Corporate finance transactions and securities compliance are becoming increasingly complex and challenging. Fluctuating markets, economic uncertainty, regulatory changes and shareholder activism are just some of the reasons that corporate finance and securities law has become a mine filed for businesses and investors. This is especially true in light of the fallout from the Great Recession and the resulting legislation, including: the Sarbanes-Oxley Act (“SOX”) and the Dodd-Frank Wall Street and Consumer Protection Act (“Dodd-Frank Act”).
Christensen & Jensen’s corporate finance and securities attorneys offer valuable insight and expertise into both corporate finance and securities law. Christensen & Jensen’s corporate finance and securities attorneys work closely with their clients on disclosure, registration, listing, enforcement, and other matters. Additionally, our corporate finance and securities attorneys utilize their significant experience with regulatory and enforcement agencies to provide clients with valuable counsel on important interpretive and procedural issues, as well as offering sophisticated and timely advice regarding the many issues that arise from recent or pending changes in securities law, accounting rules, and other regulations.
Corporate Finance and Securities services offered by Christensen & Jensen, include:
Public offerings of debt and equity securities
Private offerings involving venture capital companies and angel capital companies
Compliance and reporting requirements associated with securities laws