Practice Areas


Our Securities team represents issuers of common and preferred stocks, debentures, bonds and other debt securities and convertible options and warrants.  Clients have ranged from small companies issuing stock to a few investors, to initial public offerings (“IPO’s”) and Shelf registrations.
In addition to IPO’s, our attorneys handle delayed, continuous and repeat offerings; intrastate offerings (“Blue Sky” law compliance); and offerings of U.S. securities abroad, (e.g. Oslo and London Exchanges).  We also offer advice to clients being investigated by governmental agencies such as the Securities and Exchange Commission, and in other corporate compliance matters, such as Sarbanes Oxley Act Issues.
On the transactional side, we have extensive experience in acquisition, divestitures and mergers; private placements and public offerings.  We also handle the formation of partnerships and corporations, including limited liability partnerships and companies; structure international and domestic joint ventures and strategic alliances; high-technology commercial ventures; do international tax planning; bank financings and loan workouts; and draft Shareholder, Member and Partnership agreements.
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401 East Las Olas Blvd, Suite 1650
Fort Lauderdale, FL 33301 - 954.522.3456
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