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Nelson Mullins COVID-19 Resources

Nelson Mullins is continuing to monitor developments related to COVID-19, including guidance from the Centers for Disease Control and various federal, state, and local government authorities. The firm is taking appropriate precautionary actions and has implemented plans to ensure the continuation of all firm services to clients from both in office and remote work arrangements across our 25 offices. 

In addition, click the link below to access extensive resources to address a wide variety of topics resulting from the virus, in general and by industry,  including topics such as essential businesses, force majeure, business interruption insurance, CARES Act and FFCRA, and others. 

Nelson Mullins COVID-19 Resources

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Four Bankruptcy Attorneys Recognized in Lawdragon 500 Guide

August 7, 2020

Four Bankruptcy Attorneys Recognized in Lawdragon 500 Guide
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Erin Reeves McGinnis

Erin Reeves McGinnis

Partner

Atlantic Station
201 17th Street NW
Suite 1700
Atlanta, GA 30363
erin.reevesmcginnis@nelsonmullins.com

Erin Reeves McGinnis focuses her practice 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). She also has significant experience with “Blue Sky” regulatory matters, as well as...

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Erin Reeves McGinnis focuses her practice 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). She also has significant experience with “Blue Sky” regulatory matters, as well as working with boards of directors and committees thereof, including agenda-setting. Additionally, she counsels clients seeking to create and raise capital through Qualified Opportunity Funds per the recently-enacted Opportunity Zone program. Her background includes serving in house with an investment and asset management company, where she handled securities-related and general corporate matters for various alternative investment products, as well as managing meetings of boards of directors and various committees.

Erin Reeves McGinnis

working with boards of directors and committees thereof, including agenda-setting. Additionally, she counsels clients seeking to create and raise capital through Qualified Opportunity Funds per the recently-enacted Opportunity Zone program. Her background includes serving in house with an investment and asset management company, where she handled securities-related and general corporate matters for various alternative investment products, as well as managing meetings of boards of directors and various committees.

Erin Reeves McGinnis focuses her practice 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). She also has significant experience with “Blue Sky” regulatory matters, as well as... working with boards of directors and committees thereof, including agenda-setting. Additionally, she counsels clients seeking to create and raise capital through Qualified Opportunity Funds per the recently-enacted Opportunity Zone program. Her background includes serving in house with an investment and asset management company, where she handled securities-related and general corporate matters for various alternative investment products, as well as managing meetings of boards of directors and various committees.

Experience

Following is a selected sampling of matters and is provided for informational purposes only. Past success does not indicate the likelihood of success in any future matter.

Experience

  • Counsels clients regarding public and private offerings of debt and equity, as well as ongoing compliance with securities laws
  • Focuses on compliance with the Statement of Policy Regarding Real Estate Investment Trusts adopted by NASAA and other "blue sky" securities law issues
  • Represents clients in structuring, negotiating, and documenting mergers and acquisitions (M&A) and other corporate combinations and reorganizations
  • Advises clients on transactions involving limited partnerships, limited liability companies, joint ventures, and other strategic alliances
  • Counsels broker-dealers on compliance with the Financial Industry Regulatory Authority (FINRA) rules and regulations

Previous Professional Experience

  • Served in-house as Associate General Counsel for a leading alternative investment asset management firm which sponsors or co-sponsors a suite of investment products including REITs, BDCs, and 1940 Act interval funds.

Education

  • University of Georgia School of Law, JD, cum laude (2009)
  • University of Georgia, BA, Political Science, cum laude (2006)

Admissions

  • Georgia

Practice Areas

Industries

  • Atlanta Bar Association
  • American Bar Association
  • State Bar of Georgia
  • Investment Program Association (IPA)
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