Securities PracticeOur Securities Practice is a preeminent force in the field of securities law, providing unparalleled legal services to a diverse clientele comprising of public and private companies, investment banks, broker-dealers, and individual investors.
Our practice covers a wide range of matters including securities litigation, regulatory investigations, compliance issues and transactional work. Our attorneys are recognized for their strategic counsel and for achieving favorable outcomes in complex cases.
We are adept at working closely with financial intermediaries in the securities offering and distribution process across the United States and in structuring funds, preparing prospectuses and other securities-related concerns. We also advise on acquisition and project financing, private equity, venture capital, and structured finance.
Our attorneys possess the technical expertise and industry knowledge required to guide clients through the intricate landscape of securities laws, including:
- issuing stock or other securities;
- regulating the disclosure of important financial information;
- representing shareholders, corporation officers, or directors;
- assisting in matters relating to breach of SEC regulations;
- managing IPOs, secondary offerings, and mergers & acquisitions, and other complex securities transactions.
Our Securities Practice is a reliable partner for clients seeking to navigate the complex regulatory environment and to achieve their business objectives. We are committed to providing our clients with the highest level of legal service and representation in all aspects of securities law. If you're in need of securities legal advice, we invite you to contact our firm to explore how we can assist you in protecting your interests