We serve as primary outside counsel for securities compliance and corporate governance matters for more than 50 public companies. Our clients span a wide range of industries and vary in size from those that have just completed IPOs to mature Fortune 100 companies. Our team provides practical advice on regulatory requirements, disclosure, and SEC and stock exchange compliance. We also have deep understanding of complicated management and board transitions, executive compensation, proxy contests and other forms of shareholder activism. We provide value to public company clients by leveraging our significant resources, helping clients benchmark their governance practices and offering deep subject matter specialists.