

Partner at Blake, Cassels & Graydon LLP
Ryan A. Morris is a highly respected lawyer specializing in securities litigation, based in Ontario. As a partner at Blake, Cassels & Graydon LLP, Ryan focuses on securities transactional disputes, securities class action defence, and securities regulatory proceedings. He has successfully litigated some of the most significant securities transactional disputes in Canada, routinely representing clients in complex and contested legal matters.
Ryan’s extensive experience includes acting on contested plan of arrangement proceedings, contested share sale transactions, oppression and fair value proceedings, proxy fights, and transactions brought before securities commissions. He is regarded as a top defence counsel on securities class actions involving financial products such as exchange traded funds, mutual funds, and syndicated mortgages.
Ryan regularly defends issuers, underwriters, directors, and officers in class actions related to prospectus misrepresentation and secondary market disclosure, including appearances before the Supreme Court of Canada. He has represented clients in enforcement proceedings before securities commissions in British Columbia, Alberta, Saskatchewan, Ontario, and Quebec.
In addition to his litigation work, Ryan advises securities brokers and dealers on regulatory compliance and is frequently engaged to assist clients involved in regulatory investigations.
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