Plano, TX Securities Attorneys

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Plano, TX Securities Attorneys

Attorneys (97)

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  • Adriana Rosas
  • Of Counsel at Ferguson Braswell Fraser Kubasta, PC
  • Plano, TX U.S.A.
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  • Tory A. Cronin
  • Shareholder at Ferguson Braswell Fraser Kubasta, PC
  • Plano, TX U.S.A.
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  • Ming En Wang
  • Member at Wang Law Firm
  • Plano, TX U.S.A.
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  • Kenneth E. Johns Jr.
  • Member at Law Office of Kenneth E. Johns Jr.
  • Plano, TX U.S.A.
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      A Martindale-Hubbell Peer rating reflects a combination of achieving a Very High General Ethical Standards rating and a Legal Ability Numerical rating.  
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      5.0/5.0 (0)
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      A Martindale-Hubbell Peer rating reflects a combination of achieving a Very High General Ethical Standards rating and a Legal Ability Numerical rating.  
  • Norbert T. Starr II
  • Member at Law Offices of Bert Starr
  • Plano, TX U.S.A.
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  • Ralph H. Richardson
  • Sr. Coun., Corp./Securities at J. C. Penney Corp., Inc.
  • Plano, TX U.S.A.
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  • Mary Ann Root
  • Sr. Atty. at J. C. Penney Corp., Inc.
  • Plano, TX U.S.A.
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  • Paul Keith Braswell
  • Shareholder at Ferguson Braswell Fraser Kubasta, PC
  • Plano, TX U.S.A.
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  • Paul B. Sander
  • Partner at Spencer Fane, LLP
  • Plano, TX U.S.A.
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  • Jolie G. Kahn
  • Gen. Coun. at Energy & Engine Technology Corporation
  • Plano, TX U.S.A.
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  • Grant Arthur Hurst
  • Sr. Coun., Corp. & Securities at J. C. Penney Corp., Inc.
  • Plano, TX U.S.A.
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  • Eugene P. McGreal
  • Dep. Gen. Coun. & Mng. Atty. at J. C. Penney Corp., Inc.
  • Plano, TX U.S.A.
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Securities in Plano, TX

Is your privately held company considering an initial public offering (IPO) in an effort to raise capital and expand operations? Are you an executive at a publicly traded company that's concerned about ensuring employees comply with all applicable securities laws? Have you been accused of insider trading or does your company suspect that insider trading may have occurred? Securities lawyers can advise companies thinking about going public, guide them through the IPO process and then work to address securities compliance issues once the company is publicly traded. Securities attorneys can also defend companies and individuals accused of insider trading or violations of other securities laws (including Blue Sky laws, the Securities Act of 1933, the Securities Exchange Act of 1934, the Sarbanes-Oxley Act of 2002 and the Dodd-Frank Wall Street Reform and Consumer Protection Act of 2010).