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Securities Disputes

  • Vecchio Longo Consulting Services Inc. v. Aphria Inc. - acting for a syndicate of underwriters in defence of a primary and secondary market misrepresentation class action concerning an issuer in the cannabis space.
  • Aimia Inc. v. Mittleman Brothers LLC – acted for a significant institutional shareholder in a proxy fight and related litigation.
  • McDonald v. Home Capital Group – represented the current and former CFOs of Home Capital in a secondary market misrepresentation class action and the related OSC investigation.
  • Gilani v. BMO Investments Inc. – represent BMO in defence of a claim for prospectus misrepresentation and breach of trust concerning trailing commissions paid from mutual funds.
  • Pozgaj v. Mackenzie Financial – represent Mackenzie in defence of a similar claim to that brought against BMO for prospectus misrepresentation and breach trust concerning trailing commissions paid from mutual funds.
  • Mancinelli v. Royal Bank – represent Deutsche Bank in numerous class actions in Ontario and Québec alleging price fixing and market manipulation related to securities benchmarks.
  • Fischer v. AIC –  represent one of the mutual fund company defendants (AIC) in the ongoing class action concerning “market-timing”, in which the plaintiffs have alleged breach of trust and breach of fiduciary duty against fund managers. BLG acts for AIC in both the Ontario and Quebec actions, and also acted in the related OSC investigation.
  • Vecchio Longo Consulting Services Inc. v. Aphria Inc. - acting for a syndicate of underwriters in defence of a primary and secondary market misrepresentation class action concerning an issuer in the cannabis space.
  • Aimia Inc. v. Mittleman Brothers LLC – acted for a significant institutional shareholder in a proxy fight and related litigation.
  • McDonald v. Home Capital Group – represented the current and former CFOs of Home Capital in a secondary market misrepresentation class action and the related OSC investigation.
  • Gilani v. BMO Investments Inc. – represent BMO in defence of a claim for prospectus misrepresentation and breach of trust concerning trailing commissions paid from mutual funds.
  • Pozgaj v. Mackenzie Financial – represent Mackenzie in defence of a similar claim to that brought against BMO for prospectus misrepresentation and breach trust concerning trailing commissions paid from mutual funds.
  • Mancinelli v. Royal Bank – represent Deutsche Bank in numerous class actions in Ontario and Québec alleging price fixing and market manipulation related to securities benchmarks.
  • Fischer v. AIC –  represent one of the mutual fund company defendants (AIC) in the ongoing class action concerning “market-timing”, in which the plaintiffs have alleged breach of trust and breach of fiduciary duty against fund managers. BLG acts for AIC in both the Ontario and Quebec actions, and also acted in the related OSC investigation.
  • Transat AT Inc. v. Group Mach Acquisition Inc – acted for the bidder in a hostile-take-over bid for Air Transat before the Québec Tribunal administratif des marchés financiers.
  • Re Aurora Cannabis – acted for the target of a hostile take-over bid in the leading case on shareholders’ rights plans under the new take-over bid regime, before the Ontario Securities Commission and the Saskatchewan Financial and Consumer Affairs Authority.
  • Re Hecla Mining – acted for the target of a hostile-take-over bid in the leading case on defensive tactics in the hostile take-over context, fielding a national team from the Toronto and Vancouver offices before a joint hearing of the Ontario and British Columbia Securities Commissions.
  • Re Hutchison – successfully defeated allegations of insider trading against a respondent in a high-profile case.
  • Re Agueci – acted for one of the respondents in a high-profile insider trading case.
  • Re Sun Life Financial Services – acted for an MFDA dealer in a regulatory proceeding concerning incentive payments to advisors.
  • Re Scotia Capital –  acted for an IIROC dealer in a regulatory proceeding concerning exempt market funds.
  • Transat AT Inc. v. Group Mach Acquisition Inc – acted for the bidder in a hostile-take-over bid for Air Transat before the Québec Tribunal administratif des marchés financiers.
  • Re Aurora Cannabis – acted for the target of a hostile take-over bid in the leading case on shareholders’ rights plans under the new take-over bid regime, before the Ontario Securities Commission and the Saskatchewan Financial and Consumer Affairs Authority.
  • Re Hecla Mining – acted for the target of a hostile-take-over bid in the leading case on defensive tactics in the hostile take-over context, fielding a national team from the Toronto and Vancouver offices before a joint hearing of the Ontario and British Columbia Securities Commissions.
  • Re Hutchison – successfully defeated allegations of insider trading against a respondent in a high-profile case.
  • Re Agueci – acted for one of the respondents in a high-profile insider trading case.
  • Re Sun Life Financial Services – acted for an MFDA dealer in a regulatory proceeding concerning incentive payments to advisors.
  • Re Scotia Capital –  acted for an IIROC dealer in a regulatory proceeding concerning exempt market funds.
  • Transat AT Inc. v. Group Mach Acquisition Inc – acted for the bidder in a hostile-take-over bid for Air Transat before the Québec Tribunal administratif des marchés financiers.
  • Re Aurora Cannabis – acted for the target of a hostile take-over bid in the leading case on shareholders’ rights plans under the new take-over bid regime, before the Ontario Securities Commission and the Saskatchewan Financial and Consumer Affairs Authority.
  • Re Hecla Mining – acted for the target of a hostile-take-over bid in the leading case on defensive tactics in the hostile take-over context, fielding a national team from the Toronto and Vancouver offices before a joint hearing of the Ontario and British Columbia Securities Commissions.
  • Re Hutchison – successfully defeated allegations of insider trading against a respondent in a high-profile case.
  • Re Agueci – acted for one of the respondents in a high-profile insider trading case.
  • Re Sun Life Financial Services – acted for an MFDA dealer in a regulatory proceeding concerning incentive payments to advisors.
  • Re Scotia Capital –  acted for an IIROC dealer in a regulatory proceeding concerning exempt market funds.
  • Transat AT Inc. v. Group Mach Acquisition Inc – acted for the bidder in a hostile-take-over bid for Air Transat before the Québec Tribunal administratif des marchés financiers.
  • Re Aurora Cannabis – acted for the target of a hostile take-over bid in the leading case on shareholders’ rights plans under the new take-over bid regime, before the Ontario Securities Commission and the Saskatchewan Financial and Consumer Affairs Authority.
  • Re Hecla Mining – acted for the target of a hostile-take-over bid in the leading case on defensive tactics in the hostile take-over context, fielding a national team from the Toronto and Vancouver offices before a joint hearing of the Ontario and British Columbia Securities Commissions.
  • Re Hutchison – successfully defeated allegations of insider trading against a respondent in a high-profile case.
  • Re Agueci – acted for one of the respondents in a high-profile insider trading case.
  • Re Sun Life Financial Services – acted for an MFDA dealer in a regulatory proceeding concerning incentive payments to advisors.
  • Re Scotia Capital –  acted for an IIROC dealer in a regulatory proceeding concerning exempt market funds.

Key Contacts

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