Stanley Morris

Attorney Profile
Top Rated Securities Litigation Attorney in Los Angeles, CA
Los Angeles, CA 90025
- Securities Litigation (70%),
- Business Litigation (30%)
- Free Consultation
Mr. Morris focuses his practice on complex securities litigation in state and federal courts and representations involving SEC investigations targeting individuals and businesses. In the course of his practice, he routinely represents securities issuers, company officers and directors, investment funds, analysts, and brokers in connection with SEC and Financial Industry Regulatory Authority (FINRA) investigations, litigation, and arbitration.
Before founding Corrigan & Morris LLP in 1999, Mr. Morris was a former SEC Enforcement Attorney, former Special Assistant U.S. Attorney, and veteran of two elite national law firms. During his tenure with the SEC, he served as lead counsel on a wide variety of investigations, including insider trading, investment adviser fraud, revenue recognition fraud, broker/dealer fraud, and market manipulation. As a Special Assistant U.S. Attorney for the Southern District of California, he was involved in the criminal prosecution of a public company and its officers and directors.
Mr. Morris also served in-house counsel to a publicly-traded NASDAQ company with more than $1.5 billion in revenue.
Prior to law school, Mr. Morris was a legislative assistant to the former Majority Leader of the United States Senate, Robert C. Byrd.
About Stanley Morris
Admitted: 1996, California
Professional Webpage: http://www.cormorllp.com/stanley-morris/
Bar/Professional Activity:
- New York and California , 1990
Educational Background:
- University of North Carolina -- Chapel Hill , 1986
Industry Groups
- SEC Alumni Association
Stanley Morris:
Last Updated: 12/27/2020