We leverage our extensive experience across industries and markets to provide corporate governance, regulatory and compliance advice to public and private companies, boards of directors, board committees, investors and financial advisors.
In today’s highly complex and regulated business environment, our team provides ongoing guidance to our clients with respect to risk management, internal controls and procedures, SEC reporting, stock exchange listing requirements, shareholder communications, executive compensation and other corporate governance and compliance matters. In addition, we proactively counsel our clients on a diverse range of opportunities and challenges, including optimal entity structuring, actual and potential dispute management, regulatory requirements and all types of commercial transactions.
Our lawyers regularly advise on reporting and compliance matters relating to federal and state securities laws, including preparation of SEC filings and other public disclosure documents. Our team includes former government officials who assist us in anticipating and addressing questions and concerns that may be raised by regulators.
In The Spotlight
November 6, 2018|Press Release13 Stroock Attorneys and 5 Stroock Practice Groups Listed in 2019's IFLR1000
Lawyers In This Group
|Akshay N. Belani||Partner||New York||
Akshay N. Belani
|Alexandra (Z-Z) L. Cowen||Associate||New York||
Alexandra (Z-Z) L. Cowen
|Christopher J. Doyle||Partner||New York||
Christopher J. Doyle
|Andrew B. Jacobs||Special Counsel||New York||
Andrew B. Jacobs
|K. Thomas Ko||Partner||New York||
K. Thomas Ko
|Jeffrey S. Lowenthal||Partner||New York||
Jeffrey S. Lowenthal