Our team offers practical and creative solutions to companies of all sizes.
Our US public companies team combines deep knowledge of securities laws and market trends with a nuanced understanding of deal structures to advise public companies, those seeking to become public, and their boards of directors, special committees and c-level executives on transactions, corporate governance and securities law, as well as litigation and regulatory matters.
We advise a broad range of clients, from S&P 500 to newly public companies and those entering the IPO process, across a wide spectrum of industries. We are well-versed in the following areas:
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Equity capital market transactions, including IPOs, follow-on offerings and other financing transactions
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Mergers, acquisitions, joint ventures, strategic alliances, spin-offs and other dispositions
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Banking and finance, including Rule 144A and registered investment grade and high-yield debt offerings, bank financings, asset-based and working-capital financings and securitizations
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Securities offerings, filings, exchange listing requirements and reporting/disclosure obligations
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Going-public and going-private transactions
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Corporate governance and compliance issues
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Director and officer liability
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Executive compensation and taxes
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Shareholder engagement issues, proxy issues and control contests
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Data privacy and cybersecurity
Our team has advised companies on some of the most complex IPOs, including those using the UpREIT, Up-C and other partnership structures. We regularly assist our clients in managing the regulatory and corporate governance obligations of being a public company. Meanwhile, we frequently collaborate with our leading securities and shareholder litigation and white-collar defense and Investigations teams to defend corporations and their officers and directors in high-stakes civil and criminal investigations and in multibillion-dollar, bet-the-company securities and shareholder actions.