8 - Investment Funds Breadcrumb Home Securities law Instruments, rules and policies 8 - Investment Funds Component Menu Left Sidebar Securities law Legislation Instruments, rules and policies 1 - Procedure and Related Matters 2 - Certain Capital Market Participants 3 - Registration Requirements and Related Matters 4 - Distribution Requirements 5 - Ongoing Requirements for Issuers and Insiders 6 - Take-Over Bids and Special Transactions 7 - Securities Transactions Outside the Jurisdiction 8 - Investment Funds 9 - Derivatives Documents not numbered Securities rule-making in Ontario Proposed instruments, rules and policies Orders, rulings and decisions Blanket orders Delegation orders OSC Bulletin Filing documents online Search by keyword Sort by RelevanceInstrument number descendingInstrument number ascending Results 31 - 60 of 89 Instrument Number Title 81-329 CSA Staff Notice 81-329 Reducing Regulatory Burden for Investment Fund Issuers 81-330 CSA Staff Notice 81-330 Status Report on Consultation on Embedded Commissions and Next Steps 81-331 CSA Staff Notice 81-331 - Investment Funds Investing in Bail-in Debt 81-332 CSA Staff Notice 81-332 - Next Steps on Proposals to Prohibit Certain Investment Fund Embedded Commissions 81-333 Guidance on Effective Liquidity Risk Management for Investment Funds 81-334 CSA Staff Notice 81-334 - ESG-Related Investment Fund Disclosure 81-335 Investment Fund Settlement Cycles 81-336 CSA Staff Notice 81-336 Guidance on Crypto Asset Investment Funds That Are Reporting Issuers 81-337 Targeted Continuous Disclosure Review and Guidance for Independent Review Committees for Investment Funds 81-401 CSA Request For Comments - Joint Forum of Financial Market Regulators Discussion Paper Proposed Regulatory Principles for Capital Accumulation Plans 81-402 Mutual Fund Governance 81-403 Rethinking Point of Sale Disclosure for Segregated Funds and Mutual Funds 81-404 Request for Comment on Joint Forum Guidelines for Capital Accumulation Plans - Proposed Guidelines for Capital Accumulation Plans prepared by the Joint Forum of Financial Market Regulators 81-405 Request for Comment on Proposed Exemptions for Certain Capital Accumulation Plans 81-406 Point of Sale Disclosure for Mutual Funds and Segregated Funds 81-407 CSA Discussion Paper and Request for Comment 81-407 Mutual Fund Fees 81-408 Consultation on the Option of Discontinuing Embedded Commissions 81-501 [repealed] Mutual Fund Reinvestment Plans 81-502 Ontario Securities Commission Notice and Request for Comment - Proposed Ontario Securities Commission Rule 81-502 Restrictions on the Use of the Deferred Sales Charge Option for Mutual Funds and Proposed Companion Policy 81-502 to Ontario Securities Commission Rule 81-502 Restrictions on the Use of the Deferred Sales Charge Option for Mutual Funds and Related Consequential Amendments 81-503 Ontario Instrument 81-503 Extension of Certain Filing, Delivery and Prospectus Renewal Requirements of Investment Funds 81-504 Ontario Instrument 81-504 Temporary Exemption from Borrowing Limits to Accommodate Redemption Requests of Mutual Funds 81-505 Notice of General Order – Ontario Instrument 81-505 Extension of Certain Filing, Delivery and Prospectus Renewal Requirements of Investment Funds with Deadlines during the period from June 2 to September 30, 2020 81-506 Ontario Instrument 81-506 Temporary Exemptions from National Instrument 81-104 Alternative Mutual Funds 81-507 Extension to Ontario Instrument 81-506 Temporary Exemptions from National Instrument 81-104 Alternative Mutual Funds 81-508 Temporary Exemptions from the OEO Trailer Ban to Facilitate Dealer Rebates of Trailing Commissions and Client Transfers 81-509 Extension to Ontario Instrument 81-508 Temporary Exemptions from the OEO Trailer Ban to Facilitate Dealer Rebates of Trailing Commissions and Client Transfers 81-704 Limited Powers of Attorney and Letters of Authorization Used in the Sale of Mutual Funds 81-705 Implementation of a Continuous Disclosure Review Program for Investment Funds - Investment Funds Branch 81-706 Treatment of Sales Commissions in the Calculation of Net Asset Value of Labour Sponsored Investment Funds (Withdrawn by CSA Staff Notice 11-333, December 1, 2016) 81-708 Model Portfolios of Mutual Funds Pagination First page « First Previous page ‹ Previous Page 1 Current page 2 Page 3 Next page Next › Last page Last »