Groia & Company Professional Corporation is one of Canada’s leading securities litigation boutique firms. Having provided the highest quality of litigation services for over twenty years, 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. In addition, we are often called upon to defend clients in white-collar criminal prosecutions.
Groia & Company is more than just a securities litigation boutique. We regularly assist clients with the full range of litigation needs, bringing and defending claims involving stockbrokers, banks, financial institutions and other major public companies. We provide premium service to clients dealing with shareholder disputes, wrongful dismissal claims, directors’ liability and breaches of contract.
Before we act for you, we will ensure that we work creatively to develop a compensation plan that works with you or your company.
Practice Areas
We excel at complex, high stakes litigation. Our firm’s legacy is built upon the principle of zealous advocacy. We insist on a standard of excellence that is only satisfied by obtaining the best possible outcome for our clients. Our practice areas include:
Shareholder Oppression Claims/Derivative Actions
Corporate Governance/Director and Officer Liability
White Collar Criminal Defence
Employment Litigation
Real Estate Litigation
Public Interest and Pro Bono Litigation
Securities Regulatory Defence
Securities Class Actions
Investment Advisors and Dealers
Insolvency Litigation
Partnership Disputes
Breach of Contract