About Robert Long

Robert Long previously served as a senior attorney at the U.S. Securities and Exchange Commission (SEC) and the Financial Industry Regulatory Authority (FINRA), and as a federal prosecutor with the U.S. Department of Justice (DOJ). Rob defends clients in government investigations and prosecutions, spearheads special investigations, and advises financial services firms and market participants on regulatory, compliance, and cryptocurrency matters.

SEC Attorney Experience

Rob spent over ten years at the SEC in various capacities-Trial Attorney, Branch Chief, Senior Counsel, and Staff Attorney. In the SEC’s Division of Enforcement, Rob led enforcement litigation in federal courts and administrative proceedings, and directed/conducted complex investigations that resulted in significant enforcement actions, including halting a $160 million Ponzi scheme, charging a Fortune 500 company with FCPA violations, charging a Fortune 1000 company with accounting fraud, and prosecuting multiple insider trading cases and sophisticated market manipulation schemes. Rob also served in the SEC’s Division of Market Regulation (now the Division of Trading and Markets) where he reviewed market rules and analyzed market structure issues. While at the SEC, Rob served in the SEC’s Fort Worth and Washington, DC offices.

FINRA Attorney Experience

As a Senior Regional Counsel in FINRA’s Department of Enforcement in Dallas, Rob investigated violations of FINRA, SEC, and Municipal Securities Rulemaking Board (MSRB) rules, and the federal securities laws. Rob successfully handled enforcement cases involving high-frequency trading, complex products, inadequate anti-money laundering (AML) compliance programs, due diligence violations, supervision failures, misrepresentations in oil and gas offering materials, unsuitable recommendations, net capital violations, and broker misconduct.

DOJ Attorney Experience

Rob is a former federal prosecutor. As an Assistant U.S. Attorney (AUSA) for the District of Arizona in the Economic Crimes and Public Integrity Unit and as a Special AUSA for the Northern District of Texas, Rob worked closely with various law enforcement agencies, such as the Federal Bureau of Investigation (FBI), Internal Revenue Service (IRS), U.S. Secret Service, and Postal Inspection Service, to prosecute high-profile white collar and public integrity cases. His cases included a 12-defendant mortgage and loan fraud scheme, a “politically sensitive” case of “extreme importance,” and an oil and gas offering fraud scheme that was included in The President’s Financial Fraud Enforcement Task Force. Notably, Rob was selected by the U.S. Attorney for the District of Arizona to participate in DOJ’s nationwide “Election Day Program” to respond to complaints regarding election fraud and voting rights abuses during the November 7, 2006 general elections, and was a member of the Mortgage Fraud Task Force.

National Practice [SEC Defense Attorney, White Collar Defense Attorney, Investigations]

Rob draws on his knowledge of the inner workings of regulatory and law enforcement organizations and his wide-ranging multi-agency experience when defending regulatory and white-collar investigations and prosecutions; advising corporations, hedge funds, broker-dealers, investment advisers, and other market participants on compliance and regulatory matters; and conducting internal investigations. Rob advises clients on matters involving the SEC, FINRA, DOJ, FBI, Commodity Futures Trading Commission (CFTC), National Futures Association (NFA), Public Company Accounting Oversight Board (PCAOB), Financial Crimes Enforcement Network (FinCEN), Office of Foreign Assets Control (OFAC), and other federal and state regulatory agencies, including the Texas State Securities Board (TSSB) and Arizona Corporation Commission (ACC). Rob is regarded as a skilled attorney advising companies (public and private), senior executives, boards, directors, and other individuals in securities enforcement and government investigation matters.

Recognition & Leadership

Awards & Accolades

•Listed, The Best Lawyers in America, Litigation - Securities, 2026
•Selected, D Magazine, “Best Lawyers in Dallas,” 2018, 2020-2025
•Selected, National Law Journal, “Cryptocurrency, Blockchain and FinTech Trailblazers,” 2018
•Guest of Honor, Decred.org, Politeia Blockchain Contest, Austin, Texas, Feb. 10, 2018
•Recipient, SEC, Division of Enforcement, “Director’s Award,” 2009
•Recipient, SEC, “Ultimate Investor Advocate Award,” 2005
•Recipient, SEC, “Chairman’s Award for Excellence,” 2002
•Gold Medal Recipient, President’s Council on Year 2000 Conversion, 2000

 

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Services

Areas of Law

  • Litigation
  • Other 5
    • White Collar Defense & Special Investigations
    • Blockchain & Digital Assets
    • Investment Management
    • Securities Litigation
    • Video Games & Esports

Practice Details

  • Firm Information
    Position
    Shareholder
    Firm Name
    Greenberg Traurig, LLP
  • Representative Cases & Transactions
    Cases
    Experience: Representative Matters - Private Practice: Led internal investigation for public, Fortune 1000 company into misconduct by military products director.
    Defended New York-based registered investment adviser (RIA) in SEC investigation.
    Defending former CEO of public cybersecurity company in SEC investigation.
    Defended Connecticut-based hedge fund manager in in SEC Special Purpose Acquisition Company (SPAC) investigation.
    Defended Nasdaq-listed company with global operations in SEC investigation.
    Defended former managing director of Silicon Valley-based unicorn company [a private-held company with a valuation of over $1 billion] in SEC accounting
    disclosure investigation.
    Conducted internal investigation for New York
    London-based financial services firm into potential insider trading
    advised firm on its compliance procedures.
    Defended multiple clients in SEC insider trading investigations.
    Defended former public official in public corruption investigation by FBI.
    Conducted internal investigation for a city into misconduct by a former city official.
    Defended banker in DOJ money laundering investigation.
    Defended accounting firm
    its executives in parallel SEC
    PCAOB investigations.
    Defended corporate counsel
    secretary of public company in SEC investigation.
    Defended
    advised U.S.
    foreign-based ICO issuers in government investigations.
    Defended in-house attorney of oil
    gas company in SEC investigation.
    Defended New York-based SEC-registered investment adviser in SEC investigation.
    Advised publicly-traded Atlanta-based financial services firm on regulatory matters.
    Defended dually registered broker-dealer
    investment adviser in parallel investigations by the SEC, FINRA,
    TSSB.
    Conducted internal investigation at multinational company into cyber security matter.
    Advised international company on responding to phishing incident
    prepared referral to FBI
    IRS.
    Defended FOREX trader for commodity pool in CFTC investigation.
    Defended Denver-based broker-dealer in SEC insider trading policies
    procedures case.
    Defended various broker-dealers in FINRA examinations
    investigations involving, among other things, possible AML, net capital, OATS reporting, markup, supervision,
    commission sharing violations.
    Defended numerous registered representatives in FINRA investigations alleging, among other things, failures to supervise, violations of Regulation S-P, selling away, undisclosed outside business activities,
    failures to update Form U4.
    Defended company executive in FBI inquiry into certain financial transactions.
    Advised San Francisco-based firm on FINRA examination
    regulatory issues.
    Conducted internal investigation into control
    reporting issues at broker-dealer.
    Representative Matters - Prosecuted: SEC Attorney Cases: Multiple insider trading cases, including actions against offshore traders, a banking
    derivatives lawyer, an executive of a petroleum transportation
    storage company,
    an oil purchasing manager.
    Fortune 1000 company charged with earnings management
    accounting fraud.
    High-speed broker-dealer sanctioned for effecting 772 short sales in financial stocks in violation of SEC short selling ban.
    Emergency actions halting $160 million affinity fraud scheme
    $100 million Ponzi scheme.
    Fortune 500 company sanctioned for violating the FCPA.
    Broker
    his fund management company charged with running an $8 million oil
    gas investment fraud.
    Investment adviser
    its CEO charged with operating a fraud scheme that utilized a sales force that included former professional athletes.
    Former broker charged with running a $930,000 stock scalping scheme (the illegal practice of recommending that others purchase a security, while secretly selling the same security).
    Market manipulation cases involving spoofing (a scheme used to obtain improper price improvements on stock trades).
    FINRA Attorney Cases: Broker-dealer fined $200,000 for failing to implement an adequate AML program, participating in the unlawful distribution of unregistered securities,
    failing to tailor its supervisory procedures to its business, which included providing direct market access (DMA) to high-frequency traders.
    Firm sanctioned for failing to establish an adequate supervisory system
    written supervisory procedures governing its sales of certain complex, structured products.
    Broker-dealer expelled for selling $23 million in private placement offerings without conducting a reasonable investigation of the issuers
    securities being sold
    , therefore, not having a reasonable basis to believe the offerings were suitable for its customers.
    DOJ Attorney Cases: President of an oil
    gas company convicted
    sentenced to 20 years in prison for running a fraud scheme.
    12 defendants indicted for operating an $8 million loan fraud ring in three states
    charges included conspiracy, loan fraud, mail fraud, wire fraud, money laundering, social security fraud, aggravated identity theft,
    false statements.
    Company
    its president convicted of defrauding the Department of Agriculture's mad cow disease surveillance program.
    The above representations were h
    led by Mr. Long prior to his joining Greenberg Traurig, LLP.
    Government
    Regulator Experience: FINRA
    Senior Regional Counsel, 2011-2014
    SEC
    Trial Attorney/Enforcement Attorney, 2007-2011
    Branch Chief/Attorney, 1998-2005
    DOJ
    Special Assistant U.S. Attorney, 2008-2011
    Assistant U.S. Attorney, 2005-2007
  • Additional Links

Experience

  • Bar Admission & Memberships
    Admissions
    Texas
    Arizona
    U.S. District Court for the Northern District of Texas
    U.S. District Court for the Southern District of Texas
    U.S. District Court for the Eastern District of Texas
    U.S. District Court for the Western District of Texas
    Supreme Court of Arizona
  • Education & Certifications
    Law School
    Catholic University of America Columbus School of Law
    Class of 1998
    J.D.
    Other Education
    Arizona State University
    Class of 1995
    B.S.
  • Personal Details & History
    Age
    Born in 1973
    Milwaukee, Wisconsin, April 28, 1973

Activity

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Attorneys FAQs

  • How many attorneys are in this law firm?
    Greenberg Traurig, LLP has 2750 attorneys at this location.
  • What law school did this attorney attend?
    Robert Long attended Catholic University of America Columbus School of Law.
  • What year was this attorney's law firm established?
    Greenberg Traurig, LLP was established in 1967.