Securities partner involved in the representation of U.S., Israeli and European companies in connection with public and private offerings of debt and equity securities, including IPOs and Regulation D private placements, corporate governance matters and regulatory compliance in the United States.
Industry experience includes advising financial services, software, retail and life science companies.
Advisor to public company management on the following matters:
(i) registration of securities offerings with the SEC, including the preparation of registration statements on Forms S-1, S-3, F-3, and S-8;
(ii) registration of securities on Form 10;
(iii) preparation of quarterly and annual reports, Forms 8-K, proxy statements and other disclosure documents filed by public companies with the Securities and Exchange Commission;
(iv) corporate governance issues and public company website disclosures;
(v) compliance with NASDAQ and NYSE listing requirements;
(vi) beneficial ownership filings with the Securities and Exchange Commission; and
(vii) compliance with the Sarbanes-Oxley Act, the Dodd-Frank Act and the JOBS Act.