Government Securities Law and Policy Category 3: Registration Requirements and Related Matters Published date: November 7, 2024 Share this page CSA Instruments and Policies 31-102 National Instrument - National Registration Database as of January 13, 2014 31-102 CP Companion Policy - National Registration Database as of September 28, 2009 31-103 National Instrument - Registration Requirements, Exemptions and Ongoing Registrant Obligations as of September 13, 2023 31-103 CP Companion Policy - Registration Requirements, Exemptions and Ongoing Registrant Obligations as of June 06, 2022 31-202 MP Multilateral Policy - Registration Requirement for Investment Fund Managers as of September 28, 2012 33-105 National Intrument - Underwriting Conflicts as of September 08, 2015 33-105 CP Companion Policy - Underwriting Conflicts as of September 28, 2009 33-109 National Instrument - Registration Information as of September 13, 2023 33-109 CP Companion Policy - Registration Information as of June 06, 2022 35-101 National Instrument - Conditional Exemption from Registration for United States Broker-Dealers and Agents as of January 01, 2001 35-101 CP Companion Policy - Conditional Exemption from Registration for United States Broker-Dealers and Agents as of January 01, 2001 Local Rules and Blanket Orders 31-501 (Repeal) Prince Edward Island Rule 31-501 - Transitional Registration Requirements 31-502 (Blanket Order) (Revoked) Registration Requirements and Exemptions in connection with transition and grandfathering matters 31-503 (Blanket Order) (Revoked) Registration Requirements and Exemptions for Chief Compliance Officers of Portfolio Managers Adding a Category 31-504 (Blanket Order) (Revoked) Registration Requirements and Exemptions for Canadian Firms 31-505 (Blanket Order) (Revoked) Registration Requirements and Exemptions for Mutual Fund Dealers 31-506 (Blanket Order) (Revoked) Registration Requirements and Exemptions for Representatives of Scholarship Plan Dealers 31-507 (Blanket Order) (Revoked) Registration Requirements and Exemptions for Portfolio Managers Adding a Category 31-508 (Blanket Order) Exemption from the Registration Requirement for Trades in Short-Term Debt Instruments 31-509 (Blanket Order) Transitional relief from the requirement to provide the relationship disclosure information prescribed by section 14.2(1) of NI 31-103 for IIROC member firms 31-510 (Blanket Order) Transitional relief from the requirement to provide the relationship disclosure information prescribed by section 14.2(1) of NI 31-103 for MFDA member firms 31-511 (Blanket Order) Exemption from the Registration Requirement for Trades in Short-Term Debt Instruments 31-512 (Blanket Order) Transitional relief from the requirement to provide the relationship disclosure information prescribed by section 14.2(1) of NI 31-103 for IIROC member firms 31-513 (Blanket Order) Transitional relief from the requirement to provide the relationship disclosure information prescribed by section 14.2(1) of NI 31-103 for MFDA member firms 31-514 (Blanket Order) Exemption from the Registration Requirement in NI 31-103 for International Dealers 31-515 (Blanket Order) Exemption from the Registration Requirement in NI 31-103 for International Advisors 31-516 (Blanket Order) Exemption from the Requirement to Register as an Investment Fund Manager 31-517 (Blanket Order) Exemption from the Requirement to Provide Dispute Resolution Services Prescribed by Section 13.16 of NI 31-103 31-518 (Blanket Order) IIROC 2014 CRM2 Amendments 31-519 (Blanket Order) MFDA 2014 CRM2 Amendments 31-520 (Blanket Order) Exemptions from Certain CRM2 Provisions of National Instrument 31-103 Registration Requirements, Exemptions and Ongoing Registrant Obligations 31-521 (Blanket Order) In the Matter of Temporary Exemption from Certain Financial Statement and Information Delivery Requirements for Registrants and Unregistered Capital Market Participants 31-522 (Blanket Order) In The Matter of Relief In Respect of Client Focused Reforms 31-523 (Blanket Order) In The Matter of Relief In Respect of Client Focused Reforms Conflict of Interest Provisions of National Instrument 31-103 Registration Requirements, Exemptions And Ongoing Registrant Obligations 31-524 (Blanket Order) In the Matter of Temporary Exemption from Certain Financial Statement and Information Delivery Requirements for Registrants and Unregistered Capital Market Participants (No. 2) 31-525 (Local Rule) Conditions of Registration - Approved Compensation and Contingency 31-801, 31-801 (Repeal) Prince Edward Island Rule 31-801 - Requirements Under the National Registration System 31-802, 31-802 (Amendment), 31-802 (Amendment) Prince Edward Island Rule 31-802 - National Registration Database 31-803, 31-803 (Amendment - New Title: Registration Requirements and Exemptions and Ongoing Registrant Obligations), 31-803 (Amendment), 31-803 (Amendment) Prince Edward Island Rule 31-803 - Registration Requirements and Exemptions 31-930 (CSA Coordinated Blanket Order) Exemption to Allow Exempt Market Dealer Participation in Selling Groups in Offerings of Securities Under a Prospectus 32-501 (Blanket Order) Prince Edward Island Rule 32-501 - Exemption from the dealer registration requirement and the adviser registration requirement in respect of trades and advice for U.S. resident clients 33-501, 33-501 (Repeal) Prince Edward Island Rule 33-501 - Permanent Registration 33-502 Prince Edward Island Rule 33-502 - Disclosure of Sales Charges 33-503 (Blanket Order) In the Matter of Calls to Residences by Registrants - Cold Calling 33-504 (Blanket Order) In the Matter of Registration Exemption Enabling a Corporation of an Individual Registrant of a Mutual Fund Dealer or Investment Dealer to Receive Directed Sales Commissions or Fees 33-802, 33-802 (Repeal) Prince Edward Island Rule 33-802 - Regulation of Certain Registrant Activities 33-805, 33-805 (Amendment), 33-805 (Amendment), 33-805 (Amendment) Prince Edward Island Rule 33-805 - Underwriting Conflicts 33-809, 33-809 (Amendment), 33-809 (Amendment), 33-809 (Amendment) Prince Edward Island Rule 33-809 - Registration Information 35-801 Prince Edward Island Rule 35-801 - Conditional Exemption from Registration for United States Broker-Dealers and Agents General Inquiries Financial and Consumer Services Division 1st Floor, Shaw Building (North Entrance) 105 Rochford Street PO Box 2000 Charlottetown, PE C1A 7N8 Phone: 902-368-4550 Fax: 902-368-5283 ccs@gov.pe.ca