Securities Regulation & Public Offerings
Parr Brown attorneys advise clients in connection with registration, reporting and compliance matters under federal and state securities laws and regulations. Our lawyers represent companies and underwriters in public and private offerings of debt and equity securities under the Securities Act of 1933, with the preparation of periodic reports, proxy materials and related disclosures under the Securities Exchange Act of 1934, and compliance with listing and reporting obligations of national stock exchanges and quotation systems.
We counsel companies with respect to preferred stock financings, investor rights, and exit transactions. We have strong experience in corporate governance, regulatory compliance, and second-generation Sarbanes-Oxley initiatives. To view a list of our representative transactions, see the link to the right.
Parr Brown's Securities practice and its attorneys are regularly recognized by Chambers USA, Best Lawyers in America and Mountain States Super Lawyers.
CLIENT ALERT: SEC Expands Proxy Disclosure Requirements - Effective 2.28.10.
| Attorneys |
|---|
| Loveless, Scott W. |
| Pope, Keith L. |
| Lloyd, Brian G. |
| Allen, Bryan T. |
| King, Seth R. |
| Clark, Carlton M. |
| Schefer, Michael J. |
| Tenney, Matthew B. |
| Nelson, Gregory S. |
