Partner in the firm’s Toronto office. Securities practice includes take-over bids, enforcement, regulatory investigations and civil liability issues, proxy battles, corporate governance, and activist shareholder issues. Advises private and public company boards of directors. Represents securities marketplaces, investment dealers and other securities businesses on: marketplace regulation, licensing, trading rules, trading systems, compliance and new products. Co-author, Private Placements in Canada; co-editor, CCH Annotated Securities Law; Editorial Board, CCH Corporate Governance Report. Has been Adjunct Professor at four law schools. Regular speaker and writer on securities law. Admitted to the Ontario Bar in 1978.