| Securities & Corporate Governance
Our attorneys have extensive experience representing issuers, underwriters and agents in a broad range of securities and capital markets transactions involving registered offerings and private placements of equity, debt and various hybrid securities, as well as tender and exchange offers. We also advise boards of directors, board committees and executive officers with respect to compliance obligations and corporate governance matters related to the U.S. securities laws, Sarbanes-Oxley Act of 2002 and stock exchange requirements. We work with corporate clients of all sizes on such matters, as well as the preparation and filing of periodic reports and proxy statements with the SEC.
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