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The Firm's practice areas and expertise are found in securities transactions, securities litigation and
commercial litigation. Our experience in these areas provides the foundation for vast majority of our client services, which encompass:
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Securities Transactions. Financing is a significant element in any organization's ongoing success. Our long-standing relationships with a wide range of investment bankers and other capital sources have resulted in successful financings for many of our clients. We have extensive experience in the following areas: |
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Representation of Issuers and Investment Bankers in Public and Private
Offerings
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Public Company Reporting and Related Compliance Issues
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Mergers and Acquisitions
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General Business Transactions
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Representation of Clients in listing disputes with the NASDAQ Stock Market, Inc., and various stock exchanges
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Securities Litigation and Compliance Matters.
Evaluation of problems or potential problems by experienced practitioners and early intervention on behalf of our clients is a valuable component of our securities compliance and litigation services.
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Government Reporting and Compliance Issues, including
Compliance with Sarbanes-Oxley Act Requirements
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Representation of Broker-Dealers, Investment Advisors, Investment Companies and Transfer Agents in Civil and Administrative Proceedings, and in Other Compliance Matters
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Securities Class Actions and Derivative Actions
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Defense of SEC and State Securities Investigations and
Enforcement Actions |
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General Commercial Litigation
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Commercial and Construction Litigation. We
also have unique skills and expertise in diverse areas
of litigation and dispute resolution such as: |
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General Commercial Litigation
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Construction Disputes and Litigation
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Technology, Software and Trade Secret Disputes |