In January 1897, attorney P.H. Nelson left his position as solicitor of the Fifth Judicial Circuit to set up a private law practice in Columbia, S.C. The State newspaper contained a short but prescient news item on Jan. 26 about the endeavor, which noted that "the new firm should meet with great success."
And they were right. Today, Nelson Mullins Riley & Scarborough LLP offers legal services in 15 states and the District of Columbia from 31 offices with 930+ attorneys, policy advisors, and professionals. It is the 71st largest law firm in the nation based on 2020 gross revenues, according to The American Lawyer’s Am Law 100, a legal news organization that tracks law firm growth.
Throughout 2022, Nelson Mullins will be sharing seminal events from its history that highlight its growth from a one-man firm in 1897 to where we are today. Click here to learn more.
May 6, 2022
New data published by the Centers for Disease Control and Prevention (“CDC”) indicates that the divide between rural and urban areas in COVID-19 primary vaccination coverage has more than doubled in under a year.
Vaccine Hesitancy and the Growing Divideour financial services advisory group helps solve your particular needs to enable ongoing business in the face of regulatory attention.
The firm has deep experience across the industry and 30+ years of knowledge from lawyers familiar with the regulatory environment. We have helped clients with inquiries related to
Our financial services advisory group provides guidance on regulatory investigations, enforcement actions, and internal compliance measures. Our clients include:
The Group’s leadership helps clients focus and manage the challenges that often arise when the state or federal regulators turn their attention to the core business. Our attention to the industry’s ever-changing environment enables the group to collaboratively serve you while managing an effective response to the regulatory or investigative matter. We focus on the endgame – compliance and a competitive business.
Following is a selected sampling of matters and is provided for informational purposes only. Past success does not indicate the likelihood of success in any future matter.
The firm has deep experience across the industry and 30+ years of knowledge from lawyers familiar with the regulatory environment. We have helped clients with inquiries related to
Our financial services advisory group provides guidance on regulatory investigations, enforcement actions, and internal compliance measures. Our clients include:
The Group’s leadership helps clients focus and manage the challenges that often arise when the state or federal regulators turn their attention to the core business. Our attention to the industry’s ever-changing environment enables the group to collaboratively serve you while managing an effective response to the regulatory or investigative matter. We focus on the endgame – compliance and a competitive business.
Following is a selected sampling of matters and is provided for informational purposes only. Past success does not indicate the likelihood of success in any future matter.
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