Bank of Nova Scotia (NYSE: BNS) 6-K adds legal opinions to F-3 shelf
Rhea-AI Filing Summary
The Bank of Nova Scotia filed a Form 6-K as a foreign private issuer for October 2025. The filing states that this report is incorporated by reference into the Bank’s existing shelf registration statement on Form F-3 (File No. 333-282565), making it part of that registration from the filing date unless later superseded.
The document also lists legal opinion exhibits from U.S. and Canadian counsel, along with related consents, supporting the Bank’s registered securities program.
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FAQ
What is the purpose of The Bank of Nova Scotia (BNS) October 2025 Form 6-K?
The Form 6-K formally furnishes information as a foreign private issuer and is incorporated by reference into the Bank’s Form F-3 registration statement, making this report part of that securities registration from the filing date unless later superseded.
How does this Form 6-K affect The Bank of Nova Scotia’s Form F-3 registration?
The Form 6-K is deemed incorporated by reference into The Bank of Nova Scotia’s Form F-3 (File No. 333-282565). This means its contents become part of the existing shelf registration for U.S. securities offerings from the date it is filed.
Which legal opinions are included as exhibits in this BNS Form 6-K?
The filing includes an opinion from Allen Overy Shearman Sterling US LLP as U.S. counsel and an opinion from Osler, Hoskin & Harcourt LLP as Canadian counsel. These legal opinions typically address the validity of securities issued under the registration.
What consents are filed with The Bank of Nova Scotia’s October 2025 Form 6-K?
The Form 6-K lists consents from Allen Overy Shearman Sterling US LLP and Osler, Hoskin & Harcourt LLP. Each consent is tied to the respective legal opinion, allowing those opinions to be used in connection with the Bank’s Form F-3 registration statement.
Who signed The Bank of Nova Scotia’s October 2025 Form 6-K?
The Form 6-K was signed on behalf of The Bank of Nova Scotia by Agnes Varatinskaite, identified as Managing Director, Term Funding & Capital Management, confirming the filing was duly authorized under the Securities Exchange Act of 1934 requirements.