Overview
Alexandra is an associate in a business law group at Goodmans. She has a general practice in corporate and securities law.
Alex advises private and public clients in a variety of transactions, including equity and debt financings and mergers and acquisitions. Alex regularly assists reporting issuers with public disclosure and security law requirements, as well as various clients with corporate governance and corporate law requirements.
Featured Work
Alexandra's representative work includes acting for:
- Alex completed a secondment at the Office of Mergers and Acquisitions of the Ontario Securities Commission in 2024, where she helped in the review and consideration of various conflict of interest and issuer bid transaction matters
- Onex Corporation in connection with WestJet’s acquisition of Sunwing Vacations and Sunwing Airlines
- Clairvest Group Inc. and its managed funds in its acquisition of a stake in Rogers Insurance Ltd. and CapriCMW Insurance Services Ltd. and in Mountain Land Partners, LLC
- Aegis Brands Inc. in its sale of substantially all of the assets comprising its specialty coffee brand “Second Cup Coffee Co.” to an affiliate of Montreal-based Foodtastic Inc.
- Canaccord Genuity Growth II Corp. in its qualifying transaction effected by way of a merger transaction with Taiga Motors Inc. and concurrent private placement of approximately $100 million.
- Docebo Inc. in its U.S. initial public offering on the Nasdaq of an aggregate of 3,000,000 common shares for gross proceeds of US$144,000,000
- Docebo Inc. in a number of treasury and seconding offerings of common shares
- Northwest Healthcare Properties Real Estate Investment Trust in a treasury offering of 12,500,500 units for gross proceeds of $172,506,900
- Park Lawn Corporation in its bought deal offering of 5.75% listed senior unsecured debentures for gross proceeds of $86,250,000
- Inovalis REIT in its bought deal offering of 4,225,400 units for gross proceeds of $45,000,510
- Sienna Senior Living in its private placements of senior unsecured debentures
- Dye & Durham Limited in its public offering of 4,107,000 common shares for gross proceeds of $175,574,250 and a number of substantial issuer bids
- Issuers in connection with ongoing securities compliance and corporate governance matters, including Docebo Inc., Northwest Healthcare Properties Real Estate Investment Trust and Ceridian HCM Holding Inc.
Credentials
Credentials
- Osgoode Hall Law School, J.D., 2018
- University of Guelph, Gordon S. Lang School of Business and Economics, B.Comm., 2013, with Honours
Professional Affiliations
- Law Society of Ontario
Call to Bar
- 2019 Ontario
Insights
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Capital Markets
CSA Releases Results of Tenth Gender Diversity Review
On October 30, 2024, the Canadian Securities Administrators (CSA) released CSA Multilateral Staff Notice 58-317 – Review of Disclosure Regarding Women on Boards and in Executive Officer Positions… -
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British Columbia Securities Commission Provides Guidance on Early Warning and Joint Actor Rules in Proxy Solicitations
Prompt, robust and wide dissemination of material information is a central tenet of Canadian securities laws. The early warning disclosure requirements contained in National Instrument… -
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CSA Releases Results of Ninth Gender Diversity Review
The Canadian Securities Administrators (CSA) recently released CSA Multilateral Staff Notice 58-316 – Review of Disclosure Regarding Women on Boards and in Executive Officer Positions, which outlines… -
Capital Markets
OSC Introduces Self-Certified Investor Prospectus Exemption
OverviewThe Ontario Securities Commission (OSC) has adopted a new prospectus exemption (the “Self-Certified Investor Prospectus Exemption”) applicable to prospective investors that meet certain… -
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Canadian Securities Administrators Publish Final Rule for Disclosure of Non-GAAP and Other Financial Measures
The Canadian Securities Administrators (CSA) recently published National Instrument 52-112 – Non-GAAP and Other Financial Measures Disclosure and Companion Policy (together, “NI 52-112”). NI… -
Capital Markets
Canadian Securities Regulators Publish Guidance on Automatic Securities Disposition Plans
Canadian Securities Administrators (CSA) recently published Staff Notice 55-317 – Automatic Securities Disposition Plans (“Staff Notice 55-317”), which provides guidance to issuers and insiders on…