John Jaye represents public and private companies in securities, merger and acquisition and general corporate matters. Mr. Jaye's practice also includes securities compliance advice to private investment funds.
Over the course of his career, Mr. Jaye has been involved in a broad range of transactions, including:
Public and private offerings of securities, including IPOs, shelf registrations, exchange offers and venture capital financings
Mergers, acquisitions and joint ventures
Proxy solicitations and contests
Private investment fund and private equity fund formation
Corporate reorganizations, spin offs and recapitalizations
Tender offers
Mr. Jaye also regularly advises clients with respect to corporate governance and securities compliance matters, including:
Reporting under the Securities Exchange Act of 1934
Sarbanes-Oxley Act compliance
Section 16 (insider securities transactions) compliance
Section 13(d) and 13(g) reporting and compliance
Sales of restricted securities and affiliate securities transactions |