In the complex and ever-changing landscape of securities regulation, the advice of a knowledgeable and experienced attorney is invaluable. In the ever-changing U.S. business landscape, there are many notable lawyers who excel in providing advisory regarding securities regulation nationwide. In this article, we will spotlight and explore the work of several such exemplary lawyers, delving into their backgrounds and expertise.
The lawyers in focus form an integral part of various prestigious law firms across the country. Their work often encompasses a wide range of activities including offering counsel to issuers on bond and stock offerings, advising public companies and corporate boards on topics such as compliance, corporate governance and shareholder activism, as well as advising on matters such as SEC reporting and disclosure.
Their practical solutions and wise counsel have gained them recognition in the industry, leading to high praise within their respective fields. Let’s find out more about these notable lawyers and explore their expertise in securities regulation.
Kerry Burke (Covington & Burling LLP)
Kerry Burke, vice chair of the corporate practice at Covington & Burling LLP, is regularly trusted to counsel issuers on bond and stock offerings. Recognized as a fantastic lawyer and business counselor, Kerry stands out for her knowledge, responsiveness, practicality, and business-minded approach.
Adé Heyliger (Weil, Gotshal & Manges LLP)
Adé Heyliger of Weil, Gotshal & Manges LLP is an astute counselor to public companies and corporate boards. Specializing in a range of topics including M&A compliance, corporate governance, and shareholder activism, Adé is known to always provide practical solutions to the most challenging issues.
Thomas J Kim (Gibson, Dunn & Crutcher LLP)
Thomas Kim at Gibson, Dunn & Crutcher LLP is the go-to for public companies needing corporate governance and finance advice. His expertise also spans SEC filings and reporting, where he is recognized for his knowledge and ability to provide excellent advisement.
Rob Plesnarski (O’Melveny & Myers LLP)
Rob Plesnarski of O’Melveny & Myers LLP holds an impressively broad securities advisory practice, advising corporate issuers, financial institutions, and investment funds on areas such as Dodd-Frank reforms.
David Lynn (Morrison Foerster)
David Lynn of Morrison & Foerster LLP advises a range of companies and financial institutions on disclosure, compliance, and wider SEC issues. Known for his adeptness in corporate finance, David has established a strong presence in the industry.
Lillian Brown (WilmerHale)
Lillian Brown of WilmerHale is well-regarded for her skill in advising public companies on areas including SEC reporting, disclosure, and corporate governance mandates.
John W White (Cravath, Swaine & Moore LLP)
John White of Cravath, Swaine & Moore LLP is widely sought after for his expertise in corporate governance, public reporting, and securities compliance. His knack for handling crisis management cases distinguishes him as a ‘living legend’ within the business law sphere.
Meredith B Cross (WilmerHale)
Meredith Cross at WilmerHale does an excellent job advising numerous public companies on corporate finance and corporate governance matters, involving key SEC regulations.
Raquel Fox (Skadden, Arps, Slate, Meagher & Flom LLP & Affiliates)
Raquel Fox of Skadden, Arps, Slate, Meagher & Flom LLP & Affiliates has profound experience in assisting companies with matters including SEC reporting, initial public offerings, mergers, corporate governance, and SPAC transactions.
Elizabeth A. Ising (Gibson, Dunn & Crutcher LLP)
Elizabeth Ising of Gibson, Dunn & Crutcher LLP is a much recognized expert on the advisory side. She frequently advises leading companies on matters such as shareholder activism and corporate governance, earning reputation as a strong and collegial lawyer.
In the arena of securities regulation and advisory, these nationwide lawyers have proven their mettle time and again. Each with their particular fields of expertise, their collective efforts form the backbone of securities regulation advisory in the United States.
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