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Practice/Industry Group Overview
Moye White represents public and private companies in a wide range of securities transactions. Our attorneys advise broker-dealers and investment advisors in a range of regulatory and compliance matters.
We work with our clients to develop strategies to raise capital, and we prepare offering documents for both private and public offerings. Since 2002, we have represented real estate investment trusts in public offerings totaling in excess of $10 billion.
We work with clients to develop best practices, particularly in response to changes in their regulatory environments. Our attorneys have conducted internal investigations and served as counsel to special committees formed by company boards. We also represent clients before state and federal securities regulators on an ongoing basis.
We work with our trial attorneys to defend clients in civil litigation and administrative proceedings involving claims of fraud and other securities law violations. Our attorneys have defended clients in civil trials, internal investigations, and administrative proceedings brought by the SEC, the NASD and national stock exchanges.
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