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We advise our clients on all aspects of compliance with federal and state securities laws and Securities and Exchange Commission rules and regulations, including IPOs, public and private equity and debt offerings, and Regulation S and Rule 144A offerings, spin offs and going private transactions. We also advise public clients on compliance with the rules and regulations of the stock exchanges on which they are listed, including the Nasdaq Stock Market, American Stock Exchange, New York Stock Exchange, London Stock Exchange, AIM and other European exchanges.
We assist our public company clients with strategic and practical solutions regarding compliance with the most recent Securities Act Reform Act of 2005, the Sarbanes-Oxley Act of 2002, corporate governance, periodic reporting obligations, insider trading compliance, fiduciary duty issues, press releases, and interacting with financial analysts. We provide tactical advice on takeover defenses, pursuing hostile acquisitions, undertaking proxy contests and other challenges to corporate control.
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