Securities Litigation

Publications

19.10.17

Supreme Court of Canada Affirms Test for Personal Liability of a Director for Oppressive Conduct
BD&P Securities Newsletter
Payton Holliss, Student-at-Law

20.07.17

Alberta Securities Commission weighs in on the use of soliciting dealer fees in proxy contests
BD&P Client Bulletin - July 2017

12.09.13

The Use of Circumstantial Evidence in Enforcement Cases before Securities Commissions: Two Perspectives
Presented at the Advocates' Society's Third Annual Securities Symposium
Andrew Sunter, Joanne Luu and Andrew Wilson

01.09.12

Confidentiality Agreements: To Include a Standstill or Not?
BD&P Securities Newsletter - September 2012
Ted Brown and Sylvie Welsh

01.09.12

Insider Trading: Tread Cautiously
BD&P Securities Newsletter - September 2012
Ted Brown and Ravina Mann

01.03.09

Non Disclosure Agreements Prevent Hostile Take-Over
BD&P Securities Newsletter - March 2009
Kent Breedlove

01.03.09

New Toronto Stock Exchange Rules with Respect to SPACS
BD&P Securities Newsletter - March 2009
Bruce Allford, Ted Brown and Shawn Poirier

30.01.07

Securities Commissions as an Antidote to Poison Pills: Xstrata’s Bid for Falconbridge
Osgoode Professional Development Centre's Canadian Securities Law Update
Andrew Sunter and Kent E. Thomson

01.03.06

New Private Placement Rules – Harmonization at Long Last
BD&P Securities Newsletter - March 2006
John Peters, Q.C.