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Canada Deposit Insurance Corporation Act

Version of section 45.2 from 2022-04-30 to 2024-06-19:


Marginal note:Confidentiality

  •  (1) All information regarding the affairs of a federal institution, provincial institution or local cooperative credit society, or of any person dealing with one, that is obtained or produced by or for the Corporation is confidential and shall be treated accordingly.

  • Marginal note:Information to Governor of the Bank of Canada

    (1.1) The Corporation may, if it is satisfied that the information will be treated as confidential by the Governor of the Bank of Canada or any officer of the Bank of Canada authorized in writing by the Governor of the Bank of Canada, disclose any information referred to in subsection (1) to the Governor or the designated officer for the purpose of carrying out the Bank of Canada’s objects under the Retail Payment Activities Act or, in relation to any provisions of that Act that are not in force, for the purpose of planning to carry out those objects.

  • Marginal note:Information from the Superintendent

    (2) The Corporation may, if it is satisfied that the information will be treated as confidential by the recipient and after consultation with the Superintendent, disclose any information obtained from the Superintendent regarding the affairs of a federal member institution

    • (a) to any government agency or body that regulates or supervises financial institutions, for purposes related to that regulation or supervision;

    • (b) to any other agency or body that regulates or supervises financial institutions, for purposes related to that regulation or supervision; or

    • (c) to any deposit insurer or any compensation association for purposes related to its operation.

  • Marginal note:Information respecting nominee brokers

    (3) The Corporation may, if it is satisfied that the information will be treated as confidential by the recipient, disclose information that is obtained by it — or is produced by or for it — respecting the non-compliance of a nominee broker with section 7 of the schedule to

    • (a) any government agency or body that regulates or supervises nominee brokers, for purposes related to that regulation or supervision; or

    • (b) any other agency or body that regulates or supervises nominee brokers, for purposes related to that regulation or supervision.

  • Marginal note:Making information public

    (4) Despite subsection (1), for the purpose of protecting the interests and rights of beneficiaries of nominee broker deposits, the Corporation may make information referred to in subsection (3) available to the public in a manner that it considers advisable.

  • R.S., 1985, c. 18 (3rd Supp.), s. 68
  • 1996, c. 6, s. 43
  • 2001, c. 9, s. 214
  • 2010, c. 12, s. 2104
  • 2012, c. 5, ss. 203, 223
  • 2018, c. 12, s. 207
  • 2021, c. 23, s. 178

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