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Affleck Greene McMurtry LLP
365 Bay Street, Suite 200  ·  Toronto, Canada
416 360 2800  ·  info@agmlawyers.com

mutual fund dealer

MFDA panel finds that branch manager might have duty to monitor non-registrants at branch

May 10th, 2012 | By Kenneth Dekker | Posted in Broker/Dealer litigation, Securities Litigation

The self regulatory organization for mutual fund dealers, the Mutual Fund Dealers Association of Canada ("MFDA"), made an interesting decision on May 8, 2012 on a motion by a branch manager to strike out a regulatory proceeding arising from allegations that he failed to adequately monitor and report the wrongful activities of an insurance salesperson [...]

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Statements to Securities Commission are protected by absolute privilege

December 2nd, 2009 | By Kenneth Dekker | Posted in Attacks on Reputation, Commercial Litigation, Securities Litigation

In his decision this Fall in Fraleigh v. RBC Dominion Securities, Ontario Superior Court Justice Newbould summarily dismissed an action brought by John Fraleigh against RBC Dominion Securities and one of its employees. The action was brought for allegedly false statements and testimony given before the Ontario Securities Commission claiming unusual trading activity in his RBC trading accounts – information that was later published in media reports. In dismissing Fraleigh’s action, Justice Newbould found that the claim arose entirely from testimony and other related communications to the OSC; communications that are protected by absolute privilege.

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365 Bay Street, Suite 200  ·  Toronto, Canada
416 360 2800  ·  
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