Partner
and access,
Jason’s primary emphasis is on assisting Canadian and U.S. clients with U.S. corporate finance and mergers and acquisitions transactions. He has advised Canadian and U.S. issuers, underwriters and placement agents in connection with U.S. debt and equity offerings, including initial public offerings and other U.S. registered offerings, the use of the U.S.-Canada Multijurisdictional Disclosure System and Section 4(a)(2), Regulation D, Regulation S and Rule 144A transactions and has also acted as counsel in M&A and private equity deals. In addition, he has worked on exchange offers, consent solicitations, tender offers and “going private” transactions. Jason advises clients on U.S. corporate governance matters, assists public companies with their periodic reporting obligations under the U.S. Securities Exchange Act of 1934 and compliance with New York Stock Exchange and NASDAQ regulations.