Practice Areas
Glen regularly guides clients in their securities regulation and corporate finance matters, particularly in the area of domestic and cross-border securities offerings. He works with clients on a wide range of public equity and debt offerings, private placements, M&A transaction and issuer bids, with a particular emphasis on structured products and private funds.
Glen also counsels Canadian and foreign issuers and securities industry participants on regulatory compliance matters, including governance, disclosure and reporting issues and regulation of registrants and other market participants in Canada.