Securities Litigation
Overview
We provide the full complement of domestic and—through our world-wide relationships—cross-border services, advice and representation to all participants in the capital markets, including public and private companies, registrants, compliance officers, traders, investment dealers and their managers, financial advisors, investors, shareholders, directors and officers.
With our extensive experience with the regulators and before administrative and judicial bodies, we regularly represent our clients in all aspects of civil and quasi-criminal litigation and shareholder, oppression, negligence and fraud actions before the Courts and in arbitral proceedings; as well as in investigations and administrative proceedings involving and before regulatory bodies, including the Ontario Securities Commission, the Canadian Investment Regulatory Organization (previously the Investment Industry Regulatory Organization of Canada), the Mutual Fund Dealers Association, and the Financial Services Commission of Ontario.
In providing first-class service, we understand our clients’ issues and objectives, particularly in the markets and the industries in which they operate. Equally important, we ensure that our clients fully understand the specific issues with which they, and we on their behalf, are dealing and the process in which they are involved.
Leveraging our legal knowledge and our experience in business and the capital markets, our clients receive meaningful, practical and effective counsel for them to navigate the issues and process, from onset to conclusion, and achieve their objectives.