Groia & Company Professional Corporation is one of Canada’s leading securities litigation boutique firms. Since our inception in 2000, we have established a peerless reputation for creative and tough-minded legal representation.

Best known for our work in defending regulatory proceedings and prosecutions brought by regulators (any of Canada’s provincial securities commissions as well as the SEC, IIROC and the MFDA), we are also frequently retained by lawyers, accountants, and other market professionals who must respond to disciplinary proceedings for their market activities.

We believe, however, that our firm is more than just a securities litigation boutique. We assist clients with the full range of litigation needs, including claims for and against stockbrokers; claims against banks, financial institutions and other major public companies; shareholder disputes and remedies; wrongful dismissal claims; breach of contract lawsuits; and defense of white-collar criminal prosecutions.