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Affleck Greene McMurtry LLP
365 Bay Street, Suite 200  ·  Toronto, Canada
416 360 2800  ·  info@agmlawyers.com

Securities Litigation

Oppression class actions now recognized in both British Columbia and Ontario

January 26th, 2011 | By Kenneth Dekker | Posted in Class Actions and Other Private Actions, Commercial Litigation, Corporate Litigation, Securities Litigation, Shareholder Litigation

In recent years, much attention has been paid to amendments to provincial Securities Acts across Canada that make it easier for shareholders to sue for misrepresentations by public companies in financial statements and other public documents…

During this period significantly less attention has been paid to whether shareholder class actions might be brought under another and potentially much broader statutory remedy: the oppression remedy under one of the provincial or federal business corporations statutes. However, this may be changing.

Originally published in The Lawyers Weekly.

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IIROC Increases mandatory arbitration award limits to $500,000

January 21st, 2011 | By Kenneth Dekker | Posted in Commercial Litigation, Securities Litigation

On January 14, 2010, the Investment Industry Regulatory Association of Canada (“IIROC”), the self regulatory organization (SRO) that regulates all investment dealers in Canada, enacted what is almost certain to be a major expansion of its 15-year-old mandatory arbitration program. In particular, IIROC has increased from $100,000 to $500,000 the upper limit on client claims that are required to be resolved through binding arbitration if the client requests it.

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BCCA strikes down non-disclosure provision of Securities Act

September 13th, 2010 | By Sandra Monardo | Posted in Commercial Litigation, Securities Litigation

In a recent B.C. Court of Appeal decision,[1] a British Columbia lawyer has successfully challenged the constitutional validity of the non-disclosure and confidentiality provisions found in the investigative powers given the B.C. Securities Commission under the B.C. Securities Act, s.148(1),as a breach of his freedom of expression under section 2 of the Charter.  Section 148(1), [...]

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The IMAX Case: Superior Court certifies first-ever Ontario shareholder class action for misrepresentations on the secondary market

February 5th, 2010 | By David N. Vaillancourt | Posted in Class Actions and Other Private Actions, Commercial Litigation, Securities Litigation

In a pair of decisions released the same day, Justice Katherine van Rensburg of the Ontario Superior Court of Justice became the first judge to consider the statutory remedy created under section 138.3 of the Ontario Securities Act (the “Act”) for shareholders of public companies who suffer damages from public company misrepresentations on the secondary securities market in documents such as annual financial statements and other public documents.

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Statements to Securities Commission are protected by absolute privilege

December 2nd, 2009 | By Kenneth Dekker | Posted in Attacks on Reputation, Commercial Litigation, Securities Litigation

In his decision this Fall in Fraleigh v. RBC Dominion Securities, Ontario Superior Court Justice Newbould summarily dismissed an action brought by John Fraleigh against RBC Dominion Securities and one of its employees. The action was brought for allegedly false statements and testimony given before the Ontario Securities Commission claiming unusual trading activity in his RBC trading accounts – information that was later published in media reports. In dismissing Fraleigh’s action, Justice Newbould found that the claim arose entirely from testimony and other related communications to the OSC; communications that are protected by absolute privilege.

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