66 Wellington St W, Suite 5300, TD Bank Twr, Toronto, ON
Year called to bar: 1992 (ON); 2015 (BC)
Significant experience in complex cross-border commercial and securities-related litigation, often involving parallel regulatory, criminal and class action proceedings. Provides strategic advice and representation to companies and their directors/officers on allegations of corporate misconduct and has extensive experience dealing with Canadian regulatory and law enforcement agencies. Recognized for being insightful and creative, career highlights include successfully representing clients in some of Canada’s largest investigations and proceedings involving disclosure violations, insider trading, market manipulation and other fraud-related allegations, corruption and anti-bribery, shareholders’ remedies, litigation aspects of proxy contests, takeover bids and other acquisitions, corporate governance and securities class actions.