Brian Miller focuses his practice on securities class action defense, SEC investigations, internal investigations of whistleblower allegations, accounting fraud, fiduciary duties, and other commercial disputes. Brian has defended dozens of shareholder class actions alleging securities fraud, accounting fraud, and breach of fiduciary duty. Collectively, these matters have sought damages in the billions of dollars.
Mr. Miller represents directors and officers of public companies, investment funds, and other individual and corporate clients facing SEC investigations and bet-the-company litigation involving securities fraud or fiduciary duty allegations. Brian draws upon his experience as a former SEC lawyer to represent his clients. Many of his cases involve multiple related lawsuits and pending government or regulatory investigations in different jurisdictions across the United States and internationally.
Education:
- J.D., Case Western Reserve University School of Law, summa cum laude
- B.A., Walsh University, summa cum laude
Updated Sep 2024