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Please use this identifier to cite or link to this item: http://hdl.handle.net/11375/32404
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dc.contributor.advisorPorter, Tony-
dc.contributor.authorPorter, Mackenzie-
dc.date.accessioned2025-09-24T19:28:01Z-
dc.date.available2025-09-24T19:28:01Z-
dc.date.issued2025-
dc.identifier.urihttp://hdl.handle.net/11375/32404-
dc.description.abstractThis dissertation contends that in pursuit of profits, Canada’s privacy regime relies on quasi-self-regulation, non-prescriptive principles, and weak limitations on the collection, use, and disclosure of personal information—all of which permits and encourages the monetization of personal information by data brokers. As the government seeks to promote innovation and economic growth, commercial interests have been placed ahead of consumer privacy. The prioritization of profits over privacy, coupled with the Canadian Government’s limited knowledge of data brokers, exacerbates the insufficient regulation of data brokers in Canada and minimizes the need for these firms to exercise their business power to advance their interests. To advance this argument, this dissertation establishes a unique theoretical framework that lays the foundation to examine and explain the monetization of Canadian personal information by data brokers. Additionally, this dissertation employs a qualitative methodological approach that combines elite interviews, House Standing Committee testimony and an analysis of lobbying data. This dissertation makes four key contributions to knowledge. First, by focusing on data brokers in Canada, this dissertation expands the literature on privacy, Big Data, and business power to an issue area and country that have received inadequate scholarly attention. With the novel digital age data broker typology and a Data Brokers in Canada List, this dissertation has provided empirical insights into an industry that is notoriously opaque. Second, it identifies three features of Canada’s privacy regime that enable traditional and digital age data brokers to monetize personal information. Third, this thesis identifies five avenues of influence through which data brokers can, but largely do not, exercise their business power. Together, these avenues were utilized to diagnose a very weak degree of regulatory capture by data brokers. Lastly, this dissertation contributes to the understanding of regulation as a tool to mitigate harms and to promote innovation and highlights how capture theory inadvertently excludes implicit forms of capture that are still hazardous.en_US
dc.language.isoenen_US
dc.subjectPrivacy, Data Privacy, Data Brokers, Canadaen_US
dc.titleProfits Over Privacy: Investigating the Under-Regulated Business Practices of the Global Data Brokerage Industry in Canadaen_US
dc.typeThesisen_US
dc.contributor.departmentPolitical Scienceen_US
dc.description.degreetypeDissertationen_US
dc.description.degreeDoctor of Philosophy (PhD)en_US
dc.description.layabstractThis dissertation sheds light on the global data broker industry and the ability of these firms to collect, buy, lease and/or sell Canadian personal information despite federal and provincial privacy laws. To explain the under-regulation of this industry, this dissertation identifies ways in which data brokers in this industry can use their power as businesses to shape, redirect or weaken privacy laws and regulations. However, this dissertation concludes that the under-regulation is due to a capitalist system that privileges commercial interests and the Government of Canada’s limited knowledge of this industry. To help consumers better understand this industry, the firms that comprise it and their business practices, this dissertation offers a unique categorization of data brokers and a list of data brokers that are operating in Canada. To better protect personal information, gaps in Canadian privacy laws are identified and a new approach for regulating data brokers is presented.en_US
Appears in Collections:Open Access Dissertations and Theses

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