Morgan J. Miller Esq.

Paul Hastings LLP
Miller, Morgan J.

Morgan Miller is a Partner in the litigation practice of Paul Hastings, based in the firm’s Washington, D.C., office. Mr. Miller is a former Securities and Exchange Commission (SEC) enforcement lawyer whose practice focuses on securities enforcement and compliance matters, internal investigations and securities litigation. Mr. Miller frequently represents corporations and executives in investigations, administrative proceedings and lawsuits instituted by the SEC, Justice Department, self-regulatory organizations and the stock exchanges. Mr. Miller also advises companies on regulatory compliance matters around the world, including FCPA and anti-corruption investigations and risk assessments, and developing and overseeing anti-corruption compliance programs.

Prior to joining Paul Hastings, Mr. Miller served as Counsel in the SEC's Division of Enforcement in Washington, D.C. During his tenure with the SEC, Mr. Miller investigated and prosecuted numerous cases involving allegations of accounting fraud, insider trading, corruption, market manipulation, offering fraud and broker-dealer practices.  He is a frequent panelist and author on securities enforcement topics.

Mr. Miller received his B.A. from the University of California, San Diego and his J.D. from the University of San Diego School of Law.

He is the co-author of the Bloomberg BNA treatise Responding to Corporate Criminal Investigations.