Our securities practice provides counsel to private and public companies on a wide range of securities matters from start-up financing to initial and secondary public offerings, private placements, PIPEs and Rule 144A transactions, repurchase programs and exchange offers. We provide regulatory, reporting and compliance guidance to our clients on matters arising under the Securities Act of 1933 and the Securities Act of 1934, including preparation of annual, quarterly and current reports and proxy statements, transaction reporting by directors and officers, Rule 144 transactions and New York Stock Exchange, American Stock Exchange and Nasdaq listings. Our attorneys also advise boards of directors and special committees of public and private companies in connection with interested party transactions and issues requiring special disclosures. |