July 14, 2021Bankruptcy Slowdown Prompts Lawyers to Pivot to Transactions and Litigation
Nashville partner Gary Brown will be chairing Practising Law Institute's (PLI) Understanding the Securities Laws 2021. Atlanta partner Erin McGinnis will co-present. This two-day virtual workshop is a fundamental securities law primer for attorneys designed to illuminate how securities attorneys can solve practical problems that arise in the context of today’s public and private offerings.
The workshop will touch on securities laws, the basic aspects of the U.S. federal securities laws, and the interplay among the Securities Act of 1933, the Securities Exchange Act of 1934, related SEC regulations, and other significant legislative and regulatory changes and proposals.
Brown practices in the areas of securities compliance and corporate governance. Prior to joining Nelson Mullins, he served for more than six years as the chief executive officer of a Florida-based financial services company that specialized in the life insurance settlement industry. He has advised a wide variety of public companies in the areas of corporate governance, securities compliance, and mergers and acquisitions.
McGinnis practice focuses on securities transactions, including public and private offerings of securities, 1933 Act filings, 1934 Act reporting, corporate governance, SEC compliance, FINRA compliance, and general corporate matters, with a specific emphasis on real estate investment trusts (REITs).
Starts: Thursday, July 15, 2021
Ends: Friday, July 16, 2021
9 a.m. EDT
These materials have been prepared for informational purposes only and are not legal advice. This information is not intended to create, and receipt of it does not constitute, an attorney-client relationship. Internet subscribers and online readers should not act upon this information without seeking professional counsel.