Securities Law Blog

Welcome to our Securities Law Blog. The Corporate Securities Legal LLP focuses on all aspects of the issuance of securities and the practice of securities law and periodic reporting required by the Securities & Exchange Commission.

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The Securities Law Blog focuses on many topics, including:

  • Taking Your Company Public
  • Drafting Form 10, S-1, S-3, and S-8 Registration Statements
  • Conducting Reverse Mergers
  • Structuring Registered Public Offerings
  • Maintaining Compliance with the Over-the-Counter Markets such as OTCBB, OTCQB and OTCQX
  • Maintaining Compliance with NASDAQ, and the New York Stock Exchange
  • Maintaining Compliance with FINRA, the SEC and DTC
  • Drafting Private Placement Memoranda
  • Fulfilling the Reporting Requirements of the Securities & Exchange Commission (SEC)
  • 1934 Act Reporting Requirements
  • Satisfying the Current Information Reporting Requirements of OTCMarkets.com
  • Operating as Ongoing public companies to Small and Mid-Size Public Issuers, Private Companies Going Public, Officers, Directors and Shareholders of Publicly-Traded Companies
  • Public companies going private
  • Title III Crowdfunding
  • Regulation D private placements
  • Mergers & Acquisitions
About Us

Unrivaled Knowledge and Expertise for Your Business Needs

The Corporate Securities Legal LLP is a boutique corporate and securities law firm with offices in New York City and Irvine, California. Our experience in working with small to mid-size publicly traded companies is only exceeded by our ability to adapt. As the economic and regulatory landscape changes, we do as well. Our securities law firm is constantly evolving in order to stay abreast of regulatory changes and trends in the industry. The corporate finance landscape is perpetually changing and our securities attorneys adapt just as quickly. We provide our valued clientele with the most cutting edge corporate legal services at all times.

As a business law firm, we devote our practice to providing quality, efficient and cost-effective services for both entrepreneurs and startups as well as established companies. Our legal team is well-versed in all aspects of business formation and transactions, including mergers and acquisitions and venture capital transactions. We also provide guidance on the complex application of securities law and regulatory compliance. This Securities Law Blog is updated with posts by our attorneys and staff highlighting changes in the area of Securities Law.  Keep an eye on our securities law blog to stay up to date!

Blog Posts

Morgan Stanley Settles Charges Related to ETF Investments

FOR IMMEDIATE RELEASE 2017-46 Morgan Stanley agreed to pay an $8 million penalty.  Washington D.C., [...]

Brokerage Firm Paying Penalty for Compliance and Trading Surveillance Failures

FOR IMMEDIATE RELEASE 2017-45 Washington D.C., Feb. 13, 2017 —The Securities and Exchange Commission today [...]

Brokerage Firm Paying Penalty for Compliance and Trading Surveillance Failures

FOR IMMEDIATE RELEASE 2017-45 Washington D.C., Feb. 13, 2017 —The Securities and Exchange Commission today [...]

Brokerage Firm Paying Penalty for Compliance and Trading Surveillance Failures

FOR IMMEDIATE RELEASE 2017-45 Washington D.C., Feb. 13, 2017 —The Securities and Exchange Commission today [...]

SEC Charges Chinese Citizens Who Reaped Massive Profits From Insider Trading on Comcast-Dreamworks Acquisition

Obtains Court Order Freezing More Than $29 Million in U.S. Accounts FOR IMMEDIATE RELEASE 2017-44 [...]

SEC Charges Chinese Citizens Who Reaped Massive Profits From Insider Trading on Comcast-Dreamworks Acquisition

Obtains Court Order Freezing More Than $29 Million in U.S. Accounts FOR IMMEDIATE RELEASE 2017-44 [...]

SEC Charges Chinese Citizens Who Reaped Massive Profits From Insider Trading on Comcast-Dreamworks Acquisition

Obtains Court Order Freezing More Than $29 Million in U.S. Accounts FOR IMMEDIATE RELEASE 2017-44 [...]

FINRA Promotes Marcia E. Asquith to EVP, Board and External Relations; and Jennifer Piorko Mitchell to VP, Corporate Governance

For Release: Thursday, February 9, 2017 Contact(s): Nancy Condon (202) 728-8379 Ray Pellecchia (212) 858-4387 [...]

FINRA Promotes Marcia E. Asquith to EVP, Board and External Relations; and Jennifer Piorko Mitchell to VP, Corporate Governance

For Release: Thursday, February 9, 2017 Contact(s): Nancy Condon (202) 728-8379 Ray Pellecchia (212) 858-4387 [...]

FINRA Promotes Marcia E. Asquith to EVP, Board and External Relations; and Jennifer Piorko Mitchell to VP, Corporate Governance

For Release: Thursday, February 9, 2017 Contact(s): Nancy Condon (202) 728-8379 Ray Pellecchia (212) 858-4387 [...]