30 Years 30 Years in securities law

About Hunt Law Group

With over 30 years of experience in the practice of Securities and Corporate Regulation law, the Hunt Law Group prides itself on personalized and attentive service for our clients.  Accessibility, prompt responsiveness, and practical, experienced advice regarding our clients' legal matters are the essence of our securities and corporate law "boutique" practice.  Our representative clients include both public and private companies, their officers and directors, issuers of securities and individuals who hold various licenses within the securities industry.

 We provide representation regarding public and private securities offerings (including SEC Regulation D, Rule 504-506 offerings and registration statements), counseling and assistance regarding preparation of public company filings with the Securities and Exchange Commission pursuant to the Securities Exchange Act of 1934, filing of public company periodic reports on the EDGAR system, mergers, acquisitions and divestitures, reverse mergers, securities arbitrations and defense of securities matters before the SEC, FINRA and the various states' securities regulators. We use our securities industry experience and practical advice to recommend the most economically efficient and prudent solutions for common securities and corporate issues that  typically confront private and public companies, their CEO's, officers and board of directors. We understand the difficulties in running public companies (especially "small business entities") and are committed to providing the support and guidance regarding compliance and regulatory issues, thus allowing corporate principals to focus on the operational success of their business. 

 Hunt Law Group is an "AV" rated firm by the Martindale-Hubbell legal directory.

Telphone: (727) 471-0444   Facsimile:  (727) 471-0447