Murphy & McGonigle

Murphy & McGonigle's veteran litigators specialize in high-stakes securities and commercial litigation, government investigations, and financial institution counseling, backed by its state-of-the-art e-discovery and data management group.

Email:Murphy & McGonigle

Web Site: http://www.murphy.mcgonigle.com

Phone: 202-661-7000, 855-603-1588

Fax: 804-762-5320

Address: 1001 G Street NW, Seventh Floor, Washington, DC 20001

Fee: $-$$$

Business Hour: Mo-Fr 09:00-17:00

Attorneys in Firm: 41

Establish Year: 2010

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Lawyers in Murphy & McGonigle

Practice Area: General Practice, Audit, Accounting and Financial Reporting, Broker-Dealer Advisory and Counseling, Cybersecurity, Cybercrime and Incident Response, FinTech and Blockchain, Independent Monitoring and Independent Consulting, International Advisory, Investment Advisory, Private Funds Advisory and Enforcement Defense, Regulatory Enforcement Defense, Securities Arbitration, Alternative Dispute Resolution, Complex Commercial Litigation, Trading and Markets Counseling, White Collar Criminal Defense, White Collar Crime Investigations and Compliance Counseling, Strategic Discovery and Information Management

About: Murphy & McGonigle's veteran litigators specialize in high-stakes securities and commercial litigation, government investigations, and financial institution counseling, backed by its state-of-the-art e-discovery and data management group.

Former Firm Names: We are proud to continue serving clients under our established name.

Clients: Our clients value our commitment to privacy and professionalism.

Other Office Locations: We offer remote legal services and assist clients anywhere.

References: References are shared directly with clients to ensure confidentiality.

Team Members
  • Brian Matthew Walsh - Partner - Broker-Dealer Advisory and Counseling, FinTech and Blockchain, Financial Services Advisory and Counseling, Trading and Markets Counseling, Regulatory Enforcement Defense
  • Alexandra Marinzel - Associate - Securities and Complex Commercial Litigation
  • Daniel Thomas Brown - Shareholder - Anti-Corruption Compliance, Defense and Investigations, Audit and Accounting, Enforcement Defense and Government Investigations, Cybersecurity, Cybercrime and Incident Response, FinTech and Blockchain, White Collar Criminal Defense, White Collar Investigations and Compliance Counseling
  • Howard L. Kramer - Shareholder - Broker-Dealer Advisory and Counseling, FinTech and Blockchain, Regulatory Enforcement Defense, Trading and Markets Counseling
  • Jack P Drogin - Shareholder - Securities Law
  • Jerry A. Isenberg - Shareholder - SEC Defense and Securities Litigation(100%)
  • Joseph C. Lombard - Shareholder - Enforcement Defense and Government Investigations, Financial Services Advisory and Counseling, Independent Monitoring/Independent Consulting, Trading and Markets Counseling
  • Joseph I. Goldstein - Shareholder - Anti-Corruption Compliance, Defense, and Investigations, Audit and Accounting, Enforcement Defense and Government Investigations, Independent Monitoring/Independent Consulting
  • Larry E. Bergmann - Partner - Financial Services Advisory and Counseling; Trading and Markets Counseling
  • Lionel Andre - Shareholder - White Collar Crime, White Collar Criminal Defense, Alternative Dispute Resolution, Private Funds Advisory and Enforcement Defense, Securities Law, Litigation
  • Macauley Venora - Associate -
  • Mark M Attar - Shareholder - Broker-Dealer Regulation, Investment Banking Law, Investment Regulation, Securities Law
  • Erica S. Palim - Associate - Securities Litigation(100%, 3)
  • Molly A. Kelley - Associate - Securities Litigation
  • James Dombach - Associate - Securities and Complex Commercial Litigation, Financial Services Advisory and Counseling
  • Robert P. Howard, Jr. - Shareholder - Anti-Corruption Compliance, Defense and Investigations, Enforcement Defense and Government Investigations, Financial Serices Advisory and Counseling
  • Christina Marie Hill - Associate - Enforcement Defense and Government Investigations; Securities and Complex Commercial Litigation
  • Robertson T. Park - Partner - Anti-Corruption Compliance, Defense and Investigations, Enforcement Defense and Government Investigations
  • Thomas J. McGonigle - Shareholder - Anti-Corruption Compliance, Defense and Investigations, Audit and Accounting, Enforcement Defense and Government Investigations, Financial Services Advisory and Counseling, Independent Monitoring/Independent Consulting, Trading and Markets Counseling
  • Timothy P. Peterson - Shareholder - Anti-Corruption Compliance, Defense and Investigations; Enforcement Defense and Government Investigations; Securities and Complex Commercial Litigation
  • William E. Donnelly - Shareholder - Anti-Corruption Compliance, Defense and Investigations; Audit and Accounting; Enforcement Defense and Government Investigations; Financial Services Advisory and Counseling; Trading and Markets Counseling
  • Matthew Comstock - Partner - Broker-Dealer Advisory and Counseling, Trading and Markets Counseling, FinTech and Blockchain
  • Stephen J Crimmins - Shareholder - Government Enforcement, Broker-Dealer, Class Action Litigation Defense, Foreign Corrupt Practices Act/Anti-Corruption, Global Government Solutions, Internal Investigations, Investment Management, Hedge Funds and Alternative Investments, Securities Enforcement, Securities Litigation, White Collar Crime/Criminal Defense

FAQ

Frequently Asked Questions
Q: Where is the law firm located?
A: The law firm is located at 1001 G Street NW, Seventh Floor, Washington, DC 20001.

Q: What are the law firm's practice areas?
A: The firm specializes in General Practice, Audit, Accounting and Financial Reporting, Broker-Dealer Advisory and Counseling, Cybersecurity, Cybercrime and Incident Response, FinTech and Blockchain, Independent Monitoring and Independent Consulting, International Advisory, Investment Advisory, Private Funds Advisory and Enforcement Defense, Regulatory Enforcement Defense, Securities Arbitration, Alternative Dispute Resolution, Complex Commercial Litigation, Trading and Markets Counseling, White Collar Criminal Defense, White Collar Crime Investigations and Compliance Counseling, Strategic Discovery and Information Management.

Q: Does the law firm offer free consultations?
A: Yes, the law firm offers a 30-minute free consultation for new clients. Policy might change at any time, please contact us by email to verify in writing.

Q: What are the law firm’s hours of operation?
A: Its opening hours are Mo-Fr 09:00-17:00.Operating hours may change and can be affected by holidays. Please call 202-661-7000, 855-603-1588 to make an appointment.

Customer Reviews Write a Review

Review Score:5.0
★★★★★ - The team was prompt and attentive.

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