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I. Bobby Majumder

I. Bobby Majumder

Our team assists clients with offerings of equity and debt securities, public reporting, and compliance with all related SEC regulations as well as the national stock exchange rules. Our roles range from being counsel on all securities and transactional matters for some clients, to working collaboratively with in-house legal departments, to serving as special counsel to boards of directors and board committees.

Among other things, our team has significant experience handling SEC filings, earnings releases and additional investor relations communications for equity offerings, private placements of securities, “angel” financings and other venture capital deals. We also provide strategic direction on the development of corporate policies, board committee charters, governance materials, and executive compensation arrangements and disclosures.

Whenever state and federal securities laws are in play, we work closely with clients to develop appropriate compliance solutions, along with effective strategies for responding to SEC inquiries and other enforcement actions.

James A. Giesel Profile Image
James A. Giesel

Practice Group Leader

Louisville, KY

Alan K. MacDonald Profile Image
Alan K. MacDonald

Member

Louisville, KY

Joshua M. O’Bryan Profile Image
Joshua M. O’Bryan

Member

Louisville, KY

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