Groia & Company Professional Corporation is a highly regarded securities litigation boutique firm in Canada, recognized for delivering exceptional legal services for over two decades. We are widely recognized for our unwavering commitment to providing creative and aggressive legal representation.
Our core strength lies in our ability to defend regulatory proceedings and prosecutions initiated by regulators, including the SEC, IIROC, the MFDA, and any of Canada’s provincial securities commissions. Our clients include lawyers, accountants, and other market professionals who require representation in disciplinary proceedings stemming from their market activities. Additionally, we are well-equipped to defend clients in white-collar criminal prosecutions.
However, our expertise extends beyond securities litigation. We offer comprehensive litigation services and represent clients in diverse areas, including claims involving stockbrokers, banks, financial institutions, and other large public companies. We provide premium legal services to clients facing shareholder disputes, wrongful dismissal claims, directors’ liability, and breaches of contract.