Canadian Securities Administrators - Investor Alerts List

The Canadian Securities Administrators (CSA) issues investor alerts to help protect investors from potential fraud and risky investments. These alerts provide valuable information about various scams, misleading practices, and unregistered investment products.

Mitigate risk with our comprehensive screening solutions for your AML and sanctions compliance.
6,387 Entities in Canadian Securities Administrators - Investor Alerts List
Entity NameEntity TypeEffective DateStatus

Status Markets

CompanyNov 29, 2021active

BMG CryptoGroup Limited

CompanyMay 19, 2023active

HIVE Mining Tech Ltd

CompanyMar 29, 2023active

TLC Investments

CompanyNov 2, 2023inactive

Jets Capital

CompanyApr 29, 2022active

Capital Joy Development Limited

CompanyJul 3, 2015active

RBC Capital Markets LLC no relation to the registered firm RBC Capital Markets LLC

CompanyFeb 15, 2024active

Traders Global Group Incorporated

CompanyAug 7, 2013inactive

Magellan Trading Group International

CompanyJan 27, 2015active

Apex Financial

CompanyMar 5, 2024active

FAQs

Why is compliance with Canadian Securities Administrators - Investor Alerts necessary?

Complying with Canadian Securities Administrators (CSA) investor alerts is crucial for maintaining the integrity and reliability of our financial markets. These alerts provide essential information to help investors make informed decisions and avoid scams or risky investments. By staying updated on these alerts, compliance professionals can protect both their organization and clients from falling prey to fraudulent schemes or regulatory violations.

Which companies should comply with Canadian Securities Administrators - Investor Alerts?

Companies that operate in the financial sector, such as investment firms, brokers, and financial advisors, must comply with investor alerts issued by the Canadian Securities Administrators. These alerts help protect investors from scams and fraud. Compliance ensures that firms provide transparent information, maintain trust, and fulfill legal obligations, which ultimately supports a fair and secure investment environment.