Alistair is considered to be one of Canada's leading securities litigation lawyers. His practice includes all aspects of litigation and advice involving the capital markets and securities industry, including investigations and enforcement hearings, regulatory policy and compliance issues, investment loss claims, corporate disputes and remedies, takeovers and contested shareholder meetings, corporate governance and directors’ and officers’ liability. He has extensive experience as counsel in Ontario Securities Commission (OSC) proceedings and has argued some of Ontario's most significant securities law cases. He represents clients in investigations and proceedings brought by the Investment Industry Regulatory Organization of Canada (IIROC), the Mutual Fund Dealers Association (MFDA), the Integrated Market Enforcement Team (IMET) and the Joint Serious Offences Team (JSOT). He has paired his securities regulatory expertise with an active civil litigation practice and has recognized expertise in advising clients and litigating corporate and commercial disputes in the courts and through arbitration. He speaks frequently on corporate and securities law issues and litigation strategy. LLB, Victoria University of Wellington (New Zealand), 1991. LLM, University of Toronto, 1993.