F. Franklin Amanat

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F. Franklin Amanat: Attorney with Motley Rice LLC

Biography

Frank Amanat tirelessly leverages more than three decades of litigation experience in both the public and private sectors to seek justice for whistleblowers, defrauded investors, deceived consumers, terrorism and mass tort victims, governmental entities, and people harmed by corporate or governmental wrongdoing.

Frank has litigated notable civil cases for private plaintiffs and public sector clients in federal and state courts across the country. His practice today focuses on representing relators in False Claims Act (FCA) qui tam matters; whistleblowers submitting confidential tips to the Securities Exchange Commission (SEC), the Commodity Futures Trading Commission (CFTC) and other agencies; and plaintiffs in other fraud-related litigation. He also represents defrauded investors in securities litigation, including class actions, derivative, and opt-out proceedings; consumers injured by deceptive trade practices and anticompetitive conduct; victims of terrorist attacks and other mass torts and human rights violations; governmental entities; and persons harmed by corporate and governmental misconduct. A multifaceted litigator, he provides Motley Rice clients with extensive investigatory, arbitration, trial, and appellate experience, coupled with a broad range of legal and policy knowledge.

At Motley Rice, Frank is one of the lead counsel for the Relator in parallel cases pending in New York, California, and New Jersey state courts. These cases, brought on behalf of dozens of state, county, and local governments, accuse several large banks of having defrauded the states of hundreds of millions of dollars by colluding to inflate interest rates on municipal bonds called variable rate demand obligations. Frank played an instrumental role in achieving a historic $70 million* settlement in an earlier, previous case on behalf of the State of Illinois, and continues to press for justice for taxpayers in other States.

Frank also represents a whistleblower who exposed an alleged scheme by major defense contractors to defraud the U.S. Army of billions of dollars by failing to disclose that it was trafficking tens of thousands of laborers from South Asia to work on Army bases in Afghanistan in deplorable conditions of debt bondage and involuntary servitude. He also represents a whistleblower who was instrumental in discovering and reporting a conspiracy by major international financial institutions to manipulate, for their own benefit, a key benchmark for foreign exchange trading; this whistleblower’s efforts led to enforcement actions culminating in $1.5 billion in civil penalty settlements with federal regulators.

Frank is part of the Motley Rice teams seeking justice and compensation for victims of violence committed by Mexican drug cartels and other international terrorist organizations, including the family of Kiki Camarena, the DEA Special Agent who was brutally murdered in 1985, and the victims of the November 2019 massacre of American women and children in rural Mexico. He also contributes to a class action Little Tucker Act suit against Immigration and Customs Enforcement for failing to return hundreds of millions of dollars in immigration bonds posted on behalf of migrants in removal proceedings.

Prior to joining Motley Rice, Frank was a partner at a plaintiff’s firm, where he represented whistleblowers in a range of FCA and agency proceedings involving financial, procurement, and healthcare fraud, including a qui tam suit against a number of CVS entities accused of defrauding Medicare and Medicaid of tens of millions of dollars. He also formerly represented a state’s Attorney General in a consumer protection and deceptive practices suit against the makers of Androgel, a testosterone replacement therapy drug, which settled for an undisclosed sum. He contributed to that firm’s antitrust class action practice, most notably in connection with foreign exchange antitrust litigation. Additionally, Frank represented dozens of victims of sex and labor trafficking and sexual abuse, including the victims of Canadian fashion mogul Peter Nygard.

For more than 20 years before returning to private practice, Frank served in the U.S. Department of Justice (DOJ), in the United States Attorney’s Office for the Eastern District of New York (Civil Division), as well as the Offices of Legal Policy and Immigration Litigation. He managed over 400 cases on behalf of more than 70 federal agencies in a wide variety of litigation areas, including representing the Government in numerous class action, constitutional, and program litigation. Many of those cases were litigated under the FCA, the Financial Institutions Reform, Recovery and Enforcement Act (FIRREA), the Federal Tort Claims Act (FTCA), the Tucker Act, the various civil rights acts, the immigration code, and the Administrative Procedures Act (APA). He also obtained and collected over $15 million* in asset forfeiture judgments. He was a leading member of the group that developed and promulgated regulations implementing the Prison Rape Elimination Act, the largest administrative rulemaking project in DOJ history. In 2018, Frank was recognized with multiple awards for his work as lead counsel in United States v. Barclays Capital, a fraud case involving the sale of residential mortgage-backed securities that resulted in a $2 billion settlement*-the largest ever single civil penalty recovery by the DOJ involving actions filed under FIRREA.

Outside the courtroom, Frank is a frequent speaker at professional conferences and a regular storyteller at events sponsored by The Moth. A trivia fanatic, he was a 2004 contestant and multigame winner on the game show Jeopardy! He spent two years directing the Government Civil Litigation Clinic at NYU School of Law as an Adjunct Associate Professor of Clinical Law. After completing his legal studies at Harvard Law School where he served as Editor for the Harvard Law Review, he clerked for Judge Frank E. Schwelb of the District of Columbia Court of Appeals. He is fluent in English, French and has a working knowledge of Farsi.

Frank splits his time between Motley Rice offices in New York and Connecticut.

*Prior results do not guarantee similar outcomes.

SELECT PUBLICATIONS:

•Practical Aspects of the Anti-Terrorism Act: “Follow the Money” or Else ..., Carver 33rd Annual Accredited CLE Update, December 2020
•Civil Rights and the Future of Qualified Immunity, 360 Advocacy, December 2020
•How Congress Can Depoliticize the Supreme Court, Law360, September 2020
•Int’l Human Rights Law Group, In the Public Eye: Parliamentary Transparency in Europe and North America (1995) (contributing author)
•The Bluebook: A Uniform System of Citation (15th 1991) (Executive Editor)
•Recent Development, 12 J.L. & Pub. Pol’y 1081 (1989) (commenting on Fort Wayne Books v. Indiana, 109 S. Ct. 916 (1989) (applicability of civil RICO laws to obscenity violations))

Awards, Accolades & Recognitions

Executive Office of United States Attorneys

2020 Director’s Award for Superior Performance as an Assistant United States Attorney

New York City Bar Association

2018 Henry L. Stimson Medal

Council of the Inspectors General on Integrity and Efficiency

2018 Investigation Award for Excellence

United States Department of Justice

2012 Attorney General’s Award for Distinguished Service

International Human Rights Law Group aka Global Rights

1993 Annual Pro Bono Service Award

Blog Posts

September 11, 2025

9/11 Families Pass Another Step Toward Their Day in Court Against Saudi Arabia

by: Jodi Westbrook Flowers

September 11, 2023

For more than two decades since September 11, 2001 attacks, the struggle for justice continues

by: Jodi Westbrook Flowers

September 9, 2021

Twenty years after September 11, 2001: Major Milestones Causes, Not Just Cases

by: Jodi Westbrook Flowers

News

April 28, 2025

The history and legacy of Workers’ Memorial Day

by:
M. Nolan Webb

August 1, 2024

Former DOJ official Frank Amanat joins Motley Rice

by: Motley Rice

Areas of Practice (7)

  • Anti-Terrorism Lawsuit
  • Antitrust
  • Consumer Fraud Protection
  • Human Rights Lawsuits
  • Public Client
  • Securities Class Actions
  • Whistleblower Claims

Education & Credentials

University Attended:
University of Pennsylvania, B.A., summa cum laude, 1988
Law School Attended:
Harvard Law School, J.D., cum laude, 1991
Year of First Admission:
1992
Admission:
District of Columbia; New Jersey; New York; U.S. Supreme Court; U.S. Court of Appeals for the Second, Fourth, and Ninth Circuits; U.S. District Court for the District of Columbia, Northern and Central Districts of Illinois, District of New Jersey, Southern and Eastern Districts of New York; 2024, Connecticut
Memberships:

Associations

Federal Bar Association, Qui Tam Section

The Anti-Fraud Coalition, Government Relations Committee

New York City Bar Association

Eastern District Association

Harvard Law School Association

Languages:
French
Birth Information:
Hyde Park, New York, May 1, 1967
Reported Cases:
CaseWork: IRS, CFTC and Other Whistleblowers: Whistleblower Claims; Whistleblower protection programs exist for an ever-growing range of industries and we work to ensure that those wishing to come forward with valuable information are protected to the full extent of the law.; Qui Tam Whistleblower Lawyer: Whistleblower Claims; By suing on behalf of the United States government for acts of fraud, a qui tam whistleblower may potentially share in a significant portion of the funds recovered by the government.; Corporate Takeover Litigation: Securities Class Actions; When directors and officers of a public company decide to undertake a corporate transaction such as a merger, acquisition or leveraged buyout, we work with company shareholders to help maximize share value and to avoid conflicts of...; Shareholder Derivative Lawsuit: Securities Class Actions Antitrust; Through shareholder derivative actions, we work with company investors to restore value lost to the company due to willful mismanagement, insider self-dealing or other acts of malfeasance.; Securities Fraud: Securities Class Actions Antitrust; Representing domestic and foreign institutional investors-including union, pension, and hedge funds-in recovering shareholder losses incurred due to corporate fraud.; SEC Whistleblower Attorney: Whistleblower Claims; If you learn of securities violations such as bribery, theft, corporate fraud or accounting irregularities, you can help stop misconduct by reporting it to the Securities and Exchange Commission (SEC).
ISLN:
900917033

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