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Practice Areas |
<< Corporate, Finance & Business Transactions
ATTORNEYS
- Members
- Marc P. Press
- Special Counsel
- Jennifer L. Horowitz
- Associates
- Wylie D. Van Ness
Securities Law Compliance
Attorneys in our securities law practice area are experienced in both public and private offerings of securities and representing issuers in connection with these types of offerings. We regularly advise our clients with respect to their reporting obligations under the Securities Exchange Act of 1934 and the regulations of the national securities exchanges on which their securities may be listed. Our practice includes preparation and review of quarterly, annual and other periodic reports and proxy statements and advising officers and directors with respect to compliance with their fiduciary and other reporting obligations.



