So... YOU expect a US regulator (THE SEC) to file charges in a  U.S. Court to determine whether Canadian Banks are adhereing to Canadian Investment regulations? AND that "whistle blowers" willing to testify that Canadian Banks ARE adhering to Canadian Regulations WILL receive an AWARD from a US tribunal ONCE they levey massive fines against these Canadian Investment banks? LOL... Do you ever think about what you are writting before, during or after you actually put this "stuff" out there?Just trying to get some clarity... in between chuckles...