Murphy & McGonigle is a law firm practicing sophisticated high-stakes commercial litigation, the defense of SEC and other government and securities regulatory investigations and provision of regulatory guidance to banks, broker/dealers, investment advisers, securities exchanges and other financial services firms. We are a boutique firm with 48 lawyers operating out of offices in New York, Washington, D.C. and Richmond, Virginia.

Our lawyers have served as lead counsel in high-stakes litigation, including matters arising from the subprime mortgage crisis, securities class actions, and a multi-billion dollar case involving “cash sweeps.” The lawyers in our SEC Enforcement practice, led by former senior SEC officials, have defended public companies and their officers, directors and auditors in numerous high profile matters over the years, including the investigations of Royal Dutch Shell, Enron, Time Warner, Dell, Kodak, Sunbeam and many, many others. We also represent broker/dealers, investment advisers and their associated persons in SEC and SRO investigations and litigation, as well as providing such entities with regulatory guidance and advice.

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