Biography
Gary M. Brown currently is a partner with Nelson Mullins Riley & Scarborough LLP, where he concentrates his practice on representation of public companies, providing day-to-day advice on compliance, disclosure issues, securities offerings, periodic reporting, and corporate governance. Prior to joining Nelson Mullins in 2018, he had served for seven years as the Chief Executive Officer of a financial services firm that specialized in the life settlement market and which, during his tenure, acquired and managed life settlement portfolios with over $4 billion (USD) in face amount.
In his thirty-five years of private law practice, Gary has been recognized in both Best Lawyers in America and Chambers – America’s Leading Business Lawyers. In addition, since 1994, he has taught corporate and securities law at the Vanderbilt University Law School. Gary is a frequent instructor at securities programs for the Practising Law Institute, chairing one of PLI’s national securities programs, Understanding the Securities Laws and instructing at numerous workshops including the two-day programs SEC Reporting and Practice Skills Workshop for Lawyers and Form 20-F In-Depth Workshop.
During 2002, Gary served as Special Counsel (Minority) to the United States Senate's Governmental Affairs Committee (and also worked with the Committee's Permanent Subcommittee on Investigations (“PSI”)) in its investigation into the causes of the collapse of Enron Corp. During 2010, he was retained by PSI to assist in its investigation, “Wall Street and the Financial Crisis,” and related televised hearings. While on those assignments, he provided advice on aspects of both the Sarbanes Oxley Act of 2002 and the Dodd-Frank Wall Street Reform and Consumer Protection Act of 2010 as those pieces of legislation were being debated in the Senate.
Gary has authored numerous publications on securities and compliance issues, including PLI’s Securities Law and Practice Deskbook, which is updated semi-annually, PLI’s Master the 8-K, Master the 10-K and 10-Q and Master the Proxy Statement. His other publications include: PLI’s Guide to the SEC’s New Executive Compensation Disclosure Rules (Practising Law Institute 2007); The Implications of the U.S. Sarbanes-Oxley Act, (Japanese-German Center-Berlin/ Max Planck Institute for Foreign Private and Private International Law – September 2004, The Oxford Press).