7.8 Restrictions on Trading During a Securities Exchange Take‑over Bid – Repealed

    There are no related Guidance/Notice documents available for this Rule.

    Regulatory History:

    Effective February 25, 2005, the applicable securities commissions approved an amendment to repeal section 7.8 effective May 9, 2005. See Market Integrity Notice 2005‑007“Amendments Respecting Trading During Certain Securities Transactions” (March 4, 2005)

    There is no history log for this rule.
    Part 1 - Definitions and Interpretation
    Part 2 - Abusive Trading
    Part 3 - Short Selling
    Part 4 - Frontrunning
    Part 5 - Best Execution Obligation
    Part 6 - Order Entry and Exposure
    Part 7 - Trading in a Marketplace
    Part 8 - Principal Trading
    Part 9 - Trading Halts, Delays and Suspensions
    Part 10 - Compliance
    Part 11 - Administration of UMIR