Casey Miller represents clients in a variety of commercial litigation and dispute resolution matters. She has a diverse practice focused on business tort litigation, contract disputes, fiduciary-duty claims involving corporate directors and officers, intellectual property litigation, disputes over non-compete and non-solicitation agreements, and anti-trust violations. She practices in both state and federal courts across the country.

Casey also represents organizations and individuals in government and internal investigations, advises clients in regulatory compliance matters, and handles related litigation and white collar defense matters. She has experience in defending corporations and their officers and directors in criminal and civil investigations and enforcement actions, including those brought by the SEC, DOJ, CFTC, state attorneys general and other state regulators, self-regulatory bodies, and various international regulators. Casey has represented clients in high-profile investigations and litigation in the financial industry, including allegations related to manipulation and fraud in connection with interest rate benchmarks, including LIBOR, and market misconduct arising from foreign exchange trading practices.

Before joining the firm, Casey worked as an associate for a New York firm, where she focused on commercial litigation, international regulatory matters, corporate compliance, and internal investigations for large financial institutions.