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Practice Profile
Securities
Newsletters
01/16/2012
New Conspiracy Provisions Claim First Victims
12/15/2011
Investment Canada Act
Undertakings Cast in Steel
12/01/2011
Proposed Changes to Canadian Rules for Marketing Public Offerings
08/24/2011
Amendments to Executive Compensation Disclosure Requirements
07/22/2011
Department of Finance Announces Changes to the Tax Treatment of Stapled Securities
05/27/2011
Securities Litigation Group e-LERT - Supreme Court Lays Out Clear Disclosure Obligations for Public Issuers
04/08/2011
Securities Litigation Group e-LERT - Good News for Issuers: Court Holds Firm on Limitation Period for Prospectus Misrepresentation
03/21/2011
Securities Litigation Group e-LERT - Another Class Action Certified Against Issuer for Misrepresentations
03/11/2011
Securities Litigation Group e-LERT - TSX Listed Company Completes Private Placement Investment in the Face of Shareholder Requisition to Replace Incumbent Board of Directors
03/04/2011
Securities Litigation Group e-LERT - Cassels Brock Updates Law Pertaining to Invalidity of Shareholder Requisition to Remove Incumbent Board of Directors
02/25/2011
Securities Group e-LERT - Public Companies’ Increased Exposure to the Secondary Market
01/26/2011
Securities Litigation Group e-LERT - Don’t hold back: Proxyholders’ Discretion Not Fettered by Instructions to “WITHHOLD” (January 2011)
10/28/2010
Securities e-LERT: First Quarter Extension Granted for Transition to IFRS
08/19/2010
Securities e-LERT: Canadian Securities Administrators Release Continuous Disclosure Review Results
07/07/2010
Proposed Amendments to NI 43-101
Standards of Disclosure for Mineral Projects
06/28/2010
Unconventional Wisdom and the Canadian Securities Market
04/19/2010
The CSA Offers Guidance on Compliance with Forward-Looking Information Requirements
04/14/2010
OSC Urges Issuers to Provide Better IFRS Disclosure
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