Pamela J. Marple

Pamela J. Marple: Attorney with Greenberg Traurig, LLP
  • Shareholder at Greenberg Traurig, LLP (2024 Attorneys)
  • 2101 L Street, N.W., Suite 1000, Washington, DC 20037
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Biography

Pamela J. Marple’s practice over 25 years has focused on regulatory and commercial litigation, government investigations, and corporate compliance matters. Ms. Marple has litigated cases and managed responses to government investigations before a broad range of courts and agencies, as a trial attorney for the U.S. Department of Justice, a senior investigative counsel for Congress, and a commercial litigation partner in private practice. Ms. Marple also counsels companies on compliance matters and serves currently as the Compliance Monitor for a global medical device company.

Concentrations

•Antitrust and trade regulation
•Banking and financial services litigation
•Commercial litigation
•Securities litigation and regulatory enforcement
•White collar defense, regulatory investigations and litigation

Recognition & Leadership

Awards & Accolades

•Listed, Super Lawyers magazine, Washington, D.C. Super Lawyers, 2016-2018

Areas of Practice (6)

  • Litigation
  • Government Law & Policy
  • Federal Regulatory & Administrative Law
  • Antitrust Litigation & Competition Regulation
  • White Collar Defense & Special Investigations
  • Energy & Natural Resources

Education & Credentials

Contact Information:
202.331.3174  Phone
202.331.3101  Fax
www.gtlaw.com
University Attended:
University of Virginia, B.A., 1986
Law School Attended:
University of Wisconsin Law School, J.D., cum laude, 1991
Year of First Admission:
1991
Admission:
U.S. Court of Appeals for the Fourth Circuit; U.S. Tax Court; U.S. District Court for the District of Columbia; U.S. Court of Federal Claims; 1999, District of Columbia; 1991, Wisconsin
Memberships:

Professional & Community Involvement

•Member, D.C. Women's White Collar Association
•Member, District of Columbia Bar Association
•Member and Former Co-Chair, Administrative Law and Agency Practice Section, Steering Committee

Birth Information:
February 25, 1964
Reported Cases:
Experience: Commercial Litigation: Represent Fortune 100 company in U.S. Court of Appeals for the Federal Circuit under Section 1603 of ARRA seeking over $40 million in damages against the federal government.; Represent CEO of Carlyle Group entity in a billion-dollar receiver action based on allegations arising from the RMBS liquidity crisis. (DDC; Guernsey); Represent Mid-Atlantic Sports Network (MASN), a regional broadcasting network in litigation regarding telecast right valuation. (NY); Advise public packaging company on government contract and other regulatory compliance issues. (DC); Represent technology company during Inspector General investigation and subsequent False Claims Act litigation. (DOJ IG); Represent Section 1603 renewable energy applicant during recapture action; represent charitable corporation during Federal Debt Collection proceedings. (DC); Represented aviation company in litigation against global security company seeking $70 million in damages. (VA); Represented Forbes Global 200 electronics company in antitrust class actions pertaining to the SRAM, LCD and ODD markets. (NDCA); Represented financial institutions in the U.S. Court of Federal Claims seeking hundreds of millions of dollars in damages based on accounting and financial rule changes. (CFC); Investigation and Compliance Matters: Serve as Compliance Monitor for global medical device corporation monitored by international financial institution.; Counsel large entertainment conglomerate on international compliance issues, as well as conduct internal inquiries and propose policy and procedure implementation.; Counsel and conduct due diligence for international defense contractor on Anti-Corruption obligations and procedures surrounding ongoing multi-million-dollar transactions.; Counsel domestic genomics company and international telecommunication company on OFAC and Anti-Corruption obligations and procedures.; Represent generic pharmaceutical executive during government antitrust investigations.; Represent executive of Forbes Global 200 electronics company in antitrust investigation into auto parts. (E.D. MI.); Represent in-house counsel during global corporation internal investigation and federal government disclosure and review.; Represented global bank in tax evasion investigation. (S.D.N.Y and D.D.C.).; Represented companies and individuals in numerous agency Inspector General Investigations involving allegations of false claims, accounting improprieties, fraud, undue influence, and ethics violations.; Represented insurance company and top executives as well as Fortune 500 company in Foreign Corrupt Practices Act investigations, resulting in no actions or penalty being imposed against any client. (D.D.C.).; Represented top executives of AIG Financial Products during a number of SEC and DOJ investigations from 2003 to 2010, resulting in no actions being brought against any client. (D.D.C., S.D.N.Y.); top executive of prominent trading company in SEC and Financial Industry Regulatory Authority (FINRA) investigations. (S.D.N.Y. and D.D.C.) and numerous employees and officials of a large telecommunications company in an SEC investigation concerning alleged accounting improprieties. (D.D.C.); Represented companies investigated by State Attorneys General offices in the areas of antitrust, consumer protection, fraud and abuse, and obstruction of justice. (NY, CA, LA, IL, MD); Conducted internal investigations within companies and organizations to determine exposure and self-reporting and other strategies in a variety of industries, including insurance, renewable energy, electronics and transportation.; Obtained declinations and/or reasonable resolutions for public officials, federal employees and lobbyists during ethics investigations before DOJ's Public Integrity Section, DOJ's Office of Professional Responsibility, and the Senate and House Ethics Committees.; Additional Representative Matters: Counsel and represent renewable energy entities during federal agency communications, information requests, and litigation issues related to ARRA's Section 1603 provisions.; Obtained resolution favorable for literary trust in State of Maryland v. Katherine Anne Porter Trust . (Md. Cir.) (fraud and abuse of trust litigation).; Obtained release of records and other relief for Freedom of Information Act requester in Lowy v. IRS . (N.D.Cal.); Lead counsel for the government in constitutional and regulatory cases of national importance while a DOJ attorney, including defense of the Brady Handgun Violence Control Act (the Brady Bill, the Telephone Consumer Protection Act, and the promulgation and execution of a variety of agency regulations including those implemented by the FDA, HHS, and the Treasury Department.; Congressional Investigations: Represent substance abuse treatment company in House investigation into opioid addiction treatment industry.; Represent data resource company in House and Senate investigations into data privacy and regulatory issues of social media providers.; Represent electric power utility company in House and Senate investigations into financial issues surrounding regional power sector.; Represent former government official in Senate Intelligence Committee investigation related to Russia and the 2016 election.; Represent medical research entity during House Panel investigation.; Represented law firm investigated by the Senate Permanent Subcommittee on Investigations Social Security Administration issues.; Pursued investigation against federal judge Thomas Portious during impeachment proceedings as special counsel for House Judiciary Committee (2010), ultimately resulting in his impeachment from the federal bench.; In the Senate, managed investigative teams and strategy during several high-profile committee investigations, questioned witnesses during public and classified hearings, and worked closely with members and their staff.; The above representations were handled by Ms. Marple prior to her joining Greenberg Traurig, LLP.; Government Experiences: Impeachment Counsel, U.S. House of Representatives, House Judiciary Committee, 2010; Chief Counsel, U.S. Senate, Permanent Subcommittee on Investigation, 1998-1999; Deputy Chief Counsel, Special Investigation of Campaign Finance Activities, Governmental Affairs Committee, 1997-1998; Counsel, Judiciary Committee, 1996-1997; Honors Trial Attorney, U.S. Department of Justice, Civil Division, 1991-1996
ISLN:
901538022

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