About Brian Murray Law
Brian Murray Law PLLC (referred to as Brian Murray Law) is a shareholder litigation firm focused on protecting the rights of investors harmed by fraud, misrepresentation, and consumer and corporate misconduct. The firm represents shareholders and institutional consumers and investors nationwide in complex securities fraud, merger and acquisition, and fiduciary duty litigation, and also represents consumers injured by harmful products or material misrepresentations regarding those products.
Brian Murray Law is dedicated to holding corporate officers, directors, and other market participants accountable when their actions violate the duties owed to shareholders or consumers. The firm’s work is grounded in decades of experience litigating high-stakes matters in federal and state courts across the United States, with a focus on achieving meaningful recoveries and structural reforms that promote transparency and fairness.
The firm is led by Brian Murray, an experienced advocate who has represented investors since 1990. Over the course of his career, Mr. Murray has served as lead or co-lead counsel in numerous securities, consumers and shareholder actions, and consumer actions, and has achieved significant recoveries on behalf of investors harmed by fraudulent conduct and breaches of fiduciary duty. His experience spans securities fraud, mergers and acquisitions, financial disclosure violations, corporate governance matters, data breaches and consumer fraud.
In addition to his litigation practice, Mr. Murray is a frequent author and lecturer on securities law and shareholder rights, and has been appointed by courts throughout the country to leadership roles in complex investor litigation. Through Brian Murray Law, he brings that experience to a focused practice dedicated to protecting shareholders and ensuring accountability in the marketplace.
Representative Experience
Brian Murray Law brings decades of experience representing investors, consumers, and institutions in high-stakes litigation nationwide.
Securities Litigation
Represented institutional and individual investors in complex securities class actions, including serving as lead or co-lead counsel in matters involving major financial institutions and public companies. Achieved significant recoveries, including multi-million-dollar settlements in matters involving Deutsche Bank, Fitbit, and Horsehead Holding Corp.
Antitrust Litigation
Served as lead or co-lead counsel in major antitrust matters involving price-fixing, market allocation, and anti-competitive conduct. Successfully litigated cases through class certification, summary judgment, and trial in federal courts nationwide.
Consumer Litigation
Represented consumers in complex class actions involving data breaches, financial products, and deceptive business practices. Secured substantial recoveries, including settlements exceeding $40 million in consumer protection cases.
Corporate Governance & Shareholder Litigation
Advised and litigated on behalf of shareholders in merger, acquisition, and fiduciary duty disputes. Extensive experience challenging conflicted transactions and securing improved outcomes for investors.
Delaware Corporate Governance
Successfully prosecuted actions requiring companies to amend articles of incorporation and bylaws that violated Delaware law, including improper director protections and limitations on shareholder rights and fiduciary duties.
About Brian Murray, Partner
Brian Murray is an experienced shareholder rights attorney with more than three decades of experience litigating complex investor, consumer, and corporate governance matters in courts across the United States. Since beginning his legal career in 1990, Mr. Murray has served in leadership roles in numerous securities, consumer, and shareholder actions and has been entrusted by courts to represent investor classes, consumer classes, and institutional stakeholders in high-stakes litigation.
Mr. Murray’s work has addressed a wide range of issues under the federal securities laws, including disclosure obligations, loss causation, class certification, and auditor and officer liability. He has been involved in cases arising from public offerings, secondary market transactions, and financial reporting misconduct, and has achieved significant recoveries and precedent-setting rulings on behalf of investors.
In addition to his litigation practice, Mr. Murray is a prolific author on securities law and shareholder rights and a frequent lecturer at legal conferences and investor forums in the United States and abroad. He has also served in leadership and advisory roles within bar associations and professional organizations focused on complex litigation and class actions.