Mr. Steinman represents public and private issuers, underwriters and individual investors in a wide range of transactional work. He advises companies, including those in the life sciences , real estate , and financial technology (fintech) sectors, with respect to SEC regulations, compliance issues and other corporate and securities law matters, such as public reporting, Sarbanes-Oxley compliance and communications with analysts and investors.
Mr. Steinman has substantial experience representing both buyers and sellers of assets, stock and other business interests in a range of merger, acquisition and other business combination transactions. Mr. Steinman advises a broad range of both public and private business entities in a wide variety of matters, including corporate or partnership governance and fiduciary duty issues, and an array of contractual and other business law issues.
Mr. Steinman is a 2007 graduate of Cornell Law School and a graduate of Concordia University.
•Duane Morris LLP
- Partner, 2018-present
- Associate, 2010-2017
•Mintz, Levin, Cohn, Ferris, Glovsky and Popeo P.C.
- Associate, 2007-2009
- Summer Associate, 2006
•Co-author, SEC Adopts 'Regulation A+' Rules , Duane Morris Alert, April 10, 2015
•Co-author, SEC Proposes Say-on-Pay and Say-on-Golden-Parachute Rules , Duane Morris Alert, November 5, 2010
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