Securities Litigation
The lawyers at Rueter Scargall Bennett LLP have a wealth of experience in litigation matters involving securities law.
Our lawyers have special expertise in regulatory matters and have appeared on many high profile securities matters at the Ontario Securities Commission, as well as other regulatory bodies and at all levels of the courts.
We advise our clients on best practices to avoid or manage litigation and enforcement proceedings.
Our lawyers have acted in matters involving shareholder agreements, investor disputes, derivative and oppression remedy matters. They also have represented corporations, brokers and dealers, and individuals before the OSC on enforcement matters, including insider trading, cease-trade orders and applications, deceptive practices and non-disclosure issues.
Our lawyers regularly advise clients on matters involving the Mutual Fund Dealers' Association (MFDA), the Investment Dealers' Association (IDA), the Financial Services Commission of Ontario (FSCO), as well as other financial regulatory bodies.
For further information, please contact:
Janice Wright
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