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V-1.1
- Securities Act
Summary
Regulations
54
Alphanumeric
Title
V-1.1, r. 1
Regulation 11-102 respecting Passport System
V-1.1, r. 2
Regulation 13-101 respecting the System for Electronic Document Analysis and Retrieval (SEDAR)
V-1.1, r. 3
Regulation 14-101 respecting Definitions
V-1.1, r. 4
Regulation 14-501Q respecting Definitions
V-1.1, r. 5
Regulation 21-101 respecting Marketplace Operation
V-1.1, r. 6
Regulation 23-101 respecting Trading Rules
V-1.1, r. 7
Regulation 23-102 respecting Use of Client Brokerage
V-1.1, r. 7.1
Regulation 23-103 respecting Electronic Trading and Direct Electronic Access to Marketplaces
V-1.1, r. 8
Regulation 24-101 respecting Institutional Trade Matching and Settlement
V-1.1, r. 8.1
Regulation 25-101 respecting designated rating organizations
V-1.1, r. 9
Regulation 31-102 respecting National Registration Database
V-1.1, r. 10
Regulation 31-103 respecting Registration Requirements, Exemptions and Ongoing Registrant Obligations
V-1.1, r. 10.1
Regulation 32-102 respecting Registration Exemptions for Non-Resident Investment Fund Managers
V-1.1, r. 11
Regulation 33-105 respecting Underwriting Conflicts
V-1.1, r. 12
Regulation 33-109 respecting registration information
V-1.1, r. 13
National Instrument 35-101: Conditional Exemption from registration for United States broker-dealers and agents
V-1.1, r. 14
Regulation 41-101 respecting General Prospectus Requirements
V-1.1, r. 15
Regulation 43-101 respecting Standards of Disclosure for Mineral Projects
V-1.1, r. 16
Regulation 44-101 respecting Short Form Prospectus Distributions
V-1.1, r. 17
Regulation 44-102 respecting Shelf Distributions
V-1.1, r. 18
Regulation 44-103 respecting Post-Receipt Pricing
V-1.1, r. 19
Regulation 45-101 respecting Rights Offerings
V-1.1, r. 20
Regulation 45-102 respecting Resale of Securities
V-1.1, r. 21
Regulation 45-106 respecting Prospectus Exemptions
V-1.1, r. 22
National Policy 46-201: Escrow for Initial Public Offerings
V-1.1, r. 23
Regulation 51-101 respecting Standards of Disclosure for Oil and Gas Activities
V-1.1, r. 24
Regulation 51-102 respecting Continuous Disclosure Obligations
V-1.1, r. 24.1
Regulation 51-105 respecting issuers quoted in the u.s. over-the-counter markets
V-1.1, r. 25
Regulation 52-107 respecting Acceptable Accounting Principles and Auditing standards
V-1.1, r. 26
Regulation 52-108 respecting Auditor Oversight
V-1.1, r. 27
Regulation 52-109 respecting Certification of Disclosure in Issuers’ Annual and Interim Filings
V-1.1, r. 28
Regulation 52-110 respecting Audit Committees
V-1.1, r. 29
Regulation 54-101 respecting Communication with Beneficial Owners of Securities of a Reporting Issuer
V-1.1, r. 30
National Instrument 55-102: System for Electronic Disclosure by Insiders (SEDI)
V-1.1, r. 31
Regulation 55-104 respecting Insider Reporting Requirements and Exemptions
V-1.1, r. 32
Regulation 58-101 respecting Disclosure of Corporate Governance Practices
V-1.1, r. 33
Regulation 61-101 respecting Protection of Minority Security Holders in Special Transactions
V-1.1, r. 34
Regulation 62-103 respecting the Early Warning System and Related Take-Over Bid and Insider Reporting Issues
V-1.1, r. 35
Regulation 62-104 respecting Take-Over Bids and Issuer Bids
V-1.1, r. 36
National Instrument 71-101: the Multijurisdictional Disclosure System
V-1.1, r. 37
Regulation 71-102 respecting Continuous Disclosure and Other Exemptions relating to Foreign Issuers
V-1.1, r. 38
Regulation 81-101 respecting Mutual Fund Prospectus Disclosure
V-1.1, r. 39
Regulation 81-102 respecting Investment Funds
V-1.1, r. 40
Regulation 81-104 respecting Alternative Mutual Funds
V-1.1, r. 41
Regulation 81-105 respecting Mutual Fund Sales Practices
V-1.1, r. 42
Regulation 81-106 respecting Investment Fund Continuous Disclosure
V-1.1, r. 43
Regulation 81-107 respecting Independent Review Committee for Investment Funds
V-1.1, r. 44
Regulation No. 15 respecting Conditions Precedent to Acceptance of Scholarship or Educational Plan Prospectuses
V-1.1, r. 45
Regulation No. 29 respecting Mutual Funds Investing in Mortgages
V-1.1, r. 46
Regulation respecting Development Capital Investment Fund Continuous Disclosure
V-1.1, r. 47
Policy Statement Q-7: Securities Rating Agencies
V-1.1, r. 48
Regulation Q-17 respecting Restricted Shares
V-1.1, r. 49
Policy Statement Q-22: Disclosure document for commodity futures contracts, for options traded on a recognized market and for exchange-traded commodity futures options
V-1.1, r. 50
Securities Regulation
Full text
Current Version
Detailled Table of Contents
Updated to 14 June 2013
TITLE
I
GENERAL PROVISIONS
CHAPTER
I
SCOPE
CHAPTER
II
INTERPRETATION
TITLE
II
DISTRIBUTION OF SECURITIES TO THE PUBLIC
CHAPTER
I
DISTRIBUTION OF SECURITIES
DIVISION
I
PROSPECTUS
DIVISION
II
SIMPLIFIED PROSPECTUS
DIVISION
III
PRELIMINARY PROSPECTUS
DIVISION
III.1
Repealed, 2001, c. 38, s. 10.
DIVISION
IV
AMENDMENT TO THE PROSPECTUS
DIVISION
V
SENDING OF PROSPECTUS, RIGHT OF RESCISSION AND DISTRIBUTION PROCESS
DIVISION
VI
Heading repealed, 2009, c. 25, s. 7.
CHAPTER
II
EXEMPTIONS
DIVISION
I
EXEMPTIONS DUE TO THE NATURE OF THE SECURITIES
DIVISION
II
EXEMPTIONS DUE TO THE NATURE OF THE DISTRIBUTION
DIVISION
III
Repealed, 2004, c. 37, s. 8.
CHAPTER
III
SPECIAL REGULATORY SCHEMES
TITLE
III
DISCLOSURE REQUIREMENTS
CHAPTER
I
REPORTING ISSUER
CHAPTER
II
CONTINUOUS DISCLOSURE AND GOVERNANCE
CHAPTER
III
Heading repealed, 2006, c. 50, s. 34.
CHAPTER
IV
INSIDER REPORTS
CHAPTER
V
Repealed, 2006, c. 50, s. 39.
TITLE
III.1
INVESTMENT FUNDS
TITLE
IV
TAKE-OVER BIDS AND ISSUER BIDS
TITLE
V
REGISTRATION
CHAPTER
I
GENERAL PROVISIONS
CHAPTER
II
Repealed, 2006, c. 50, s. 45.
CHAPTER
III
INFORMATION TO BE FURNISHED TO THE AUTHORITY
CHAPTER
IV
OBLIGATIONS OF REGISTRANTS
CHAPTER
V
Repealed, 2006, c. 50, s. 48.
TITLE
VI
SELF-REGULATORY ORGANIZATIONS, SECURITIES EXCHANGE OR CLEARING ACTIVITIES AND CREDIT RATING ORGANIZATIONS
TITLE
VII
PROHIBITIONS AND PENALTIES
CHAPTER
I
USE OF PRIVILEGED INFORMATION AND MISCELLANEOUS PROHIBITIONS
CHAPTER
II
OFFENCES
CHAPTER
III
PENAL PROVISIONS
TITLE
VIII
CIVIL ACTIONS
CHAPTER
I
TRANSACTIONS EFFECTED WITHOUT A PROSPECTUS OR CIRCULAR
CHAPTER
II
MISREPRESENTATION
DIVISION
I
PRIMARY MARKET AND TAKE-OVER OR ISSUER BIDS
DIVISION
II
SECONDARY MARKET
§
1
Scope and interpretation
§
2
Actions for damages and burden of proof
I
Prior authorization and other general conditions
II
Persons liable to action
III
Plaintiff’s burden of proof
IV
Defendant’s burden of proof
§
3
Assessment of damages and apportionment of liability
CHAPTER
III
USE OF PRIVILEGED INFORMATION
CHAPTER
III.1
IRREGULAR TAKE-OVER BIDS OR ISSUER BIDS
CHAPTER
IV
PRESCRIPTION AND MISCELLANEOUS PROVISIONS
TITLE
IX
ENFORCEMENT
CHAPTER
I
POWERS OF INVESTIGATION
CHAPTER
II
CONSERVATORY MEASURES
DIVISION
I
FREEZE ORDERS
DIVISION
II
Repealed, 2008, c. 7, s. 158.
DIVISION
II.1
PUBLIC INTEREST MEASURES AND REMEDIAL POWERS
CHAPTER
III
OTHER POWERS OF THE AUTHORITY AND THE BUREAU DE DÉCISION ET DE RÉVISION
TITLE
X
ADMINISTRATION OF THE ACT
CHAPTER
I
GENERAL PROVISIONS
CHAPTER
II
INTERJURISDICTIONAL COOPERATION
DIVISION
I
DELEGATION OF AUTHORITY
DIVISION
II
MUTUAL RECOGNITION AND INCORPORATION BY REFERENCE
DIVISION
III
GENERAL PROVISIONS
CHAPTER
III
CONTROL EXERCISED BY THE AUTHORITY
CHAPTER
IV
RULES APPLICABLE TO DECISIONS OF THE AUTHORITY
CHAPTER
V
RULES APPLICABLE TO HEARINGS AND DECISIONS OF THE BUREAU DE DÉCISION ET DE RÉVISION
CHAPTER
VI
Heading repealed, 2009, c. 58, s. 136.
CHAPTER
VII
FINANCIAL PROVISIONS
TITLE
XI
REGULATIONS AND TRANSITIONAL AND FINAL PROVISIONS
CHAPTER
I
REGULATIONS
CHAPTER
II
TRANSITIONAL AND FINAL PROVISIONS
REPEAL SCHEDULES
0
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