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Direct Line: 613-564-3009
Telephone: 613-233-4474  ext. 290
Assistant/Clerk:

HLG lowHarold’s practice is focused on helping investors and insureds get what their financial advisors promised them.

Whether you were sold life insurance, mutual funds, stocks, bonds, or other financial products, Harold and the Financial Loss Advisory Group take on your burden.

Our job is to provide reasoned and practical advice. If your loss was caused by the advisor, or the business behind that advisor, and it makes financial sense for you to pursue compensation, then if you hirer us our job is to help you get your money back.

Harold and the Financial Loss Advisory Group have worked for hundreds of individuals and groups, including one group of over 900 people. We have proudly put client’s money back in their own pockets.

We have successfully sued stockbrokers, mutual fund representatives, insurance agents and financial planners and recover client losses. We have recovered losses where the adviser or his/her dealer have blamed “the stock market” and even the investor themselves.

We have recovered our clients’ life insurance benefits and “investments”, annuities and disability benefits when insurers fail to pay claims or void policies. We have recovered losses and benefits where the insurance agent or her/his insurer have claimed “misrepresentations” or even “fraud” effectively cancelled the policy.

In many of these cases the clients believed that they had no hope of recovering their lost money. Often, that is what their “trusted” advisor or the business behind that adviser or the so-called “Ombudsperson” has told these unknowing clients.

In many of these cases the clients did not have the money to fund the high costs of a lawsuit. In hundreds of cases, Harold and the Financial Loss Advisory Group have taken on cases for people like you primarily on a “paid us when we collect for you” basis – in this way, for many, many clients they have access to justice which they otherwise could never afford. They could never afford in part because of the harm caused by their losses – a trap which could bar their access to justice.

For more information, please visit www.financialloss.ca.

Harold is a well-known financial industry commentator, a continuing education provider for various insurers, investment and mutual fund dealers, and financial industry licensing organizations.

Harold is proud to have been reappointed as one of 7 members of the Ontario Securities Commission’s Investor Advisory Panel. This panel represents investors to the Ontario Securities Commission and routinely submits thoughtful comments to the Canadian Securities Administrators (the Canadian consortium of securities commissions), IIROC, MFDA, FSCO, Minsters of Finance, Expert Panels (such as the Expert Panel on Financial Planning and the Expert Panel on FSCO).

Harold is on the Canadian Bar Association's Executive Committee on Elder Law and Executive Committee on Insurance Law. Harold is also on the Ontario Bar Association's Executive Committee on Elder Law.  He is a member of the County of Carleton Law Association, Advocates’ Society and the Ontario/Canadian Bar Association. Harold has helped organize and presented at dozens of legal education seminars and served on other legal organization executives. He was a long term elected council member of the Ontario Bar Association. At times Harold has assisted financial industry organizations such as the Financial Standards Council and Advocis with respect to setting ethical standards and best practices. Harold is also a member of the prestigious private think tank known The Banff Forum.

Harold obtained his Bachelor of Arts from Queen's University, and his law degree from Dalhousie Law School. He was called to the Ontario Bar in 1993.

Contact Us

MBC Law Professional Corporation
265 Carling Avenue
Suite 500
Ottawa, ON K1S 2E1
Telephone:  613-233-4474
Fax:  613-233-8868
Toll Free:  1-888-288-2033