - 07/11/2024
CSA Notice
Published
07/11/2024
31-363
Client Focused Reforms: Review of Registrants’ Conflicts of Interest Practices and Additional Guidance
Published - CSA Notice - 08/03/2023
CSA Notice
Published
08/03/2023
81-336
Guidance on Crypto Asset Investment Funds that are Reporting Issuers
Published - CSA Notice - 07/06/2023
CSA Notice
Published
07/06/2023
Implementation of ASC Blanket Order 31-536 Alberta Small Business Finder's Exemption
Published - ASC Notice - 11/10/2021
ASC Notice
Published
11/10/2021
31-536
Alberta Small Business Finder's Exemption - Varied
Effective - Blanket Order - 11/10/2021
Blanket Order
Effective
11/10/2021
31-537
ASC Blanket Order - Transitional Relief related to the Deferred Sales Charge Option in Respect of Client Focused Reforms (EXPIRED)
Effective - Blanket Order - 06/30/2021
Blanket Order
Effective
06/30/2021
31-360
Blanket Order/Class Orders in respect of Transitional Relief Related to the Deferred Sales Charge Option in Respect of Client Focused Reforms
Published - CSA Notice - 06/23/2021
CSA Notice
Published
06/23/2021
45-328
Withdrawn - Update on Amendments relating to Syndicated Mortgages: NI 31-103 and NI 45-106
Published - CSA Notice - 02/25/2021
CSA Notice
Published
02/25/2021
11-342
Notice of Local Amendments and Changes in Certain Jurisdictions
Published - CSA Notice - 08/06/2020
CSA Notice
Published
08/06/2020
31-358
Guidance on Registration Requirements for Chief Compliance Officers and Request for Comments
Published - CSA Notice - 07/03/2020
CSA Notice
Published
07/03/2020
31-535
Temporary Exemptions from Certain Financial Statements and Information Delivery Requirements for Registrants No. 2
Effective - Blanket Order - 05/28/2020
Blanket Order
Effective
05/28/2020
31-533
Temporary Exemption from Client Focused Reforms Conflict of Interest Provisions of NI 31-103 Registration Requirements, Exemptions and Ongoing Registrant Obligations
Published - Blanket Order - 04/16/2020
Blanket Order
Published
04/16/2020
31-357
Blanket Orders/Class Orders re Certain Client Focused Reforms Provisions of NI 31-103 Registration Requirements, Exemptions and Ongoing Registrant Obligations
Published - CSA Notice - 04/16/2020
CSA Notice
Published
04/16/2020
31-534
Temporary Exemption from Client Focused Reforms Relationship Disclosure Information Provisions of NI 31-103 Registration Requirements, Exemptions and Ongoing Registrant Obligations
Published - Blanket Order - 04/16/2020
Blanket Order
Published
04/16/2020
31-532
Temporary Exemptions from Certain Financial Statements and Info Delivery Requirements for Registrants
Effective - Blanket Order - 03/23/2020
Blanket Order
Effective
03/23/2020
31-356
Guidance on Compliance Consultants Engaged by Firms Following a Regulatory Decision
Published - CSA Notice - 08/22/2019
CSA Notice
Published
08/22/2019
31-354
Suggested Practices for Engaging with Older or Vulnerable Clients
Published - CSA Notice - 06/21/2019
CSA Notice
Published
06/21/2019
33-706
Policy and Procedures Manual - Reference Resource for Exempt Market Dealers
Published - ASC Notice - 06/12/2019
ASC Notice
Published
06/12/2019
Continuation of ASC Blanket Order 31-505 Registration Exemption for Trades in Connection with Certain Prospectus-Exempt Distributions
Published - ASC Notice - 03/11/2019
ASC Notice
Published
03/11/2019
11-338
CSA Market Disruption Coordination Plan
Published - CSA Notice - 10/18/2018
CSA Notice
Published
10/18/2018
81-330
Status Report on Consultation on Embedded Commissions and Next Steps
Published - CSA Notice - 06/21/2018
CSA Notice
Published
06/21/2018
31-352
Monthly Suppression of Terrorism and Canadian Sanctions Reporting Obligations
Published - CSA Notice - 02/22/2018
CSA Notice
Published
02/22/2018
31-701
Account Opening Assistance
Published - ASC Notice - 12/19/2017
ASC Notice
Published
12/19/2017
31-351
IIROC Notice 17-0229, MFDA Bulletin #0736-M Complying with Requirements Regarding the Ombudsman for Banking Services and Investments
Published - CSA Notice - 12/07/2017
CSA Notice
Published
12/07/2017
33-321
Cyber Security and Social Media
Published - CSA Notice - 10/19/2017
CSA Notice
Published
10/19/2017
33-320
The Requirement for True and Complete Applications for Registration
Published - CSA Notice - 07/13/2017
CSA Notice
Published
07/13/2017
31-349
Change to Standard Form Reports for Close Supervision and Strict Supervision Terms and Conditions
Published - CSA Notice - 07/13/2017
CSA Notice
Published
07/13/2017
31-350
Guidance on Small Firms Compliance and Regulatory Obligations
Published - CSA Notice - 05/18/2017
CSA Notice
Published
05/18/2017
33-318
Review of Practices Firms Use to Compensate and Provide Incentives to their Representative
Published - CSA Notice - 12/15/2016
CSA Notice
Published
12/15/2016
31-347
Guidance for Portfolio Managers for Service Arrangements with IIROC Dealer Members
Published - CSA Notice - 11/17/2016
CSA Notice
Published
11/17/2016
31-346
Regulatory Concerns Over a Perceived Reduction in Liquidity in Canadian Fixed Income Markets – Guidance as to the Scope of the International Dealer Exemption in NI 31-103
Published - CSA Notice - 09/01/2016
CSA Notice
Published
09/01/2016
33-404
Proposals to Enhance the Obligations of Advisers, Dealers, and Representatives Toward their Clients (includes links to comment letters)
Published - Consultation Paper - 04/28/2016
Consultation Paper
Published
04/28/2016
31-345
Cost Disclosure, Performance Reporting and Client Statements - Frequently Asked Questions and Additional Guidance
Published - CSA Notice - 04/14/2016
CSA Notice
Published
04/14/2016
31-343
Conflicts of Interest in Distributing Securities of Related or Connected Issuers
Published - CSA Notice - 11/19/2015
CSA Notice
Published
11/19/2015
31-342
Guidance for Portfolio Managers Regarding Online Advice
Published - CSA Notice - 09/24/2015
CSA Notice
Published
09/24/2015
11-329
Withdrawal of Notices and Revocation of Omnibus/Blanket Orders
Published - CSA Notice - 07/16/2015
CSA Notice
Published
07/16/2015
45-304
Notice of Local Exemptions Related to NI 45-106 and NI 31-103
Published - CSA Notice - 05/21/2015
CSA Notice
Published
05/21/2015
32-301
Omnibus/Blanket Order Exempting Certain U.S. Broker-Dealers and U.S. Advisers from the Requirement to Register in Respect of Trades and Advice for U.S. Resident Clients
Published - CSA Notice - 03/26/2015
CSA Notice
Published
03/26/2015
31-530
Trades and Advice for US-Resident Clients: Dealer and Adviser Registration Exemptions
Effective - Blanket Order - 03/26/2015
Blanket Order
Effective
03/26/2015
31-338
Guidance on Dispute Resolution Services Client Disclosure for Registered Dealers and Advisers that are not Members of a Self-Regulatory Organization
Published - CSA Notice - 05/01/2014
CSA Notice
Published
05/01/2014
31-336
Guidance for Portfolio Managers, Exempt Market Dealers and Other Registrants on the Know-Your-Client, Know-Your-Product and Suitability Obligations
Published - CSA Notice - 01/09/2014
CSA Notice
Published
01/09/2014
31-334
CSA Review of Relationship Disclosure Practices
Published - CSA Notice - 07/18/2013
CSA Notice
Published
07/18/2013
31-332
Relevant Investment Management Experience for Advising Representatives and Associate Advising Representatives of Portfolio Managers
Published - CSA Notice - 01/17/2013
CSA Notice
Published
01/17/2013
31-202
Registration Requirement for Investment Fund Managers
Effective - Multilateral Policy - 09/28/2012
Multilateral Policy
Effective
09/28/2012
33-704
Review of Exempt Market Dealers
Published - ASC Notice - 01/12/2012
ASC Notice
Published
01/12/2012
31-325
Marketing Practices of Portfolio Managers
Published - CSA Notice - 07/05/2011
CSA Notice
Published
07/05/2011
31-323
Guidance Relating to the Registration Obligations of Mortgage Investment Entities
Published - CSA Notice - 02/25/2011
CSA Notice
Published
02/25/2011
Blanket Order 31-505 - Registration Exemption for Trades in Connection with Certain Prospectus-Exempt Distributions
Published - ASC Notice - 02/12/2010
ASC Notice
Published
02/12/2010
33-315
Suitability Obligation and Know Your Product
Published - CSA Notice - 09/02/2009
CSA Notice
Published
09/02/2009
Number
Title
Regulatory Instrument Type
Status
Date
31-103
Amendments to NI 31-103 (arising from NI 14-101)
Effective - Amendments to Instrument - 09/13/2023
Amendments to Instrument
Effective
09/13/2023
31-103CP
Changes to 31-103CP (arising from NI 33-109)
Effective - Changes to Policy - 06/06/2022
Changes to Policy
Effective
06/06/2022
31-103
Amendments to NI 31-103 (arising from NI 33-109)
Effective - Amendments to Instrument - 06/06/2022
Amendments to Instrument
Effective
06/06/2022
31-103
Amendments to NI 31-103 (arising from NI 81-105)
Effective - Amendments to Instrument - 06/01/2022
Amendments to Instrument
Effective
06/01/2022
31-103CP
Changes to 31-103CP (arising from NI 81-105)
Effective - Changes to Policy - 06/01/2022
Changes to Policy
Effective
06/01/2022
CSA and CCIR Joint Notice and Request for Comment – Total Cost Reporting for Investment Funds and Segregated Funds (includes comment letters received)
Published - CSA Notice - 04/28/2022
CSA Notice
Published
04/28/2022
31-103
Amendment to NI 31-103 (arising from NI 81-102)
Effective - Amendments to Instrument - 01/05/2022
Amendments to Instrument
Effective
01/05/2022
31-103
Amendments to NI 31-103
Effective - Amendments to Instrument - 12/31/2021
Amendments to Instrument
Effective
12/31/2021
31-103CP
Changes to 31-103CP
Effective - Changes to Policy - 12/31/2021
Changes to Policy
Effective
12/31/2021
Amendments to NI 31-103 and Changes to CP to Enhance Protection of Older and Vulnerable Clients
Published - CSA Notice - 07/15/2021
CSA Notice
Published
07/15/2021
31-103CP
Changes to 31-103CP (arising from NI 45-106)
Effective - Changes to Policy - 03/01/2021
Changes to Policy
Effective
03/01/2021
31-103
Amendments to NI 31-103 (arising from NI 45-106)
Effective - Amendments to Instrument - 03/01/2021
Amendments to Instrument
Effective
03/01/2021
CSA Notice and Request for Comments Proposed Amendments NI 31-103 to Enhance Protection of Older and Vulnerable Clients (includes comment letters received)
Published - CSA Notice - 03/05/2020
CSA Notice
Published
03/05/2020
31-103
Amendments to NI 31-103
Effective - Amendments to Instrument - 12/31/2019
Amendments to Instrument
Effective
12/31/2019
31-103CP
Changes to 31-103CP
Effective - Changes to Policy - 12/31/2019
Changes to Policy
Effective
12/31/2019
45-326
Update on Amendments to NI 45-106 and NI 31-103 relating to Syndicated Mortgages
Published - CSA Notice - 12/11/2019
CSA Notice
Published
12/11/2019
Amendments to NI 31-103 and Changes to 31-103CP
Published - CSA Notice - 10/03/2019
CSA Notice
Published
10/03/2019
31-103
Amendments to NI 31-103
Effective - Amendments to Instrument - 06/12/2019
Amendments to Instrument
Effective
06/12/2019
31-339
Withdrawn - Omnibus/Blanket Orders Exempting IIROC and MFDA Registrants from Certain Provisions of NI 31-103 Registration Requirements, Exemptions and Ongoing Registrant Obligations
Withdrawn - CSA Notice - 03/07/2019
CSA Notice
Withdrawn
03/07/2019
Proposed Amendments to NI 31-103
Published - CSA Notice - 10/25/2018
CSA Notice
Published
10/25/2018
Request for Comment Proposed Amendments to NI 31-103 re Client Focused Reforms (includes links to comment letters received)
Published - CSA Notice - 06/21/2018
CSA Notice
Published
06/21/2018
31-103
Amendments to NI 31-103 (arising from NI 44-101)
Effective - Amendments to Instrument - 06/12/2018
Amendments to Instrument
Effective
06/12/2018
31-103
Amendments to NI 31-103 (arising from NI 45-102)
Effective - Amendments to Instrument - 06/12/2018
Amendments to Instrument
Effective
06/12/2018
31-531
Expired - Exemptions from Certain CRM2 Provisions of NI 31-103 Registration Requirements, Exemptions and Ongoing Registrant Obligations
Expired - Blanket Order - 12/04/2017
Blanket Order
Expired
12/04/2017
31-103CP
Changes to 31-103CP
Effective - Changes to Policy - 12/04/2017
Changes to Policy
Effective
12/04/2017
31-103
Amendments to NI 31-103 (Alberta only)
Effective - Amendments to Instrument - 12/04/2017
Amendments to Instrument
Effective
12/04/2017
31-103
Amendments to NI 31-103
Effective - Amendments to Instrument - 12/04/2017
Amendments to Instrument
Effective
12/04/2017
31-528
Expired - Relief from Certain CRM2 Requirements Prescribed by NI 31-103 for IIROC Members
Expired - Blanket Order - 12/04/2017
Blanket Order
Expired
12/04/2017
31-529
Expired - Relief from Certain CRM2 Requirements Prescribed by NI 31-103 for MFDA Members
Expired - Blanket Order - 12/04/2017
Blanket Order
Expired
12/04/2017
Amendments to NI 31-103 and NI 33-109 and related Policies and Forms
Published - CSA Notice - 07/27/2017
CSA Notice
Published
07/27/2017
31-103
Amendments to NI 31-103 (arising from NI 14-101)
Effective - Amendments to Instrument - 02/01/2017
Amendments to Instrument
Effective
02/01/2017
31-103CP
Changes to 31-103CP (arising from NI 14-101)
Effective - Changes to Policy - 02/01/2017
Changes to Policy
Effective
02/01/2017
31-103
Amendments to NI 31-103
Effective - Amendments to Instrument - 12/01/2016
Amendments to Instrument
Effective
12/01/2016
Request for Comment Proposed Amendments to NI 31-103, 31-103CP, NI 33-109 and Related Forms
Published - CSA Notice - 07/07/2016
CSA Notice
Published
07/07/2016
31-337
Cost Disclosure, Performance Reporting and Client Statements – Frequently Asked Questions and Additional Guidance
Withdrawn - CSA Notice - 04/14/2016
CSA Notice
Withdrawn
04/14/2016
31-324
Exempt Market Dealers and Account Statement Requirements in NI 31-103 Registration Requirements and Exemptions
Withdrawn - CSA Notice - 04/14/2016
CSA Notice
Withdrawn
04/14/2016
31-329
Withdrawn - Omnibus / Blanket Orders Exempting Registrants from Certain Provisions in NI 31-103 Registration Requirements, Exemptions and Ongoing Registrant Obligations and Related Staff Positions
Withdrawn - CSA Notice - 07/16/2015
CSA Notice
Withdrawn
07/16/2015
31-335
Withdrawn - Extension of Interim Relief for Members of IIROC from the Requirement in Section 14.2(1) of NI 31-103 in Respect of the Provision of Relationship Disclosure Information to Existing Clients
Withdrawn - CSA Notice - 07/16/2015
CSA Notice
Withdrawn
07/16/2015
31-333
Withdrawn - Follow-up to Broker-Dealer Registration in the Exempt Market Dealer Category
Withdrawn - CSA Notice - 07/16/2015
CSA Notice
Withdrawn
07/16/2015
31-313
Withdrawn - NI 31-103 Registration Requirements and Exemptions and Related Instruments - FAQs as of Dec 18, 2009
Withdrawn - CSA Notice - 07/16/2015
CSA Notice
Withdrawn
07/16/2015
31-315
Withdrawn - Omnibus / Blanket Orders Exempting Registrants from Certain Provisions of NI 31-103 Registration Requirements and Exemptions
Withdrawn - CSA Notice - 07/16/2015
CSA Notice
Withdrawn
07/16/2015
31-314
Withdrawn - NI 31-103 Registration Requirements and Exemptions and Related Instruments - FAQs as of February 05, 2010
Withdrawn - CSA Notice - 07/16/2015
CSA Notice
Withdrawn
07/16/2015
31-330
Withdrawn - Omnibus / Blanket Orders Extending Certain Provisions Relating to the Investment Fund Manager Registration Requirement and the Obligation to Provide Dispute Resolution Services
Withdrawn - CSA Notice - 07/16/2015
CSA Notice
Withdrawn
07/16/2015
31-331
Withdrawn - Follow-up to Broker-Dealer Registration in the Exempt Market Dealer Category
Withdrawn - CSA Notice - 07/16/2015
CSA Notice
Withdrawn
07/16/2015
31-326
Withdrawn - Outside Business Activities
Withdrawn - CSA Notice - 07/16/2015
CSA Notice
Withdrawn
07/16/2015
31-524
Revoked - Extension of Transitional Relief from Investment Fund Manager Registration Requirement Prescribed by Sections 16.5 and 16.6 of NI 31-103
Revoked - Blanket Order - 07/16/2015
Blanket Order
Revoked
07/16/2015
31-520
Revoked - Exemption from the Registration Requirement in NI 31-103 for International Dealers
Revoked - Blanket Order - 07/16/2015
Blanket Order
Revoked
07/16/2015
31-521
Revoked - Exemption from the Registration Requirement in NI 31-103 for International Advisers
Revoked - Blanket Order - 07/16/2015
Blanket Order
Revoked
07/16/2015
31-327
Withdrawn - Broker-Dealer Registration in the Exempt Market Dealer Category
Withdrawn - CSA Notice - 07/16/2015
CSA Notice
Withdrawn
07/16/2015
31-328
Withdrawn - Revocation of Omnibus / Blanket Orders Exempting Registrants from Certain Provisions of NI 31-103 Registration Requirements, Exemptions and Ongoing Registrant Obligations
Withdrawn - CSA Notice - 07/16/2015
CSA Notice
Withdrawn
07/16/2015
31-103CP
Changes to 31-103CP (arising from amendments to NI 45-106 relating to the Accredited Investor and Minimum Amount Investment Prospectus Exemptions)
Effective - Changes to Policy - 05/05/2015
Changes to Policy
Effective
05/05/2015
31-103
Amendments to NI 31-103 (arising from amendments to NI 45-106 relating to the Accredited Investor and Minimum Amount Investment Prospectus Exemptions)
Effective - Amendments to Instrument - 05/05/2015
Amendments to Instrument
Effective
05/05/2015
31-103
Amendments to NI 31-103
Effective - Amendments to Instrument - 01/11/2015
Amendments to Instrument
Effective
01/11/2015
31-103CP
Changes to 31-103CP
Effective - Changes to Policy - 01/11/2015
Changes to Policy
Effective
01/11/2015
31-526
Expired - Exemption from the Registration Requirement for Trades in Short-term Debt Instruments
Expired - Blanket Order - 12/31/2014
Blanket Order
Expired
12/31/2014
31-103
Amendments to NI 31-103 (arising from Derivatives related amendments to the Securities Act)
Effective - Amendments to Instrument - 10/31/2014
Amendments to Instrument
Effective
10/31/2014
Amendments to NI 31-103, NI 33-109, NI 52-107 and Related Policies and Forms
Published - CSA Notice - 10/16/2014
CSA Notice
Published
10/16/2014
31-103CP
Changes to 31-103CP (arising from NI 81-102)
Effective - Changes to Policy - 09/22/2014
Changes to Policy
Effective
09/22/2014
31-103
Amendments to NI 31-103 (arising from NI 81-102)
Effective - Amendments to Instrument - 09/22/2014
Amendments to Instrument
Effective
09/22/2014
31-103
Changes to 31-103CP
Effective - Changes to Policy - 05/01/2014
Changes to Policy
Effective
05/01/2014
31-103
Amendments to NI 31-103
Effective - Amendments to Instrument - 05/01/2014
Amendments to Instrument
Effective
05/01/2014
31-527
Expired -Transitional Relief from the Requirement to Provide Relationship Disclosure Information Prescribed by Section 14.2(1) of NI 31-103 for IIROC Member Firms
Expired - Blanket Order - 03/26/2014
Blanket Order
Expired
03/26/2014
31-522
Expired - Transitional Relief from the Requirement to Provide Relationship Disclosure Information Prescribed by Section 14.2(1) of NI 31-103 for IIROC Member Firms
Expired - Blanket Order - 12/31/2013
Blanket Order
Expired
12/31/2013
31-523
Expired - Transitional Relief from the Requirement to Provide Relationship Disclosure Information Prescribed by Section 14.2(1) of NI 31-103 for MFDA Member Firms
Expired - Blanket Order - 12/31/2013
Blanket Order
Expired
12/31/2013
Amendments to NI 31-103 Registration Requirements, Exemptions and Ongoing Registrant Obligations and to 31-103CP
Published - CSA Notice - 12/19/2013
CSA Notice
Published
12/19/2013
31-103
Proposed Amendments to NI 31-103, NI 33-109 and NI 52-107 and Related Policies and Forms
Published - CSA Notice - 12/05/2013
CSA Notice
Published
12/05/2013
31-322
Withdrawn - Extension of Omnibus / Blanket Order Exempting Mortgage Investment Entities from the Requirement to Register as Investment Fund Managers and Advisers
Withdrawn - CSA Notice - 09/12/2013
CSA Notice
Withdrawn
09/12/2013
31-318
Withdrawn - Omnibus / Blanket Order Exempting Mortgage Investment Entities from the Requirement to Register as Investment Fund Managers and Advisers
Withdrawn - CSA Notice - 09/12/2013
CSA Notice
Withdrawn
09/12/2013
31-316
Withdrawn - Blanket Order Exempting Persons and Companies from the Requirement to Register when Trading in Short-term Debt Instruments
Withdrawn - CSA Notice - 09/12/2013
CSA Notice
Withdrawn
09/12/2013
31-319
Withdrawn - Further Omnibus / Blanket Orders Exempting Registrants from Certain Provisions of NI 31-103 Registration Requirements and Exemptions
Withdrawn - CSA Notice - 09/12/2013
CSA Notice
Withdrawn
09/12/2013
33-313
Withdrawn - International Financial Reporting Standards and Registrants
Withdrawn - CSA Notice - 09/12/2013
CSA Notice
Withdrawn
09/12/2013
33-314
Withdrawn - International Financial Reporting Standards and Registrants
Withdrawn - CSA Notice - 09/12/2013
CSA Notice
Withdrawn
09/12/2013
31-312
Withdrawn - The Exempt Market Dealer Category Under NI 31-103 Registration Requirements and Exemptions
Withdrawn - CSA Notice - 09/12/2013
CSA Notice
Withdrawn
09/12/2013
31-103
Amendments to NI 31-103
Effective - Amendments to Instrument - 07/15/2013
Amendments to Instrument
Effective
07/15/2013
31-103CP
Changes to 31-103CP
Effective - Changes to Policy - 07/15/2013
Changes to Policy
Effective
07/15/2013
31-103
Amendments to NI 31-103 (arising from NI 25-101)
Effective - Amendments to Instrument - 05/31/2013
Amendments to Instrument
Effective
05/31/2013
31-519
Revoked - Exemption from Certain Sections of NI 31-103 for Trades in Short-term Debt Instruments
Revoked - Blanket Order - 05/31/2013
Blanket Order
Revoked
05/31/2013
CSA Notice of Amendments to National Instrument 31-103 Re Cost Disclosure, Performance Reporting and Client Statements
Published - CSA Notice - 03/28/2013
CSA Notice
Published
03/28/2013
CSA Notice of Proposed Amendments to NI 31-103 Re Dispute Resolution Service
Published - CSA Notice - 11/15/2012
CSA Notice
Published
11/15/2012
31-525
Expired - Extension of Transitional Relief from the Requirement to Provide Dispute Resolution Services Prescribed by Section 13.16 of NI 31-103
Expired - Blanket Order - 09/28/2012
Blanket Order
Expired
09/28/2012
31-103CP
Changes to 31-103CP (arising from MP 31-202)
Effective - Changes to Policy - 09/28/2012
Changes to Policy
Effective
09/28/2012
31-321
Withdrawn - Further Omnibus / Blanket Orders Exempting Registrants from Certain Provisions of NI 31-103 Registration Requirements and Exemptions
Withdrawn - CSA Notice - 06/21/2012
CSA Notice
Withdrawn
06/21/2012
CSA Notice of Proposed Amendments to NI 31-103 Re Cost Disclosure, Performance Reporting and Client Statements
Published - CSA Notice - 06/14/2012
CSA Notice
Published
06/14/2012
31-103
Amendments to NI 31-103
Effective - Amendments to Instrument - 02/28/2012
Amendments to Instrument
Effective
02/28/2012
31-103CP
Changes to 31-103CP
Effective - Changes to Policy - 02/28/2012
Changes to Policy
Effective
02/28/2012
Notice of Amendments to NI 31-103 Registration Requirements, Exemptions and Ongoing Registrant Obligations and 31-103CP Registration Requirements, Exemptions and Ongoing Registrant Obligations
Published - CSA Notice - 11/25/2011
CSA Notice
Published
11/25/2011
31-512
Expired - Exemption from the Registration Requirement in NI 31-103 Registration Requirements and Exemptions for Trades in Short-term Debt Instruments
Expired - Blanket Order - 09/28/2011
Blanket Order
Expired
09/28/2011
31-514
Expired - Transitional Relief from the Requirement to Provide the Relationship Disclosure Information Prescribed by Section 14.2(1) of NI 31-103 for IIROC Member Firms
Expired - Blanket Order - 09/28/2011
Blanket Order
Expired
09/28/2011
31-515
Expired - Transitional Relief from the Requirement to Provide the Relationship Disclosure Information Prescribed by Section 14.2(1) of NI 31-103 for MFDA Member Firms
Expired - Blanket Order - 09/28/2011
Blanket Order
Expired
09/28/2011
35-501
Revoked - Trades by certain dealers in securities listed on TSX Venture (previously Canadian Venture Exchange Inc.)
Revoked - Blanket Order - 09/22/2011
Blanket Order
Revoked
09/22/2011
31-103CP
Changes to 31-103CP
Effective - Changes to Policy - 07/11/2011
Changes to Policy
Effective
07/11/2011
31-506
Revoked - Exemption from Certain Sections of National Instrument 31-103 Registration Requirements and Exemptions in Connection with Transition and Grandfathering Matters
Revoked - Blanket Order - 07/11/2011
Blanket Order
Revoked
07/11/2011
31-507
Revoked - Exemption from Sections 3.6, 3.10 and 3.14 of NI 31-103 Registration Requirements and Exemptions for Chief Compliance Officers of Portfolio Managers Adding a Category
Revoked - Blanket Order - 07/11/2011
Blanket Order
Revoked
07/11/2011
31-508
Revoked - Exemption from Sections 3.5 and 3.9 of NI 31-103 Registration Requirements and Exemptions for Portfolio Managers Adding a Category
Revoked - Blanket Order - 07/11/2011
Blanket Order
Revoked
07/11/2011
31-509
Revoked - Exemption from Section 3.3 of NI 31-103 Registration Requirements and Exemptions for Representatives of Scholarship Plan Dealers
Revoked - Blanket Order - 07/11/2011
Blanket Order
Revoked
07/11/2011
31-510
Revoked - Exemption from Section 14.5 of NI 31-103 Registration Requirements and Exemptions for Canadian Firms
Revoked - Blanket Order - 07/11/2011
Blanket Order
Revoked
07/11/2011
31-103
Amendments to NI 31-103
Effective - Amendments to Instrument - 07/11/2011
Amendments to Instrument
Effective
07/11/2011
31-103F1
Calculation of Excess Working Capital
Effective - Form - 07/11/2011
Form
Effective
07/11/2011
31-517
Revoked - Exemption from the Requirement that Mutual Fund Dealers Identify Individuals with 10% Interests in Corporate Clients (Section 13.2(3)(b)(i) of NI 31-103)
Revoked - Blanket Order - 07/11/2011
Blanket Order
Revoked
07/11/2011
31-516
Revoked - Exemption from Requirement to Establish Whether a Client is an Insider (Section 13.2(2)(b) of NI 31-103)
Revoked - Blanket Order - 07/11/2011
Blanket Order
Revoked
07/11/2011
2011 ABASC 221
Revocation of Certain Registration-Related Blanket Orders
Effective - Revocation Order - 07/11/2011
Revocation Order
Effective
07/11/2011
Notice of and Request for Comment on Proposed Amendments to NI 31-103 Related to Cost Disclosure and Performance Reporting
Published - CSA Notice - 06/22/2011
CSA Notice
Published
06/22/2011
Notice of and Request for Comment on Proposed Amendments to NI 31-103 Related to Exemptions from Certain Requirements for SRO Members
Published - CSA Notice - 05/13/2011
CSA Notice
Published
05/13/2011
Notice of Amendments to NI 31-103 Registration Requirements and Exemptions and NI 33-109 Registration Information
Published - CSA Notice - 04/15/2011
CSA Notice
Published
04/15/2011
31-518
Expired - Temporary Relief for Mortgage Investment Entities from the Requirement to Register as Investment Fund Managers and Advisers
Expired - Blanket Order - 03/31/2011
Blanket Order
Expired
03/31/2011
31-103
Amendments to NI 31-103
Effective - Amendments to Instrument - 01/01/2011
Amendments to Instrument
Effective
01/01/2011
31-103CP
Changes to 31-103CP
Effective - Changes to Policy - 01/01/2011
Changes to Policy
Effective
01/01/2011
31-513
Expired - Temporary Relief for Mortgage Investment Entities from the Requirement to Register as Investment Fund Managers and Advisers
Expired - Blanket Order - 12/31/2010
Blanket Order
Expired
12/31/2010
31-511
Revoked - Exemption from Section 13.2(2)(b) of NI 31-103 Registration Requirements and Exemptions for Mutual Fund Dealers
Revoked - Blanket Order - 11/05/2010
Blanket Order
Revoked
11/05/2010
Notice of and Request for Comment on Proposed Amendments to NI 31-103 Registration Requirements and Exemptions – Registration of International and Certain Domestic Investment Fund Managers
Published - CSA Notice - 10/15/2010
CSA Notice
Published
10/15/2010
Notice of Amendments to NI 31-103 Registration Requirements and Exemptions and 31-103CP Registration Requirements and Exemptions AND Amendments to NI 33-109 Registration Information
Published - CSA Notice - 10/01/2010
CSA Notice
Published
10/01/2010
Notice of and Request for Comment on Proposed Amendments to NI 31-103 Registration Requirements and Exemptions, NI 33-109 Registration Information and to Related Policies and Forms
Published - CSA Notice - 06/25/2010
CSA Notice
Published
06/25/2010
Proposed Amendments to NI 31-103 Registration Requirements and Exemptions and 31-103CP and NI 33-109 Registration Information
Published - CSA Notice - 10/23/2009
CSA Notice
Published
10/23/2009
32-501
Revoked - Transitional exemption for certain firms registered by the Alberta Securities Commission as securities dealers
Revoked - Blanket Order - 09/28/2009
Blanket Order
Revoked
09/28/2009
31-103CP
Companion Policy to NI 31-103
Effective - Companion Policy - 09/28/2009
Companion Policy
Effective
09/28/2009
31-103F1
Calculation of Excess Working Capital
Effective - Form - 09/28/2009
Form
Effective
09/28/2009
31-103
Registration Requirements and Exemptions
Effective - National Instrument - 09/28/2009
National Instrument
Effective
09/28/2009
31-103F2
Submission to Jurisdiction and Appointment of Agent for Service
Effective - Form - 09/28/2009
Form
Effective
09/28/2009
CSA Notice of NI 31-103 Registration Requirements and Exemptions
Published - CSA Notice - 07/17/2009
CSA Notice
Published
07/17/2009
Notice and Request for Comment - Proposed NI 31-103 Registration Requirements, Proposed Companion Policy 31-103CP and Proposed Consequential Amendments
Published - CSA Notice - 02/29/2008
CSA Notice
Published
02/29/2008
CSA Notice and Request for Comment on Proposed NI 31-103 Registration Requirements, 31-103CP and Amendments to NI 33-109 Registration Information
Published - CSA Notice - 02/20/2007
CSA Notice
Published
02/20/2007
News Releases Related to 31-103
Title
Date
Apr 25, 2024
Canadian financial regulators propose total cost reporting for investment funds and segregated funds
Apr 28, 2022
Jul 15, 2021
Aug 27, 2020
Apr 16, 2020
Mar 15, 2019
Mar 28, 2013
Jun 14, 2012
Mar 28, 2007