Securities Law Compliance, Including SEC and Sarbanes-Oxley

Our attorneys are deeply grounded in a sophisticated securities law practice. We have handled numerous syndications and private offerings, primarily in the real estate and healthcare sectors. We have represented clients involved with venture capital and private equity financings. Our attorneys have experience with the Securities Act of 1933, as amended, and the Securities Exchange Act of 1934, including IPOs, Rule 144, Regulation D, Rule 701, Section 12(g) registration obligations, Form 15 and going private issues, proxy statement and issuer self-tender offer issues and consideration of Regulation A+.