Murphy & McGonigle, the financial services and regulatory law firm, has been recognized again in the recently published Chambers USA 2019.
The firm’s Financial Services Regulation practice is rated Band 3 nationally in the new guide, up one band from the previous year.
Chambers says of the practice: “A busy broker-dealer outfit that continues to consolidate its position in the market. Noted for its handling of complex regulatory compliance questions and enforcement situations. Comprises a number of talented individuals with decades of experience in the broker-dealer space, with a number of attorneys having held senior positions at the SEC.”
Two attorneys from Murphy & McGonigle also were nationally honored by Chambers USA:
Howard Kramer, Financial Services Regulation: Broker Dealer (Compliance) - USA - Nationwide, Band 1.
Says Chambers: “Howard Kramer maintains an excellent reputation in the market for his broker-dealer and securities regulatory practice.” “Sources call him a ‘superstar’ and add: “He’s able to explain complex regulations by reducing them to their core.”
Stephen Crimmins – Securities Regulation: Enforcement – USA – Nationwide, Band 2.
Chambers commented, “Stephen Crimmins is considered a ‘real leader of the SEC enforcement Bar.” He handles enforcement and investigations for clients under investigation by agencies such as the SEC and FINRA.”