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Editors
Lawrence E. Ritchie

Partner, Disputes, Toronto

Alexander Cobb

Partner, Disputes, Toronto

Victoria Graham

Partner, Corporate, Toronto

Shawn Irving

Partner, Disputes, Toronto

Kevin O’Brien

Partner, Disputes, Toronto

Elizabeth Sale

Partner, Financial Services, Toronto

Lauren Tomasich

Partner, Disputes, Toronto

Malcolm Aboud

Counsel, Disputes, Toronto

John M. Valley

Partner, Corporate, Toronto

About

Risk Management and Crisis Response draws on the experience of a national team to provide information related to proactive prevention and compliance for corporations. We share highlights and comment on significant developments related to legal matters, regulatory changes and related threats.

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Latest Blog Posts

Blog February 26, 2025

Recent developments in the U.S. SEC’s proceedings against major crypto players signals pro-industry policy shift

The U.S. SEC has moved quickly to shift its stance towards the crypto industry under President Trump’s administration.

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Recent developments in the U.S. SEC’s proceedings against major crypto players signals pro-industry policy shift
Blog February 14, 2025

U.S. ‘pausing’ criminal enforcement of foreign bribery laws while DOJ is directed to revisit priorities

We look at what the move may mean for the U.S.'s historically aggressive track record in enforcing foreign bribery laws and efforts to fill the gap.

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U.S. ‘pausing’ criminal enforcement of foreign bribery laws while DOJ is directed to revisit priorities
Blog February 6, 2025

Alberta lawyer faces sanctions for failing to identify a ‘pump and dump’ scheme

A recent decision highlights the importance of lawyers taking sufficient steps to identify “red flags” raised by their clients’ conduct.

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Alberta lawyer faces sanctions for failing to identify a ‘pump and dump’ scheme
Blog December 19, 2024

CSSB issues final framework for voluntary climate-related disclosures

We compare the final framework to the earlier proposed version and look ahead to how the CSA may respond with its rules in 2025.

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CSSB issues final framework for voluntary climate-related disclosures
Blog December 18, 2024

Navigating AI systems in capital markets: recent guidance from the CSA

The CSA issued a Staff Notice earlier this month providing guidance on the application of securities legislation to AI systems in capital markets.

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Navigating AI systems in capital markets: recent guidance from the CSA
Blog December 18, 2024

Evolving legal and political landscape creates uncertainty about securities regulation of crypto-related activity

We recap some recent cases from both sides of the border, with an eye to where enforcement activity may go from here.

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Evolving legal and political landscape creates uncertainty about securities regulation of crypto-related activity
Blog December 12, 2024

Consultation on amendments to Canada’s AML regime closes December 30

The consultation period for the proposed PCMLTFA amendments closes on December 30.

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Consultation on amendments to Canada’s AML regime closes December 30
Blog December 10, 2024

Regulation by enforcement: who pays the price?

Who should bear the costs of Ontario Securities Commission enforcement proceedings is emerging as an important issue.

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Regulation by enforcement: who pays the price?
Blog November 25, 2024

Federal government plans mandatory climate disclosures for large private CBCA companies and voluntary sustainable investment guidelines

The federal government has announced complementary plans to enhance corporate sustainability and transparency.

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Federal government plans mandatory climate disclosures for large private CBCA companies and voluntary sustainable investment guidelines
Blog October 29, 2024

Changes of enforcement leadership raise questions about new priorities

Amid recent departures from top enforcement jobs, personalities and personal agendas can affect regulators’ strategies and enforcement priorities.

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Changes of enforcement leadership raise questions about new priorities