Our securities team consists of: BRYCE W. MORRISON.
BOYNECLARKE's Securities Law Team has acted for a number of issuers, underwriters/agents and other market participants with respect to corporate finance matters, mergers and acquisitions, corporate governance, regulatory matters and securities litigation, including the following:

  • Advising on all aspects of equity and debt offerings (including private placements and public offerings), as well as acquisition and divestiture transactions involving public companies
  • Securities regulatory compliance matters
  • Advising on offerings involving the Nova Scotia Equity Tax Credit Program, the Community Economic Development Corporation Program, and Labour-Sponsored Venture Capital Corporations
  • Advising boards regarding corporate governance compliance and directors’ liability matters
  • Advising registrants on regulatory compliance matters
  • Exemption applications to securities regulators in all Canadian provinces


  • BOYNECLARKE has provided expertise in corporate finance/securities transactions in a number of industries, including mining/natural resources, pharmaceuticals, information technology, real estate, biotechnology, energy, financial services, and food and beverage.

    Expertise within BOYNECLARKE's Securities Law Team includes:
    [LIST]
  • Lecturer in Commercial Law, Nova Scotia Barristers Society Bar Admission Course (past)
  • Member of the Special Reimbursement Fund Committee of Nova Scotia Barristers Society (past)
  • Paper—“Secured Transactions in Commercial Law”, forming part of the Nova Scotia Barristers Society Bar Admission materials