Through our representation of both public and private companies, we have a wide range of experience with federal and state securities law compliance. We assist our clients with public and private offerings of equity and debt securities, mergers, acquisitions and sales of businesses, SEC reporting and insider trading compliance, corporate governance, shareholder meetings and proxy contests, and regulation of private investment and hedge funds, broker-dealers, and investment advisers.

Our clients operate in a wide range of industries, including financial institutions, manufacturing, malt beverages, staffing services, technology, biomedical products, and media information services.

We use a team approach to meet our clients' needs. Our attorneys have expertise in acquiring and selling businesses, representing borrowers and lenders in loan transactions, banking regulation, federal, state, and local tax issues, corporate governance, emerging business formation and financing, executive compensation, and technology licensing.

Our goal is to earn long-term relationships with our clients through superior client service.