Moore & Van Allen PLLC
Co-head of the firm's Litigation group, Mark Nebrig is a trial lawyer with extensive experience in managing class actions, complex business and securities litigation, and enforcement actions. Though he maintains a general business litigation practice serving financial services, ESOP-related, healthcare, manufacturing, and private equity clients, Mark has concentrations in financial services class actions, ERISA/ESOP class actions, securities litigation, SEC/FINRA investigations, and non-public shareholder disputes.
Mark has substantive bench and jury trial experience in mergers and acquisitions litigation and shareholder disputes, where he has represented both public and private corporations and their directors, and ESOP-related disputes, where he has represented fiduciaries, ESOP-owned companies, selling shareholders, and valuation firms.
A former licensed broker, Mark also represents various broker-dealers before FINRA and advises securities industry entities involved in regulatory investigations, inquiries, and litigation. He advises public companies and their directors in their communications and responses to the SEC and DOJ.