Our team advises a broad spectrum of clients on almost every type of transaction or corporate matter. We advise public and private companies, management, boards of directors and board committees on a full range of matters involving corporate governance, securities offerings, duties including fiduciary duties, and compliance and disclosure matters under the Securities Act of 1933, Securities Exchange Act of 1934, the Sarbanes-Oxley Act and the Dodd-Frank Act, as well as the related SEC rules and the listing standards of the New York Stock Exchange, NASDAQ Stock Market and other stock markets. A. We advise clients forming a broad array of private and public investment vehicles, and mergers and acquisitions. Our corporate team assists clients in strategic planning and compliance decisions and regulatory issues.  We represent the individuals and teams  and sophisticated investors in corporate matters as well as individuals and teams in complex carried interest planning.Our representative clients include public and private companies, private equity firms and financial sponsors, investment banks, government entities, and other institutions.