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The Intensive Course in Canadian Securities Law and Practice

Session 1

TAB A
Agenda

TAB B
Faculty List and Biographies

TAB 1
The Regulatory Framework Across Canada: Overview and Latest Developments
Douglas Bryce,
Osler, Hoskin & Harcourt LLP

TAB 2
Corporate Governance: Best Practices for Public Companies
Sean Vanderpol,
Stikeman Elliott LLP

TAB 3
What Lawyers Need to Know About Professionalism and the Risks of Securities Practice
Heather Zordel,
Gardiner Roberts LLP

TAB 4
Notes

Session 2

TAB A
Agenda

TAB B
Faculty List and Biographies

TAB 1
Public Offerings: Key Legal, Financial and Regulatory Considerations
John Wilkin,
Blake, Cassels & Graydon LLP

TAB 2
Private Placements: Exempt Market Rules and Strategies
Keith R. Chatwin,
Stikeman Elliott LLP
Philippe Tardif, Borden Ladner Gervais LLP
Heather Zordel, Gardiner Roberts LLP

TAB 3
Privilege and Confidentiality in Canadian Securities Law
Daniel Murdoch,
Stikeman Elliott LLP

TAB 4
Notes

Session 3

TAB A
Agenda

TAB B
Faculty List and Biographies

TAB 1
Regulation of Control Transactions
Naizam Kanji,
Director, Office of Mergers and Acquisitions, Ontario Securities Commission
John Ciardullo, Stikeman Elliott LLP

TAB 2
Mergers & Acquisitions – The Essentials and Emerging Issues
Michael Partridge,
Goodmans LLP
Aaron J. Atkinson, Fasken Martineau DuMoulin LLP

TAB 3
Regulators at the Door: The Scope of Their Powers
Eliot N. Kolers,
Stikeman Elliott LLP

TAB 4
Notes

Session 4

TAB A
Agenda

TAB B
Faculty List and Biographies

TAB 1
Update on the Cooperative Capital Markets Regulatory System
Lawrence E. Ritchie,
Osler, Hoskin & Harcourt LLP

TAB 2
Registration and Investment Funds
Erez Blumberger
Chief Regulatory Counsel, AUM Law
Kimberly Poster, Chief Legal Counsel, Investment Funds, AUM Law

TAB 3
Litigation and Enforcement: Current and Future Trends
Mary Condon,
Professor, Osgoode Hall Law School, York University

TAB 4
Notes