About Jonathan
Jonathan Wansbrough: Experienced Securities Litigation and Regulatory Enforcement Attorney in Toronto, Ontario, Canada
Jonathan Wansbrough is a seasoned attorney with expertise in securities litigation, regulatory enforcement, and director and officer liability matters. With his comprehensive experience and deep understanding of compliance, corporate governance, and regulatory issues, Jonathan provides strategic counsel to clients facing complex legal challenges.
Practice Areas
- Securities Litigation
- Regulatory Enforcement
- Director and Officer Liability Matters
- Internal Investigations
- Foreign Corruption
- Corporate Compliance
- Corporate Governance
- Regulatory Issues
- Commercial Litigation
- Shareholder Disputes
- Contested Transactions (Proxy Contests and Takeover Bids)
- Sector Actions
Educational Background
Jonathan earned his Juris Doctor from Osgoode Hall Law School in Toronto, Ontario. He is a highly respected member of the legal community.
Awards and Recognitions
In 2024, Jonathan was recognized as an Experienced Securities Lawyer by Best Attorney USA. This recognition underscores his deep understanding of securities law and regulatory compliance matters.
Recognized Since: 2024
Bars Admissions
- Ontario (Law Society of Upper Canada)
Firms
Jonathan has worked as a legal counsel at Fasken, one of Canada's leading financial institutions. His extensive experience with the Capital Markets Tribunal and his insights into policy and procedural initiatives have made him an invaluable resource for clients.
In 2019, Jonathan was appointed to a second three-year term on the Ontario Securities Commission’s Securities Proceedings Advisory Committee. This prestigious position allows him to provide valuable advice and expertise related to regulatory proceedings and market integrity issues.
Affiliations
- Ontario Law Association (member)
- Canadian Bar Association (member)
Languages
Jonathan Wansbrough is fluent in English and has a working knowledge of French.
Jonathan’s litigation practice focuses on securities litigation, regulatory enforcement, and director and officer liability matters. He represents issuers, investment dealers, individual registrants, and other market participants in securities regulatory investigations and enforcement proceedings. Jonathan frequently advises clients on internal investigations, foreign corruption, and a range of compliance, corporate governance, and regulatory issues.
Jonathan is also regularly retained for commercial matters, including shareholder disputes, contested transactions (such as proxy contests and takeover bids), and securities class actions.
Recently, Jonathan was re-appointed to a second three-year term on the Ontario Securities Commission's Securities Proceedings Advisory Committee. In this role, he provides insights and advice on various policy and procedural initiatives related to proceedings before the Capital Markets Tribunal.
Jonathan regularly writes and presents on securities regulation and litigation topics. He has also completed two secondments at one of Canada’s leading financial institutions.