We bring a wealth of experience and calibrated solutions to our work on securities litigation, including investor loss claims, class actions, securities regulatory and compliance matters, and matters before the Canadian securities commissions and self-regulatory organizations.
We often advise on contentious proceedings where potential exposure is significant and reputational concerns are paramount. We also work behind the scenes alongside in-house teams to conduct high-stakes internal investigations and reviews of securities matters. Regardless of our role, our involvement in the development of Canada’s securities law regime has resulted in sophisticated litigation experience which pushes boundaries and helps clients navigate and resolve their disputes. Our clients include investment dealers, market participants, investment funds, public companies and their directors and officers, and marketplaces.