Emily Renshaw

Partner, Morgan, Lewis & Bockius LLP

Emily Renshaw focuses her practice on securities enforcement and litigation matters. She represents and advises broker-dealers, investment advisers, other financial institutions, public companies, and their senior executives and directors in high-stakes internal and external investigations, enforcement proceedings, and related litigation. She regularly counsels clients in matters concerning insider trading, recordkeeping matters, accounting and disclosure issues, internal controls, whistleblower-related issues, and more. Firms, directors, officers, and executives look to Emily to defend them in regulatory actions and private litigation where their reputations are at stake.
Emily is often called upon to navigate complex multi-regulator matters and matters where there are parallel regulatory and litigation proceedings. She represents clients in proceedings brought by the US Securities and Exchange Commission (SEC), Financial Industry Regulatory Authority (FINRA), and state regulators, and before federal and state trial and appellate courts across the United States.