Initial reporting requirements under the Securities Act of 1933
Continuing / Periodicalreporting requirements under the Securities Exchantge Act of 1934 (Forms 10-K, 10-KSB, 10-Q, 10-QSB, 8-K, Forms 3,4 and 5, Section 14 Proxy Statements and Information Statements, etc.)
Ongoing securities law compliance
Edgar Filings
Private Placements
Offerings under Section 4(2) of the Securities Act of 1933
Offerings under Regulation D (Rules 504-506)
Offshore Offerings pursuant to Regulation S
Filing of Blue Sky forms with states' securities regulators
Opinion Letters pursuant to SEC Rule 144
Reverse Mergers
Mergers and Acquisitions
Initial Public Offerings (IPO)
Registration Statements on Forms SB-1 and SB-2
Registration Statements on Form S-1
Form 10 and Form 10SB Registrations
S-1 Public Offerings
New capital raises
Selling shareholder prospectuses
FINRA Form 15c2-11
Representation of Issuers and coordination with broker-dealers in Form 211 application process with FINRA
Real Estate Investment Trusts (REIT’s)
SEC Litigation
Representation of issuers and their officers and directors in formal and informal SEC investigations