Molly is co-chair of McGuireWoods's Securities Enforcement and Litigation Group. As a former Securities and Exchange Commission prosecutor, Molly brings her seasoned trial and trial preparation skills to a range of clients in complex commercial litigation and government, regulatory, and criminal investigation matters.
In her government role, Molly prosecuted cases in all areas of federal securities enforcement, including accounting fraud, offering fraud, options backdating and market-timing. In private practice, Molly has represented investment companies, broker-dealers, corporations and individuals in investigations conducted by various regulators, including the SEC, FINRA and the California Department of Business Oversight. In addition to her government regulatory and investigation practice, Molly represents clients in a range of different types of commercial litigation.
Molly has also served as receiver's counsel in SEC enforcement litigation.