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Practice Profile
Securities Litigation
Newsletters
04/02/2012
For Whom the Bell Tolls: Know Your Limitations
03/09/2012
Questionable Ruling Certifies Class Action Against Investment Advisors – Hoping for Appeal
03/05/2012
The Court of Appeal Enforces Limitation Period for Secondary Market Securities Class Actions
07/29/2011
Know When to Hold ‘em, Know When to Fold ‘em: Client Information You Can Be Required to Disclose to the CRA
06/07/2011
The Costly Consequences of Inadequate Supervision
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
04/01/2011
Securities Litigation Group e-LERT - Cassels Brock Successfully Obtains Rare Contempt Order, Million Dollar Restitution Award and Possible Jail Sentence for Breach of Undertaking to the Court
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
03/10/2011
Securities Litigation Group e-LERT - Alberta’s Highest Court has Ruled that Federal Securities Regulation is Unconstitutional
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)
09/23/2010
A Roadmap for Forcing a Shareholder Buy-Out or Wind-Up of a Private Company
07/14/2010
When the Regulator Comes Knocking
06/04/2010
Poison Pill Just What the Doctor Ordered for Federal Securities Regulation in Canada
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