During Our 40+ Years of Securities Practice, We’ve Seen It All

At the Law Offices of R.P. Burrasca, one of our specialties is providing comprehensive legal services related to securities and capital markets. Our attorneys have extensive experience in advising clients on the full range of federal and state securities laws and regulations, including public and private offerings of securities, registration and compliance with the Securities and Exchange Commission, corporate governance, insider trading, and other matters. We have provided counsel to clients ranging from public companies to investment banks as they interact with the securities regulators, venture capital funds, private accredited investors and private equity funds.

Our attorneys also have significant experience in advising clients on all aspects of investment management, including the formation, operation, and termination of private funds. We provide counsel to such clients on their fiduciary duty under the applicable securities laws, as well as on the structuring and negotiation of investment documents. In this regard, our firm also has significant experience in advising clients on the full range of SEC investigations and enforcement proceedings as they impact the investment climate and our clients’ interests.

In every case, our attorneys provide only the highest level of legal expertise in the areas of the securities laws in which we practice. In every case, we do so as we strive to provide the best possible solutions to our clients in their struggle with their own securities law issues. And, throughout, we always ensure that our clients’ interests in this area are well-protected.

To view our article on what’s wrong with the current capital raising environment under the U.S. securities laws, click here.