Matthew is the Co-Head of the Corporate Governance Practice in Toronto. He represents clients in a wide variety of capital markets transactions and securities regulatory matters. He has acted for issuers and underwriters in initial public offerings and other Canadian and cross-border public offerings of equity and debt. He also has expertise in advising public issuers and their boards on various matters, including with respect to: governance, compensation and disclosure; normal course, program share repurchase and substantial issuer bids; and dual-class share structures. Matthew is a member of the Ontario Securities Commission Continuous Disclosure Advisory Committee.