Private Issuer Exemption: Everything You Need to Know
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Are you an entrepreneur looking to raise funds for your startup? Or a professional seeking to understand the Private Issuer Exemption in Canada? In this episode of the Private Capital Markets , host Brian Koscak, Vice Chair of the Private Capital Markets Association of Canada and a corporate securities lawyer, breaks down Section 2.4 of National Instrument 45-106 Prospectus Exemptions involving the Private Issuer Exemption.
Discover what it means to be a "private issuer" and learn about the prospectus requirement in Canadian securities law. Brian explains the eight categories of prescribed investors who can participate under the Private Issuer Exemption, sharing memorable stories to illustrate each one. From directors and officers to close personal friends and accredited investors, understand who qualifies and who doesn't.
Gain insights into the importance of accurate offering documents, the consequences of a misrepresentation, and the role of subscription agreements. Brian also discusses the impact of exceeding the 50-person investor limit and the responsibilities of those relying on the Private Issuer Exemption.
Whether you're an entrepreneur, lawyer, compliance officer, or accountant, this episode provides valuable information to help you navigate the world of capital raising in a legally compliant manner. Tune in to unlock the secrets of the Private Issuer Exemption and take your fundraising efforts to the next level!
Note: This podcast is for educational purposes only and does not constitute legal advice. Please consult a corporate or securities lawyer for guidance specific to your situation.
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