Practice includes securities regulation and corporate finance matters, with a focus on domestic and cross-border securities offerings. Has been involved in a wide range of public equity and debt offerings, private placements and M&A transactions, with a particular emphasis on structured products. Also advises Canadian issuers and securities industry participants on various regulatory compliance matters, including listings, governance and disclosure issues and regulation of market participants in Canada. Served as Adjunct Professor at the University of Toronto Law School, teaching the upper year securities regulation course, and has spoken on securities regulatory issues at a number of conferences. A member of the Securities Law Subcommittee, Ontario Bar Association. Ontario Bar, 1994. LLB, 1992, Osgoode Hall Law School, York University. BA, 1989, Queen's University.