Securities Litigation

Allegations of securities violations can lead to significant financial, legal, and reputational consequences.
Addario Law Group has extensive experience defending individuals and organizations against claims brought by regulatory bodies such as the Ontario Securities Commission (OSC) and the Investment Industry Regulatory Organization of Canada (IIROC). Our team has successfully defended clients facing serious allegations, including insider trading and securities fraud, protecting our clients' rights and interests throughout the legal process.
Executives & Board Members
Defending against allegations of insider trading, fraud, and other securities violations that could impact their careers and reputations.

Financial Professionals
Representing brokers, advisors, and other industry professionals facing regulatory scrutiny or enforcement actions for alleged violations of securities laws.

Corporations & Institutions, Investors & Shareholders
Assisting companies and their leadership in navigating complex regulatory investigations and defending against allegations of financial misconduct or non-compliance with the Securities Act. We also represent investors and shareholders accused of engaging in unlawful trading practices or financial misrepresentation.

Regulators
We act for securities regulators in prosecuting challenging cases and advise on complex issues.

We provide defence services for a wide range of clients involved in securities litigation.