Our experience in capital market transactions enables us to help companies deal with the dynamics of capital planning and execute corporate growth strategies. Our Securities attorneys have extensive experience representing publicly held businesses and assisting our clients in structuring, negotiating, documenting and closing a wide variety of corporate finance transactions, including primary and secondary securities offerings, tender offers, private placements, 144A offerings, PIPE transactions, private equity investments, mergers, and stock and asset acquisitions and divestitures.
We regularly advise large and small public companies, their officers and their boards of directors on these transactional matters, as well as on meeting their regulatory and disclosure obligations under the Securities Exchange Act of 1934 and stock exchange listing requirements, including compliance with the requirements of the Sarbanes-Oxley Act and evolving best practices in corporate governance. Our attorneys also provide advice on transactions in securities by insiders and their affiliates and on the securities law aspects of equity compensation plans for employees, officers and directors of both publicly held and privately held businesses. We also have significant experience helping private companies raise capital through Regulation D private placements.
The diversity of our Securities practice affords our clients a sense of confidence in knowing their transactions and compliance issues, whether complex or straightforward, will be handled with proficiency. We regularly address the multifaceted legal issues involved in securities disclosure and regulatory matters, corporate governance and corporate finance transactions.