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A Washington DC area law firm specializing in: |
We represent financial institutions & their holding companies through knowledge of federal securities law.
We assist our clients in: |
- Acting as issuers' counsel in converting from mutual to stock form through initial public offerings (IPOs). This includes preparation of Applications for Approval of Conversion from Mutual to Stock Form, proxy solicition materials and offering circulars.
- Stock conversions in the forms of standard, modified, supervisory & merger
- Acting as underwriter's counsel in connection with equity & debt offerings by financial institutions
- Preparation of offering materials in connection with additional public & private equity and debt offerings
- Counseling clients in the preparation of periodic & annual reports filed with the OTS, FDIC and SEC pursuant to the Securities Exchange Act of 1934 & with respect to miscellaneous provisions of the 1934 Act applicable to public companies.
- Preparation of registration statements. These are filed with the SEC pursuant to the Securities Act of 1933, in connection with public offerings made by savings & loan & banking holding companies.
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Additionally, the firm has substantial experience in counseling clients on securities law issues related to mergers & acquisitions, both friendly and unfriendly, proxy contests and tender offers. |
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