Partner in the firm’s Business Law Group. His practice focuses mainly on securities, corporate finance, regulation of insurance companies and financial institutions, mergers & acquisitions, and corporate governance. He acts as counsel to issuers and underwriters in various public offerings (including IPOs), private placements; assists financial institutions and insurance companies in the context of various transactions and regulatory questions; and advises a number of Canadian public companies on continuous disclosure obligations and governance issues. He also helps start-ups with legal questions related to their growth. In the area of mergers & acquisitions, he participates in significant transactions, acting for both buyers and sellers of public and private companies, including takeover bids and going-private transactions of publicly listed issuers, and acts as counsel to independent committees in connection with various transactions. Called to the Québec Bar in 2008.