Securities Litigation and Shareholder Disputes

We have a diverse range of experience across various aspects of securities litigation, risk-management, enforcement and regulatory proceedings, corporate disputes for public companies, and their boards of directors and special committees.

We advise our clients and help them navigate Canada’s securities laws and regulations.

We frequently represent clients ranging from individuals to corporations of all sizes in respect of shareholder disputes, oppression remedy claims, regulatory investigations, compliance issues, derivative litigation, corporate governance issues, accounting/auditing issues, enforcement proceedings, negligence claims, security class actions, proxy battles, takeover bids, and other change of control litigation.

Our lawyers have appeared before all levels of court and regulatory tribunals, including the Ontario Securities Commission, Investment Industry Regulatory Organization of Canada, Mutual Fund Dealers Association, and a broad range of professional disciplinary tribunals