We offer a full range of services to our corporate and securities clients including corporate governance, private placements, public offering of equity and debt securities, securities law compliance and reporting, representation in retail and employment-related securities arbitration and litigation, regulatory enforcement defense, bank financing, asset sales and acquisitions, and corporate restructuring.
We counsel clients in all stages of business development, from organizational through initial public offerings, and ongoing Federal, State, and individual compliance in today's complex environment.
With offices in Maryland, New York, New Jersey, Connecticut and Los Angeles, we're prepared to handle engagements coast to coast.
Our specialized practice areas within the corporate and securities department include:
- Company Representation as general counsel, contract counsel, special counsel or trial counsel
- Negotiation, review, documentation and enforcement of business transactions of all kinds
- Mergers and acquisitions
- Securities compliance, including registration and disclosure statements
- Securities litigation involving retail and employment-related FINRA arbitrations, SEC investigations, and federal court action
- Securities regulatory enforcement defense (e.g. SEC, FINRA, NYSE)
- Corporate finance issues
- Real estate transactions and litigation
- Construction law
- Insurance law
- Commercial and corporate litigation
- We develop, maintain and strengthen close working relationships with each client in order to better anticipate legal needs and coordinate our strategies for a given problem with the client's broader business objectives.
For additional information about our approach to client service for corporations, partnerships, professional practices and LLCs, contact us.





