Sotos LLP Welcomes Securities Litigation Lawyer Harold Geller
Harold is a senior securities and life insurance litigation lawyer with more than 30 years of experience representing retail investors, life insurance policyholders, and beneficiaries across Canada in complex financial services disputes. His practice focuses on investor protection, financial loss recovery, advisor misconduct, unsuitable financial advice, professional negligence, and denied insurance claims.
Over the course of his career, Harold has assisted more than 1,500 Canadians in recovering losses. He regularly acts in matters involving banks, investment dealers, portfolio managers, financial advisors, life insurance agents, agencies, and insurers. His work includes proceedings before the civil courts and the Ombudsman for Banking Services and Investments (OBSI).
Harold is frequently consulted by lawyers, regulators, financial professionals, and media organizations on issues affecting retail investors, seniors, and life insurance consumers. He has also held numerous leadership and advisory roles relating to investor advocacy, consumer protection, and financial services regulation, including with the Ontario Securities Commission, IIROC, OBSI, FSRAO, and the Financial Planning Association of Canada.
“Harold brings exceptional depth in securities litigation, investor protection, and financial services disputes,” said John Yiokaris, Co-Managing Partner at Sotos LLP. “His experience further strengthens our litigation platform and reflects the continued growth of Sotos as a full-service law firm.”
Harold’s arrival enhances Sotos LLP’s ability to advise clients in complex securities, investor protection, and financial services disputes, while supporting the firm’s broader commitment to sophisticated litigation and dispute resolution counsel.
To read more about Harold’s practice, please visit: https://www.sotosllp.com/team/harold-geller/.
