Our clients include large‑cap, mid‑cap, and emerging growth companies, as well as underwriters, placement agents, trustees, financial sponsors, funds, family offices, and other market participants.
Across the NYSE, Nasdaq, LSE, AIM, Euronext, and HKEX, we execute cross-border offerings and listings, coordinating seamlessly with non-U.S. counsel. Our day-to-day work with the SEC, FINRA, and the exchanges accelerates reviews and clears comments quickly.
Our global capital markets lawyers have experience across:
- Initial public offerings (IPOs)
- Follow‑on/secondary offerings
- Private placements (Reg D, Reg S, and Rule 144A)
- Investment‑grade notes offerings
- High‑yield bond offerings
- Convertible and other equity‑linked offerings
- At‑the‑market (ATM) programs
- Tender and exchange offers
- Acquisition/bridge‑to‑bond financings
- Stock exchange listings and compliance
- Public M&A-related listings and compliance
- Commercial paper and MTN programs
- Spin‑offs and split‑offs
- De‑SPAC transactions and related listings
- Private investments in public equity (PIPEs)
- Securitizations and structured finance
- Equity derivatives
- Rights offerings
- Regulation A+ offerings
- Fund and structured product listings
- Digital asset and tokenized securities offerings
Clients choose us for execution that moves markets, with tight workstreams, proactive deal management, and sharp issue-spotting that keeps critical paths clear. Our insight shapes strategy through an understanding of investor sentiment, valuation drivers, disclosure trends, and comparable deal mechanics. We also bring a regulatory edge, with former senior SEC officials and a team that engages with regulators and exchanges every day, streamlining reviews and clearing comments efficiently.