Christopher’s practice focuses on securities law, with an emphasis on corporate finance and Canadian securities regulation. He has advised both issuers and investment banks on a broad range of private placements and public equity and debt offerings.
Christopher also regularly advises public companies on mergers and acquisitions, corporate governance and ongoing securities regulatory and stock exchange compliance.
During law school, Christopher was a student caseworker at Queen’s Business Law Clinic. He also authored publications on equity financing in the exempt market and gave presentations on the same to students at the Smith School of Business.