Jason joined the firm in 2006 as an associate. His practice concentrates on corporate law. He previously practiced in the Washington, DC office of a major international law firm. Jason’s practice emphasizes securities regulations and public offerings. Jason counsels public companies on Securities Exchange Act of 1934, NYSE and NASDAQ compliance and disclosure issues. Jason has reviewed and drafted numerous 1933 and 1934 Act filings, including Forms 3, 4, 5, 10, 8-K, 10-Q, 10-K, 11-K, S-1, S-3, S-4, S-8 and proxy statements. Jason has also advised public company clients regarding disclosure controls and procedures, Sarbanes-Oxley Act, executive compensation, corporate governance, corporate finance and Section 16 compliance. Jason’s securities experience also includes representation of issuers and underwriters in public securities offerings, including initial public offerings. He has also worked on spin-offs, PIPEs, 144A offerings, shelf registrations, private placements and tender offers. In addition, Jason represents buyers and sellers in public and private company mergers and acquisitions. He has also represented emerging companies in venture financing transactions and general corporate matters. Jason has represented clients ranging from large Fortune 500 companies to small private emerging businesses across a variety of industries. |