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SECURITIES LAW
The firm has extensive experience in matters involving federal and state securities laws. We
provide advice to clients in regard to both public and private offerings of securities, including all
manner of stock and debt offerings. The firm's attorneys are seasoned in advising clients
regarding the disclosure, accounting, and other issues arising in connection with the offering of
securities, as well as in dealing with and responding to the Securities and Exchange Commission
and the NASD regarding all of these issues. We advise our clients with respect to listing, and
maintaining the listing of, their securities on the various national and regional securities
exchanges, the Nasdaq National and SmallCap Markets and the OTC Bulletin Board, as
appropriate.
We also advise our clients on a regular basis regarding various securities law compliance issues,
including preparation of periodic and other reports required pursuant to the Securities Exchange
Act of 1934, and to otherwise comply with the disclosure obligations imposed by that Act.
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