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Sean Boyle

Sean’s litigation practice focuses on all aspects of complex commercial disputes with an emphasis on securities litigation, mining disputes, and defending class actions. He frequently advises on compliance with domestic and international anticorruption legislation, including investigations and due diligence. Sean has extensive experience in take-over bid litigation, contested merger transactions, plans of arrangements and shareholder dissent proceedings. He regularly advises directors and officers of corporation on their duties and obligations relating to corporate governance and business disputes such as derivative actions, oppression remedies and shareholder disputes. Sean also defends clients in complex multi-jurisdictional matters before provincial securities commissions and other securities regulatory organizations throughout Canada. His experience also includes a lengthy secondment to the British Columbia Securities Commission (enforcement division). · Blake, Cassels & Graydon LLP

CanadaLitigation, Securities Litigation

About

Sean is a litigation lawyer at Blake, Cassels & Graydon LLP in Canada who focuses on complex commercial disputes, with particular emphasis on securities litigation, mining disputes and defending class actions. He advises on anticorruption compliance and investigations, takeover bid and contested merger litigation, shareholder and corporate governance disputes, and defends clients before provincial securities commissions (having been seconded to the British Columbia Securities Commission enforcement division).

Practice areas

LitigationSecurities LitigationClass ActionsCorporate / M&ACompliance & InvestigationsRegulatory & Securities RegulationMining

Office

Expertise

MiningSecurities RegulationAnticorruption InvestigationsTake-over Bids & MergersShareholder DisputesProvincial Securities Commissions and Regulatory Proceedings